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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.
The following summaries of selected private reprimands are
printed to help attorneys avoid similar misconduct problems.
Some of the summaries indicate violations of the rules that were
in effect prior to Jan. 1, 1988. The current rules proscribe
the same types of misconduct.
Incompetence, obtaining prospective malpractice waiver from
client
Violations of SCR 20:1.1 and 20:1.8(h)
An attorney drafted a limited partnership agreement on behalf
of a client (the general partner). The attorney thereafter failed
(due to his general unfamiliarity with the subject) to ensure
that the partnership acted in conformance with applicable law,
particularly by accepting and accounting for funds placed by
hundreds of investors in excess of the unregistered 15 permitted
under the partnership, without first ascertaining whether those
investments might also be exempt from registration under applicable
law, in violation of SCR
20:1.1, which requires a lawyer to provide competent representation
to a client.
Upon his release of $113,000 in investment funds to the client,
without authorization from the Wisconsin Division of Securities
or the client's then-securities counsel, the attorney obtained
from the client a Release and Indemnification, under which the
client agreed to hold the attorney harmless for any losses the
client might incur as a result of the attorney's actions,
"including but not limited to record keeping and trust account
management," in violation of SCR
20:1.8(h).
The attorney had no prior discipline.
Incompetence, Neglect, Failure to Communicate, Disclosing
Confidences, and Fee-Splitting
Violations of SCR 20:1.1, 20:1.3, 20:1.4(a) and (b), 20:1.6(a),
and 20:1.5(e)
The attorney represented a plaintiff in a personal injury
action. Less than two months before trial, the attorney, without
the client's knowledge or consent, asked another attorney
to assist with trial of the case and agreed to split the fees
with the assisting lawyer.
A new judge was appointed nine days before trial, requiring
a request for substitution to be filed within 24 hours of receipt
of the assignment notice. Without any consultation with the client,
the assisting attorney allegedly filed a request for substitution
via regular mail, rather than faxing or hand-delivering it so
that it would be received within the 24-hour deadline. The request
was not copied to the judge or opposing counsel.
Five days before the scheduled trial, the client was for the
first time informed that another attorney had been brought into
the case and that there would be no trial because of the request
for substitution. The client called to confirm the continuance
with the court and was told the trial was still scheduled to
go forward, but the attorney nevertheless again assured the client
that the trial would not be held. The judge and the defendants
did appear for trial, but no one appeared on behalf of the plaintiff.
The case was subsequently dismissed for failure to prosecute.
BAPR found that by failing to meet statutory requirements
in the motion for substitution of judge, by failing to seek confirmation
that the trial had been continued, and by failing to appear at
trial, the attorney failed to provide competent representation,
contrary to SCR
20:1.1; and failed to act with reasonable diligence and promptness,
contrary to SCR
20:1.3. By failing to promptly inform the client about involving
another attorney in the trial of the case and by failing to discuss
the request for substitution of judges with the client, the attorney
failed to adequately communicate with the client, contrary to
SCR
20:1.4(a) and (b). Finally, by showing the client's
file to another attorney and agreeing to split legal fees with
that attorney without the client's prior knowledge or consent,
the attorney violated SCR
20:1.6(a), which proscribes disclosure of information relating
to representation of a client without the client's consent;
and SCR
20:1.5(e), which allows a division of fees only when the
client is advised of and does not object to the participation
of all the lawyers involved.
The attorney had no prior discipline.
Adverse Party Communication - Guardianship
Violation of SCR 20:4.2
An attorney represented the petitioner on a Petition for Protective
Placement. Adversary counsel for the prospective ward filed a
motion seeking to vacate a previous order appointing the petitioner
as guardian. A hearing on that motion was held on Dec. 23 and
the order was vacated; however, the petition for protective placement
was not dismissed. Both attorneys appeared at the Dec. 23 hearing.
Both attorneys drafted proposed orders, and the attorney for
the petitioner copied opposing counsel with her proposed order
on Dec. 29.
On Dec. 25, the attorney for the petitioner visited the proposed
ward in the nursing home where she was residing. The attorney
obtained the proposed ward's signature on a Durable Power
of Attorney and a Power of Attorney for Health Care to the petitioner.
