Board of Professional Responsibility of the Supreme Court of Tennessee v. Candes Vonniest PrewittBoard of Professional Responsibility of the Supreme Court of Tennessee v. Candes Vonniest Prewitt
This is an appeal of a trial court‘s judgment affirming a decision of a hearing panel of the Board of Professional Responsibility. The hearing panel found that an attorney had violated multiple Rules of Professional Conduct and imposed a thirty-day suspension from the practice of law with conditions on reinstatement. After careful review, we affirm the decision of the hearing panel and the judgment of the trial court.
Benjamin K. Raybin, Nashville, Tennessee, for the appellant, Candes Vonniest Prewitt.
James W. Milam, Brentwood, Tennessee, for the appellee, Board of Professional Responsibility.
OPINION
I.
Factual Background
In 2012, Candes Vonniest Prewitt was licensed to practice law in Tennessee. In December of that year, she and Demetrius Tucker began an on-and-off romantic relationship that lasted for several years. In July 2014, while Mr. Tucker was working as a security guard for a Nashville night club, a disgruntled patron shot him. Mr. Tucker was seriously injured and incurred over $500,000 in medical expenses. A co-worker, Dionage Harris, was also injured in the incident. Both men retained Ms. Prewitt to represent them in a personal injury lawsuit. Ms. Prewitt agreed to handle the lawsuit under a contingency fee agreement of one-third of any damages recovered.
In July 2015, Ms. Prewitt filed a complaint on behalf of Mr. Tucker and Mr. Harris against their employer, Robert Higgins d/b/a WKND Lounge, and the premises owner, Dialysis Clinic, Inc. (“the defendants“), in the Davidson County Circuit Court.1 The suit alleged that the defendant employer was negligent by failing to report to law enforcement that the man who shot Mr. Tucker had been ejected from the club earlier in the evening and had threatened to return and kill everyone.2
By February 15, 2018, Ms. Prewitt was required to file plaintiffs’ expert disclosures under
In late April 2018, the defendants moved for summary judgment, arguing that they did not owe a duty of care to the plaintiffs because the shooting was not foreseeable. Ms. Prewitt told neither Mr. Tucker nor Mr. Harris that summary judgment motions had been filed, and she did not prepare any response to the motions. Instead, in May 2018, she moved to withdraw from the case and postpone the summary judgment hearing. By this time, Ms. Prewitt was expecting a child with Mr. Tucker, and their romantic relationship had ended. As grounds for her motion to withdraw, Ms. Prewitt stated that “the communication between counsel and [the p]laintiffs ha[d] broken down.” She mentioned neither her pregnancy nor her personal relationship with Mr. Tucker. Ms. Prewitt represented to the circuit court that her clients’ interests would not be materially adversely affected by her withdrawal. Ms. Prewitt did not include her clients on the certificate of service for the motion to withdraw and did not send them copies of the motion. Ms. Prewitt claimed she told them both by telephone that she intended to withdraw from the case. On July 3, 2018, the circuit court entered an order allowing Ms. Prewitt to withdraw. The circuit court gave Mr. Tucker and Mr. Harris thirty days to obtain new counsel and continued the summary judgment hearing to August 10, 2018.
After Ms. Prewitt told Mr. Tucker she would no longer represent him, he consulted another attorney about taking over the case. The attorney asked Mr. Tucker to
When Mr. Tucker‘s attorney reviewed the case file, he found that it was missing transcripts of the three depositions that had been taken, as well as a video recording of Mr. Tucker‘s shooting.4 The attorney also learned that no depositions of medical or security experts had been taken, that the circuit court had excluded two expert witnesses, and that summary judgment motions were pending and set for hearing in less than thirty days.5 The attorney obtained a continuance of the hearing and filed a response to the summary judgment motions.
In October 2018, the circuit court heard the defendants’ motions for summary judgment. In January 2019, the circuit court granted the motions for summary judgment. The basis for the circuit court‘s ruling was the plaintiffs’ failure to establish that the defendants owed a duty of care based on a foreseeable risk of harm of criminal acts. The circuit court noted that the plaintiffs had not provided evidence of any criminal activity in the immediate vicinity of the night club.
