In re Turner
Petitioner John A. Turner, Jr., an attorney disbarred by this Court in 1993 for intentional misappropriation of client funds, has applied for reinstatement to the District of Columbia Bar pursuant to D.C. Bar Rule XI, § 16(d). The application has been considered by a Hearing Committee of the Board on Professional Responsibility and by the Board itself. Both the Hearing Committee and the Board have concluded that petitioner is rehabilitated and currently fit to practice law, and they recommend that petitioner be reinstated, subject to certain specified conditions. See D.C. Bar Rule XI, § 16(f). Bar Counsel endorsed petitioner’s application before the Hearing Committee and has taken no exception to the recommendations in favor of reinstatement with conditions.
The misconduct that led to petitioner’s disbarment was quite serious, and it required sustained and strenuous efforts on his part to justify the recommendations in his favor. To gain reinstatement, a petitioner “must establish by clear and convincing evidence that (1) he has the ‘moral qualifications, competency, and learning in law required for readmission,’ and (2) his resumption of the practice of law ‘will not be detrimental to the integrity and standing of the Bar, or the administration of justice, or subversive to the public interest.’ ” In re Reynolds,
So ordered.
ATTACHMENT
DISTRICT OF COLUMBIA COURT OF APPEALS
BOARD ON PROFESSIONAL RESPONSIBILITY
In the Matter of:
JOHN A. TURNER, JR.,
Petitioner.
Bar Docket No. 127-05
Prior Proceedings:
No. 93-SP-:1348, Bar Docket No. 144-91 and 145-91
(D.C. Nov. 3, 1993) (Ferren, J., Sullivan, J., and Belson, J.)
REPORT AND RECOMMENDATION OF THE BOARD ON PROFESSIONAL RESPONSIBILITY
This matter comes before the Board on Professional Responsibility (the “Board”) on a petition for reinstatement filed pursuant to Board Rule 9.1 and D.C. Bar R. XI, § 16(d). The petition was considered by Hearing Committee Number Ten (the “Committee”), which recommended that Petitioner be reinstated, subject to certain
We adopt all the Hearing Committee’s factual findings and summarize them below in our discussion of the reinstatement criteria.
I. Procedural History
The District of Columbia Court of Appeals (the “Court”) issued an Order disbarring Petitioner on consent on November 3, 1993. The underlying misconduct involved the misappropriation of funds from the estates of two wards for whom Petitioner had been appointed as guardian.
At the hearing, Bar Counsel and Petitioner presented documentary and testimonial evidence. The witnesses included Petitioner and others who testified, among other things, as to Petitioner’s remorse and acceptance of responsibility for his conduct, as well as one of the wards from whom Petitioner misappropriated funds. Documentary evidence also was presented reflecting Petitioner’s activities since disbarment, including his participation in legal conferences and his authorship of legal articles.
II. Reinstatement
Pursuant to D.C. Bar R. XI, § 16(d), an attorney seeking reinstatement is required to:
establish by clear and convincing evidence that (1) he [or she] has the ‘moral qualifications, competency, and learning in law required for readmission,’ and (2) his [or her] resumption of the practice of law ‘will not prove to be detrimental or harmful to the integrity and standing of the Bar, or the administration of justice, or subversive to the public interest.’
In re Reynolds,
In determining whether a petitioner has met the above standards, the Court has articulated five factors which are set out in In re Roundtree,
A. Nature and Circumstances of Misconduct
In consenting to disbarment, Petitioner admitted to intentional misappropriation from the estates of two wards for whom he served as court-appointed guardian. In the first matter, he removed $8,500 in estate funds from a conservatorship account and used the funds for the personal purpose of paying costs associated with his office. In the second matter, he misappropriated $67,500 from the estate and neglected to pay estate taxes on the estate property.
Petitioner resorted to the misappropriations when he experienced financial difficulties in his practice arising from a reduction in work from the District of Columbia Public Service Commission, upon which his practice was heavily dependent. Initially, Petitioner attempted to sell his condominium office and when he could not, he then misappropriated the funds. The Hearing Committee found that Petitioner intended to borrow the funds. Prior to his disbarment in November 1993, he repaid $65,000 to one of the estates, and sureties paid the
B. Recognition of Seriousness of Misconduct
A petitioner’s recognition of the seriousness of the misconduct has been consistently relied upon by the Court as a predictor of future conduct. If a petitioner does not acknowledge the seriousness of his or her misconduct, it is difficult to be confident that similar misconduct will not occur in the future. Failure to carry the burden on this factor has often been recited as a ground for denial of a reinstatement petition. In re Molovinsky,
In the instant matter, the Board concurs with the Committee’s finding that Petitioner has demonstrated by clear and convincing evidence that he recognizes the seriousness of his misconduct and in effect demonstrated sufficient remorse for that conduct. The Committee found Petitioner’s testimony to be credible and noted that in his testimony, Petitioner made no excuses for his conduct and acknowledged that his actions were intentional, dishonest and a breach of trust, findings that the Board finds are supported by substantial evidence in the record. Further, Bar Counsel agrees that Petitioner acknowledged his misconduct and accepted full responsibility for it. Brief of Bar Counsel (Feb. 21, 2006) at 4-5.
