Lead Opinion
The Bar Association (Bar) filed a complaint against Mark Alan Bourne (the respondent) alleging that he had engaged in unprofessional conduct. The three members of the Professional Responsibility Tribunal accepted and approved the stipulated findings of fact and the conclusion of law subsequent to the hearing before the tribunal. The conclusion of law to which the panel agreed was that the respondent’s conduct violated Rule 8.4(d) of the Rules of Professional Conduct, 5 O.S.1991, ch. 1, app. 3-A.
All of the actions taken by the respondent, of which the Bar complains, were in the course of respondent’s employment by a collection agency, American Collection Services, Inc. (A.C.S.). The trial testimony from the respondent reveals that he had agreed to handle about 350 cases in which he attempted to collect money for A.C.S. and its clients. The respondent testified he signed the petitions after previewing them and discussing with A.C.S. the identity of the debtor, the amount owed and the source of the debt. A.C.S. retained the files, filed the cases, and arranged for the service of process. A.C.S. reported back to the respondent when the time for the debtor’s answer had expired. When the causes came for hearing, the respondent appeared and took judgment against the debtors.
The respondent eventually discovered that during the course of some of the collection efforts, judgment had been taken for amounts greater than was actually owed. He did not always verify service of process, and subsequently learned that one of the owners of A.C.S. had been serving the summons and petitions.
Additionally, there were petitions filed against persons and judgments taken against them when they were not actually liable for the debt claimed. On one occasion, A.C.S. took a default judgment against a party one day before the statutory time to answer had expired. On other occasions A.C.S. took judgments at an incorrect statutory interest rate, but the respondent corrected these and the correct amount was collected. The respondent withdrew as attorney for A.C.S. when it refused his request for more control of the cases.
The complaining party in this bar matter was another A.C.S. attorney who expressed dissatisfaction with the respondent. According to the Bar, no individual ultimately suffered damage because of the respondent’s actions. The problems were eventually rectified, although one federal lawsuit ensued to remove negative credit ratings and correct amounts of judgments. The Bar told the trial panel that no debtor paid more money than actually owed. The Bar reported that the respondent had been very cooperative throughout the investigation. The respondent was admitted to practice in 1983 and has not been previously disciplined by this Court.
The issue before us is whether under the stipulated facts, the respondent has committed professional misconduct by engaging in conduct that is prejudicial to the administration of justice.
The Supreme Court of Oregon analyzed the phrase, “conduct prejudicial to the administration of justice.” The court found that “conduct” included both prohibited action taken, and failure to act when required. This conduct must be within the context of judicial proceedings and matters directly related thereto. In re Haws,
In the introduction to the Rules for Professional Conduct, 12 O.S.1991, ch. 1, app. 3-A, under the heading “Scope” this Court adopted the following language concerning those rules: “The Rules presuppose a larger legal context shaping the lawyer’s role. That context includes court rules and statutes relating to matters of licensure, laws defining specific obligations of lawyers and substantive and procedural law in general.” Under the “Comment” heading following Rule 8.4, offenses encompassed within the rule include “serious interference with the administration of justice.” Clearly, from these descriptions, Oklahoma lawyers can deduce that Rule 8.4(d) is intended to proscribe behavior already disapproved by case law, statute, or court rules. The interference contemplated must be serious.
Besides the comments in the Rules for Professional Conduct, our case law illustrates that lawyers who have been disciplined for conduct prejudicial to the administration of justice were disciplined for acts previously disapproved by case law, statute, court rules or the “lore of the profession.”
The Bar did not cite case law, statute, or court rule to show why the conduct of the respondent in the cause before us should be found to be prejudicial to the administration of justice.
There is no question but that the potential for serious interference with the administration of justice exists where a lawyer abuses the process by habitually filing frivolous pleadings, but the Bar has not shown this to be the case with respect to the respondent. In construing Rule 11 of the Federal Rules of Civil Procedure, a rule that is nearly identical to 12 O.S.1991, § 2011,
The record before this Court reveals that the respondent had to rely upon his client for
Notes
. Rule 8.4(d) provides: "It is professional misconduct for a lawyer to: ... (d) engage in conduct that is prejudicial to the administration of justice....”
. Rule 8.4(d). The Oklahoma Rules of Professional Conduct were adopted March 10, 1988, effective July 1, 1988. Prior to that time the Code of Professional Responsibility governed an Oklahoma lawyer's professional conduct. DR 1-102(A)(5) provided: "(A) A lawyer shall not: ... (5) Engage in conduct that is prejudicial to the administration of justice."
. In the following cases, the conduct of the respective respondents has been found to be prejudicial to the administration of justice: State ex rel. Oklahoma Bar Ass'n v. Sopher,
.See Sopher, footnote 3.
. Sister states have found the following conduct violates the rule: People v. Goens,
. See, Unit Petroleum Co. v. Nuex Corp., 807 P.2d 251, 252 (Okla.1991).
Dissenting Opinion
dissenting:
I would accept the recommendation of the Professional Responsibility Tribunal and administer a private reprimand.