Disciplinary Proceedings
In January 2019, Mr. Tucker submitted a disciplinary complaint to the Board against Ms. Prewitt. In November 2019, the Board filed a petition for discipline against Ms. Prewitt, alleging that in her representation of Mr. Tucker she violated Rules of Professional Conduct 1.1 (Competence), 1.3 (Diligence), 1.7 (Conflict of Interest: Current Clients), 1.16 (Declining or Terminating Representation), and 8.4 (Misconduct). Ms. Prewitt denied any misconduct. After a July 15, 2020 evidentiary hearing, the hearing panel issued a written decision on August 14, 2020, finding that Ms. Prewitt had violated Rules 1.1, 1.3, 1.7, 1.16, and 8.4(a). The hearing panel imposed a thirty-day active suspension, and as conditions for reinstatement, Ms. Prewitt had to complete ten extra hours of ethics continuing legal education and engage a practice monitor for six months.
After the panel issued its ruling, the Board filed an application to recover its costs under
Under
II.
This Court has the inherent power “to regulate and supervise the practice of law in Tennessee.” Dunlap v. Bd. of Pro. Resp., 595 S.W.3d 593, 606 (Tenn. 2020) (quoting Hyman v. Bd. of Pro. Resp., 437 S.W.3d 435, 444 (Tenn. 2014)). Included in this inherent power is “the ultimate responsibility of enforcing our rules of professional conduct” and sanctioning attorneys who violate those rules. Bd. of Pro. Resp. v. Sheppard, 556 S.W.3d 139, 146 (Tenn. 2018) (citing Garland v. Bd. of Pro. Resp., 536 S.W.3d 811, 816 (Tenn. 2017)).
The Board of Professional Responsibility “derives its authority and functions from this Court.” Dunlap, 595 S.W.3d at 606 (citing Garland, 536 S.W.3d at 816). An attorney charged with disciplinary violations is entitled to an evidentiary hearing before a Board of Professional Responsibility hearing panel to determine whether disciplinary action is warranted and, if so, the appropriate sanction. Id. (citing Bd. of Pro. Resp. v. Justice, 577 S.W.3d 908, 923 (Tenn. 2019)). The hearing panel‘s decision may be appealed to the circuit or chancery court, which reviews the decision “on the transcript of the evidence before the hearing panel and its findings and judgment.” Id. (quoting
The trial court reviews questions of law de novo with no presumption of correctness, but does not substitute its judgment for that of the hearing panel on questions of fact. Napolitano v. Bd. of Pro. Resp., 535 S.W.3d 481, 496 (Tenn. 2017) (citing Reguli, 489 S.W.3d at 417). Thus, “where reasonable minds can disagree,” the court will uphold the hearing panel‘s ruling. Meehan, 584 S.W.3d at 413 (quoting Sheppard, 556 S.W.3d at 146). A party dissatisfied with the decision of the trial court may appeal directly to this Court. Beier v. Bd. of Pro. Resp., 610 S.W.3d 425, 436 (Tenn. 2020) (quoting Bd. of Pro. Resp. v. MacDonald, 595 S.W.3d 170, 181 (Tenn. 2020)). This Court applies the same standard of review as the trial court. Napolitano, 535 S.W.3d at 496.
On appeal, Ms. Prewitt challenges the hearing panel‘s findings of misconduct and the sanctions imposed.
Violation of Rule 1.1 (Competence)
The hearing panel found that Ms. Prewitt violated Rule 1.18 by failing to make proper expert disclosures, leading to the exclusion of two of the plaintiffs’ expert witnesses, and by failing to advise Mr. Tucker to file a claim for workers’ compensation rather than a personal injury lawsuit. The hearing panel concluded that these failures showed a lack of legal knowledge, skill, thoroughness, and preparation reasonably necessary for the representation of Mr. Tucker.
Ms. Prewitt asserts that the hearing panel erred by finding she violated Rule 1.1 based on her failure to properly disclose expert witnesses in the personal injury lawsuit. Under
The expert disclosures Ms. Prewitt provided did not meet the requirements of
Ms. Prewitt does not claim that the expert disclosures she provided complied with
Ms. Prewitt also contends the Board did not show that Mr. Tucker‘s case was prejudiced by the exclusion of the only expert witness designated to establish liability.11
She claims the hearing panel‘s finding was arbitrary, capricious, and unsupported by the record because the Board did not offer evidence that Mr. Tucker‘s case would have survived summary judgment had the liability expert not been excluded. We disagree. First, it cannot reasonably be argued that excluding the only expert witness on liability did not cause harm or potential harm to Mr. Tucker. Second, even if there was no prejudice to Mr. Tucker, Ms. Prewitt was not relieved of her ethical responsibilities under the Rules of Professional Conduct. See, e.g., In re Groom, 249 P.3d 976, 983 (Or. 2011) (“[T]he fact that a lawyer‘s failure to communicate does not prejudice the client does not relieve the lawyer of the ethical duty [under Rule of Professional Conduct 1.4] to communicate.“).