Both of these documents were drafted and signed by the attorney
for the petitioner. The proposed ward's attorney did not
give consent for the meeting nor was he advised of the meeting.
The proposed ward was an elderly individual who was diagnosed
with dementia and taking psychotropic medication.
BAPR found that the attorney for the petitioner violated SCR
20:4.2 by meeting with the proposed ward without the knowledge
or consent of the proposed ward's attorney.
The attorney had no prior discipline.
Lack of diligence, failure to communicate, failure to cooperate
with BAPR
Violation of SCR 20:1.3, SCR 20:1.4(a), and SCR 22.07(3)
An attorney was retained to represent a client in a "slip
and fall" case in February 1997. An offer had been made
to the client's previous attorney, who withdrew when he
accepted new employment. After meeting with the client, the attorney
contacted the insurance adjuster who was handling the case and
had several discussions regarding the case, but did not reach
a settlement. The attorney again spoke to the adjuster in early
July 1997 (the statute of limitations would run on July 5, 1997).
They discussed a new settlement amount, but the attorney failed
to finalize the settlement or file a lawsuit before the statute
ran. The attorney did not speak to the client to inform her of
what occurred, despite the client's several attempts to
contact the attorney. The adjuster closed his file 60 days after
the statute ran. During the investigation of this matter, the
attorney failed to respond to seven letters from BAPR, despite
acknowledging receipt of those letters.
BAPR found that, by failing to settle the claim or file suit
before the statute of limitations ran, the attorney violated
SCR
20:1.3; by failing to respond to the client's attempts
to reach her and failing to inform the client of the status of
her case, the attorney violated SCR
20:1.4(a); and that by failing to respond to BAPR letters,
the attorney violated SCR
22.07(3).
The attorney had no prior discipline.
Unwritten contingent fee agreement, and improper disbursement
of funds
Violations of SCR 20:1.5(c), 20:1.15(b), 20:3.4(c)
An attorney represented a woman and her minor children on
injury claims pursuant to a contingent fee agreement that was
not reduced to writing, in violation of SCR
20:1.5(c). In violation of SCR
20:1.15(b) and 20:3.4(c),
the attorney disbursed certain funds to the woman, when by court
order those funds were to be paid to health-care providers who
treated the minor children.
Lack of diligence, conflict of interest
Violations of SCR 20:1.3 and 20:1.7(b)
In one matter, the attorney represented an estate, and violated
SCR
20:1.3 by failing to make any progress for about 16 months.
In the second matter, the attorney undertook representation
of an alleged participant in illegal drug activities, while already
representing another suspect in the same alleged activities.
The attorney violated SCR
20:1.7(b) by failing to obtain any conflict waiver from the
first client. A separate violation of SCR 20:1.7(b) occurred
when the attorney failed to engage the second client in the level
of consultation required under SCR 20:1.7(b). The attorney had
that client sign a purported conflict waiver that referred to
(but did not identify) "another person" whom the attorney
also represented.
Lack of diligence, failure to communicate, practicing law
while administratively suspended
Violation of SCR 20:1.3, SCR 20:1.4(a) and (b), and SCR
20:5.5(a)
In 1995 an attorney was appointed by the Public Defender's
Office to represent a client in an appeal of a criminal conviction.
The attorney eventually formed the belief that the appeal lacked
merit, but failed to ever file a no-merit brief or withdraw.
The client became concerned over the lack of attorney contact
and made several attempts to contact the attorney by letter and
phone, to which the attorney failed to respond.
The attorney prepared a motion to withdraw after the grievance
had been filed, but failed to ever file the motion. The attorney
contacted the Public Defender's Office in early 1997 to
inform them that he wished to withdraw. However, successor counsel
had already been appointed after the client had contacted the
Public Defender's Office regarding the lack of communication
from the attorney.
The attorney's law license was later suspended for failure
to comply with CLE requirements. The attorney claimed not to
have received notices regarding the suspension but stated that
he was aware that his license would be suspended for his failure
to meet the requirements and his failure to pay dues. Subsequent
to his suspension, the attorney appeared in traffic court on
behalf of friends on two occasions.