C. Post-Discipline Conduct
As to Petitioner’s post-discipline conduct, the Board notes that when the misappropriations were discovered in 1989, Petitioner ended his practice, and he has not practiced law since that time. The record shows that for a period of time since his disbarment, Petitioner has held a series of jobs, which have provided him with limited and sporadic income. The employment included working with the non-profit organization, Minority Business Enterprise Legal Defense and Education Fund, Inc. (the “Fund”) to promote government procurement opportunities for women and minorities, working as a substitute elementary school teacher in the District of Columbia public school system, and working with the University of the District of Columbia in various capacities.
While the record shows that Petitioner did not have steady income for a period of time, and thus did not have the ability to pay restitution, he did make efforts to do so. He made three such payments to the Clients’ Security Fund in 1999 but discontinued the payments because of financial difficulties. When his situation changed in 2005, Petitioner initiated a formal payment plan to pay $75 monthly to the surety companies in question. At the time of the Hearing Committee’s decision, Petitioner had made the scheduled payments for eight months. Hearing Committee Report at 8.
With regard to the prevention of future wrongs, the Board notes that while the Hearing Committee gave weight to Petitioner’s testimony that he will not resume the private practice of law, it found other factors even more persuasive. Since his disbarment, Petitioner has held responsible jobs and is making attempts at restitution. Further, during this period, he has been involved in constructive and praiseworthy endeavors which have included teaching continuing legal education (“CLE”) courses, speaking at bar association conferences in the areas of contracting and small business development opportunities for women and minorities, assisting attorneys with legal writing and publishing a number of legal articles.
Petitioner is required to prove that he has the character to practice law and that the character flaws that led to his disbarment no longer exist and, indeed, that he is a changed individual having full appreciation of the wrongfulness of his conduct and a new determination to adhere to the high standards of integrity and legal competence which the Court requires. See In re Brown,
Based on Petitioner’s conduct since his disbarment, the Board finds that he has demonstrated the requisite good character to support reinstatement. Witnesses and Petitioner testified to Petitioner’s commitment to civil rights, his work as a teacher, his extensive work with the Fund, his advising of young attorneys, as well as his embarrassment and remorse for his misconduct. A witness expressed the belief that Petitioner would not repeat the same or similar misconduct. See In re Fogel,
E. Present Qualifications and Competence to Practice Law
This factor requires Petitioner to demonstrate by clear and convincing evidence that he is competent to practice law. The Roundtree court emphasized that “[ljearn-ing in the law is an important factor in every reinstatement case. A lawyer seeking reinstatement after a period of suspension or disbarment should be prepared to demonstrate that he or she has kept up with current developments in the law.” Roundtree,
The Court considers various factors when assessing competence to practice. They include whether petitioner has furthered his legal education through continuing legal education programs, see Roundtree,
Applying the foregoing criteria to the instant matter, the Board finds that while Petitioner may not have practiced since
III. Conditions of Reinstatement
Having determined that Petitioner has established by clear and convincing evidence that he is fit to resume the practice of law and should be reinstated, the Board now addresses whether his reinstatement should be with or without conditions. Under D.C. Bar R. XI, § 16(f), an order of reinstatement may be conditioned upon the making of complete or partial restitution to persons harmed by the misconduct, upon the payment of all or a part of the costs of the reinstatement proceedings, or such other conditions as the Court deems appropriate. D.C. Bar R. XI, § 16(f); see In re Roxborough,
Pursuant to the rule, conditions may be imposed on a petitioner found to be fit to resume practice if such conditions are designed or deemed necessary to ensure fitness in the initial period after he or she returns to the practice of law. See In re McConnell,
TV. Conclusion
Based on the foregoing, the Board recommends Petitioner’s reinstatement with the following conditions:
1. Petitioner meet with The Law Practice Management Advisory Service (the “LPMAS”) at least one month prior to resuming the private practice of law or the practice of law in any other setting in which he is responsible for the funds of clients or third parties, and follow LPMAS’s recommendations;
2. Petitioner shall certify to the Court, with copies to the Board and Bar Counsel that he has enrolled in and completed a course in financial management within the first year after his reinstatement;
3. Petitioner should be required to continue making monthly restitution payments of at least $75 each to the Hartford Insurance Company and to the Old Republic Insurance Company until he has made full restitution;
4. Petitioner should file annual reports regarding restitution with the Courtof Appeals, with copies to the Board on Professional Responsibility and the Office of Bar Counsel;
5. That, at least annually, Petitioner will review his financial condition and inform the insurance companies in writing whether he can accelerate his payments, and, if so, by what amount; and
6. Petitioner is required to certify to the Court, with copies to the Board on Professional Responsibility and Bar Counsel and provide evidence that he has completed at least two hours of CLE courses in the area of legal ethics within the first year after his reinstatement. If Petitioner resumes the private practice of law or enters into a legal practice in which he will have responsibility for the funds of clients, he shall first certify and present evidence that he has completed a legal ethics CLE course devoted substantially to trust accounts and an attorney’s responsibility for entrusted property and funds.
BOARD ON PROFESSIONAL RESPONSIBILITY
By: /s/ Charles J. Willoughby Vice Chair