Ms. Prewitt also contends the hearing panel should not have relied solely on the circuit court‘s ruling excluding the expert witnesses because that ruling was never subject to appellate review. This argument also misses the mark. The expert disclosures were facially deficient because
Finally, to address Ms. Prewitt‘s argument that the Board has cited no authority stating that an attorney‘s decision not to properly disclose an expert is “inherently unethical” or that her decision not to properly disclose an expert was unethical, we need only look to the rule itself. Under Rule 1.1, “[c]ompetent representation requires the legal knowledge, skill, thoroughness, and preparation reasonably necessary for the representation.”
Competent practitioners familiarize themselves with the Rules of Civil Procedure and work diligently to comply with them. Ms. Prewitt did not. The hearing panel‘s finding that Ms. Prewitt‘s failure to provide expert disclosures in compliance with
The hearing panel also found that Ms. Prewitt violated Rule 1.1 by failing to advise Mr. Tucker to file a workers’ compensation claim instead of a personal injury lawsuit against his employer.15 The attorney
Ms. Prewitt argues the Board‘s petition did not specifically allege her failure to pursue a workers’ compensation claim as a basis for discipline. While the Board did not specifically allege Ms. Prewitt failed to properly advise Mr. Tucker about his options under the workers’ compensation law, Mr. Tucker, his attorney, and Ms. Prewitt testified about the advice she gave regarding the workers’ compensation claim. Ms. Prewitt objected to only a portion of the attorney‘s testimony. We need not decide, however, whether the Board‘s petition was sufficient to put Ms. Prewitt on notice of the workers’ compensation-related charges or whether she waived any deficiency by not objecting to the testimony. There is substantial and material evidence to support the hearing panel‘s finding of a violation of Rule 1.1 based on Ms. Prewitt‘s failure to provide adequate expert disclosures. Thus, the issue of whether the hearing panel erred in finding a Rule 1.1 violation based on Ms. Prewitt‘s failure to advise about filing a workers’ compensation claim is pretermitted.
Violation of Rule 1.3 (Diligence)
The hearing panel found that Ms. Prewitt violated Rule 1.316 by failing to make proper expert disclosures, by failing to promptly withdraw when she realized her personal relationship with Mr. Tucker impacted her ability to represent him in the personal injury lawsuit, and by failing to advise Mr. Tucker to pursue a workers’ compensation claim.
Ms. Prewitt advances the same arguments against the hearing panel‘s finding that she violated Rule 1.3 by failing to make timely and adequate expert disclosures that she asserted about the violation of Rule 1.1. As discussed above, Ms. Prewitt did not timely and diligently comply with
Ms. Prewitt also argues the hearing panel erred in finding that she violated Rule 1.3 when she failed to act with promptness to withdraw after she realized her personal relationship with Mr. Tucker hindered her ability to represent him in the lawsuit. She claims she represented Mr. Tucker “until [she] couldn‘t anymore,” and the record contains no evidence that there “was a certain moment” when Ms. Prewitt should have withdrawn but failed to do so.
The record does not state the date that Ms. Prewitt‘s personal relationship with Mr. Tucker ended. But Ms. Prewitt‘s itemized time records show she spent no time responding to the summary judgment motions between the time the motions were filed on April 24 and 25, 2018, and when she moved to withdraw on May 23, 2018.18 The circuit court‘s order granting Ms. Prewitt‘s motion to withdraw was entered July 3, 2018. By that time, the summary judgment motions had been pending for over sixty days, Ms. Prewitt had prepared no responses, and she had not notified her clients that summary judgment motions had been filed.19
Comment 1 to Rule 1.3 states that “[a] lawyer should pursue a matter on behalf of a client despite opposition, obstruction, or personal inconvenience to the lawyer, and take whatever lawful and ethical measures are required to vindicate a client‘s cause or endeavor.”
Finally, Ms. Prewitt challenges the hearing panel‘s finding that her failure to advise Mr. Tucker to file a claim for workers’ compensation rather than a personal injury lawsuit violated Rule 1.3. Because we have already found that there is substantial and material evidence to support the hearing panel‘s finding of Ms. Prewitt‘s other violations of Rule 1.3, we need not address the issue of her reasonable diligence in not advising Mr. Tucker to pursue a workers’ compensation claim. Thus, this issue is pretermitted.
