Sign In
    Wisconsin Lawyer
    November 01, 2002

    Lawyer Discipline

    Wisconsin Lawyer
    Vol. 75, No. 11, November 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 Terry Ann Morgan

    The Office of Lawyer Regulation (OLR) and Terry Ann Morgan, 44, of Sleepy Hollow, New York, entered into an agreement for imposition of a public reprimand pursuant to SCR 22.09(1). A referee appointed by the Wisconsin Supreme Court thereafter approved the agreement and issued the public reprimand on Aug. 6, 2002.

    After graduating from the U.W. Law School in 1988, Morgan immediately went to work for an out-of-state federal agency, where she remains employed to date. That position has always involved the practice of law, and Morgan therefore was required to maintain an active state law license. Wisconsin is the only state in which Morgan was licensed, and that license was suspended in 1990 for failure to pay State Bar dues and in 1991 for failure to comply with continuing education requirements. Despite her suspension, in 1991 Morgan petitioned and was admitted to practice before the U.S. District Court of New York on the basis of her Wisconsin licensure.

    Morgan said she was never notified of her Wisconsin suspensions and believed that she remained a member in good standing. In approximately June of 2001, however, pursuant to an inquiry from her employer, Morgan contacted the State Bar of Wisconsin and was informed that she was suspended and would have to file a petition for reinstatement. Morgan nevertheless continued to practice law and did not file a petition for reinstatement until late October or early November of 2001. Her law license was reinstated by the Wisconsin Supreme Court on March 5, 2002.

    As to her practice of law subsequent to her 1990 suspension for failure to pay State Bar dues, Morgan violated SCR 10.03(6), which states, in relevant part, "[N]o person whose membership is so suspended for nonpayment of dues may practice law during the period of suspension." SCR 10.03(6) is enforceable under the Rules of Professional Conduct through SCR 20:8.4(f), which states, "It is professional misconduct for a lawyer to ... violate a statute, supreme court rule, supreme court order, or supreme court decision regulating the conduct of lawyers." With respect to law practice subsequent to her 1991 CLE suspension, Morgan violated SCR 20:5.5(a), which states, "A lawyer shall not ... practice law in a jurisdiction where doing so violates the regulation of the legal profession in that jurisdiction...."

    Public Reprimand of Timothy J. Carmichael

    The OLR and Timothy Carmichael, Sun Prairie, 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).

    Carmichael was charged with third offense operating while intoxicated (OWI) and three counts of obstructing an officer, following a traffic stop in Madison. Carmichael entered a guilty plea to the OWI charge.

    Carmichael pleaded no contest to two obstruction counts and was offered a first offender program. The third obstruction count was dismissed. Carmichael completed the first offender program, and the court dismissed the two obstruction counts. All of the obstruction counts related to statements Carmichael made during police interviews. Carmichael denied being present at the traffic stop or being the driver of the car that was stopped, and he claimed to have given his car key to another person before the incident in question. In fact, during the traffic stop, Carmichael had given his car key and driver's license to the responding officer, who determined that the person depicted on the driver's license and the driver of the car were the same person. Carmichael subsequently fled the scene on foot.

    By making false statements to investigating police officers on three occasions, Carmichael violated SCR 20:8.4(c), which provides it is professional misconduct for a lawyer to engage in conduct involving dishonesty, fraud, deceit, or misrepresentation. With respect to the false statements leading to convictions on two counts of obstructing, Carmichael violated SCR 20:8.4(b), which states it is misconduct for a lawyer to commit a criminal act that reflects adversely on the lawyer's honesty, trustworthiness, or fitness as a lawyer in other respects. Carmichael's conviction of third offense OWI was evidence of a separate violation of SCR 20:8.4(b).

    Disciplinary Proceeding against Susan M. Cotten

    On Sept. 11, 2002, the Wisconsin Supreme Court ordered a one-year suspension of the law license of Susan M. Cotten, Madison, effective the date of the order. The court also ordered Cotten to pay restitution to a client and to pay the costs of the proceeding.

    The suspension was based upon Cotten's misconduct regarding two clients. In the first matter, Cotten represented the plaintiff in a legal malpractice action. Cotten filed answers to interrogatories described by the trial court as "astonishing," and which were so unresponsive as to provide evidence of a violation of SCR 20:1.1, which requires lawyers to provide competent representation to clients. Cotten discontinued work on the case, including a failure to respond to discovery requests, which led to the court's dismissal of the suit and that provided evidence of Cotten's violation of SCR 20:1.3, which requires lawyers to act with reasonable diligence and promptness in representing clients.

    Cotten also violated SCR 20:1.4(a), which requires a lawyer to keep a client reasonably informed about the status of a matter, in that she failed to inform her client of events such as missed deadlines and the dismissal of the action. Cotten failed to withdraw from the case when a medical condition purportedly rendered her incapable of proceeding, in violation of SCR 20:1.16(a)(2), which requires a lawyer to withdraw if the lawyer's physical or mental condition materially impairs the lawyer's ability to represent the client. Cotten also failed to return several audiotapes belonging to the client after the lawsuit had been dismissed, in violation of SCR 20:1.16(d), which requires a lawyer, upon termination of representation, to protect the client's interests, including surrendering property to which the client is entitled.

