In the Matter of the Disciplinary Proceeding Against GARY G. MCGLOTHLEN, an Attorney at Law.
No. C.D. 6087
En Banc.
May 12, 1983.
99 Wn. 2d 515
Richard Caliguri‘s conviction of conspiracy to commit first degree murder is affirmed and his conviction of conspiracy to commit first degree arson vacated. As he was not sentenced on the latter charge, his sentence is also affirmed.
WILLIAMS, C.J., and STAFFORD, BRACHTENBACH, DOLLIVER, DORE, and PEARSON, JJ., concur.
ROSELLINI and DIMMICK, JJ., concur in the result.
Robert T. Farrell and Rhea J. Rolfe, for Bar Association.
Velikanje, Moore & Shore, Inc., P.S., by John S. Moore, for respondent.
In June 1977, respondent, Gary McGlothlen, purchased property from Eileen Ward, the sole heir and former executrix of an estate which McGlothlen was representing in probate. The relationship between McGlothlen and Ward was quite complex and an accurate appreciation of its nature requires a somewhat detailed recounting of its development.
The story begins with the death in 1975 of a Yakima attorney named Perry Woodall. McGlothlen was asked to store Woodall‘s old files and, as compensation, was told that he could have any future business which arose from the files, assuming the client in question consented. For each file which remained open, McGlothlen wrote to the client summarizing the action which was necessary to close the file and asking the client to contact him about what action to take.
McGlothlen apparently contacted Delford Woodall, the executor of Mr. Cole‘s estate, and was asked to bring the estate to a satisfactory close. On July 22, 1975, McGlothlen wrote to Ward, reviewing the file for her, informing her that he was taking it over, requesting her cooperation and assistance, and suggesting that she call him “[i]f [she] ha[d] any immediate legal questions“. Report of Proceedings, Exhibit 4. Ward, who lived in California, replied several days later, basically thanking McGlothlen for his assistance. In part, her letter stated:
I sincerely hope you will take care of this matter for me. It is kinda hard for me living in Calif. instead of Wash. I could drop in to see you about the second week in Sept. I had not planned on coming to Toppenish however I can do so if you need to see me.
Report of Proceedings, Exhibit 1. McGlothlen apparently informed Ward that a meeting was unnecessary.
On September 19, 1975, McGlothlen wrote to Ward once more, to notify her that it would be necessary to probate Mrs. Cole‘s estate as well as that of Mr. Cole. McGlothlen also acted to set up an account in the name of Mrs. Cole‘s estate. On December 17, McGlothlen wrote to Ward again, informing her that he was able to commence the probate of Mrs. Cole‘s estate and suggesting that Delford Woodall be substituted as executor. Ward agreed and Woodall was apparently officially substituted at some point, though the record does not indicate when.
At the time she authorized Woodall‘s substitution as executor, Ward also mentioned that she wished to sell the sole asset of the Cole estates, a house, as soon as possible.
Ward agreed to sell her interest in the house for $8,500 and entered into a real estate contract with McGlothlen. A year later, McGlothlen sold the house, also by real estate contract, to the occupying tenant for $14,500. Because McGlothlen‘s resale was on different payment terms than his purchase from Ward, the hearing examiner found, and we agree, that it is not possible to judge the relative value of the respective real estate contracts.
Soon after McGlothlen‘s resale, a local real estate broker filed a complaint with the bar association1 which instituted the present proceeding. The hearing officer concluded (1) that McGlothlen and Ward had an attorney-client relationship; and (2) that
Pursuant to
I
Bar counsel initially asserts that McGlothlen is precluded from raising before this court any objection to the hearing officer‘s finding that
Prior to review by this court, the findings, conclusions and recommendations of the hearing officer are reviewed by the Disciplinary Board.