Violation of Rule 1.7 (Conflict of Interest: Current Clients)
The hearing panel determined that Ms. Prewitt violated Rule 1.720 because her personal relationship with Mr. Tucker significantly limited her ability to advise and represent him objectively and conflicts in their personal relationship interfered with their attorney-client relationship. The hearing panel concluded Ms. Prewitt should have disclosed to Mr. Tucker that their personal relationship could interfere with her representation in the lawsuit, and she should have obtained his informed written consent to waive the potential conflict.21 The hearing panel also found that Ms. Prewitt violated Rule 1.7 because she put her own interests ahead of Mr. Tucker‘s by asserting a lien for her fees after she withdrew and by advising him to file a personal injury lawsuit instead of a workers’ compensation claim.
Ms. Prewitt challenges the hearing panel‘s finding that she had a concurrent conflict of interest in representing Mr. Tucker because of their personal relationship. Under Rule 1.7(a)(2), “[a] concurrent conflict of interest exists if there is a significant risk that the representation of one or more clients will be materially limited by . . . a personal interest of the lawyer.”
Comment 12 emphasizes the fiduciary relationship between lawyer and client “in which the lawyer occupies the highest position of trust and confidence.”
Comment 12a expands on this: “[T]he client‘s dependence on the lawyer‘s knowledge of the law is likely to make the relationship between the lawyer and client unequal.”
The concerns expressed in Comments 12 and 12a are reflected in Mr. Tucker‘s testimony before the hearing panel. When asked how he came to be represented by Ms. Prewitt in the personal injury lawsuit, Mr. Tucker explained that Ms. Prewitt was angry that he consulted other attorneys and did not come to her first since she was his girlfriend at the time. Mr. Tucker also said he “kind of felt like [he] was pressured into” asking Ms. Prewitt to represent him because she was “trying to make [him] feel bad because [he] didn‘t want to use her.” Mr. Tucker stated that because Ms. Prewitt was new to the practice of law, he “didn‘t really think she knew what she was doing” and “really didn‘t want to go with her,” but he agreed to let Ms. Prewitt handle the case because he “felt bad” and told himself “she had [his] best interest at hand.” Ms. Prewitt, on the other hand, testified that Mr. Tucker “begged” her to represent him in the personal injury case because he could not find another lawyer to take the case and the statute of limitations deadline was approaching. The hearing panel did not make a specific finding of fact or credibility on this conflicting testimony but implicitly resolved the conflicts against Ms. Prewitt by its finding that she violated Rule 1.7.
Mr. Tucker also testified that he did not know summary judgment motions had been filed because he “wasn‘t real familiar with the case.” He “just left it in [Ms. Prewitt‘s] hands pretty much because [he] thought she would take care of [him] since . . . [they] were at a good place at some times.” Mr. Tucker explained that he took Ms. Prewitt‘s advice on filing a personal injury lawsuit rather than a workers’ compensation claim because “[he] figured at the time [they] were . . . cool” because “[they] were having sex” and he thought she “loved [him] or liked [him].” Mr. Tucker thought Ms. Prewitt would have his best interest in mind, but in hindsight he “[didn‘t] know if that was true.”
Ms. Prewitt argues the Board points to no authority that continuing an existing sexual relationship upon commencement of the representation creates a conflict under Rule 1.7. She claims the Board‘s reliance on Vogel is misplaced. There, the lawyer‘s sexual relationship began after the commencement of the representation and was coerced by the lawyer, whose client was a criminal defendant who felt she had to acquiesce because the lawyer “held [her] future in his hands.” Vogel, 482 S.W.3d at 524-25 (alteration in original). Ms. Prewitt‘s sexual relationship with Mr. Tucker, on the other hand, was not coercive and existed before she agreed to represent him in the personal injury case. But nothing in Rule 1.7 or in the comments shows that the rule only applies to relationships that begin during the representation. Comment 12 cautions that “combining a professional relationship with any intimate personal relationship may raise concerns about conflict of interest.”
Ms. Prewitt also claims there was no concurrent conflict of interest when she first agreed to represent Mr. Tucker in his lawsuit, but only a “potential” conflict. Thus, she argues, there was no “significant risk” of a conflicting “personal interest” that would “materially limit[]” her responsibilities in the case.
