Vol. 77, No. 10, October
2004
OLR Annual Report: Fiscal 2004
This report from the Office of Lawyer Regulation looks at the
disposition of grievances against lawyers from July 1, 2003 to June 30,
2004.
Sidebars:
by the Board of Administrative Oversight & Office of Lawyer
Regulation
The Office of Lawyer Regulation (OLR) and Board of Administrative
Oversight (board) file annually with the Wisconsin Supreme Court a
report on the lawyer regulation system. This is the fourth report filed
under the new regulation system, which became effective on Oct. 1, 2000.
This past year, the system completed its caseload reduction. All
components are performing well and within normal caseload capacities.
The system continues to improve its efficiency and effectiveness through
refinement of its policies and procedures. During the coming year, the
system will address improvements to the ethics rules, particularly those
relating to the Ethics 2000 proposals and the implementation of the new
trust account rule.
Lawyer Regulation System Overview
The Wisconsin Supreme Court created the lawyer regulation system to
carry out the court's constitutional responsibility to supervise the
practice of law and protect the public from misconduct by persons
practicing law in Wisconsin. Figure
1 shows the composition and organization of the lawyer regulation
system. The court has adopted standards of professional conduct for
attorneys. The court confers the privilege to practice law on an
attorney conditioned on his or her compliance with those
standards.1 A failure to comply with the
court's standards may constitute misconduct or may be evidence of a
medical problem.
The OLR director is required to investigate any possible misconduct
or medical incapacity of an attorney licensed to practice in
Wisconsin.2 Communications with the OLR
alleging lawyer misconduct are privileged, and no lawsuit predicated on
those communications may be instituted against any grievant or
witness.3 Attorneys and grievants may
consult with and be represented by counsel at any stage of an
investigation. Before the filing of a formal complaint or petition, all
papers, files, transcripts, and communications in an OLR investigation
must be kept confidential by the OLR.4 The
OLR may, however, provide relevant information to the respondent and the
grievant.5 Although the Supreme Court Rules
provide no sanction for disclosure of a grievance by the respondent or
the grievant, the OLR requests that those involved in an OLR
investigation keep confidential all documents generated by the
investigation.
Initially, the OLR staff screens all inquiries and grievances
concerning attorney conduct. If the allegations made are not within the
OLR's jurisdiction, or if the allegations are not supported by a
sufficient factual basis, staff will close the file. The grievant may
make a written request for the director's review of the closure. The
director's decision is final. After preliminary evaluation, staff also
may forward the matter to another agency; attempt to reconcile the
matter between the grievant and attorney if the dispute is minor; or
refer the matter to the director for diversion or investigation. Before
or after investigation, the director may divert the matter to an
alternatives to discipline program, if nothing more than minor
misconduct is involved, the respondent agrees, and the respondent is
eligible to participate. Alternatives to discipline are usually
educational programs or monitoring arrangements that help an attorney
improve the quality of his or her practice.
If the grievance sets forth sufficient information to support an
allegation of a violation of SCR chapter 20, OLR staff may initiate an
investigation. The OLR staff will send a letter to the respondent,
enclosing a copy of the grievance and requesting a response within 20
days. In most instances, staff will forward the attorney's response to
the grievant for comments. When the OLR staff has completed the
preliminary investigation, the director will determine whether: 1) an
uncontested violation exists; 2) the grievance should be dismissed for
lack of merit; 3) further staff investigation is needed; or 4) the
matter should be assigned to a district investigative committee for
further investigation, pursuant to SCR 22.04(1).
If the grievance is further investigated by staff or a district
committee, the respondent and the grievant will be kept advised about
the investigation. The committee chair can assign the matter to one of
the committee's investigators. Pursuant to SCR 22.04(2), the respondent
may request a substitution of a district committee investigator within
14 days of receiving notice of the assignment of the investigator. The
respondent shall be granted one such substitution as a matter of right,
and any other requests for substitution shall be granted by the
committee chair for good cause shown. If the committee decides to take
sworn testimony regarding a grievance at an investigative meeting, the
respondent and the grievant will receive timely notice of the meeting.
