WILLIS BURDETTE HALL, Petitioner, v. COMMITTEE OF BAR EXAMINERS OF THE STATE BAR OF CALIFORNIA, Respondent.
L.A. No. 31071
Supreme Court of California
Nov. 27, 1979
25 Cal. 3d 730 | 602 P.2d 768 | 159 Cal. Rptr. 748
Goldin & Goldin and Martha Goldin for Petitioner.
OPINION
TOBRINER, J.—Willis Burdette Hall seeks review of the action of the Committee of Bar Examiners of the State Bar (Committee) denying him certification to this court for admission to the bar on the ground that he lacks the “good moral character” required for such admission. (
In reaching its decision to exclude Hall from the practice of law, the Committee relied heavily on its premise that Hall had failed to demonstrate adequate “remorse” for conduct in which he had engaged in managing an employment agency between 1972 and 1974 and for which he had been disciplined through a 20-day suspension of his employment agency license by the state Bureau of Employment Agencies (Bureau). Hall contends that the record in his case belies the Committee‘s conclusion that his so-called “lack of remorse” reflects an absence of respect for the judicial process or an unwillingness to conform his conduct to professional standards of ethics. Hall maintains, to the contrary, that his attitude throughout the Committee‘s proceedings simply reflects his honest and sincere disagreement with the prior administrative findings, a position that does not constitute a basis for the Committee‘s finding that he lacks “good moral character” or is likely to behave in an unethical manner if admitted to the bar. As we shall explain, under the circumstances of this case we believe that Hall‘s contentions are well taken and that the present record does not support the Committee‘s decision to deny Hall the opportunity to practice law in California.
The undisputed facts disclose that petitioner, who is 59 years old, graduated from Western State University College of Law in 1976, having passed the October 1975 professional responsibility examination. In December 1976 the Committee informed him that he had passed the
On April 21, 1978, the three-member subcommittee in charge of that investigation (Admission Rules, rule X, §§ 102(b), 108) conducted a hearing, at which Hall appeared with counsel and presented witnesses and documentary evidence. On July 26, 1978, the subcommittee filed a split decision, with two members concluding that Hall lacked the requisite good character for admission to the bar.
Hall submitted the case to the full Committee on the basis of the record before the subcommittee. On October 24, 1978, the Committee adopted the factual findings and conclusions of the subcommittee majority and denied certification. Three months later the Committee informed petitioner that he could request reconsideration in October 1979. This petition for review followed.
The Committee‘s decision to refuse Hall certification rested primarily on three findings:2 (1) In 1974 the Bureau disciplined Hall in his capacity as manager of an employment agency for four incidents occurring in
The applicant bears the burden of proving his good moral character. (Admission Rules, rule X, § 101(a).) Once the applicant has furnished enough evidence of good character to establish a prima facie case, the Committee may attempt to rebut that showing. (Konigsberg v. State Bar (1960) 366 U.S. 36, 41 [6 L.Ed.2d 105, 111, 81 S.Ct. 997].) We turn, then, to the independent examination of the record which we must undertake in reviewing a certification denial, to determine whether applicant Hall has made his prima facie showing and if so whether the record contains sufficient evidence of bad moral character to rebut that showing. (See Siegel v. Committee of Bar Examiners (1973) 10 Cal.3d 156, 160 [110 Cal.Rptr. 15, 514 P.2d 967]; Hallinan v. Committee of Bar Examiners (1966) 65 Cal.2d 447, 450-451 [55 Cal.Rptr. 228, 421 P.2d 76].)
The uncontradicted evidence of good moral character presented by Hall clearly establishes the requisite prima facie case. He had a distinguished Air Force record, receiving the Air Medal with five oak leaf clusters for his participation in thirty-five World War II combat missions; after the war, he served as an administrative officer, supervising two officers and twenty-five airmen and performing the duties of a squadron adjutant. During the Korean War he commanded a B-29. In 1953 he was honorably discharged as a first lieutenant.
Two witnesses presented by Hall at the subcommittee hearing testified that he possessed good moral character. Cecil A. Bulbeck, retired officer at the San Diego Trust and Savings Bank who had known Hall for approximately 10 years through Hall‘s transactions at the bank, described Hall as a “hardworking, industrious” person who “really tried his best” for clients and handled his financial affairs “very well.” Bulbeck also testified that he knew of nothing detrimental to Hall‘s honesty or character.
