Sign In
    Wisconsin Lawyer
    May 01, 2002

    Lawyer Discipline - Private Reprimand Summaries

    The Wisconsin Supreme Court allows the Board of Attorneys Professional Responsibility (BAPR) to publish for educational purposes in an official State Bar publication a summary of facts and professional conduct rule violations in matters in which BAPR has imposed private reprimands. The summaries do not disclose information identifying the reprimanded atttorneys.

    Wisconsin Lawyer
    Vol. 75, No. 5, May 2002

    Private Reprimand Summaries

    The Wisconsin Supreme Court permits the Office of Lawyer Regulation (OLR) to publish, for educational purposes, in an official State Bar publication a summary of facts and professional conduct rule violations in matters in which OLR imposed private reprimands. The summaries do not disclose information identifying the reprimanded attorneys.

    The following summaries of selected private reprimands, imposed by OLR, are printed to help attorneys avoid similar misconduct problems. Some of the summaries may indicate violations of the rules that were in effect prior to Jan. 1, 1988. The current rules proscribe the same types of misconduct.

    Under the new rules of lawyer regulation, a court-appointed referee will impose private reprimands with consent of the attorney. See SCR 22.09 (2000).

    Notarizing a False Affidavit; Failing to Respond to a Client's Request for Fee Itemization

    Violations of SCR 20:1.4(a) and 20:8.4(c)

    In July 1998, an attorney agreed to represent a couple at the real estate closing concerning the sale of the couple's residence. On the day of the closing, Aug. 31, 1998, the attorney and the couple discussed an affidavit regarding construction liens, which had to be signed for the closing. The husband told the attorney that work had been done on his property in the past six months by three different repairmen. The husband stated that he had paid for all the work done, but he did not have any lien waivers from the repairmen.

    The attorney then allowed the husband to sign an affidavit stating that no work had been done on the property in the past six months. The attorney indicated that since "there was no possibility of a lien being attached, we just proceed as though there had been no work done within the six months prior to closing." The attorney also stated that if his client had told him that the repair bills had not been paid, the attorney would not have allowed the affidavit to be submitted. The attorney notarized the affidavit, knowing that the husband's sworn statement was not true.

    On the day of closing, the attorney informed the husband that the attorney fees were $1,800. On Oct. 22, 1998, the husband sent a letter to the attorney in which he questioned the amount of attorney fees and requested a refund of $1,300. On Nov. 2, 1998, the attorney sent the couple a refund of $200. On Dec. 1, 1998, the husband sent the attorney a letter requesting an itemized statement of the attorney fees. On March 4, 1999, the husband sent a second letter requesting an itemization. On March 25, 1999, the attorney responded that he would submit to fee arbitration but did not provide an itemization.

    By failing to respond to the husband's two requests for an itemized statement of attorney fees, the attorney failed to keep a client reasonably informed about the status of a matter and promptly comply with reasonable requests for information, in violation of SCR 20:1.4(a). By allowing the man to sign an affidavit the attorney knew was false, and by notarizing the affidavit, the attorney engaged in conduct involving misrepresentation, in violation of SCR 20:8.4(c).

    Lack of Diligence; Conflict of Interest

    Violations of SCR 20:1.3 and 20:1.7(a)

    A lawyer represented a land contract vendor in a foreclosure action against her son and daughter-in-law, the defaulting land contract vendees. The action had been filed by predecessor counsel and was pending when the lawyer was retained. The lawyer violated SCR 20:1.3 by failing to enter his appearance on behalf of his client for more than seven months after he was retained and by failing to appear on his client's behalf at a scheduling conference in the matter.

    At the time of the lawyer's retention as vendor's counsel in the land contract foreclosure, the adverse parties in the foreclosure were also parties to a divorce action. The lawyer became the attorney of record for the vendor's son in his divorce and also represented the son in a misdemeanor criminal case. By representing the vendor in a land contract case in which the vendor was adverse to her son, while also representing the son in his divorce and in a criminal case, without obtaining written conflict waivers from either the vendor or the son following consultation, the lawyer violated SCR 20:1.7(a).

