SUMMARY OF ADMONITIONS
By
Martin A. Cole, Director
Minnesota Office of Lawyers Professional Responsibility
Reprinted
from Bench & Bar of Minnesota (April
2009)
Private
discipline can take two forms: admonition
or stipulated private probation. In
calendar year 2008, 106 admonitions were issued to Minnesota attorneys for what
the Rules consider isolated and nonserious misconduct.Ftn 1 Another 16
lawyers entered into stipulations for private probation that were approved by
the Lawyers Board chair; these stipulations resolved 29 additional complaints.Ftn 2 A summary of the admonitions issued in the
past year has been published on an annual basis. So, here again is a sampling of the types of
misconduct that can lead to private discipline.
A word of caution is
appropriate before reading the brief synopses: since these are offered for educational
purposes, the facts may have been simplified in order to make the violations
clearer (real life fact patterns can get complicated). It is also worth noting that in all of the
admonition examples described, if the complaint was initially investigated by
the local district ethics committee (DEC), the DEC had recommended that the
director issue an admonition. As has been
reported previously, the Director’s Office follows the DEC recommendation over
90 percent of the time. The volunteer
DEC investigators, both lawyers and nonlawyers, do an outstanding job in
determining the facts and applying the Rules of Professional Conduct.
Contacting Represented Person. Attorney
represented vendor on a matter involving the cancellation of a contract for
deed. Attorney directly contacted vendee
by telephone after serving the notice of cancellation, despite knowing that
vendee was represented by counsel. Attorney proposed that vendee and vendor meet
at attorney’s office to discuss resolution of the matter. Vendee notified his attorney, who filed
complaint. Attorney’s conduct violated
Rule 4.2, Minnesota Rules of Professional Conduct (MRPC), which prohibits
contacting a person known to be represented about the subject of the
representation. An attorney was publicly
disciplined this past year for a particularly egregious violation of Rule 4.2.Ftn 3
Business Transaction with Client. Attorney’s
client was having difficulty making mortgage payments on certain farm property.
Attorney offered to purchase the
property and then lease it back to the client. Attorney did not comply with Rule 1.8(a),
MRPC, which establishes requirements that must be met when entering into a
business transaction with a client. Here, the client was not advised in writing to
seek independent counsel nor gave informed consent in a separate document
signed by the client.
In another matter, an
attorney representing a client in a personal injury matter lent a client
approximately $5,000 during the course of the representation to be repaid out
of any settlement proceeds. The attorney
drafted promissory notes that were signed by the client. Here again, the client was not advised in
writing to seek independent counsel nor gave informed consent in a separate
document signed by the client, as required by Rule 1.8(a). The attorney also violated Rule 1.8(e), which
allows Minnesota attorneys to guarantee a loan to a client to withstand delay
in litigation, but not to make such loans directly.
Timely Withdrawal. Attorney represented a client in marriage dissolution.
Client was behind in payment of his
legal fees. About one month before the
scheduled trial in the matter, attorney informed the client that if the fees
were not brought current attorney would withdraw. Client did not make payment. Attorney waited until six days before trial to
notify client, court and opposing counsel of withdrawal. Attorney did not make any request for a
continuance of the trial. Attorney
violated Rule 1.16(b)(1), MRPC, since withdrawal could not be accomplished
without material adverse effect on the client at that time. Attorney also violated Rule 1.16(d) in that
she did not give reasonable notice to the client or time to employ other
counsel.
Copying Charges. Attorney represented a client in a criminal matter. When discharging the attorney, the client
requested copies of certain documents from his file. The attorney sent the client a bill of $185
for copying the documents, and stated that the documents would not be provided
until the payment was received. The
attorney violated Rule 1.16(g), MRPC, which prohibits conditioning return of
client papers upon payment of the cost of copying.
