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Vol. 73, No. 2, February
2000 |
Lawyer Discipline
The Board of Attorneys Professional Responsibility, an arm
of the Wisconsin Supreme Court, assists the court in discharging
its exclusive constitutional responsibility to supervise the
practice of law in this state and to protect the public from
acts of professional misconduct by attorneys licensed to practice
in Wisconsin.
The board is composed of eight lawyers and four
nonlawyer members, and its offices are located at Room 410, 110
E. Main St., Madison, WI 53703, and 342 N. Water St., 3rd Floor,
Milwaukee, WI 53202.
Disciplinary Proceeding Against John W. Gibson
On Nov. 5, 1999, the Wisconsin Supreme Court ordered a six-month
suspension of the law license of John W. Gibson, 67, Madison,
effective Dec. 10, 1999.
Gibson represented a married couple on a Chapter 13 bankruptcy
petition. A mortgage lender had neglected to record its mortgage
on the couple's home prior to the filing of the bankruptcy
petition. The lender moved for relief from the automatic bankruptcy
stay so as to permit the post-petition recording of the mortgage.
In violation of SCR
20:1.1, which requires a lawyer to provide competent representation
to a client, Gibson failed to object to the motion, thereby forfeiting
his clients' ability to retain equity in their home, and
permitting the unsecured mortgagee to become a secured creditor.
In violation of SCR
20:1.4(a), Gibson also failed to communicate adequately with
the clients about their opportunity to oppose the motion and
use the mortgagee's mistake to their advantage.
Gibson's law license previously was suspended for 90
days in 1985, and for 60 days in 1997.
Disciplinary Proceeding Against Nicholas C. Grapsas
On Dec. 3, 1999, the Wisconsin Supreme Court ordered a six-month
suspension of the law license of Nicholas C. Grapsas, 61, Madison,
effective Jan. 10, 2000.
A foreign national hired Grapsas in October 1994 to represent
her on an application for permanent residency in the United States.
The client taught French at a private secondary school in Indiana.
When she retained Grapsas, or shortly thereafter, the client
informed Grapsas that she had three minor children, one of whom,
a daughter, was not a United States citizen, having been born
outside this country and admitted to the U.S. on dependent status.
On May 16, 1995, Grapsas filed a petition with the Immigration
and Naturalization Service (INS) to extend the client's
nonimmigrant status. By July 1995, the client had provided Grapsas
with all of the information necessary for him to complete the
Application for Alien Employment Certification, the first of
four steps in applying for permanent residency. Grapsas did not
file the application until February 1997, in violation of SCR
20:1.3. Between November 1995 and February 1997, Grapsas
had misrepresented to the client on numerous occasions that he
had filed the application on her behalf, in violation of SCR
20:8.4(c).
Before Grapsas filed the Application for Alien Employment
Certification, he altered the dates on it to make it appear that
the client and employer had signed the application in November
1996 rather than a year earlier, as they had in fact done. In
altering the application, Grapsas violated SCR
20:8.4(c). Prior to filing the application, Grapsas did not
inform the client of the true status of the application, nor
did he respond promptly to certain of her requests for information
concerning it, in violation of SCR
20:1.4(a).
When Grapsas filed the client's petition to extend nonimmigrant
status in May 1995, he failed to inform the client that her daughter's
dependent status would not be extended automatically upon the
extension of the client's nonimmigrant status. He also failed
to explain to the client the procedure to be followed to keep
her daughter in dependent status. By failing to explain to his
client important aspects of her situation, Grapsas violated SCR
20:1.4(b). In 1996 the client discovered that her daughter's
status had expired. The client contacted Grapsas, who then told
her they would need to file an extension application with INS.
Grapsas filed such an application on or about March 10, 1997.
The INS denied the daughter's application on May 1, 1997,
and sent notice of the denial to Grapsas to forward to the client's
daughter. In violation of SCR
20:1.4(a), Grapsas did not inform the client or the daughter
that the application had been denied until June 3, 1997, when
the client contacted him.
After the client terminated his representation, Grapsas agreed
to return the $1,000 retainer paid by the client. Grapsas repaid
$200, but made no further payments after the client filed a grievance
with the Board of Attorneys Professional Responsibility (BAPR).
By failing to return the remainder of the unearned retainer,
Grapsas violated SCR
20:1.16(d).
Grapsas failed to timely file a written response to the client's
grievance, contrary to SCR
22.07(2) and (3).