Despite its permissive form, we construe
Nonetheless, McGlothlen‘s failure to object before the Board does not absolutely bar review. A disciplinary proceeding “is not in the nature of an appellate review as that term is generally understood.” In re Sherman, 58 Wn.2d 1, 8, 354 P.2d 888 (1960), cert. denied, 371 U.S. 951 (1963). Thus this court is not entirely bound by traditional rules of appellate practice and we retain discretion to step outside our procedural rules when warranted. For example, in In re Kerr, supra, we reached issues raised by the respondent attorney despite his failure to raise formal objections as required by
While we are not obliged to review the findings and recommendations, no objection having been made thereto, we are not powerless to do so. The ultimate responsibility for the discipline of attorneys rests with us, and we would be remiss in our duty were we to accept the recommendations based upon findings which are insufficient on their face.
Kerr, at 658. Accord, In re Sherman, supra at 8-9; cf. In re Donohoe, 90 Wn.2d 173, 175, 580 P.2d 1093 (1978) (would enforce
The present case warrants a similar exercise of discretion. The relationship between McGlothlen and Ward was at the outer reaches of
II
A lawyer shall not enter into a business transaction with a client if they have differing interests therein and if the client expects the lawyer to exercise his professional judgment therein for the protection of the client, unless the client has consented after full disclosure.
An attorney is thus obliged to provide “full disclosure” to
Preliminarily, we note our basic approach to construction of the Code of Professional Responsibility. Statutes generally must be construed so as to foster the purposes for which they are enacted (State v. Coyle, 95 Wn.2d 1, 5, 621 P.2d 1256 (1980)) and court rules are subject to the same principles of construction as are statutes (Emwright v. King Cy., 96 Wn.2d 538, 544, 637 P.2d 656 (1981)). One of the primary purposes of attorney discipline is the protection of the public from attorney misconduct. In re McNerthney, 95 Wn.2d 38, 41, 621 P.2d 731 (1980). We therefore construe our disciplinary rules so as to advance this purpose and accordingly should construe the category of transactions subject to
It is clear that Ward‘s interest in the transaction at issue here differed from that of McGlothlen. We also believe that Ward relied upon McGlothlen to exercise his professional judgment for her protection. Her first letter indicated that she was generally relying upon him to handle the estate matters because she lived out of state. McGlothlen then reinforced this reliance by specifically offering to help her find a buyer for the house and offering to draw up the papers when he offered to purchase it.
The more difficult question is whether McGlothlen and Ward had a sufficient relationship to bring
In the present case, the parties’ conduct indicates that
At what point this relationship ended, we believe irrelevant.
“Where a relation of confidence is once established, either some positive act or some complete case of abandonment must be shown in order to determine it. The
rule must be applied as long as the influence arising from the relationship exists, although this may extend beyond the continuance of the relationship itself, . . .”
Conner v. Hodgdon, 120 Wash. 426, 431-32, 207 P. 675 (1922). The same reasoning is appropriately applied to
In the case at bar, McGlothlen retained great influence over Ward at the time he purchased the house, even if their relationship as attorney and client had ended. He continued to communicate with and assist Ward regarding the house, even after Woodall was substituted as executor of Mrs. Cole‘s estate. One highly pertinent factor in judging the continued influence of an attorney is whether he or she has been replaced by another attorney. Annot., 20 A.L.R.2d 1280, 1313 (1951). Here there was no evidence of such replacement—indeed, McGlothlen indicated to Ward at the time of his purchase that she need not get an attorney of her own. In the circumstances of this case, McGlothlen retained sufficient influence over Ward at the time of the transaction in question to make
III
The disclosure which accompanies an attorney-client transaction must be complete. Moreover, the burden upon the attorney defending his or her actions is a great one.
“So strict is the rule on this subject that dealings between an attorney and his client are held, as against the attorney, to be prima facie fraudulent, and to sustain a transaction of advantage to himself with his client the attorney has the burden of showing not only that he used no undue influence but that he gave his client all the information and advice which it would have been his duty to give if he himself had not been interested, and that the transaction was as beneficial to the client as it would have been had the client dealt with a stranger.” 7 C. J. S., Attorney and Client, § 127.
In re Beakley, 6 Wn.2d 410, 423-24, 107 P.2d 1097 (1940); In re Lovell, 41 Wn.2d 457, 458-59, 250 P.2d 109 (1952). Thus, an attorney attempting to justify a transaction with his or her client has the burden of showing (1) there was no undue influence; (2) he or she gave the client exactly the same information or advice as would have been given by a disinterested attorney; and (3) the client would have received no greater benefit had he or she dealt with a stranger.