    Cotten also violated SCR 20:8.4(c), which prohibits conduct involving dishonesty, fraud, deceit, or misrepresentation, when she told the client the case was proceeding smoothly, when in fact Cotten missed deadlines and failed to respond to the court, and the case had been dismissed. Cotten failed to file a written response to the grievance in the first matter, and failed to provide certain information requested by a district investigative committee, contrary to SCR 21.15(4), 22.001(9)(b), 22.03(2), 22.03(6), and 22.07(2).

    In a second matter, while administratively suspended for noncompliance of CLE requirements, Cotten accepted a $1,150 retainer and $50 case opening fee from a woman and undertook to represent her, contrary to SCR 31.10(1), which prohibits law practice during a CLE suspension. Cotten thereafter failed to respond to a Missouri attorney acting on the client's behalf, and failed to return the retainer and case opening fee, in violation of SCR 20:1.16(d). Cotten failed to cooperate with OLR in the investigation of the second matter, contrary to SCR 21.15(4), 22.001(9)(b), 22.03(2), and 22.03(6).

    In addition to ordering a one-year suspension of Cotten's law license, the court ordered that Cotten make restitution to the client in the second matter in the amount of $1,200.

    Cotten received a previous six-month disciplinary suspension, effective May 8, 2001, for neglect, failure to communicate with a client, and engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation.

    Public Reprimand of Jeffery J. Drach

    The OLR and Jeffery Drach, 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).

    A man, A, had a business partnership with his brother, B. They signed an initial partnership agreement in 1959. The partnership had significant debt. In 1990, A and his wife hired Drach to represent them in the partnership, in a corporation, and personally. Drach's letter of retainer did not state that the scope of the representation would extend to representation of the partnership itself or of A's brother, B.

    Drach began acting as the partnership's attorney by 1991 and did so until 1997. There was no fee agreement between Drach and the partnership, nor did Drach disclose in writing to B that Drach had initially represented A and his wife. B, however, knew of Drach's role as partnership attorney, and during much of the same period, B was represented by independent counsel.

    From 1990 through June 1997, at which point the partnership filed for bankruptcy protection, Drach assumed A to be the managing partner, relying on him to make decisions and to keep B informed as to the partnership's transactions. B asserts he was not always kept informed. In June 1997, Drach discovered the partnership agreement and that it did not allow for one managing partner. During the course of the representation, the situation became complicated by the deterioration of the relationship between A and B, who had different perceptions of their relationship with the partnership's principal creditor.

    In February 1995, at A's direction, Drach prepared two real estate mortgages, one from A and his wife to Drach, and the second from A and his wife to the partnership's accountant to protect Drach's and the accountant's professional fees, on real estate that the partnership owned, without informing B. B said he first learned of the mortgages when they were listed as secured obligations in the partnership's bankruptcy in 1997. Drach's failure to consult with and keep B informed when he prepared the mortgages violated SCR 20:1.2(a), which requires lawyers to consult with clients as to the objectives of representation, and SCR 20:1.4(a) and (b), which requires lawyers to keep clients reasonably informed about the status of a matter and to explain a matter to the extent reasonably necessary to permit the client to make informed decisions regarding the representation.

    Early in 1996, the partnership's principal creditor offered to settle the indebtedness for a lump sum payment, but Drach unsuccessfully sought to refinance the debt. A bank, however, offered to lend Drach $150,000 to purchase some of the partnership's real estate personally, and Drach could, in turn, lend the $150,000 to the partnership.

    In early March 1996, Drach prepared an offer whereby he would purchase the property for $150,000. A accepted the offer. An addendum to the offer identified the buyer as a realty company, with the names of Drach, A, and B appearing underneath. The partnership was identified as the seller, with A's name appearing underneath. Drach and A signed the addendum, and the line for B's signature was left blank. Drach did not inform B or his counsel of the $150,000 offer to purchase until October 1996. The strategy for Drach to purchase the property was never carried out. Drach's failure to inform B of the proposal whereby Drach and the partners would purchase the property violated SCR 20:1.4(a).

    In August and October 1996, the creditor obtained several judgments against the partnership and A and B personally. In March 1998, Drach prepared articles of incorporation for a corporation whose principals were A's son and relatives of A's wife. Drach entered the legal work in the partnership's billing records, although the billing was never sent to the partnership. It was understood that the partnership would pay the legal costs relating to organizing the corporation and the subsequent purchase of the partnership's debt by the corporation. In April 1998, the corporation purchased a note and mortgage held by the creditor on partnership land and also obtained an assignment of the creditor's foreclosure judgment. Shortly thereafter, B had a total falling out with A and the corporation. The corporation then decided to proceed immediately with the collection remedies it had acquired from the creditor. At that time, Drach concluded he had a conflict of interest, and he withdrew from the case.

    At the time of its incorporation, the corporation and the partnership had a mutual goal of preserving the partnership and avoiding foreclosure. In drafting the articles of incorporation for the corporation, which was organized, at least in part, to seek to purchase a judgment, note, and mortgage, and consequently, becoming the largest creditor of Drach's client, the partnership, and with the expectation that the partnership would pay the legal fees related to preparing the articles of incorporation, Drach committed a violation of SCR 20:1.7(b), which prohibits a lawyer from representing a client when that representation conflicts with the lawyer's responsibilities to another.


Join the conversation! Log in to comment.

News & Pubs Search

-
Format: MM/DD/YYYY