¶ 2. As discussed below, we find these arguments without merit. The trial court was ordered on remand to determine Kilmartin’s motivation in disclosing confidential materials. See
Lawson v. Brown’s Day Care Ctr., Inc.,
¶ 3. The facts underlying this appeal are largely set forth in our entry order reversing and remanding this case to the trial court. See
Lawson,
¶ 4. On June 22, 1998, the parties began court-ordered mediation, agreeing that all proceedings would remain confidential. Shortly thereafter, Kilmartin filed unsealed documents with the court accusing Caldbeck of unethical and illegal conduct. These filings included a copy of a proposed settlement agreement, and they disclosed discussions that had occurred during mediation. Caldbeck similarly filed material from the mediation session with the court. The court ordered the temporary seal of certain pages of these documents to protect the-confidentiality of the- parties’ mediation and settlement discussions.
¶ 5. On August 10,1998, the underlying case was dismissed with prejudice based on the parties’ stipulation. On August 21, the court issued a show cause order, asking Kilmartin and Caldbeck to demonstrate why sanctions should not be imposed for their violation of the confidentiality of the mediation session. After a hearing, the court imposed sanctions against both attorneys pursuant to its inherent powers. '
¶ 6. Kilmartin appealed, arguing that he had been denied procedural due process, and that his professional responsibilities required him to make the disclosure that was the subject of sanctions.
*
See
id.
at 574,
¶ 7. On remand, and after a hearing, the trial court issued a lengthy order upholding its imposition of sanctions after finding that Kilmartin acted in bad faith. In reaching its conclusion, the court considered Kilmartin’s justification for his behavior, i.e., “to disclose unethical conduct and/or potentially criminal conduct and to disqualify the opposing lawyer,” in light of all the facts and circumstances. The court found Kilmartin’s explanation inconsistent with his conduct, and, based on numerous findings, it concluded that Kilmartin had acted in bad faith in filing confidential materials with the court.
¶ 8. To place Kilmartin’s behavior in context, the court first recounted in detail the “unnecessary, unprofessional, and distracting” behavior exhibited by counsel in the underlying proceedings. The court turned next to the specific acts that formed the basis of its sanction order: Kilmartin’s repeated filing of documents protected by the confidentiality of the mediation process. As the court explained, on July 2,1998, Kilmartin filed a complicated motion seeking permission to appeal the court’s denial of his emergency motion to disqualify
¶ 9. The court compared this behavior with the justification proffered by Kilmartin, and found that, although his claimed purposes appeared facially valid, they did not justify his actions. The court explained that if Kilmartin’s purpose was to disclose unethical conduct, the filing of confidential material from the mediation session with the trial court three times between July 2 and July 10 in the context of the filing of civil motions was not the way to do it. Similarly, the court found that if Kilmartin’s purpose was to disclose potentially criminal conduct, the filing of the confidential material in motions with the trial court was ineffectual. If his intent was to disqualify Caldbeck, the court found no reason why this required him to place confidential mediation information into the public record when reasonable alternatives existed. Moreover, the court found that this asserted purpose did not justify the filing of confidential material not only once, but repeatedly, including after the court had ordered that it would temporarily seal such material. Thus, because Kilmartin’s stated objectives were inconsistent with his conduct, the court found that this raised serious questions about his motivation.
¶ 10. The court placed significant importance on the context in which the filings had occurred. As the court found, at the time of Kilmartin’s actions: there was a high degree of animosity between the parties; Kilmartin had engaged in a pattern of “baiting” Caldbeck; Kilmartin had been sanctioned twice for discovery violations that involved wilful, knowing refusals to provide information to Caldbeck; Kilmartin had already tried twice unsuccessfully to disqualify Caldbeck, and his behavior occurred in the context of a third attempt; Kilmartin acted swiftly to seek Caldbeck’s disqualification without the support of defendants’ other attorneys at a time when the case was already substantially settled; the disqualification of Caldbeck would have deprived plaintiffs of the one attorney familiar with their case at a time when they were near settlement, and it would have foiled Caldbeck’s attempt to settle the claim in a timely manner; and most importantly, none of Kilmartin’s stated purposes were advanced by the public filing of confidential material from the mediation process.
¶ 11. Based on its findings, the court found the presence of five elements that, collectively, compelled a finding of bad faith. These included: (1) the conduct was in violation of a duty to the court; (2) the conduct was not the result of an inadvertent mistake but consisted of conscious acts; (3) the proffered justification, though valid on its face, was not supported by the actual conduct; (4) the conduct was prompted by an improper purpose; and (5) it involved ill will. After analyzing Kilmartin’s behavior with respect to each of these factors, the court upheld its imposition of sanctions.