Committee members elicit pertinent information from witnesses at such a
meeting. For each matter referred to committee, the committee will
prepare a report summarizing the facts and potential disciplinary
violations. That report will be sent to the respondent and the grievant
for comment.
After the investigation is completed by staff and/or a committee, the
director may dismiss the matter for lack of sufficient evidence of cause
to proceed, divert the matter to an alternatives to discipline program,
obtain the respondent's consent to a private or public reprimand, or
present the matter to the Preliminary Review Committee (PRC) for a
determination of whether there is cause to proceed. In cases in which
the director dismisses the matter, the grievant has 30 days after
receiving written notice of the dismissal to make a written request for
review of the decision by the PRC. The decision of the PRC is final.
If, after the investigation is completed, the director does not
dismiss the grievance, seek a consent reprimand, or divert the matter,
the OLR staff will prepare an investigative report and provide copies to
the grievant and the respondent for comment. (In cases in which a
district committee investigates a matter, its report will serve as the
investigative report.) The grievant and the respondent may submit
written responses to the report within 10 days after they receive the
report.
The director may then submit the results of the investigation to the
PRC. The PRC determines whether the evidence presented supports a
reasonable belief that an attorney has engaged in misconduct or has a
medical incapacity that may be proved by clear, satisfactory, and
convincing evidence.6 If the PRC dismisses
the matter, the grievant has 30 days after being notified of the
dismissal to file a written request for review of that decision. The
supreme court will select a referee to review the matter, and the
referee's decision is final.
If the PRC determines that the director has established cause to
proceed, the director may file a complaint with the supreme court
alleging misconduct. The OLR, rather than the grievant, is the
complainant in such a matter. If the director files a complaint, an
answer is required within 20 days of service of the complaint. Upon
proof of service, the supreme court appoints a referee to hear the
matter pursuant to SCR 22.13(3). The referee holds a scheduling
conference to define the issues and to determine the extent of
discovery. The referee then presides at a public hearing that is
conducted as a trial of a civil action to the court.7 The OLR must prove misconduct or medical
incapacity by clear, satisfactory, and convincing evidence.8
Within 30 days after the hearing concludes, the referee must submit
his or her report to the supreme court, including findings of fact,
conclusions of law, and a recommendation of dismissal or imposition of
discipline. The OLR or a respondent may file an appeal of the referee's
report within 20 days after the report is filed. If no appeal is timely
filed, the supreme court reviews the referee's report and determines
appropriate discipline in cases of misconduct and appropriate action in
cases of medical incapacity. The court may, on its own motion, order the
parties to file briefs. Either the respondent or the OLR may file a
motion for reconsideration of the supreme court's decision within 20
days of the filing of the court's decision. The filing of a motion for
reconsideration does not stay enforcement of the judgment. The supreme
court's final dispositions of disciplinary and medical incapacity
proceedings are published in the Wisconsin Reports and in the
Wisconsin Lawyer.
The Year in Review
Significant Lawyer Regulation System Developments. The system has
completed its investigative caseload reduction. The normal investigative
caseload capacity is 380 matters. At the end of the fiscal year, there
were a total of 389. As of the drafting of this report, there are
approximately 360. The OLR and board are especially appreciative of the
contributions of the district committees, staff, and limited term
employees, whose hard work has been instrumental in this year's
achievement. Also instrumental was the consolidation of the OLR staff in
Madison, which enabled the conversion of administrative positions to
investigator positions and streamlined case management.
The system continues to work toward its timeliness goals for the
initial evaluation by the central intake unit, and for formal
investigations. At the end of the fiscal year, the number of intake
evaluations pending over 60 days was 74. The number of formal
investigations pending over 11 months from the filing was 161. The goals
for pending evaluations over 60 days, and pending investigations over 11
months, are no more than 40 of each. Substantial progress has been made
since the end of the fiscal year. Considering that the system is now
operating within its normal capacities, the timeliness goals should be
achievable within the next fiscal year.