Though McGlothlen‘s conduct as measured against ordinary standards was entirely proper, it did not meet the stringent requirements imposed upon an attorney dealing with his or her client. First, McGlothlen did not show that Ward could not have received any greater benefit by dealing with a stranger. There is no showing that Ward could not have found a buyer on the same terms under which McGlothlen sold the house a year later. While the hearing officer was unable to judge the relative value of the two real estate contracts, the burden of proof, which he failed to carry, is on McGlothlen.
McGlothlen also failed to provide Ward with sufficient information and advice to satisfy the requirements of
McGlothlen‘s disclosure did not satisfy the stringent requirements of
IV
The recommendation of the Disciplinary Board is that McGlothlen receive a censure. While we give serious consideration to the Board‘s recommendations, we have the ultimate responsibility for deciding the appropriate sanction for attorney misconduct. In re Nelson, 87 Wn.2d 77, 80-81, 549 P.2d 21 (1976).
Few of our prior cases have dealt with violations of the conflict of interest rules. This may be because such misconduct standing alone tends to be treated with relative lenience and because discipline falling short of suspension or disbarment need not be approved by this court (see
In the instant case, still greater leniency is justified. Of greatest importance is the borderline nature of McGlothlen‘s conduct. Given the relatively undefined nature of McGlothlen‘s relationship with Ward, his conduct can hardly be termed a “patent violation” as was the misconduct in Donohoe. In similar circumstances in the past, we have completely foregone the imposition of sanctions. See, e.g., In re Smith, 42 Wn.2d 188, 197, 254 P.2d 464 (1953) (because the unethical nature of contingent fees in divorce cases had not been previously decided, no repri-
A second factor justifying leniency is that McGlothlen appears to have acted in good faith and with honest intent and there is no evidence that Ward was or felt harmed. The only complaint about his conduct arose from a local real estate agent with whom McGlothlen was apparently feuding and who, in his efforts to see McGlothlen disciplined, submitted highly questionable documents to the bar association.
Finally, we note that McGlothlen has never previously been disciplined. In addition, we are convinced, in part by his appeal to this court of a relatively minor sanction, that his mere involvement in a disciplinary proceeding has significantly embarrassed him.
In light of these circumstances, we will impose no sanctions in this case. We do emphasize, however, that the category of transactions subject to
WILLIAMS, C.J., BRACHTENBACH and DOLLIVER, JJ., and CUNNINGHAM, J. Pro Tem., concur.
DORE, J. (dissenting) — Martha Cole died, leaving her entire estate to her daughter, Eileen Ward, whom she nominated as executrix of her will. Attorney McGlothlen solicited the probate from Eileen Ward and, because she was an out-of-state resident, substituted Delford Woodall as executor of the Martha Cole estate. This was unnecessary, as he could have simply qualified Eileen Ward as a nonresident executrix and appointed himself or Woodall as her statutory agent to represent the estate. This could have been accomplished under
A nonresident may be appointed to act as personal rep-
resentative if he shall appoint an agent, who is a resident of the county where such estate is being probated, or, who is an attorney of record of the estate, upon whom service of all papers may be made; . . .
Had McGlothlen appointed Ward as out-of-state executrix and himself or Woodall as statutory agent, everyone would admit that an attorney-client relationship continuously existed between McGlothlen and Ward. But by securing the appointment of Woodall instead of Ward as executor, he contended that no attorney-client relationship existed between himself and Ward, and that in buying the estate property, an arms-length relationship existed between buyer and seller and he owed no duty whatsoever to Ward to make a full disclosure. In summary, McGlothlen claims he was attorney for Woodall and the estate but not Ward. However, in spite of Woodall‘s appointment, there is substantial evidence in the record that the attorney-client relationship between McGlothlen and Ward continued throughout this entire transaction. The initial letter written by McGlothlen to Ward dated July 22, 1975 (exhibit 4), in which McGlothlen explains the circumstances of his having the estate file, stated, “If you have any immediate legal questions do not hesitate to call me for an appointment“. Ward‘s immediate response dated July 25, 1975 (exhibit 9) states, “I sincerely hope you will take care of this matter for me“. (Italics mine.)