Mr. Tucker similarly described the relationship as on-again-off-again, stating that he and Ms. Prewitt “just kept going back and forth” and that they sometimes would not see or talk to each other for months until they got back together. Mr. Tucker testified that they reestablished a relationship soon after Ms. Prewitt filed the complaint in his lawsuit, but it did not last long
There were also conflicts between Mr. Tucker and Ms. Prewitt directly related to the representation. According to Mr. Tucker, as the statute of limitations was approaching, Ms. Prewitt “got mad” at him because he wanted to file a claim for workers’ compensation instead of a lawsuit. Ms. Prewitt “didn‘t really like that,” and they argued about it. Mr. Tucker also described a conflict between them at one point in the litigation when he wanted to accept a $25,000 settlement offer, but Ms. Prewitt “wouldn‘t let him. She was angry because he just wanted to take the money, and she told Mr. Tucker “no“—it was “all or nothing.” Mr. Tucker admitted that $25,000 would not have covered his medical expenses, but he did not care because he “just wanted to stop” and “didn‘t want to see [Ms. Prewitt‘s] face no more.” In the end, Mr. Tucker stated that although he did not know Ms. Prewitt was moving to withdraw, he “knew she was not about to continue doing the case because one, she was mad at [him]; two, she was pregnant; three, she just was outright . . . in a mode where she hate[d] [him].” When asked if this was based on personal issues between them, Mr. Tucker said, “Yeah. I‘m 100 percent sure it was personal.”
Ms. Prewitt asserts that her and Mr. Tucker‘s personal interests at the outset of the representation were aligned. She wanted to get Mr. Tucker the greatest possible recovery so she could earn a good fee. Ms. Prewitt distinguishes this from the situation in Vogel, noting that there the lawyer‘s personal interest depended solely on his desire for a sexual relationship with the client. See Vogel, 482 S.W.3d at 524-29. But, as set forth above, besides her pecuniary interest in the case, Ms. Prewitt had a personal interest in her romantic relationship with Mr. Tucker that caused a conflict. See
There is ample evidence in the record of the on-and-off nature of Ms. Prewitt‘s relationship with Mr. Tucker both before and during the representation and of the disputes they had about the representation from the beginning. Thus, the evidence supports the hearing panel‘s finding that Ms. Prewitt had a concurrent conflict of interest that required disclosure to Mr. Tucker and his informed consent regardless of Ms. Prewitt‘s subjective belief that there was no conflict. See Beecher, 224 P.3d at 450 (stating that the lawyer‘s subjective belief there was no conflict was unreasonable); Robinson, 209 A.3d at 575 (holding that the lawyer violated Vermont Rule of Professional Conduct 1.7 even though he did not think his sexual relationship with his client presented a conflict of interest). The hearing panel‘s finding of a concurrent conflict of interest based on Ms. Prewitt‘s personal relationship with Mr. Tucker was not arbitrary or capricious and is supported by substantial and material evidence.
Ms. Prewitt claims she did not comply with Rule 1.7(b) because she did not believe there was a conflict. But when asked at the disciplinary hearing whether she would “agree that an attorney and a client having a sexual relationship could cause some personal conflicts that could affect representation,” Ms. Prewitt answered, “That‘s what the rules say, that that‘s not permitted.” Ms. Prewitt admitted she knew that a sexual relationship could cause conflicts in her representation of Mr. Tucker. Thus, she had an obligation under Rule 1.7(b) to explain that to Mr. Tucker and obtain in writing his informed consent to the representation. See Robinson, 209 A.3d at 575. The hearing panel‘s finding that her failure to do so violated Rule 1.7(b) was not arbitrary or capricious and is supported by substantial and material evidence.
Ms. Prewitt next asserts that she did not have to obtain a written waiver of the concurrent conflict of interest from Mr. Tucker because he was “just as aware of the status of his relationship with Ms. Prewitt as she was.” But this is not the standard. Under Rule 1.7(b), Ms. Prewitt could represent Mr. Tucker when there was a concurrent conflict of interest if she “reasonably believe[d] that [she would] be able to provide competent and diligent representation” and Mr. Tucker gave “informed consent, confirmed in writing.” For Mr. Tucker to give informed consent, Ms. Prewitt had to advise him of the “relevant circumstances and of the material and reasonably foreseeable ways that the conflict could have adverse effects” on his interests.23
The hearing panel also found that Ms. Prewitt violated Rule 1.7 by asserting a lien on the case, which put her own interests above Mr. Tucker‘s. Ms. Prewitt argues the Board did not show that she could not assert an attorney lien after withdrawal or that she asserted unreasonable time or billable amounts. The Board agrees that an attorney is allowed to assert a reasonable lien for work performed before the attorney withdraws from the case. But the Board presented evidence that the $121,750 lien Ms. Prewitt asserted was unreasonable; the lien hindered Mr. Tucker‘s ability to retain another attorney; and although she later reconsidered, Ms. Prewitt agreed to release the lien only after Mr. Tucker promised her half of his recovery in the personal injury lawsuit. Ms. Prewitt‘s actions regarding the lien establish that she put her financial interests ahead of Mr. Tucker‘s interests. See, e.g., Deseret First Fed. Credit Union v. Parkin, 339 P.3d 471, 476 (Utah Ct. App. 2014) (noting that “[a]n attorney . . . may not put his or her own interests ahead of the client‘s” and holding that a lawyer‘s “prioritization of his interest in his fee” over the client‘s desire to settle a case was a conflict of interest under Utah Rule of Professional Conduct 1.7(a)).24 The hearing panel‘s finding that Ms. Prewitt put her personal interest in asserting her lien ahead of Mr. Tucker‘s ability to find a new attorney was not arbitrary or capricious and is supported by substantial and material evidence.