The supreme court met with the Board of Administrative Oversight, the
PRC, special investigators, and the Special Preliminary Review Panel on
April 2, 2004, to discuss current developments in the lawyer regulation
system. This year, the court will consider a petition by the Wisconsin
Ethics 2000 Committee for changes to the Rules of Professional Conduct
for Attorneys; a State Bar petition regarding the licensure and
regulation of paralegals; and recommendations for procedural
improvements regarding time limits in interim suspension cases, and the
functions and operations of district committees.
The PRC re-elected attorneys James Wickhem, Janesville, chair, and
James D. Friedman, Milwaukee, vice chair. The PRC has considered whether
cause to proceed existed in 74 matters and has reviewed the director's
dismissals in 14 matters. The PRC met quarterly during the year and met
specially in July. PRC meetings will continue quarterly.
The Board of Administrative Oversight re-elected attorneys William H.
Levit Jr., Milwaukee, chair, and Ann Ustad Smith, Madison, vice chair.
The board completed its study of district committees and filed a report
in March 2004 recommending retention of and improvements in the function
and operations of the district committees. Many of the recommendations
confirm the appropriateness of current rules and policies.
Recommendations for improvements are being implemented.
The board assesses perceptions of the regulation system through a
questionnaire that is sent to each grievant and each respondent after
the grievance is resolved. The response rate is approximately 8 percent
for grievants and 11 percent for respondents. While perceptions
generally relate to the grievance outcome, the questionnaire responses
provide helpful information. The board will continue to monitor trends
in these perceptions.
Finally, the board remains aware of several significant policy
initiatives, including Ethics 2000, proposals for licensure and
regulation of paralegals, and recommendations for improving lawyer
regulation system procedures.
The district committees continue to make a valuable contribution to
the system and were instrumental in reducing the number of
investigations. Improvements in training and in information sharing have
increased their effectiveness. The OLR published a new manual for
district committees and held training sessions. The chairs met with the
director in May to discuss improvements in operations. The director
began visiting individual committees, with the goal of meeting with each
committee during the year, and providing substantive ethics continuing
legal education.
Special investigators and the Special Preliminary Review Panel
process matters involving allegations against attorneys who serve with
the regular components of the regulation system. During Fiscal 2004,
special investigators received 37 referrals and resolved 42 matters. The
Special Preliminary Review Panel considered four matters for cause,
finding cause in all four matters. The panel considered 12 matters on
review, affirming 11 closures and returning one for further
investigation.
The alternatives to discipline program provides an effective way to
improve an attorney's ability to practice in accordance with high
professional standards. Frequently, this is a more effective measure
than professional discipline. The court has authorized diversion to an
alternative program in situations where the program will likely benefit
the attorney, and where the attorney will not likely harm the public.
Alternative programs may include mediation, fee arbitration, law office
management assistance, evaluation and treatment for alcohol and other
substance abuse, psychological evaluation and treatment, medical
evaluation and treatment, monitoring of practice or trust account
procedures, continuing legal education, ethics school, and the
multistate professional responsibility examination. During the fiscal
year, 98 attorneys were diverted to alternative programs and 124
attorneys completed diversions.
The central intake program receives inquiries and grievances
concerning attorney conduct and provides preliminary evaluation of
grievances before any formal investigation. Inquiries and grievances may
be received by telephone; callers may use a toll-free number to contact
the OLR. After the preliminary evaluation, the central intake staff may
forward the matter to another appropriate agency, attempt to reconcile
the matter if it is a minor dispute, close the matter if it does not
present sufficient information to support an ethical allegation, or
refer the matter for investigation or diversion to an alternative to
discipline.
Central intake received 2,225 inquiries and grievances. There has
been a slight decrease in the number of grievances filed in each of the
last two fiscal years. Of the matters evaluated in central intake this
fiscal year, approximately 16 percent were forwarded for formal
investigation; 11 percent involved the resolution of minor disputes or
grievances that were withdrawn; 3 percent involved diversion programs;
and the remaining 70 percent were closed for lack of sufficient
information to suggest an allegation of potential ethical
misconduct.