Depositing Fees into Business Account. Attorney
was hired to handle an appeal from a custody determination. Attorney requested a “nonrefundable” advance
fee of $10,000, which he did not deposit into his trust account. There was no written fee agreement. Attorney violated Rule 1.5(b), MRPC, which
requires a written fee agreement in any matter in which a nonrefundable availability
retainer is paid.Ftn 4
In a second matter, an
attorney represented a client pro
hac vice in a federal criminal matter in Iowa. The attorney charged a “nonrefundable” fee of
$50,000, which was not placed into his trust account. There was a written fee agreement signed by
the client to that effect. Iowa’s Rules
of Professional Conduct, however, do not permit such “nonrefundable” fees even
with a signed fee agreement. Attorney’s
conduct violated Iowa’s rule, which pursuant to Rule 8.5, MRPC (Choice of Law),
was the applicable standard.
Representation Adverse to Former Client. Attorney
represented husband and wife in a potential bankruptcy matter. Attorney met with the couple several times,
carefully reviewed their finances, discussed various options and eventually
recommended they not file a joint bankruptcy petition. Almost immediately thereafter, wife sought to
retain attorney to commence a marriage dissolution proceeding. Apparently, husband orally informed wife that
he would not object to attorney representing wife. Attorney never contacted husband, however,
and never obtained his informed consent, confirmed in writing, to the
representation. Attorney violated Rule
1.9(a), MRPC, which prohibits representation adverse to a former client in a
substantially related matter without consent, confirmed in writing (defined in
Rule 1.0(f)).
Employing and Supervising Suspended Attorney. Attorney
employed a former attorney who was suspended from the practice of law for
misconduct. Friend of former attorney,
who was unaware of his suspension, hired suspended attorney to represent him in
marriage dissolution. Although hiring
attorney claimed that she was attorney of record, she never had any dealings
with client, while suspended attorney handled all work. Client thought suspended attorney was his
lawyer. Attorney violated Rule 5.5(a),
MRPC, by assisting suspended attorney in the unauthorized practice of law. Attorney also violated Rule 5.8, because she
had never notified the Director’s Office of her employment of the suspended
attorney, as is required.
Complying with Statute. City attorney handled an
assault prosecution. Attorney entered
into a plea agreement with the defendant.
Attorney was aware that victim did not agree with the proposed plea. Attorney did not notify victim of the final
agreement, inform the court of the victim’s opposition, or provide the victim
with an opportunity to make an impact statement to the court, as required by
statute.Ftn 5
Confidentiality. Attorney represented client in possible personal
injury matter. Attorney had collected
client’s medical records, and then sent the client’s file to another attorney
in a different law firm to determine whether that attorney wished to take over
the representation. Attorney had not
sought, and the client had not granted, permission to disclose her confidential
information to another lawyer in a different firm. Attorney violated Rule 1.6, MRPC
(Confidentiality). Although there are
numerous exceptions that may permit disclosure without client consent, none of
them applied in this instance. In
particular, the attorney was not “impliedly authorized” under Rule 1.6(b)(3) to
make such disclosures, as the attorney argued.
Conclusion
Admonitions are issued
for “isolated and nonserious” violations of the disciplinary rules. The educational value of such admonitions is
seen by the fact that in many instances the admonition will be the only
discipline an attorney ever will receive.
In some cases, however, attorneys do not recommit themselves to learn
and follow the Rules of Professional Conduct, and find themselves with greater
disciplinary difficulties, possibly private probation or even public discipline.
Mandatory continuing legal education requirements for coursework in professional responsibility and elimination of bias in the legal profession help ensure that attorneys remain familiar with the rules. Nevertheless, simply reading the rules periodically should also be a regular part of every attorney’s continuing education.
Notes
1 Rule 8(d)(2), Rules on Lawyers Professional Responsibility
(RLPR).
2 Rule 8(d)(3), RLPR.
3 In
re Wilson, 746 N.W.2d 643 (Minn. 2008).
4 There is currently a debate in the Minnesota professional
responsibility community about the appropriate use of “nonrefundable” fees. See,
Gernander, “Nonrefundable Retainers & Other Oxymorons,” Bench & Bar of Minnesota,
February 2009. The dispute concerns
under what circumstances such agreements might ever be appropriate. There is no dispute, however, that all such
agreements must be in writing.
5 Minn. Stat. §611A (crime victims’ rights).