Ms. Prewitt also challenges the hearing panel‘s finding that she violated Rule 1.7 by advising Mr. Tucker to file a personal injury lawsuit rather than a claim for workers’ compensation. Since we have already found that there is substantial and material evidence to support the other violations of Rule 1.7, the issue of Ms. Prewitt‘s advice to Mr. Tucker about a workers’ compensation claim is pretermitted.
Violation of Rule 1.16 (Declining or Terminating Representation)
The hearing panel determined that Ms. Prewitt violated Rule 1.1625 when she withdrew from Mr. Tucker‘s case because her withdrawal could not be accomplished without a material adverse effect on the client‘s interest. This finding was based on Ms. Prewitt‘s delay in seeking to withdraw; the fact that summary judgment motions were pending and Ms. Prewitt did not inform future counsel about them; and her assertion of a substantial lien that could deter another lawyer from taking the case. The hearing panel also noted that Ms. Prewitt did not provide Mr. Tucker with a copy of the motion to withdraw, that she failed to inform him of the possible impact her withdrawal would have on the case, and that the timing of her withdrawal failed to give Mr. Tucker adequate time to hire other counsel.
Ms. Prewitt argues the hearing panel erred in concluding that her withdrawal from the case could not be accomplished without material adverse effect on the client, and thus was a violation of Rule 1.16. See
Even if Ms. Prewitt had good cause under
The hearing panel‘s finding that Ms. Prewitt violated Rule 1.16 was not arbitrary or capricious and is supported by substantial and material evidence.
Violation of Rule 8.4 (Misconduct)
Finally, the hearing panel found that Ms. Prewitt violated Rule 8.4(a)27 based on her violation of other Rules of Professional Conduct. Because the hearing panel correctly found that Ms. Prewitt violated certain Rules of Professional Conduct, the panel‘s finding that she violated Rule 8.4(a) was not arbitrary or capricious and is supported by substantial and material evidence.
Challenge to Discipline Imposed
Ms. Prewitt contends that the discipline imposed by the hearing panel—a thirty-day suspension and, as a condition of her reinstatement, she engage a practice monitor for six months and complete ten additional hours of ethics continuing legal education—was arbitrary and capricious. She primarily argues no sanction should be imposed because she did not violate any Rules of Professional Conduct, and even if she had, the sanction was excessive.
The hearing panel relied on ABA Standards for Imposing Lawyer Sanctions 4.32 and 4.42 in imposing the thirty-day suspension. The hearing panel found that Ms. Prewitt‘s failure to recognize and disclose the conflict of interest and its potential consequences injured Mr. Tucker when she abruptly withdrew from the case, forcing him to go through a “very tumultuous” process to retain another lawyer. The hearing panel also found that Ms. Prewitt caused potential injury to Mr. Tucker when she failed to make proper expert disclosures and when she failed to advise him to file a claim for workers’ compensation. The hearing panel considered Ms. Prewitt‘s refusal to acknowledge the wrongfulness of her conduct as an aggravating factor and her inexperience in the practice of law as a mitigating factor.
Ms. Prewitt claims there was no proof that she knew her personal relationship with Mr. Tucker presented a concurrent conflict of interest. But there was proof. Ms. Prewitt testified that she was “familiar with the rules” and that the rules say that a sexual relationship with a client is “not permitted.” She also argues she “could hardly have been expected to know she was supposed to ‘disclose’ to Mr. Tucker the circumstances of their own relationship absent clearer guidance from the rules.” Rule 1.7 did not require Ms. Prewitt to disclose to Mr. Tucker the circumstances of their own relationship, but it did require her to tell him about the potential risks of her representing him and “reasonably available alternatives” to her representation.