The regulation system is more accessible than in the past. The
ability to communicate by telephone with grievants and respondents
provides more personal contact and increases the level of satisfaction
with the process. Central intake also provides an efficient means to
respond to grievances. Decisions whether to close or to formally
investigate are made more promptly. As a result, the number and
percentage of matters resolved within 90 days and within 180 days
increased this year.
Overdraft Notification Program
The Overdraft Notification Rule9 went
into effect on Jan. 1, 1999. That rule requires attorneys to authorize
their financial and investment institutions to notify the OLR of
overdrafts on their client trust accounts and fiduciary accounts.
Information regarding the trust account overdraft program is available
at www.wicourts.gov/olr.
During Fiscal 2004, 132 overdrafts were reported to the OLR, six less
than in the previous fiscal year. Overdraft notifications have resulted
in the following dispositions during this year: revocation (voluntary) -
1; 90-day suspension10 - 1; public
reprimand11 - 2; private reprimand with
conditions - 1; diversion - 9; dismissal after diversion program
successfully completed - 22; dismissal after investigation - 6;
dismissal after investigation/advisory letter sent - 22; closed without
investigation/real estate exception12 - 1;
closed without investigation/real estate exception/advisory letter
sent13 - 2; closed without
investigation/bank errors - 25; closed without investigation/bank
errors/advisory letter sent - 11; closed pending reinstatement
proceedings - 1.
The advisory letters sent during Fiscal 2004, some of which included
more than one advisory, related to the following issues and record
keeping deficiencies: availability of funds for disbursement - 4;
maintenance account (to cover bank charges) - 11; deposit slip errors -
5; lack of proper endorsement - 2; check drafting errors - 1; signatory
authority on trust accounts - 1; failure to confirm wire transfers - 3;
transaction register/subsidiary ledger deficiencies - 4; check
stubs/inadequacy as a transaction register - 3; lack of running balances
in register and ledgers - 10; computer software deficiencies - 4;
commingling - 2; prohibition against credit card transactions - 2; real
estate transactions/$5,000 limit on personal checks - 2; other - 2.
On Sept. 18, 2003, the Wisconsin Supreme Court held a public hearing
on the joint petition of the OLR and the State Bar, seeking the adoption
of a new rule regarding lawyer trust and fiduciary accounts. The court
adopted the proposed rule, subject to certain modifications, immediately
following the public hearing. On April 30, 2004, the court issued an
order, repealing and recreating SCR 20:1.15, the trust account rule,
effective July 1, 2004. The amendments to SCR 20:1.15 constitute the
most significant changes to that rule since its inception in 1988.
The OLR staff presented two half-day seminars on trust account
management in conjunction with diversions. Trust account management also
was covered at the OLR's Professionalism Seminar, another diversion
program, in November 2003. The trust account investigator presented
one-hour seminars on the new rule to the Milwaukee and Madison branches
of the Wisconsin Association of Legal Administrators.
Survey of Matters
Overall Processing. The pending case-load is 738
matters, down significantly from the prior year, and within the system's
caseload capacity of about 870 matters. The efficiency with which
matters are processed is very good. The average processing time was 185
days, which is abnormally high because of the unusually large number of
older investigations that factored into that statistic. On the other
hand, the percentage of matters resolved within 90 days and 180 days
improved, to 64 percent and 76 percent respectively, and should increase
again next year.
Grievances. Figure
2 breaks down by category the grievances received between July 1,
2003 and June 30, 2004. In describing the nature of the grievances, only
the most serious allegation is reflected. While most grievances allege
more than one act of misconduct, it is not practical to list all
allegations.
The allegations most commonly made in grievances were lack of
diligence by the lawyer entrusted with the legal matter, lack of
communication with the client, and misrepresentation or dishonesty. The
two areas of practice that produced the most grievances during the year
were criminal law and family law. It is important to point out that
while clients file the majority of grievances, anyone can file a
grievance. (See Figure
2.)
