In this lawyer disciplinary proceeding, a trial panel of the Disciplinary Board concluded that the accused had violated DR 7-106(A) (prohibiting disregard of rulings of tribunal) and DR 1-102(A)(4) (prohibiting conduct prejudicial to administration of justice) by failing to comply with a document production order in 1993 and by failing to comply with a child support order in 1997. The trial panel also concluded that the accused violated DR 1-103(C) (requiring full and truthful responses to inquiries during disciplinary investigation) by failing to reply to letters from the Oregon State Bar (Bar) and the Local Professional Responsibility Committee (LPRC). The panel imposed a two-year suspension.
De novo review by this court is automatic. ORS 9.536(2), (3). The Bar has the burden of establishing alleged misconduct by clear and convincing evidence. BR 5.2. We hold that the Bar has established that the accused violated DR 7-106(A), DR 1-102(A)(4), and DR 1-103(0 and that the appropriate sanction is a two-year suspension.
We find the following facts. In 1993, a circuit court held the accused in contempt for failing to produce documents that the accused’s wife had requested in connection with marital separation proceedings. In 1997, another circuit court held the accused in contempt for failing to make child support payments. Despite the accused’s assertion that he could not pay the required amount, the court found that the accused’s nonpayment was willful, because he was not making the effort to earn the income that he was capable of earning. 1
In November 1996, the accused’s former wife filed a complaint against the accused with the Bar. In December 1996, the Bar sent the accused two letters notifying him of the charges against him and requesting a response. The Bar *234 sent those letters to the address for the accused on file with the Bar. The Bar received no response. In January 1997, the Bar sent the accused a third letter, by both certified and first-class mail. No one claimed the certified letter, and no one returned the first-class letter.
In April 1997, the Multnomah County LPRC investigated the matter. The LPRC attempted to contact the accused by mailing a letter to the address on file with the Bar. The postal service returned that letter marked “moved, left no address.” The LPRC next sent a letter to the accused’s parents’ address, but received no response. The Bar also sent a letter to the accused’s parents’ address in May 1997 and received no reply. The LPRC sent a certified and a first-class letter to the accused’s parents’ house in May 1997, and the accused’s mother accepted the certified letter. The accused eventually contacted the LPRC, which subpoenaed and deposed him in July 1997. The accused never contacted the Bar to discuss the alleged violations. He claims that he did not receive any of the letters that the Bar and the LPRC had sent to the address on file with the Bar, because he received mail only at his parents’ address after November 1996. The accused admits, however, that he continued to live at the address on file with the Bar and that he did not notify the Bar of a change of address in November 1996.
The Bar alleged two causes of complaint against the accused. The first alleged that the accused violated DR 7-106(A) and DR 1-102(A)(4) by failing to comply with court orders, leading to the 1993 and 1997 contempt orders. The second alleged that the accused violated DR 1-103(C) by failing to cooperate with the Bar and the LPRC during the disciplinary inquiry. As noted, the trial panel found that the accused had committed each alleged violation and suspended the accused from the practice of law for two years.
DR 7-106(A) provides that “[a] lawyer shall not disregard * * * a ruling of a tribunal made in the course of a proceeding but the lawyer may take appropriate steps in good faith to test the validity of such * * * ruling.” The Bar alleges that, under principles of issue preclusion, the 1993 and 1997 *235 contempt orders conclusively establish that the accused disregarded the rulings of two trial courts and, therefore, conclusively establish that the accused twice violated DR 7-106(A).
The accused disputes the validity of the 1993 and 1997 orders. We agree with the Bar and the trial panel, however, that that argument is unavailing in this proceeding. The accused had the opportunity to appeal those orders after the court entered them, and he declined to do so.
The doctrine of issue preclusion prevents the accused from challenging the validity of the contempt orders in this proceeding.
See Nelson v. Emerald People’s Utility Dist.,
A violation of DR 7-106(A) occurs when a lawyer disregards a tribunal’s ruling made in the course of a proceeding, unless the lawyer’s action amounts to “appropriate steps in good faith to test the validity” of the ruling. Here, the 1993 and 1997 contempt orders establish that the accused willfully violated court rulings on two occasions. The accused argues that his violations were not willful, but he does not assert that his noncompliance constituted a good faith attempt to *236 test the validity of the orders. We conclude that the Bar has met its burden of proving by clear and convincing evidence that the accused violated DR 1-706(A).
DR 1-102(A)(4) provides that it is professional misconduct for a lawyer to “[ejngage in conduct that is prejudicial to the administration of justice.” Prejudice to the administration of justice can result from multiple acts that cause some harm or a single act that causes substantial harm.