A letter dated September 19, 1975, to Ward from McGlothlen (exhibit 5) gives more substance to the attorney-client relationship between them. In it, McGlothlen explains that the proceeds from the rental of the house would be forwarded to Ward after he deducts the cost of administration of the estate.
Further evidence can be found by the fact that McGlothlen handled the transfer of the property himself. In his letter offering to purchase the house (exhibit 3), McGlothlen states:
By accepting my Offer of Purchase, you have no real estate broker fees to pay, which are estimated at 7% nor
do you have any other attorney fees for this sale. This, of course is a savings to you.
(Italics mine.)
Most illuminating on this issue, however, is McGlothlen‘s own admission, in a letter to the bar association dated May 8, 1981 (exhibit 2), in which he states:
Mrs. Ward was the sole heir of the estate. In 1975 she advised that Mr. Woodall had not advised her as to what was occurring with regard to her mother‘s estate and she retained me to complete the probate of both estates.
(Italics mine.)
A lawyer shall not enter into a business transaction with a client if they have differing interests therein and if the client expects the lawyer to exercise his professional judgment therein for the protection of the client, unless the client has consented after full disclosure.
The great importance of the duty of an attorney to a client in a business transaction is discussed in the case of In re Beakley, 6 Wn.2d 410, 423-24, 107 P.2d 1097 (1940). That case involved several charges for which the attorney was disbarred. One charge involved the attorney‘s business transactions with a client. This court addressed that issue at length. Terming the attorney-client relationship “one of the strongest fiduciary relationships known to the law“, the court then quotes 7 C.J.S. Attorney and Client § 127.
“The relation of attorney and client has always been regarded as one of special trust and confidence. The law therefore requires that all dealings between an attorney and his client shall be characterized by the utmost fairness and good faith, and it scrutinizes with great closeness all transactions had between them. So strict is the rule on this subject that dealings between an attorney and his client are held, as against the attorney, to be prima facie fraudulent, and to sustain a transaction of advantage to himself with his client the attorney has the burden of showing not only that he used no undue influence but that he gave his client all the information and advice which it would have been his duty to give if he
himself had not been interested, and that the transaction was as beneficial to the client as it would have been had the client dealt with a stranger.”
(Italics mine.)
McGlothlen had no right to rely on a year-old Yakima County Assessor‘s appraisal of the property, but had a duty to retain an independent appraiser to secure an updated market value of the purchased home, or at least to consult a local realtor as to the present market value of the home. He then should have conveyed all of such information to the seller, Ward, so she could intelligently know whether McGlothlen was offering her a fair price for her home. One reading McGlothlen‘s letter to Ward could infer that the property had been appraised at $9,000 the previous year, yet not know that assessors’ appraisals traditionally are below market value.3 This is best illustrated by the fact that the home sold to McGlothlen for $8,500 was sold, as is, a year later for $14,500. Perhaps if McGlothlen had made a complete disclosure to Ward she could have sold her home for $14,500, rather than for $8,500 to her attorney.
The majority states at page 525, “McGlothlen‘s conduct as measured against ordinary standards was entirely proper . . .” Based on the subject record, this is an incredible statement. McGlothlen was not fair; he failed to disclose full information to his client as to the market value of the home, and personally profited handsomely as a result of his deception and breach of his professional responsibility. This is not proper measured against any standards.
CONCLUSION
The Board of Governors found that an attorney-client relationship existed at all times between McGlothlen and Ward during the subject real estate transaction; that
Rather than a censure, I would suspend McGlothlen from the practice of law for at least 90 days, which would reflect the seriousness of his violation of his obligation to his client.
DIMMICK, J. (dissenting) — I concur in the analysis of the dissent by Dore, J. However, I see no compelling reason to deviate from the recommendation of the Disciplinary Board.
STAFFORD and PEARSON, JJ., concur with DIMMICK, J.
