In this lаwyer disciplinary proceeding, the Oregon State Bar (Bar) filed an amended complaint against William M. Parker (the accused), charging him with violating the Code of Professional Responsibility Disciplinary Rule (DR) 1-102(A)(3) (prohibiting conduct involving dishonesty, fraud, deceit, or misrepresentation), DR 1-102(A)(4) (prohibiting conduct prejudicial to administration of justice), DR 1-103(C) (four counts) (requiring cooperation with disciplinary investigation), DR 2-110(A) (prohibiting withdrawal unless lаwyer takes steps to avoid foreseeable prejudice to client), DR 6-101(B) (four counts) (prohibiting neglect of legal matter), DR 7-101(A)(2) (three counts) (prohibiting failure to carry out contract of employment), and DR 9-101(0(4) (requiring prompt payment or delivery of client’s property or money).
The accused filed no answer and made no other appearance. A trial panel of the Disciplinary Board entered an order of default. Accordingly, we deem the Bar’s allegations to be true.
See In re Bourcier,
Following entry of the order of default, the two-member trial panel held a hearing on the
At the outset, we note that the accused acknowledges that, with one exception, he committed the charged violations. 2 We therefore limit our recitation of the facts to those that provide a context for our determination of the appropriate sanction.
The accused’s misconduct arose out of his neglect of his law practice between February 1997 and May 1998. Due to his involvement in an out-of-state business, the acсused was absent from his Portland law office for days and weeks at a time. He repeatedly failed to respond to his clients’ messages and failed to take appropriate action on their behalves. For example, the accused failed to prepare for trial and to communicate with his client in a case in which his client was the plaintiff. Ultimately, the accused agreed to dismiss the case with prejudice without consulting his client. In another case, a client had retained the accused to pursue a personal injury claim on behalf of the client’s 12-year-old daughter. Because the accused failed actively to pursue her case, that client eventually terminated the accused’s employment, after experiencing mental anguish. She then retained a new lawyer and asked fоr her client file, but the accused did not respond to that request. In a third case, the accused’s client settled with the opposing party while the case was pending before the Court of Appeals. The accused, however, failed to execute settlement documents that the opposing lawyer sent to him for signature. Ultimately, the opposing lawyer had to procure an order from the Court of Appeals requiring the accused to execute the documents. The order provided that, if the accused failed to execute the documents, the judgment would be vacated and the appeal dismissed. The accused failed to comply with that order, and the Court of Appeals instructed the circuit court to dismiss the complaint. Finally, the accused failed to respond to several requests from аnother client that he modify a trust instrument that he had prepared for the client, for which trust the accused served as trustee. Eventually, that client asked that the accused withdraw as trustee. The accused did so, but only after considerable unnecessary correspondence.
By early 1998, the accused’s office telephone was disconnected, and, because the accused had failed to pay his office rent, his landlord instituted a successful forcible entry and detainer action. The accused never notified his clients of a forwarding address or new telephone number. In June 1998, the Professional Liability Fund (PLF) took possession of all the accused’s files. Four complaints were filed against the accused with the Bar regarding his conduct, and the accused failed to respond to most of the Bar’s resulting inquiries. With respect to two of the four complaints, the accused eventually responded. In one of those responses, the accused misrepresented facts to the Bar. When asked for additional information regarding
In determining the appropriate sanction for ethical misconduct, this court looks both to the American Bar Association’s
Standards for Imposing Lawyer Sanctions
(1991) (amended 1992) (ABA Standards) and to this court’s case law.
In re Martin,
The accused violated several ethical duties. First, he violated his duty of diligence to his clients when he repeatedly neglected legal matters that his clients had entrusted to him. ABA Standard 4.4. That duty requires that a lawyer “act with reasonable diligence and promptness in representing a client.” Id. Second, the accused violated his duty to the public to maintain his personal-integrity when he misrepresented facts to the Bar in his responses to the Bar’s inquiries. ABA Standard 5.1. That duty prohibits a lawyer from engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation. Finally, the accused violated his duty to the profession when he failed to withdraw promptly and properly from representation. ABA Standard 7.0.
As to the accused’s mental state, the Bar argues that the accused acted either intentionally or knowingly. The accused argues that he acted negligently. “Intent” is “the conscious objective or purpose to accomplish a particular result.” ABA Standards at 7. “Knowledge” is “the conscious awareness of the nature or attendant circumstances of the conduct but without the conscious objective or purpose to accomplish a particular result.” Id. “Negligence” is
“the failure of a lawyer to heed a substantial risk that circumstances exist or that a result will follow, which failure is a deviation from the standard of care that а reasonable lawyer would exercise in the situation.”
Id.
We conclude that the accused acted knowingly. The record shows that the accused’s secretary in his Portland office sent him all his mail and telephone messages daily. She repeatedly reminded him of his obligations. The accused easily could have informed his clients that he was unable to represent them and that they should retain other counsеl. Additionally, the accused failed to respond to inquiries from the Bar, notwithstanding numerous requests for information sent to the accused’s office and, on discovery of his out-of-state address, to that address. Those facts and the reasonable inferences drawn from them lead us to conclude that the accused was fully aware of his obligations to his clients and to the Bar, and that he knowingly failed to take apрropriate action.
See Bourcier II,
We turn to the injury that the accused’s misconduct caused. First, by agreeing to dismiss with prejudice a case without consulting his client, the accused caused that client actual harm, because the client was precluded from pursuing his claim against the other рarty. Second, the accused caused
actual injury to the client whose personal injury case the accused failed to pursue actively. Medical treatment for that client’s daughter and the resolution of the claim were delayed. Third, the accused caused actual injury to the legal system when he failed to respond to orders of the Court of Appeals. Because the accused fаiled to execute timely the settlement documents, the court unnecessarily expended significant time and resources. Finally, the accused caused actual injury to the legal profession and the public when he failed to respond to the requests for information from the Bar and the LPRC.