Grapsas was publicly reprimanded by the supreme court in 1993,
and again in March 1999, for misconduct in representing clients
in immigration matters.
In addition to ordering a six-month license suspension, the
court ordered Grapsas to refund in full the retainer paid by
the client.
Disciplinary Proceeding Against Clay E. Konnor
On Dec. 3, 1999, the Wisconsin Supreme Court revoked the law
license of Clay E. Konnor, 36, Milwaukee, effective June 16,
1999. In addition, the court ordered Konnor to pay the costs
of the disciplinary proceedings. The revocation, which follows
a June 16, 1999, temporary suspension, is based upon Konnor's
criminal convictions.
On June 3, 1998, Konnor pleaded no-contest to one count of
misdemeanor theft, one count of felony burglary, and seven counts
of misdemeanor practicing law without a license in Milwaukee
County Circuit Court, Branch 42. The misdemeanor theft charge
originally was issued as one count of felony forgery, but was
amended to misdemeanor theft pursuant to a plea agreement. On
July 24, 1998, Konnor was sentenced on all of these charges,
with an additional eight uncharged counts of practicing law without
a license being read in to the record for sentencing. Konnor
was sentenced to serve 30 days in jail and placed on probation
for five years.
As a basis for the theft charge, in 1993 Konnor had forged
the endorsement of a city treasurer's office on an escrow
check and deposited the check in his own checking account. As
a basis for the burglary charge, in 1997 Konnor had broken into
the home of an acquaintance and removed various pieces of musical
equipment. The acquaintance caught Konnor in the act and all
stolen items were recovered. As a basis for the charges of practicing
law without a license, in 1997 Konnor had been suspended for
failure to pay dues and comply with continuing legal education
requirements, but continued to practice law during this period.
Konnor also was in possession of several oil paintings stolen
from a club in Chicago in 1997; however, no charges were issued
after Konnor returned the paintings when questioned by police.
By his actions, the court found that Konnor committed criminal
acts that reflected adversely on his honesty, trustworthiness,
or fitness as a lawyer, in violation of SCR
20:8.4(b); that Konnor engaged in conduct involving dishonesty,
fraud, deceit, or misrepresentation, in violation of SCR
20:8.4(c); and that Konnor engaged in the practice of law
where doing so violated the regulation of the legal profession
in that jurisdiction, in violation of SCR
20:5.5(a).
Disciplinary Proceeding Against David J. Moskal
The Wisconsin Supreme Court revoked the law license of David
J. Moskal, 44, of Minnesota, effective Dec. 15, 1999, as discipline
reciprocal to Moskal's disbarment by the Minnesota Supreme
Court in 1998 and in response to Moskal's subsequent federal
felony convictions as to three counts of knowingly and intentionally
devising and executing a scheme to defraud others through the
United States mail.
Moskal filed a voluntary petition for revocation, in which
he acknowledged that he could not successfully defend himself
against BAPR's allegations concerning his misappropriation
and conversion of more than $2.4 million in funds belonging to
his clients and to the law firm with which he practiced. His
misconduct included a failure to uphold the obligations of a
lawyer to safeguard clients' property held in trust, in
violation of SCR
20:1.15; the making of false statements of fact to third
persons in the course of representing clients, in violation of
SCR 20:4.1; and dishonesty, fraud, deceit, or misrepresentation,
in violation of SCR 20:8.4(c).
Further, as evidenced by his pleas of guilty and subsequent convictions
to serious crimes, Moskal committed criminal acts that reflect
adversely on his honesty, trustworthiness or fitness as a lawyer
in other respects, in violation of SCR
20:8.4(b). Finally, by not notifying BAPR of his Minnesota
disbarment, Moskal violated SCR
22.25(1).
Moskal, who is presently incarcerated, had no prior discipline.
Disciplinary Proceeding Against Daniel J. Raymonds
The Wisconsin Supreme Court imposed a temporary suspension
of the law license of Daniel Raymonds, 43, Milwaukee, commencing
Aug. 9, 1999, based upon Raymonds' failure to provide an
audit of his trust account to BAPR as of Aug. 2, 1999, after
being ordered to do so in the fall of 1997. The audit was ordered
by the referee before whom a disciplinary proceeding against
Raymonds currently is pending.
On Dec. 17, 1999, the court lifted the suspension, effective
that date, pursuant to an agreement between Raymonds and BAPR,
Raymonds' representation that he has taken action to ensure
his compliance with rules governing client trust accounts, and
the recommendation of the referee that the temporary suspension
be lifted.
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