¶ 13. We first address Kilmartin’s procedural arguments. Kilmartin asserts that the due process standard articulated by this Court in its remand order requires that the “bad faith” nature of his acts be self-evident, both legally and factually. He relies on several contempt cases to support his assertion that the trial court could not impose sanctions against him unless he had clear prior notice that his conduct was proscribed. According to Kilmartin, he was denied due process because at the time he filed confidential materials with the court, it was not apparent to him that he was engaging in potentially sanctionable conduct, nor that he was “negotiating in bad faith.” In a related vein, he asserts that he was entitled to enhanced procedural protections, specifically, proof of his misconduct beyond a reasonable doubt, because the court’s sanction was punitive. He argues that the evidence is insufficient to satisfy this standard.
¶ 14. The trial court has inherent power to sanction an attorney for misconduct, but it must first find the presence of bad faith or other exceptional circumstances. See
Lawson,
¶ 15. We reject Kilmartin’s assertion that the court’s imposition of sanctions violated his due process rights because he did not have clear notice that his conduct was proscribed. Unlike the cases on which Kilmartin relies in support of this proposition, see, e.g.,
Mother African Union First Colored Methodist Protestant Church v. Conference of African Union First Colored Methodist Protestant Church,
¶ 16. Although we expi’essed concern in our remand order that Kilmartin may not have had “fair warning of the possible consequences of his actions,” we stated that if the trial court found that Kilmartin acted in bad faith in making the disclosures, “there would be no violation of his due process rights because attorneys in this state are on notice that negotiating in bad faith during settlement negotiations can result in sanctions.”
Lawson,
¶ 17. Kilmartin next challenges the substance of the court’s finding that he acted in bad faith. He essentially argues that his conduct did not constitute bad faith because: (1) he had valid concerns about Caldbeck’s behavior, and the trial court was the proper place to voice them; (2) he was not prohibited from filing his disciplinary complaint with the trial court, and thus, he should not be sanctioned for doing so; (3) the court erred in finding that his purpose in filing the material was to vex Caldbeek and publicly criticize his alleged misconduct; (4) policy reasons dictate against a finding of bad faith for revealing confidential materials related to attorney misconduct; and (5) there was no existing rule that mediation proceedings must be kept confidential.
¶ 18. We find these arguments unavailing. The trial court was asked to make a factual determination of Kilmartin’s motivation in filing confidential materials with the court. See
Lawson,
¶ 19. Contrary to Kilmartin’s suggestion, the trial court did not sanction him based on the merits of his conclusion that he had a professional obligation to disclose what he perceived to be professional misconduct,
¶ 20. Kilmartin’s final argument, raised for the first time on appeal, is that the trial court lost jurisdiction to sanction him on August 10,1998 when it dismissed the underlying case. Kilmartin cites no legal authority for this proposition. Instead, he relies on the language of V.R.C.P. 11(c)(2)(B) (monetary sanctions “may not be awarded on the court’s initiative unless the court issues its order to show cause before a voluntary dismissal or settlement of the claims made by or against the party which is, or whose attorneys are, to be sanctioned”) and the notes accompanying F.R.C.P. 11. The analogy that Kilmartin attempts to draws is inapt. First, because the court did not impose sanctions under Rule 11,- the rule’s requirements are irrelevant here. More importantly, Kilmartin has not explained how the dismissal of the underlying case deprived the court of “subject matter jurisdiction” to exercise its inherent power to sanction him. As the United States Court of Appeals for the Ninth Circuit observed:
Our inherent jurisdiction to condemn and punish the abusive conduct of litigants and their attorneys who appear before us is separate and apart from our jurisdiction to adjudicate the merits of their claims. In the exercise of our inherent jurisdiction we may, of course, inform ourselves of the nature and extent of apparent misconduct and we may condemn it as abusive. Our condemnation is not the exercise of our jurisdiction over the merits; it is an exercise of our inherent jurisdiction. That some issue may be common to both bases of jurisdiction does not preclude this court from exercising either independently or both simultaneously.
Trohimovich v. Comm’r of Internal Revenue,
Affirmed,
Motion for reargument denied August 20,2004.
Notes
Attorney Caldbeck did not appeal from the court’s order imposing sanctions.