In re Haws,
The Bar argues that the accused’s willful misconduct, leading to the 1993 and 1997 contempt orders, prejudiced the administration of justice by requiring the accused’s former wife, the district attorney, and the court system to expend substantial resources addressing the accused’s conduct. The accused’s failure to comply with the child support order impaired his former wife’s substantive right to support and, the Bar alleges, forced her to borrow money to support their children. The accused asserts that he did not harm his former wife, because he paid her attorney fees associated with the 1993 contempt order proceedings, and because she wrongfully borrowed money from the children’s trust fund to support herself and the children.
The accused’s contentions do not negate the prejudice and harm that his conduct caused. The court system and the district attorney spent considerable time and resources dealing with the accused’s noncompliance. We conclude that the accused’s conduct can be viewed either as multiple acts that caused some harm or two individual acts that each caused substantial harm. The Bar has proved that the accused’s conduct prejudiced the administration of justice. Therefore, we conclude that, by violating the courts’ orders, the accused violated DR 1-102(A)(4).
DR 1-103(C) provides:
“A lawyer who is the subject of a disciplinary investigation shall respond fully and truthfully to inquiries from and *237 comply with reasonable requests of a tribunal or other authority empowered to investigate or act upon the conduct of lawyers, subject only to the exercise of any applicable right or privilege.”
DR 1-103(C) requires full cooperation from a lawyer during a disciplinary investigation.
In re Schaffner,
The Bar asserts that the accused’s failure to respond to letters from the Bar and the LPRC during late 1996 and early 1997 violated DR 1-103(C). As noted, the accused contends that he never received those letters. The trial panel did not believe that the accused’s unforwarded mail simply accumulated in his unopened mailbox. The accused admits that he continued living at the address to which the Bar had addressed the letters and that he failed to notify the Bar of his new mailing address in November 1996. The accused cannot alter his mailing address simply by ceasing to check his mailbox. We are persuaded that the accused did receive the Bar’s and the LPRC’s letters at his residence. Once he received the letters, DR 1-103(C) obligated him to respond.
See Haws,
The accused also asserts that he cooperated with the LPRC by contacting its representative, requesting a subpoena, and attending a deposition. The accused did not remedy his failure to respond to the Bar’s or the LPRC’s initial letters by eventually cooperating with the LPRC.
See In re Vaile,
To determine the appropriate sanction in a disciplinary proceeding, we refer to the American Bar Association’s
Standards for Imposing Lawyer Sanctions
(1991) (amended 1992) (ABA Standards) and Oregon case law for guidance.
In
*238
re
Stauffer,
Here, the accused violated his duties to the legal system, ABA Standards 6.1 and 6.2, and to the legal profession, ABA Standard 7.0. The evidence establishes that the accused acted with knowledge in committing the violations.
See
ABA Standards at 7 (defining “knowledge” as “conscious awareness of the nature or attendant circumstances of the conduct but without the conscious objective or purpose to accomplish a particular result”);
In re Crist,
Several aggravating factors are present. The accused received two public reprimands for mishandling client funds and neglecting a legal matter, and, therefore, has prior disciplinary offenses. ABA Standard 9.22(a). He has shown a pattern of misconduct. ABA Standard 9.22(c). He has committed multiple offenses. ABA Standard 9.22(d). He has refused to acknowledge the wrongful nature of his conduct. ABA Standard 9.22(g). Finally, he harmed vulnerable victims — his former wife and children. 2 ABA Standard 9.22(h). There are no mitigating factors.
*239
We next consider our case law. In
Crist,
Given the accused’s pattern of failing to comply with his legal obligations and the harm that his conduct caused to his family and to the legal system, we conclude that a two-year suspension is appropriate.
The accused is suspended from the practice of law for two years, commencing 60 days from the date of filing of this decision.
Notes
As a result of that finding, the court sentenced the accused to 90 days in jail and three years’ probation. In June 1998, after the Bar filed its complaint in this proceeding, the court revoked the accused’s probation, finding that the accused had not made his support payments or complied with the other conditions of his probation. The accused has appealed the court’s decision to revoke his probation, but that appeal has no bearing on this court’s decision in this disciplinary proceeding.
The record demonstrates that the accused’s refusal to pay child support in 1994, contrary to the court’s order, forced his former wife to support herself and *239 their children by borrowing money from her friends, family, and church, and by continuing to work, against her doctor’s orders, while she suffered from breast cancer.