Discipline. In Fiscal 2004, 66 attorneys received
public disciplinary sanctions. Four attorneys were sanctioned twice. The
supreme court imposed one revocation, six revocations by consent, 26
suspensions, 11 temporary suspensions, five summary suspensions, and
five public reprimands, dismissed one disciplinary matter, and imposed
conditions on one attorney's license to practice. Referees issued 15
public reprimands by consent. At the end of the year, 52 formal
disciplinary matters were pending in the supreme court. Figure
3 shows the numbers and percentages of attorneys receiving public
discipline since Fiscal 1979. Figure
4 shows the types of misconduct found in public discipline
decisions.
A referee has authority, under SCR 22.09(3), to issue private
reprimands pursuant to an agreement between the director and the
attorney. Typically, a private reprimand is imposed for an isolated act
of misconduct that caused relatively minor harm. A private reprimand is
not imposed if public disclosure of the attorney's misconduct is
necessary to protect the public. Private reprimands are retained
permanently and may be considered as an aggravating factor on the issue
of sanctions if the attorney commits subsequent misconduct. Summaries of
private reprimands, without any reference to or identification of the
attorney involved, are printed twice a year in the Wisconsin
Lawyer.
During this fiscal year, 33 attorneys received private reprimands.
The supreme court issued two private reprimands. Eighty-nine attorneys
entered the new alternatives to discipline program and 124 attorneys
completed an alternative program.
Other dispositions included: matters closed after the initial intake
evaluation due to insufficient information to support a misconduct
allegation (1,453); dismissals after investigation in cases due to
insufficient evidence of a violation (138); dismissals with an advisory
letter (47); and matters closed pending petition for reinstatement
(36).
Reinstatements. During Fiscal 2004, the court
completed action on 19 reinstatement petitions (12 administrative and
seven disciplinary) after investigations by the OLR and public
hearings.
Finances
The legal profession is unique in assuming all costs for regulating
itself. An assessment on every member of the State Bar of Wisconsin pays
the costs and expenses of the lawyer regulation system, including all
the costs and expenses of the OLR, district committees, the PRC, and the
board. To help offset the costs, the OLR collects costs from attorneys
disciplined in formal court proceedings and collects fees on petitions
for reinstatement. Collections for Fiscal 2004 were approximately
$93,000.
The budget for Fiscal 2005 is $2,398,000, up from $2,201,000 last
year. The assessment is $132.66, up from $123.12 last year. The
assessment is in line with those of neighboring jurisdictions - somewhat
higher than in Michigan and Iowa, the same as in Minnesota, and lower
than in Illinois. The assessment is significantly lower than in
Colorado, which has a comparable lawyer population and similar
programs.
Public Information and Outreach
To promote understanding of and confidence in the lawyer regulation
system, public information and outreach efforts are ongoing. General
information about the lawyer regulation system is available at www.wicourts.gov/olr.
The Year Ahead
Having met its caseload reduction goals this year, the lawyer
regulation system will strive to achieve its process timeliness goals
during the next year. Significant work will continue to improve the
system as recommended by the Board of Administrative Oversight Report,
and to improve the Rules of Professional Conduct for Attorneys as the
supreme court considers the petition filed by the Wisconsin Ethics 2000
Committee.
Endnotes
1SCR 21.15(2).
2SCR 21.03(6)(a).
3SCR 21.19.
4SCR 22.40(1).
5SCR 22.40(2).
6SCR 22.001(2).
7SCR 22.16.
8SCR 22.38.
9SCR 20:1.15(h) (formerly SCR
20:1.15(i)-(p)).
10Included condition of two years
of trust account supervision following reinstatement.
11One of the public reprimands
included condition of attending a trust account seminar, followed by two
years of recordkeeping supervision.
12Closed in anticipation of July
1, 2004 effective date of SCR 20:1.15(e)(5)(b)., which creates a limited
exception to the prohibition against disbursing funds prior to
availability of real estate transactions.
13Id.
Wisconsin Lawyer