    Incompetent Representation; Attempt to Secure Malpractice Release from Client

    Violations of SCR 20:1.1, 20:1.8(h), and 20:8.4(a)

    An attorney represented a woman in connection with her purchase of an approximate 50-acre property in a Wisconsin town, and, subsequent to purchase, in legal matters relating to the property. The property is subject to an easement in favor of a neighboring gun club, which allows the club to go upon an approximate seven-acre section of the property to recover targets and shot.

    The client's road access to her property is limited on the approximate six days a year that the gun club conducts trap shoots. The client applied to the town in which the property lies for construction of a road that would provide access even during trap shoots. The town denied the application. The attorney attempted to appeal the denial of the application to the circuit court, but the action was dismissed because the attorney did not follow statutory procedure for commencement of an action for certiorari review by the circuit court. The attorney's failure in that regard violated SCR 20:1.1, which requires competent representation. The dismissal did not prohibit the client from again applying to the town for a road, and in the event of another denial, from seeking circuit court review in accordance with statutory procedures.

    The attorney also filed an action on behalf of the client against the sellers of the subject property and the county in which the property lies. The action ultimately was dismissed as to all defendants. In the course of the litigation, the attorney conditioned his continued representation on the client's execution of a malpractice release. The attorney specifically referred to the proffered release, which the client declined to sign, in his motion to withdraw from the representation. By conditioning his continued representation of the client on her execution of a malpractice release, the attorney attempted to violate SCR 20:1.8(h), which generally prohibits an attorney from making an agreement prospectively limiting the attorney's liability to a client for malpractice. An attempted violation of the Rules of Professional Conduct is prohibited under SCR 20:8.4(a).

    The attorney had no prior discipline.

    Revealing Confidential Information; Failing to Protect Client's Interests upon Withdrawal; and Disobeying an Obligation under the Rules of a Tribunal

    SCR 20:1.6(a), 20:1.16(d), and 20:3.4(c)

    An attorney represented a woman in a small claims action against a storage company. The attorney was unable to appear at a pretrial conference, and he arranged for another attorney from another law firm to appear on his client's behalf without the client's knowledge or consent, and he discussed the merits of the client's case with the other attorney.

    After the pretrial hearing in September 1999, the court sent the attorney a notice of the client's trial date in November 1999, but the attorney did not forward the notice to the client. The attorney maintains that the client discharged him in September 1999. The attorney, however, never advised the court that he was withdrawing from the case, even though the court's rules did not allow counsel to withdraw except upon written motion showing good cause or stipulation signed by the client, nor did he return the legal file to the client. Subsequently, the court dismissed the client's case after she and the attorney failed to appear for the hearing in November 1999. The attorney did not return the file to the client until January 2000.

    By discussing the client's case with an attorney from another law firm and having that attorney appear at a pretrial conference without the client's knowledge or consent, the attorney revealed information relating to the representation in violation of SCR 20:1.6(a). By failing to forward the court's notice to the client and by failing to return the legal file to the client, the attorney did not protect the client's interests upon termination of the representation in violation of SCR 20:1.16(d). In addition, by failing to appear at the client's trial on Nov. 11, 1999, and by failing to obtain the consent of the court to withdraw from the client's case, the attorney knowingly disobeyed an obligation under the rules of a tribunal in violation of SCR 20:3.4(c). As a condition of the reprimand, the attorney reimbursed the client $31.21, the client's costs for refiling her small claims action.

    Lack of Diligence; Failure to Communicate; Failure to Cooperate with Investigation; and Failure to Return Client Property

    Violation of SCR 20:1.3, 20:1.4(a), 20:1.16(d), and 22.07(2) (1988)

    An attorney represented the estate of a woman's mother. The woman served as personal representative for the estate. The only substantial asset of the estate was a house, which eventually was sold to a community housing rehabilitation agency. However, while the estate was pending, a municipal lead abatement ordinance citation on the house was issued to the woman. The attorney agreed to represent the woman on the citation. The attorney sent a notice of retainer to the municipal court. At the pretrial, an agreement was reached whereby the forfeiture would be reduced from $1,000 plus court costs to $100 plus court costs if a signed agreement that no children would reside on the premises while work to abate the lead was being completed was on record. The attorney consequently entered a no-contest plea to the citation on behalf of his client.

