Sign In
    Wisconsin Lawyer
    June 01, 2002

    Lawyer Discipline

    Wisconsin Lawyer
    Vol. 75, No. 6, June 2002

    Lawyer Discipline


    The Office of Lawyer Regulation (formerly known as the Board of Attorneys Professional Responsibility), an agency of the Wisconsin Supreme Court and component of the lawyer regulation system, assists the court in carrying out its constitutional responsibility to supervise the practice of law and protect the public from misconduct by persons practicing law in Wisconsin. The Office of Lawyer Regulation has offices located at Suite 315, 110 E. Main St., Madison, WI 53703, and Suite 300, 342 N. Water St., Milwaukee, WI 53202. Toll-free telephone: (877) 315-6941.

    Public Reprimand of Charles E. Brady

    The Office of Lawyer Regulation (OLR) and Charles E. Brady, 49, River Falls, entered into an agreement for imposition of a public reprimand, pursuant to SCR 22.09(1). A referee appointed by the Wisconsin Supreme Court approved the agreement and issued the public reprimand in accordance with SCR 22.09(3).

    Brady, an associate in a two-lawyer law firm, wrote six checks totaling $4,000 on the law firm's business checking account made payable to himself or cash, and stamped the law firm owner's signature on the checks without the owner's authorization while the owner was away on a vacation in March 2001. Brady negotiated the checks for his own use. Brady typically had no responsibility for the firm's financial matters, but during the owner's absence, Brady was authorized to handle exigent financial matters by using a stamp of the owner's signature on checks that were to be drawn on the firm's business checking account.

    Brady took the above actions after calculating that his own personal checking account would be substantially overdrawn unless he made a deposit into the account. Brady reported his actions to the owner on his return, and both Brady and the owner reported the matter to the OLR.

    Brady previously had requested and received cash advances totaling about $2,000 from the owner as short-term loans after Brady had experienced financial difficulties. None of the loans were repaid at the time of the owner's vacation. Brady and the owner had never discussed whether Brady's personal financial circumstances would constitute any sort of compelling circumstance justifying removing funds from the law firm's business checking account. In writing the checks to himself or to cash and in negotiating the checks for his personal use, all without the owner's authorization or approval, Brady violated SCR 20:8.4(c).

    By mid-April 2001, Brady had returned all funds he had withdrawn from the law firm's checking account and repaid the personal loans to the owner.

    Brady previously received a public reprimand in 1997 for failing to make full disclosure of his financial situation to a client from whom he borrowed money.

    Disciplinary Proceeding against Dianna L. Brooks

    The Wisconsin Supreme Court suspended the law license of Dianna L. Brooks, Ellenwood, Ga., for 90 days, effective April 10, 2002, as discipline reciprocal to that imposed upon her by the Michigan Attorney Discipline Board in 1999.

    Brooks' Wisconsin law license already had been suspended for failure to pay dues and for noncompliance with CLE requirements. During the course of an OLR investigation into a reinstatement petition filed by Brooks in 2001, Brooks disclosed Michigan's 90-day suspension of her Michigan law license for misconduct. That misconduct included violations of Michigan rules regarding competency, scope of representation, diligence, communication with a client, fees, trust accounting, termination of representation, improper practice of law in Maryland prior to her admission pro hac vice in a Maryland matter, abandonment of two clients, and failing to file an answer to three investigative requests from Michigan's grievance administrator.

    In addition to the 90-day suspension, Brooks was ordered by the Michigan Attorney Disciplinary Board to make restitution, which she did prior to successfully reinstating her Michigan law license.

    In Wisconsin, the OLR filed a reciprocal discipline complaint and added to the recitation of Michigan misconduct the charge that Brooks committed additional misconduct by failing to timely notify the OLR's predecessor, BAPR, of Michigan's imposition of public discipline.

    Based upon a stipulation between Brooks and the OLR, the supreme court, Justice Sykes dissenting, held that discipline identical to that imposed in Michigan, a 90-day suspension, was appropriate in this situation.

    Public Reprimand of Ralph A. Kalal

    In an order filed May 2, 2002, the Wisconsin Supreme Court publicly reprimanded Ralph A. Kalal, 53, Madison, for professional misconduct consisting of making knowing misrepresentations of fact to the supreme court in the course of oral argument on behalf of an appellant, contrary to SCR 20:3.3(a)(1), which states, "A lawyer shall not knowingly ... make a false statement of fact or law to a tribunal."

