In re Teschner
Respondent John H. Teschner was admitted to the practice of law in , the State of New York by the Second Judicial Department on June 26, 1974 as John Hugh Teschner, and, at all times relevant to this proceeding, he has maintained an office for the practice of law within this Department.
On September 27, 2002, the Disciplinary Committee filed formal charges against respondent alleging five counts of professional misconduct. Counts one through three, which involved the estate of Claremont H. Providence, who had died in 1985, alleged that respondent, the attorney for the estate and co-trustee of an estate trust, had neglected a legal matter entrusted to him (Code of Professional Responsibility DR 6-101 [a] [3] [
Pursuant to a prehearing stipulation, counts two and five were withdrawn and count three was amended to eliminate the reference to the Providence trust and, while that count still referred to marshaling the estate assets, it characterized respondent’s neglect as a failure to assist the executors in their duty to marshal the estate assets rather than his own failure to conclude the marshaling of the assets. The allegations in count two regarding respondent’s neglect to deposit $40,000 into the estate trust were subsumed by the amended version of count three, but were not admitted by respondent. Count four was
After a hearing, the Referee, in a report and recommendation dated April 8, 2003, sustained counts three and four, noting that they were admitted on the record. As to count one, which accused respondent of neglecting a legal matter entrusted to him for his failure to file fiduciary tax returns for the trust since 1995, and count three, insofar as it related to respondent’s neglect to deposit the $40,000 check into the estate trust, respondent admitted the underlying facts but asserted that these failures on his part did not violate DR 6-101 (a) (3) of the Code because he was acting in his capacity as a trustee and not as an attorney. Noting that respondent admitted in the stipulation that he was responsible “for the handling of all legal issues with respect to the [Providence] estate and the trust,” the Referee concluded that the trust was “clearly a legal matter entrusted to him. Moreover, the beneficiaries of the trust were clearly depending upon respondent to handle all of the legal issues with respect to the trust and so were the executors.” Thus, the Referee sustained count one. In addition, the Referee concluded that respondent’s failure promptly to discover that the $40,000 check had not been deposited constituted neglect.
In determining the appropriate sanction, the Referee considered, in aggravation of respondent’s misconduct, that he had received two previous admonitions for neglect and the “troubling” duration of his neglect of the Providence and Cooper matters. In mitigation, the Referee noted respondent’s assertion that he is a recovering alcoholic who has been in therapy since 1991 and who, according to his psychotherapist, suffered from “low self-esteem, separation anxiety and avoidant personality.” In addition, a psychiatrist who examined respondent for purposes of the disciplinary hearing diagnosed respondent with depression and attributed his neglect of these two matters to “denial and repression.” The Referee also noted that respondent had been accepted into the New York State Bar Association’s Lawyer Assistance Program (LAP) for the purpose of monitoring his continued alcohol abstinence and that he had
The Hearing Panel agreed with the Referee’s determinations as to misconduct and recommended sanction, modifying only to recommend further that any application for reinstatement be expressly conditioned on respondent’s successful participation in LAP
The Disciplinary Committee now moves to confirm the determination of the Hearing Panel, and respondent cross-moves to confirm in part and disaffirm in part the determination of the Hearing Panel and for censure rather than suspension as the appropriate sanction. With respect to count one and part of count three, respondent continues to maintain, as he has throughout this proceeding, that his actions, undertaken solely as a trustee, do not constitute “[n]eglect [of] a legal matter entrusted to [a] lawyer” within the meaning of DR 6-101 (a) (3), arguing that Matter of Wowtschuk (
In our view, DR 6-101 (a) (3), pursuant to which a lawyer is prohibited from neglecting a legal matter entrusted to him, is not limited to matters in which the lawyer is acting in the representation of a client (cf. DR 7-102 [a] [
The cases relied on by respondent are not to the contrary. In McCormick, a Second Department case decided after Wowtschuk, the alleged violations, which occurred while the respondent was serving as Successor Committee and conservator for various incompetent individuals and estates, included, inter
Respondent’s reliance on the Third Department’s opinion in Matter of Welt, where the Court held that DR 6-101 (a) (3) did not encompass respondent’s neglect, is similarly unavailing. As the Hearing Panel noted, “Welt involves alleged neglect in the lawyer’s role as trustee of a law firm profit-sharing plan in circumstances that leave doubt as to whether it was a ‘legal matter’ rather than a business or administrative role.” In this case, in contrast, respondent’s position as trustee was inextricably linked to his position as the attorney for the estate and, under the totality of the circumstances, his failure to file fiduciary income tax returns and to deposit the $40,000 check into the estate trust account constituted neglect of a legal matter entrusted to him.
Considering respondent’s disciplinary history consisting of prior admonitions for neglect in 1989 and 1997 and the duration of the neglect on which the present charges are based, notwithstanding evidence that respondent suffered from psychological and personal problems including alcoholism, we agree with the Referee and the Hearing Panel that a three-month suspension, rather than censure, is the appropriate sanction (see Matter of Chasin,
Accordingly, the Committee’s motion should be granted, the determination of the Hearing Panel should be confirmed and respondent suspended for a period of three months, and until further order of this Court. The cross motion should be granted only to the extent respondent seeks to confirm the conclusions of the Referee and the Hearing Panel, and otherwise denied.
Buckley, P.J., Tom, Sullivan, Lerner and Gonzalez, JJ., concur.
Respondent suspended from the practice of law in the State of New York for a period of three months, effective May 17, 2004, as indicated.