John E. Ballard, a private investigator who met Hall in 1972 when both began their studies at Western State Law School and had known him since as a friend, occasionally performing investigative services for Hall‘s agency, testified that he considered Hall “one of the most honest men” he had ever met. He found Hall a “very straightforward person,” who “always sticks up for what he believes,” even in a classroom situation in which “maybe everybody in the class—including the teacher—would not agree with the particular point or what Hall felt was the [legal issue] in the case.” Hall, Ballard stressed, “would always explain what he thought [the issue] was and support it with reasons why he felt it to be so, and . . . even when I think it worked to his detriment he never varied from saying what he felt was the truth in the matter.” Ballard also stated that he had never known Hall to “misrepresent things.” Both Bulbeck and Ballard recommended Hall for admission to the bar without qualification.
We conclude that this evidence sufficiently establishes Hall‘s prima facie case of good character. Indeed, the Committee did not conclude otherwise; as it informed Hall in April 1977, its investigation was confined to the disciplinary action taken by the Bureau for four counts of allegedly unprofessional conduct by Hall, arising from incidents occurring in 1972, 1973 and 1974. The Committee‘s ultimate decision to deny Hall admission, however, did not rest exclusively on the Bureau‘s
Hall challenges the Committee‘s interpretation of his stance regarding his prior conduct, arguing that evidence in the record corroborates his claim that his position reflected an honest disagreement with the substance of the Bureau‘s decision rather than a lack of remorse or respect for the law. To lay the groundwork for our evaluation of the Committee‘s conclusions, we summarize below the Bureau‘s findings6 and the evidence offered by Hall to demonstrate the good faith basis of his refusal to display remorse in response to those findings.
COUNT 1
Bureau‘s charges and findings. Count 1 involved Mark Bryant, who in 1972 obtained a job as dispatcher with the Tony Sampo Equipment Rental Company upon Hall‘s referral. Bryant paid Hall only part of the fee to which he was entitled; the Bureau alleged that in attempting to collect the remainder Hall made “in excess of ten telephone calls” to the company, urging Bryant‘s employer “to pressure” Bryant to pay him. This action, the Bureau found, violated section 9993, subdivision (a) of the
The Bureau also charged Hall with urging the company to discharge Bryant so that Hall could supply a replacement and collect an additional fee. Bryant was fired after six months, but the Bureau found no support for the charge that Hall influenced that decision.
Hall‘s evidence. Hall told the subcommittee that he had discussed Bryant‘s failure to pay his fee with Mel Clippinger, an employee at the equipment rental company who handled some personnel matters for Tony Sampo. Hall denied, however, asking Clippinger to help him collect the fee. Clippinger testified before the subcommittee that he did not recall receiving excessive or harrassing telephone calls from Hall. He was reminded and did not deny that he described the calls as a “nuisance” in the Bureau‘s 1974 proceedings; in context, however, that testimony appears to reflect Clippinger‘s irritation at Bryant for refus-
Clippinger also testified that he signed a declaration dated January 21, 1974, which provides some support for Hall‘s claim that the Bureau‘s proceedings were tainted by the bias of its investigator Robert Warner (since deceased).8 Warner prepared Clippinger‘s affidavit and asked him to sign it on February 14, 1973. In his subsequent declaration, Clippinger stated that before signing he told Warner several of the statements in the affidavit were not true, but Warner “assured me that was not important and said that the substance of the affidavit was true and I should go ahead and sign it.”
COUNT 2
Bureau‘s charges and findings. The Bureau alleged that Hall failed to make a refund to which his client Michael Rowray was entitled un-
The Bureau‘s findings regarding count 2 concluded that, “by way of mitigation” regarding Hall‘s delay in making the refund, Rowray‘s conduct on the job was in part responsible for his failure to receive a raise, i.e., it was not entirely clear that he left his job for just cause.
Hall‘s evidence. Hall explained to the subcommittee that he delayed in making the refund to Rowray because he believed Rowray left his job without just cause10 and therefore was not entitled to a refund under
Since the subcommittee hearing, Hall has determined the amount due Rowray, located Rowray (who had moved to another part of the state), and made the refund.