BAPR found that by failing to either advance the client's
appeal or withdraw for almost two years, the attorney failed
to act with reasonable diligence and promptness in representing
a client, in violation of SCR
20:1.3. BAPR also found that by failing to respond to the
client's reasonable requests for information on the status
of the appeal and failing to advise the client of his belief
that the appeal lacked merit, the attorney violated SCR
20:1.4(a) and (b). BAPR further found that, by appearing
in traffic court after his license had been administratively
suspended, the attorney engaged in the practice of law in violation
of the regulation of the legal profession in that jurisdiction,
in violation of SCR
20:5.5(a).
The attorney had no prior discipline.
Neglect, failure to communicate, improper withdrawal
Violations of SCR 20:1.3, 20:1.4 and 20:1.16(d)
The attorney represented a client in an employment discrimination
matter. The attorney failed to respond to two requests for information
from the state Equal Rights Division, causing that complaint
to be dismissed.
The attorney then commenced a federal action. The attorney
says that after the client's deposition was taken, the attorney
decided the case was not worth pursuing and advised the client
to get another attorney. The client disputes being so advised.
Six months later, the attorney received a motion for summary
judgment. The attorney didn't send a copy of the motion
to the client and didn't respond to the motion, causing
the client's action to be dismissed.
BAPR found that the attorney's failure to respond to
requests for information from the state Equal Rights Division
and to the motion for summary judgment in the federal action
constituted a failure to act with reasonable diligence and promptness,
contrary to SCR
20:1.3; that the attorney's failure to notify the client
about the motion for summary judgment and to confer with the
client about whether the client wished to pursue his action constituted
a failure to adequately communicate, contrary to SCR
20:1.4; and that the attorney's apparent withdrawal
from the case, without notice to the court, to adverse counsel
or any written notice to the client, and without taking the necessary
steps to protect the client's interests, was contrary to
SCR
20:1.16(d).
The attorney had not previously been disciplined
Accepting settlement without client's authorization,
failing to protect a third party's interests in a settlement
Violations of SCR 20:1.2(a) and SCR 20:1.15(b)
In July 1994 an attorney was retained to represent a man regarding
an automobile accident. While that case was pending, the man
was incarcerated for an unrelated probation violation. In October
1996, while the client was still incarcerated, the respondent
attorney received a settlement offer from opposing counsel. The
attorney failed to inform the client of the offer and settled
the case for approximately $11,000, without the client's
authorization, contrary to SCR
20:1.2(a). When the client learned about the settlement,
he refused to sign a release of his claim, and opposing counsel
ultimately brought a motion to enforce the settlement. The attorney
contended that the client gave his father the authority to settle
the case, and that the father accepted the settlement offer.
The client and his father both deny this, and the attorney had
no documentation of such an arrangement.
The attorney also represented a woman regarding an October
1992 automobile accident. In March 1993 the attorney sent a protection
letter to the woman's chiropractor, promising to pay the
charges for the woman's care from any settlement proceeds
that were received. In April 1993 the attorney signed a doctor's
lien, further agreeing to withhold funds from the settlement
to pay the chiropractic charges. The case was settled for approximately
$58,000 in February 1996. The attorney failed to promptly notify
the chiropractor of his receipt of the settlement, and further
failed to promptly disburse the funds to which the chiropractor
was entitled, in violation of SCR
20:1.15(b).
The misconduct in the first matter was aggravated in that
the attorney's personal interests appeared to take precedence
over the client's interests. In the second matter, the financial
harm to the chiropractor was an aggravating factor.
The attorney had no prior discipline.
Failing to file targeted direct mail advertisements with
BAPR
Violation of SCR 20:7.3(b)
An attorney sent targeted direct mail advertisements to prospective
clients for five years without filing a copy of said advertisements
with BAPR within five days of dissemination, as required by SCR
20:7.3(b). The conduct was aggravated by the attorney's
prior discipline, which included two public reprimands and a
60-day suspension.
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