    In the case at issue, the court of appeals had denied a motion to extend the brief deadline, and dismissed the appeal for failing to timely file a brief, and cited Kalal's and his firm's history of extension motions and tardy filings in other, unrelated cases. The supreme court later concluded that the court of appeals had improperly based its decision to dismiss the appeal on the conduct of Kalal and his firm in cases unrelated to the appellant. In oral argument before the supreme court in that case, certain of the justices questioned Kalal as to the extent of past sanctions and warnings issued to Kalal and his firm by the court of appeals.

    In the disciplinary action later brought against Kalal, the supreme court concluded that Kalal had not been truthful in his responses, stating in part, "Oral argument is not an opportunity for deception ... This is a critical part of the court's decision-making process. Attorney Ralph Kalal knowingly made false statements to this court during oral argument, in response to questions from members of the court. Under these circumstances, only a strong, unmistakable and public sanction will reinforce the attorney's obligation of truthfulness and candor in court and deter the sort of gamesmanship that Attorney Kalal's conduct represents."

    Public Reprimand of Tim Osicka

    The OLR and Tim Osicka, 53, Wausau, entered into an agreement for imposition of a public reprimand, pursuant to SCR 22.09(1). A referee appointed by the supreme court thereafter approved the agreement, and issued the public reprimand in accordance with SCR 22.09(3).

    The misconduct occurred in four separate client representations. The first matter concerned Osicka's representation of a client in a bankruptcy action. By failing to disclose to the client that he had already signed a joint Motion for Approval of Compromise when the client instructed him to not sign the motion, by failing to apprise the client that the court had entered an order pursuant to that motion, by failing to timely notify the client that he had to sign quit claim deeds or face contempt of court charges, and by failing to timely respond to numerous inquiries from the client, Osicka failed to keep the client reasonably informed about the status of his matter and failed to promptly comply with the client's reasonable requests for information, contrary to SCR 20:1.4(a). By failing to promptly seek to reopen the court's order and correct figures that the client believed were in error, and by failing to timely forward the quit claim deeds to the client for execution pursuant to the court's order, Osicka failed to act with reasonable diligence and promptness, contrary to SCR 20:1.3.

    In the second matter, Osicka represented a woman regarding post-divorce maintenance issues. By failing to appear at a hearing after a judge did not respond to Osicka's request for a continuance, and by preparing a brief that was struck by the court of appeals for its inaccuracies and its failure to comply with the rules of appellate procedure, Osicka failed to provide competent representation to his client, contrary to SCR 20:1.1. By stating in his appellate brief that the trial judge acted outrageously, and by inaccurately claiming that the judge held an ex parte hearing, Osicka made statements concerning the integrity of a judge with reckless disregard as to the statement's truth or falsity, contrary to SCR 20:8.2(a), and failed to maintain the respect due to courts of justice and judicial officers, contrary to the attorney's oath, SCR 40.15, and SCR 20:8.4(g), which makes it misconduct for an attorney to violate the attorney's oath.

    In the third matter, a couple hired Osicka to evaluate a potential medical malpractice case. By failing to timely respond to telephone calls and letters from the couple, and by failing to promptly notify the clients regarding his receipt of an evaluation from a consulting attorney regarding the merits of the couple's case, Osicka failed to keep a client reasonably informed about the status of a matter and failed to promptly comply with reasonable requests for information, contrary to SCR 20:1.4(a).

    In the final matter, Osicka undertook representation of a woman regarding post-divorce custody and visitation issues. The woman alleged that burns her son suffered approximately two years earlier had been intentionally inflicted by the son's father. By failing to arrange for the testimony of the son's treating physician until serving him with a subpoena less than an hour before the start of a hearing, and by failing to present any testimony or evidence on his client's behalf in support of her motion to deny placement, Osicka failed to provide competent representation to his client, contrary to SCR 20:1.1. By failing to promptly advise his client that she was required to obtain reports from a counselor or face contempt of court sanctions, Osicka failed to keep a client reasonably informed about the status of a matter, contrary to SCR 20:1.4(a).

    Hearing to Reinstate Gregory J. Straub

    A public hearing on the petition of Gregory J. Straub to reinstate his law license will be held on Thursday, Aug. 1, 2002, at 9 a.m. before referee Charles Herro at the Oconomowoc City Hall, 174 E. Wisconsin Ave., Conference Room C, Oconomowoc. Any interested person may appear at the hearing and be heard in support of, or in opposition to, the petition for reinstatement.

