133 N.H. 685 | N.H. | 1990
The Committee on Professional Conduct (Committee) requests that Attorney Gordon B. Flint, Jr., be suspended from practicing law for a period of twelve months. See Sup. Ct. R. 37(13). By order issued on September 7, 1990, in this proceeding, respondent was suspended from the practice of law pending issuance of this opinion; he was also suspended on June 15,1989, from sitting as Special Justice of the Newport District Court during the pendency of a previous disciplinary suspension, and the judicial suspension is still in effect.
In January, 1990, the Committee filed a petition requesting that the respondent be suspended for a period of six months. The petition alleged that respondent had violated the Rules of Professional Conduct by failing to handle client matters adequately and by failing to respond to Committee requests. In March, the Committee moved to amend its petition, requesting an additional six-months suspension because of respondent’s additional violations of the rules in failing to respond to Committee requests.
The petition was referred to the Honorable Arthur E. Bean, Jr., as referee, to conduct a hearing and file a written report including findings of fact and rulings of law concerning the above complaints. See Sup. Ct. R. 37(13)(e). After hearing, the referee filed his report on March 31, 1990, recommending that the Committee’s petition be granted.
In the period 1985-89, respondent neglectfully represented another client in several matters. The first matter was a personal injury case. After many attempts by the client to check on the status of the case, respondent assured his client that the case was going well. However, over the course of the following two years, respondent did not initiate the civil suit for the personal injury claim. The second matter was a workers’ compensation claim in which respondent neither contacted any of the witnesses nor obtained any of the medical records regarding the claim. The client contacted respondent on several occasions regarding his worsening physical, mental, and financial condition and his urgent need for the resolution of the claim. Respondent never pursued the claim, did not contact his client, and did not return the client’s telephone calls. Respondent paid out of his own funds several of his client’s mortgage payments. Respondent also assured his client’s bank that funds would be realized from the workers’ compensation claim. As a result of respondent’s failure to pursue the workers’ compensation claim, his client suffered great hardship in not receiving any benefits. Ultimately, the client and his family obtained welfare benefits.
The final four complaints filed by the Committee involve Attorney Flint’s failure in 1989-90 to respond to notices of complaints sent to him by the Committee. Respondent admits that he failed to respond within the time limits set by the rules.
With respect to the complaints involving the respondent’s representation of the two above-mentioned clients and his conduct with respect to the Committee, the referee found that Flint had violated the following Rules of Professional Conduct: 1.1(a) (failure to provide clients with competent representation); 1.1(b)(4) (failure to
Respondent has a long history of failing to cooperate with the Committee, as well as this court. We previously suspended him for three months on June 15,1989, for failure to respond to the Committee’s Petition for Public Censure. See Supreme Court Case No. LD-89-001. Prior to that suspension, respondent had also failed to respond to another committee notice of complaint. A hearing was ultimately held, and respondent was reprimanded by the Committee for his failure to cooperate.
The sole issue before us at this time is the extent of the discipline to be imposed upon Attorney Flint. The Committee recommends that he be suspended from the practice of law for twelve months and that he be ordered to reimburse the Committee for the costs of prosecuting the case against him, as provided by Supreme Court Rule 37(16). At the same time, the Committee acknowledges in its brief that “a twelve month suspension may be too lenient” in the light of additional facts disclosed before the referee. The respondent urges that his suspension be not greater than six months, and that he not be liable for the costs of investigating and prosecuting these matters.
For the following reasons, we conclude that the respondent, Gordon B. Flint, Jr., should be disbarred. This court is empowered inherently and by statute, RSA 311:8, “to supervise the conduct of attorneys for the protection of the public and the maintenance of public confidence in the bar as a whole.” Mussman’s Case, 111 N.H. 402, 411, 286 A.2d 614, 620 (1971); see Barnard’s Case, 101 N.H. 33, 34, 131 A.2d 630, 630-31 (1957). The power to remove attorneys from office is necessary not as a vehicle for inflicting punishment, but for the protection of the public from further acts of misconduct and to protect the integrity of the legal profession. Woic
Attorneys in this State have the obligation to act at all times “in conformity with the standards imposed upon members of the bar as conditions for the right to practice law.” Sup. Ct. R. 37(l)(b). See Wehringer’s Case supra. The Rules of Professional Conduct provide attorneys with ethical standards. Wehringer’s Case supra.
The referee found, and the respondent admits, that he engaged in a repeated pattern of conduct involving inattention to and neglect in handling client matters. The respondent repeatedly failed to respond to clients’ inquiries and failed to apprise his clients honestly of the status of their cases. In short, he repeatedly lied to his clients. He failed to provide proper representation to his clients, and in an effort to prevent his clients from discovering his inattention, he misled them into believing that their matters were being appropriately handled. As a result of his conduct, his clients suffered severe detriment.
In addition to his mishandling of client cases and his pattern of dishonesty towards his clients and parties involved with his clients, respondent on four occasions did not cooperate with the Committee on Professional Conduct in responding to its requests. Respondent’s conduct, coupled with his past history of a suspension and lack of cooperation with the Committee, does not meet the professional standards required to be met by the members of the bar of this State. See Eshleman’s Case, 126 N.H. at 4, 489 A.2d at 573; Donovan’s Case, 108 N.H. at 39, 226 A.2d at 783.
The gravity of unprofessional conduct is not determined solely by the number of rules broken or by the particular rules violated, but is determined largely with reference to the attorney’s behavior. Wehringer’s Case, 130 N.H. at 718, 547 A.2d at 258. This case is unlike most of our disbarment cases in that it does not involve the breach of fiduciary duty or criminal conduct through misappropriation or stealing of money. The case does, however, involve the most
We must be sensitive, of course, to mitigating factors in determining the discipline to be imposed. However, mitigating factors do not necessarily preclude disbarment. Eshleman’s Case, 126 N.H. at 6, 489 A.2d at 574.
In his brief and oral argument, respondent urges that in determining sanctions we should conclude that his misconduct is not serious enough to warrant a twelve-months suspension. To support his contention that a shorter suspension is appropriate, respondent relies on previous cases in which short suspensions were ordered as a sanction for attorney misconduct. Respondent also asserts that he has already suffered from the fact that the publicity surrounding these matters has been magnified by his prior association with John Fairbanks and by his judgeship in the Newport District Court, and that this fact sets this proceeding apart from other disciplinary actions.
It is our opinion that these factors do not mitigate the required discipline for the respondent’s misconduct. As found by the referee, the respondent engaged in egregious conduct involving deceit and misrepresentation toward his clients and institutions involved with his clients. During and after his June 15, 1989 suspension, the respondent again failed to respond to the Committee’s requests on several occasions. We are not persuaded by respondent’s argument in favor of only a six-months suspension, based on previous cases in which short suspensions were ordered. Respondent’s serious misconduct involving clients, compounded by his continual lack of cooperation with the Committee, warrants disbarment. Neither does the equal protection doctrine, as respondent argues, compel us to impose the same sanctions in all cases involving similar misconduct. Bourdon’s Case, 132 N.H. 365, 374, 565 A.2d 1052, 1058 (1989) (citing State v. Lemire, 115 N.H. 526, 534, 345 A.2d 906, 912 (1975)).
So ordered.