COUNT 3
Bureau‘s charges and findings. The Bureau alleged that Hall improperly solicited a fee from his client Mercedes Ang after she accepted a position in June 1973 for which Hall did not have a job order. Ang, the Bureau found, was referred by Hall to the accounting firm of
After Ang began work at U.S. Financial, the Bureau alleged, Hall telephoned her at her home and told her she owed him a fee for obtaining that job for her; he also made “numerous calls” to U.S. Financial and the state employment office claiming that she owed him a fee. Describing these telephone calls as “unreasonable and improper,” the Bureau found Hall‘s conduct unprofessional in light of statutes requiring ethical account collection methods and declaring an attempted violation of professional rules grounds for discipline. (
Hall‘s evidence. Hall testified to the subcommittee that he called Ang only to ascertain whether or not she had obtained her job at U.S. Financial as a consequence of his referring her to Touche Ross,12 and denied making numerous calls to U.S. Financial demanding a fee. Three witnesses corroborated this testimony. All three witnesses, David L. Elliott, Theodore Bank, and Harold L. Turner, were employed by U.S. Financial at the time of the Ang incident and had been identified as the recipients of Hall‘s telephone calls by the company‘s personnel manager, Kenneth Matson, at the 1974 Bureau proceedings.
Bank, who was corporate accounting manager at U.S. Financial, recalled Ang as a company employee and testified that he had “no recollection of ever speaking to Mr. Hall until he subpoenaed me for an action a year ago,” i.e., in 1977. In response to a specific question regarding Matson‘s testimony that Bank relayed information about Hall to him, Bank reiterated that he had never spoken to Hall and therefore could not have given any such information to Matson.
Turner, the company‘s controller at the time in question, also stated that he had received no calls from Hall and denied that he had ever notified Matson of a call from Hall concerning a placement fee for Ang. His only recollection concerning Ang was that he received a call from Matson to the effect that an agency had requested a fee for referring her.
COUNT 4
Bureau‘s charges and findings. Hall referred Cyril Olbrich to fill a position as an engineer, with the fee to be paid by employer Century Design. Olbrich was hired; before he started work and thereafter; the Bureau found, Hall made several calls to Century Design regarding payment, and on one occasion used “subterfuge and a false name” to gain access to Olbrich in an attempt to expedite payment. The Bureau also alleged that Hall sought to make Olbrich the guarantor of the fee due Hall from Century Design by having Olbrich sign a copy of the referral contract. Concluding that Hall‘s behavior constituted “overreaching and unprofessional conduct (under
Hall testified that he told Olbrich he would mail him the appropriate papers and did so, but Olbrich never returned a signed copy. These papers, Hall explained, were not a copy of his contract with the company; he had never had a written contract with Century Design, and the papers he asked Olbrich to sign reflected their separate agreement that the referral would be on an applicant fee basis until Hall obtained confirmation of Century‘s intention to pay.13 Hall ultimately received payment from Century; he never demanded a fee from Olbrich.
Hall also testified that he made six to eight calls to Century Design, some in regard to the delay in paying his fee14 and some in regard to changes in his standard fee schedule which the company wished to negotiate. Hall did not deny that on one occasion, before the company had paid the fee, he used a ruse to reach Olbrich by telephone at the company.15
In surveying the Bureau‘s conclusions and Hall‘s rebuttal evidence, we do not purport, of course, to redetermine Hall‘s actual guilt regarding the alleged prior misdeeds. That question was resolved by the Bureau and its decision is now final. We offer the foregoing summary,
The Committee, as we have already noted, did not attempt to argue that the four incidents considered by the Bureau in its 1974 proceedings would suffice, as such, to justify a denial of certification.16 Our review of the record confirms, as detailed below, that those incidents alone would not compel a refusal to admit Hall.
The Bureau itself had certain reservations as to the extent of Hall‘s misconduct, which were expressly noted in its findings; further, in shaping its disciplinary action, the Bureau chose not to revoke Hall‘s license but merely suspended it for a total of five days with regard to each separate count and placed Hall on probation for a year. We are also impressed by the fact that six years have elapsed since the last of the four incidents took place, during which time no complaints of any kind have been lodged against Hall with the Bureau or any other agency: even if Hall did behave in the manner described in the Bureau‘s findings, then the record contains no evidence that he has continued to engage in such conduct.