    In 1993, Straub filed a voluntary petition for the revocation of his Wisconsin law license. On Sept. 16, 1993, the Wisconsin Supreme Court revoked Straub's license. Straub's petition for revocation indicated that he could not successfully defend against allegations that he forged a client's signature on a settlement check and release; converted clients' settlement funds to his own use; misrepresented to his client and others the amount of the settlement he received on behalf of the client and his disbursements of those funds; settled clients' claims without their knowledge or authorization; commingled personal funds in an account with client funds and treated that account as a business account for his law office; failed to keep required records of his trust account transactions; and fabricated lien satisfactions in order to obtain a personal loan.

    To reinstate, Straub must prove by clear, satisfactory, and convincing evidence that, among other things, he has not practiced law during the period of revocation; he has maintained competence and learning in the law by attending identified educational activities; his conduct since the revocation has been exemplary and above reproach; he has a proper understanding of and attitude toward the standards that are imposed upon members of the bar and will act in conformity with the standards; he can safely be recommended to the legal profession, the courts, and the public as a person fit to be consulted by others and to represent them and otherwise act in matters of trust and confidence and in general to aid in the administration of justice as a member of the bar and as an officer of the courts; he has fully described all of his business activities during the period of suspension; and he has made restitution to or settled all claims of persons injured or harmed by his misconduct or, if not, has explained his failure or inability to do so.

    Straub also must demonstrate by clear, satisfactory, and convincing evidence that he has the moral character to practice law in Wisconsin, that his resumption of the practice of law will not be detrimental to the administration of justice or subversive of the public interest, and that he has fully complied with the terms of the order of revocation and with the requirements of SCR 22.26.

    Further information may be obtained from Office of Lawyer Regulation Deputy Director Jeananne L. Danner, 342 N. Water St., Suite 300, Milwaukee, WI 53202, (414) 227-4623; or from OLR Retained Counsel Gregg Herman, 111 E. Wisconsin Ave., Suite 1725, Milwaukee, WI 53202, (414) 272-5632.

    Public Reprimand of Michele A. Tjader

    In an order filed April 26, 2002, the supreme court publicly reprimanded Michele A. Tjader, 30, Madison, for professional misconduct stemming from her October 1998 retainer to represent an incarcerated person in seeking that person's transfer to a minimum-security facility and/or to help him obtain parole. The client had completed a Department of Corrections program that, when begun by the client, led to automatic eligibility for transfer to minimum security and/or parole board review, but when completed by the client, no longer led to such automatic relief. With the client's consent, and in large part due to his incarceration, much of the communication concerning the representation flowed between the client's fiancée and Tjader.

    At the inception of the attorney-client relationship, it was made known to Tjader that the client desired quick resolution of the matter. Tjader informed the client's fiancée that a writ of habeas corpus was the appropriate legal procedure to use. Tjader had previously filed one habeas corpus petition, and had never handled a case such as the client's. Tjader reviewed one reported case, but did no additional legal research and consulted with no other attorneys about proper procedure in such a matter. At no point did Tjader consider or research the possibility of filing a petition for writ of certiorari, or alternative procedural mechanisms for accomplishing the client's objective. Tjader violated SCR 20:1.1, which requires competent representation, defined as requiring "the legal knowledge, skill, thoroughness, and preparation reasonably necessary for the representation."

    By letter dated Nov. 3, 1998, Tjader's paralegal informed the client's fiancée that a habeas petition would be filed by "Thanksgiving time." As of the Feb. 11, 1999, termination of the legal representation, Tjader had filed nothing on the client's behalf, contrary to SCR 20:1.3, which requires an attorney to act with reasonable diligence and promptness in representing a client. During the representation, Tjader failed to respond to multiple inquiries concerning the status of the anticipated habeas petition, in violation of SCR 20:1.4(a). Tjader violated SCR 20:8.4(c) by misrepresenting to the client's fiancée in January 1999 that a habeas petition had been filed. Contrary to SCR 20:1.16(d), Tjader did not promptly return the unearned retainer fee upon termination of representation, though she did so after the commencement of the grievance investigation. Tjader did not pay interest on the delayed return of the unearned retainer, and the supreme court's order of discipline includes the requirement that Tjader pay such interest.


Join the conversation! Log in to comment.

News & Pubs Search

-
Format: MM/DD/YYYY