Also, under Standard 4.42, “[s]uspension is generally appropriate when: (a) a lawyer knowingly fails to perform services for a client and causes injury or potential injury to a client; or (b) a lawyer engages in a pattern of neglect [sic] injury or potential injury to a client.” Ms. Prewitt contends the hearing panel erred when it found that her failure to provide appropriate expert disclosures caused potential injury to Mr. Tucker. She asserts that there was no evidence the outcome of Mr. Tucker‘s case potentially would have been different had his security expert—the only expert witness on the issue of liability—not been excluded. Proof that the outcome would have been different would be proof of actual injury. But the exclusion of the only expert witness on liability is proof of potential injury, no matter if it ultimately would have changed the circuit court‘s ruling on summary judgment.
Having considered Ms. Prewitt‘s conduct under these ABA Standards, we turn next to the aggravating and mitigating factors. We agree with the hearing panel‘s determination that Ms. Prewitt‘s refusal to admit the wrongfulness of her conduct is an aggravating factor and that her inexperience in the practice of law is a mitigating factor.
Finally, we review the facts and circumstances of this case with sanctions imposed in similar cases. In re Sitton, 618 S.W.3d 288, 305 (Tenn. 2021) (quoting In re Cope, 549 S.W.3d 71, 74 (Tenn. 2018)). The Board points to Mabry v. Board of Professional Responsibility, 458 S.W.3d 900 (Tenn. 2014), as an example of a comparable case in which an attorney violated Rules 1.3 (Diligence) and 8.4 (Misconduct) by failing to dismiss a claim that had become moot, resulting in a monetary sanction under
We find that Maddux v. Board of Professional Responsibility, 288 S.W.3d 340 (Tenn. 2009), is more comparable to this case. In Maddux, the Court held that a five-month suspension was the appropriate sanction for a lawyer who had violated Rules 1.1 (Diligence), 1.2 (Scope of Representation and Allocation of Authority Between Client and Lawyer), 1.3 (Diligence), 1.4 (Communication), 1.8 (Conflict of Interest: Current Clients; Specific Rules), and 8.4 (Misconduct). Id. at 347, 349. The lawyer‘s misconduct included failing to investigate his clients’ personal injury case, failing to communicate with them, and misrepresenting why their case was not progressing (after he failed to file the complaint within the statute of limitations) in a “continuing pattern of neglect and deception.” Id. at 349. The Court noted as aggravating factors the vulnerability of the elderly clients, the lawyer‘s substantial experience in the practice of law, and the lawyer‘s failure to timely respond to the Board complaint and the petition for discipline filed against him. Id. The lawyer‘s remorse was a mitigating factor. Id.
Ms. Prewitt‘s thirty-day suspension is the minimum suspension the hearing panel could have imposed. Under
The hearing panel also required Ms. Prewitt to engage a practice monitor. The record shows that Ms. Prewitt had a fundamental misunderstanding of the procedure for disclosing expert witnesses, and she apparently did not review the applicable Tennessee Rules of Civil Procedure. Even at the disciplinary hearing, Ms. Prewitt maintained that she did not know why only two of her experts had been excluded and did not recognize the deficiencies in the disclosures she had provided. Thus, it is appropriate to require a practice monitor to ensure Ms. Prewitt reviews and complies with the procedural requirements of the cases she handles. See Green v. Bd. of Pro. Resp., 567 S.W.3d 700, 717 (Tenn. 2019) (holding practice monitor requirement “entirely appropriate” given disciplined attorney‘s “history of failing to
Finally, Ms. Prewitt failed to recognize the concurrent conflict of interest presented by her on-again-off-again romantic relationship with Mr. Tucker and failed to consult the Rules of Professional Conduct even though she admitted to knowing that a sexual relationship with a client was “not permitted.” These failures show a need for Ms. Prewitt to undergo more training in legal ethics before she resumes the practice of law. See Sitton, 618 S.W.3d at 308 (affirming the requirement of nine hours of continuing legal education in ethics as a condition of reinstatement); Walwyn v. Bd. of Pro. Resp., 481 S.W.3d 151, 162 (Tenn. 2015) (upholding sanction that included six hours of continuing legal education on “client relations, the management of a law practice, and/or the Rules of Professional Conduct“). The discipline imposed on Ms. Prewitt by the hearing panel was not arbitrary or capricious and is supported by substantial and material evidence.