See In re Schaffner,
In light of the duties violated and the mental state of the accused, we determine that the accused’s misconduct implicates several ABA Standards. ABA Standard 4.41(c) provides:
“Disbarment is generally appropriate when:
(i:>, -tj •>
“(c) a lawyer engages in a pattern of neglect with respect to client matters and causes serious or potentially serious injury to a client.”
ABA Standard 4.42 provides:
“Suspension is generally appropriate when:
“(a) a lawyer knowingly fails to perform services for a client and causes injury or рotential injury to a client, or
“(b) a lawyer engages in a pattern of neglect and causes injury or potential injury to a client.”
Thus, the ABA Standards suggest in the abstract that disbarment could be appropriate under the facts of this proceeding. But this proceeding is not considered in the abstract; we also consider this court’s case law in determining the proper sanction. Before looking to our case law, however, we turn to the fourth factor, viz., aggravating and mitigating circumstances.
The record reveals several aggravating factors, including a pattern of misconduct, multiple offenses over a substantial period of time, and a failure to respond to or cooperate with the Bar’s investigations. ABA Standards 9.22(c), (d), and (e). The accused also has substantial experience in the practice of law, having been admitted to the Bar in 1974. ABA Standаrd 9.22(i). In mitigation, there is no indication in the record of prior discipline. 3 ABA Standard 9.32(a). Additionally, the accused expresses what appears to be genuine remorse over his conduct. ABA Standard 9.32(1).
We next consider this court’s case law. In
Schaffner 11,
this court imposed a two-year suspension on a lawyer who neglected a client matter, failed to deliver client property, and failed to respond to the Bar’s inquiries.
Schaffner II,
In
In re Sousa,
In
In re Bourcier,
Finally, in
In re Recker,
Schaffner II, Sousa, Bourcier I,
and
Recker
involved conduct and circumstances similar to the present proceeding: All involved neglect of client matters and failure to cooperate with the Bar.
4
This proceeding, however, involves conduct more serious — quantitatively and qualitatively — than
Schaffner II, Bourcier I,
and
Recker.
But, the misconduct here is not as severe as the conduct in
Sousa,
as the lawyer in
Sousa
twice had collected clearly excessive fees. The accused in this proceeding neglected
four
different client matters. In one case, the accused’s conduct resultеd in his client’s case
The trial panel, in deciding on a five-year suspension, relied heavily on this court’s decision in
Bourcier II.
That case, however, is distinguishable from this proceeding. In
Bourcier II,
the accused was disbarred for neglecting a client matter and failing to cooperate with the resulting disciplinary investigation.
Id.
at 431. In its analysis of the sanction in
Bourcier II,
however, this court deemed significant the prior disciplinary history of the accused. In September 1993, the accused in
Bourcier II
had received a 60-day suspension for neglecting a client matter. In February 1996, this court had imposed a three-year suspension on the accused for failing to communicate with and advise his client, and failing to respond to the Bar’s inquiries.
Bourcier I,
In the present case, the aggravating factors that exist are serious, but the pattern of misconduct is not as extreme as the conduct in Bourcier II. Additionally, mitigating factors, absent in Bourcier II, are present here. Accordingly, the trial panel’s heavy reliance on Bourcier II was misplaced.
The purpose of a lawyer disciplinary proceeding is not to punish the lawyer, but to protect the public and the administration of justice from lawyers who have not discharged, will not discharge, or are unlikely to discharge properly their professional duties to clients, the public, the legal system, and the profession. ABA Standards at 7;
In re Wittemyer,
The aсcused is suspended from the practice of law for a period of four years, commencing 60 days from the date of filing of this decision.
Notes
The trial panel, in its written opinion, stated that it “must
recommend
that the Accused be suspended for a period of five years.” (Emphasis added.) Under the Bar Rules of Procedure, however, a trial panel has a duty to
impose
a sanction. BR 2.4(i) (imposing on trial panel duty of publishing written opinion that contains “a disposition”); BR 6.1(a) (providing that “dispositions or sanctions * * * shall include,”
inter alia,
reprimand, suspension, or disbarment). Properly stated then, the trial panel in this case
imposed
a five-year suspension on the accused. BR 10.1;
see also In re Griffith,
In this court, the accused disputes that he violated DR 1-102(A)(3), which prohibits conduct involving misrepresentation. As noted, however, the accused allowed a default to be entered against him, and we deem true the Bar’s allegations. Accordingly, we do not consider the accused’s argument that he did not knowingly engage in misrepresentation.
In its brief, the Bar states that the accused was admonished in 1990 for violating DR 7-105(A), which prohibits threatening criminal prosecution to gain advantage in a civil matter. The record does not contain a letter of admonition, and, at oral argument, the parties did not agree on the existence of a letter. Additionally, thе opinion of the trial panel states that the accused “has no prior record of discipline.” Accordingly, we do not consider the Bar’s assertion that the accused has a prior disciplinary record. See BR 10.6 (requiring this court to consider discipline cases de novo upon the record).
In re Schaffner,
In the present case, the extent of the accused’s failure to cooperate is more severe than in Schaffner I. The lawyer in Schaffner I eventually cooperated with the Bar. In this proceeding, the accused’s responses were very few, incomplete, and contained misrepresentations. The accused’s failure to cooperate with the Bar demonstrates a serious and sustained disregard for the disciplinary rules.
The Bar does not seek disbarment in this case.