    Shortly thereafter, a city official saw children at the property and issued a second citation. A few weeks later, the house was sold. The attorney informed the municipal court that the house had been sold, and the municipal judge dismissed the second citation because of improper service. The municipal court clerk sent the attorney a letter informing him that the second citation was dismissed, but the letter also clearly stated that the first citation was still active and informed the attorney of the total fine and the date on which the fine was due. The attorney simply told the woman that the municipal citation was "taken care of." She therefore did not make payment and a commitment was issued for her arrest because of the unpaid forfeiture. The woman was arrested, spent a night in jail, and had to pay $1,284 to be released. The attorney states that he believed that the citations were resolved by the sale of the house. The attorney eventually reimbursed the woman for the $1,284 she paid to be released from jail.

    In a second matter involving the same woman, the attorney agreed to represent the woman in her divorce from her husband, who resided out of state. The woman provided $200 to the attorney to commence the matter, which she believed to be an initial retainer. The attorney asserted that the $200 was for filing fees, and he therefore did nothing to commence the action because he normally does not begin a divorce action without a retainer. The woman contacted the attorney repeatedly about the divorce and was told that he "had to get a date." The woman eventually learned that the action had not been filed. She then commenced and completed the divorce action herself. The attorney returned the $200 to the woman after her grievance was filed.

    By failing to ever provide the municipal court with the signed agreement necessary to fulfill the plea agreement he accepted on behalf of his client, the attorney failed to act with reasonable diligence and promptness in representing a client, in violation of SCR 20:1.3. By failing to clearly explain to the woman that she was still responsible for payment on the first citation after the second was dismissed, and failing to clearly explain to the woman that he would not commence work on the divorce absent a retainer, the attorney failed to keep his client reasonably informed about the status of those matters, in violation of SCR 20:1.4(a).

    In an unrelated matter, the attorney represented a husband and wife in a dispute over property they had purchased that subsequently was discovered to have an inadequate sanitary system. A lawsuit was filed in 1991. However, that suit was voluntarily dismissed shortly thereafter because a copy of the land contract could not be produced.

    Several years after the lawsuit was dismissed, the wife began calling the attorney and asking for the return of tax documents. Despite several phone conversations, the attorney failed to ever provide the documents. In 1998, the wife commenced divorce proceedings. The wife's counsel in those proceedings called the attorney and requested the tax documents and followed up the phone call with two letters to the attorney. The attorney failed to ever provide the documents. Additionally, the attorney failed to ever provide a written response to the grievance, despite several written requests and extensions of time in which to provide the response.

    By failing to ever return the tax documents, despite repeated requests, the attorney failed to provide property to a client that the client was entitled to receive, in violation of SCR 20:1.16(d). By failing to ever provide a written response to the grievance, the attorney violated SCR 22.07(2) (1988).

    The attorney had a prior private reprimand.

    Failure to Communicate with Client

    Violation of SCR 20:1.4(a)

    In late 1998, a man met with an attorney to discuss his son's criminal matter. The son had been sentenced on Jan. 13, 1998 to seven years in prison for distributing a controlled substance and possessing drug paraphernalia. One week after the initial consultation, the attorney wrote to the man, with a copy to the man's son, summarizing the initial consultation. The attorney agreed that he would examine the trial court record for appealable or post-conviction issues and do legal research and analysis to determine any available means for relief. The attorney's letter made clear that the time for filing an appeal and motion for post-conviction relief had passed before he was consulted, but that he would attempt to find a mechanism whereby the issues of concern to the man could be heard. The attorney indicated that he would make a written report when he had concluded his work in the matter. The attorney requested a flat fee of $1,500, which the man paid at the end of November 1998.

    Thereafter, the attorney failed to communicate his conclusions to the son or respond to two letters from the man requesting information. The attorney also failed to respond to the man's phone calls between December 1998 and February 1999.

    On or about February 1999, the attorney met with the man and orally reported his findings. The attorney stated at that time that the avenues for bringing the issues to the court's attention were no longer available due to the passage of time. The attorney again told the man that he would reduce his conclusions and recommendations to a written report. The attorney never prepared a written report or used any other means of directly conveying his conclusions to his client.

    By failing to communicate with the client in a timely manner regarding his conclusions and in failing to respond to his client's requests for information, the attorney acted contrary to SCR 20:1.4(a).

    The attorney had a prior public reprimand.


Join the conversation! Log in to comment.

News & Pubs Search

-
Format: MM/DD/YYYY