Challenge to Panel Member‘s Conflict of Interest
Ms. Prewitt objected to the Board‘s application for costs, asserting that the disciplinary hearing was improperly conducted. She claimed one of the panel members had a conflict of interest because he was employed by a law firm representing the defendant in an unrelated civil action in which Ms. Prewitt was the plaintiff.29 She provided no further details and did not identify the hearing panel member who allegedly had a conflict, but merely stated that she intended to raise this issue, among others, on appeal. The hearing panel entered an order giving Ms. Prewitt fourteen days to support the claimed conflict, to disclose when she learned about it, and to submit a brief with legal authorities supporting the relief she was requesting. The order also stated that, if Ms. Prewitt did not submit her filings within the prescribed fourteen days, the hearing panel would rule on the record before it. Ms. Prewitt failed to submit anything in response to the hearing panel‘s order.
The trial court held that Ms. Prewitt had waived this issue by not litigating it before the hearing panel. See Reguli, 489 S.W.3d at 426. Ms. Prewitt argues that
Challenge to Assessment of Costs
Finally, Ms. Prewitt asserts that the assessment of costs by the hearing panel and the trial court was “an illegal violation of public policy.” Ms. Prewitt did not make this argument to the hearing panel, and for that reason the trial court held that she had waived the issue on appeal. Ms. Prewitt contends the trial court erred because the Board did not assert in its brief in the trial court that Ms. Prewitt had waived this argument. Ms. Prewitt also contends this issue is an irregularity of procedure that
Ms. Prewitt further argues that even if the Court finds waiver of this issue in the trial court, she did not waive the issue in this Court because she raised in her brief that the assessment of costs both by the hearing panel and by the trial court was an “illegal violation of public policy.” Ms. Prewitt‘s response in opposition to the Board‘s application for costs in the trial court, unlike her response to the Board‘s application in the hearing panel, raises this argument. Since this is the first review of the trial court‘s order assessing costs,31 we will address the merits of Ms. Prewitt‘s claim that the assessment of costs against her violated public policy.
Ms. Prewitt complains that the rule permitting assessment of costs is one-sided because an attorney cannot recover costs or fees from the Board after successfully defending against disciplinary charges.32 She compares an attorney‘s agreement to be governed by the Tennessee Supreme Court Rules to an unconscionable contract in which the attorney has no meaningful choice. See Taylor v. Butler, 142 S.W.3d 277, 285 (Tenn. 2004) (“An unconscionable contract is one in which the provisions are so one-sided, in view of all the facts and circumstances, that the contracting party is denied any opportunity for meaningful choice.“). But this analogy does not apply.
Holding a license to practice law in Tennessee is a privilege. Hornbeck v. Bd. of Pro. Resp., 545 S.W.3d 386, 396 (Tenn. 2018) (quoting Sneed v. Bd. of Pro. Resp., 301 S.W.3d 603, 618 (Tenn. 2010)). “It is the duty of every recipient of that privilege to act at all times, both professionally and personally, in conformity with the standards imposed upon members of the bar as conditions for the privilege to practice law.” Hornbeck, 545 S.W.3d at 396 (quoting
CONCLUSION
We affirm the decision of the hearing panel and the judgment of the trial court that Ms. Prewitt violated Rules 1.1, 1.3, 1.7, 1.16, and 8.4(a) in her representation of Mr. Tucker. We hold that Ms. Prewitt waived the issue of an alleged conflict of interest of a hearing panel member and that the assessment of costs by both the hearing panel and the trial court was proper.
It is, therefore, ordered that Ms. Prewitt is suspended from the practice of law for thirty days, and as a condition of her reinstatement must complete ten additional hours of continuing legal education in ethics and engage a practice monitor for six months after her reinstatement. We tax the costs of this appeal to Candes Vonniest Prewitt, for which execution may issue if necessary.
SHARON G. LEE, JUSTICE
Notes
- the lawyer reasonably believes that the lawyer will be able to provide competent and diligent representation to each affected client;
- the representation is not prohibited by law;
- the representation does not involve the assertion of a claim by one client against another client represented by the lawyer in the same litigation or other proceeding before a tribunal; and
- each affected client gives informed consent, confirmed in writing.
The lawyer‘s own interests should not be permitted to have an adverse effect on representation of a client. For example, if the probity of a lawyer‘s own conduct in a transaction is in serious question, it may be difficult or impossible for the lawyer to give a client objective advice. Similarly, when a lawyer has discussions concerning possible employment with an opponent of the lawyer‘s client, or with a law firm representing the opponent, such discussions could materially limit the lawyer‘s representation of the client. In addition, a lawyer may not allow related business interests to affect representation, for example, by referring clients to an enterprise in which the lawyer has an undisclosed financial interest.