Finally, the misconduct described by the Bureau appears considerably less serious than the ethical breaches which have confronted us in cases involving other applicants refused certification by the Committee on grounds of wrongful prior conduct. As a summary of these decisions will reveal, we scrutinize the record closely in such cases and resolve each on the basis of its particular facts.
Thus, we have not hesitated to deny admission to an applicant who committed numerous fraudulent acts and repeatedly perjured himself in various proceedings. Similarly, we have refused to certify an attorney applicant who knowingly made false statements and omitted requested information in applying to take the attorney‘s exam. (Bernstein v. Committee of Bar Examiners (1968) 69 Cal.2d 90 [70 Cal.Rptr. 106, 443 P.2d 570]; Greene v. Committee of Bar Examiners (1971) 4 Cal.3d 189 [93 Cal.Rptr. 24, 480 P.2d 976].)
On the other hand, we have been more sympathetic toward applicants formerly subjected to discipline or punishment when the record disclosed convincing evidence of mitigating circumstances. We have ordered certification of an applicant whose record showed numerous ar-
Most recently, we rejected the Committee‘s finding that an applicant “lied” to it by giving “evasive answers” and “incredible and unbelievable ‘explanations‘” regarding his statements in political speeches. (Siegel, supra, 10 Cal.3d 156, fn. 2 at pp. 159-160.) The Committee, we held, may conclude that an applicant lied in testifying as to the meaning of his previous utterances only where the Committee finds “beyond any reasonable doubt” that the applicant‘s version is both objectively false and advanced with an intent to deceive the Committee. (10 Cal.3d at pp. 178-179, (italics in original.)
In accordance with these precedents, the Bureau‘s minimal disciplinary action, and the lack of evidence that Hall has behaved improperly since that action, the Committee correctly assumed that it could not rely solely on the Bureau‘s findings as a basis for denying Hall admission. The Committee determined, however, that when those findings were buttressed with its conclusions alleging that Hall failed to display the remorse demanded of an applicant in his position and the candor expected of all applicants, that record as a whole mandated a denial of certification. For reasons touched on above and explored below, we reject that decision.
We find, first, that the evidence introduced by Hall at the subcommittee hearing effectively establishes that the attitude which the Committee perceived as a “lack of remorse” reflected his good faith belief in his innocence as to the Bureau‘s charges rather than any absence of respect for the judicial process. Nothing in the record suggests that Hall did not accept the binding legal effect of the Bureau‘s determina-
In light of these circumstances, Hall‘s consistent refusal to retract his claims of innocence and make a showing of repentance appears to reinforce rather than undercut his showing of good character. Precisely because the Committee made clear that Hall‘s chances for admission would be improved if he demonstrated remorse,18 we find his refusal to do so indicative of good character rather than the contrary: Hall refused, in effect, to become the fraudulent penitent for his own advantage.
An individual‘s courageous adherence to his beliefs, in the face of a judicial or quasi-judicial decision attacking their soundness, may prove his fitness to practice law rather than the contrary. We therefore ques-
The Committee also attempted to reinforce its decision to deny certification by observing that Hall displayed a “lack of candor,” an assessment in which only two members of the subcommittee had concurred.20 Our examination of the record convinces us that, on the contrary, Hall possesses the requisite candor and honesty for admission.
In reaching that finding, we do not rely on our analysis of any isolated portion of the record. We are persuaded, rather, by the cumulative effect of a number of valid indicators, such as Hall‘s insistence on his innocence despite the subcommittee‘s obviously unfavorable reaction; the testimony of his character witnesses, whose credibility has not been questioned; the painstaking throughness with which he completed his application for admission, detailing every aspect of his past behavior which he must have known might give the Committee pause for thought; and his general willingness to discuss openly with the subcommittee members the incidents on which they examined him, including matters other than those he had been informed would be raised.
It is ordered that the Committee of Bar Examiners certify petitioner Willis Burdette Hall to this court as one qualified to be admitted to practice law.
Bird, C. J., Mosk, J., Manuel, J., and Newman, J., concurred.
RICHARDSON, J.—I concur in the result because, although the question is close, the totality of evidence does not so clearly indicate petitioner‘s lack of “good moral character” as to deny him admission to the Bar. In such cases I believe that all reasonable doubts should be resolved in favor of the applicant.
CLARK, J., Dissenting.—I would affirm the committee‘s decision denying petitioner‘s application to be certified for admission to practice law.
