Disciplinary Proceedings Against Carroll
2001 WI 130, 248 Wis. 2d 662, 636 N.W.2d 718 (2001)
ATTORNEY disciplinary
proceeding. Attorney's license
suspended.
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1. PER CURIAM. The Board of Attorneys
Professional
Responsibility (the Board) has appealed
from the findings of fact, conclusions of
law, and disciplinary recommendation of a
referee that the license to practice law in
Wisconsin of Attorney John Miller Carroll be
suspended for six months.
2. The referee's findings and conclusions
addressed ten separate counts of
professional misconduct set forth in the
Board's complaint in this proceeding. One
count was dismissed on stipulation of the
parties and the referee found that
misconduct had occurred with respect to
seven of the remaining nine counts,
dismissing the remaining two counts.
3. We adopt the referee's findings of fact
and
conclusions of law with respect to the seven
counts on which misconduct was found to have
occurred, as well as count nine which she
recommended be dismissed. However, we
reject the referee's findings of fact and
conclusions of law with respect to count ten
which she recommended be dismissed after
finding that no misconduct had occurred.
Finally, we agree with the referee that the
seriousness of Attorney Carroll's
professional misconduct warrants the
suspension of his license to practice law in
this state, although we do not follow her
recommendation as to the length of the
suspension.
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4. Attorney John Miller Carroll was
admitted to
practice law in Wisconsin in 1987 and
currently practices in Wind Lake. He has
been disciplined for professional misconduct
on three previous occasions: (1) a 1992
private reprimand for failing to hold funds
in trust in which both he and his former law
firm claimed an interest; (2) a 1997 private
reprimand for performing work for a client
after his services were terminated and for
misrepresenting that he had filed a motion
on behalf of the client; and (3) a public
reprimand in 1999 for neglect of a matter,
for failing to communicate with a client,
and failing to return a retainer; see 72
Wisconsin Lawyer at 45-46 (July 1999).
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5. The Board filed the instant disciplinary
complaint against Carroll on April 28,
2000. Attorney Joan F. Kessler was
appointed to act as a referee in the
matter. In Attorney Carroll's answer to the
complaint, he admitted some, and denied
other, of the factual allegations contained
in the complaint and sought either a
dismissal of the matter in its entirety or,
in the alternative, a sanction that was
commensurate with the severity of the
conduct that was found to have taken place.
6. The Board's allegations of misconduct
and
the referee's findings dealt with ten
counts, involving four separate clients:
H.H., J.J., L.L., and R.A.
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7. Attorney Carroll represented H.H. who
was
injured in 1997 in an automobile rear end
collision. The matter was ultimately
settled with the other party paying $2500
plus a medical bill of $292. Attorney
Carroll charged H.H. one-third of the $2500
plus costs of approximately $432 covering
filing and service fees for the two lawsuits
commenced, the first lawsuit having been
improperly served and therefore dismissed.
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8. Count one of the Board's complaint
alleged
that Attorney Carroll violated SCR 20:1.3,
failure to diligently pursue the client's
claim, by virtue of having permitted the
first lawsuit to expire without service.
The referee concluded that misconduct had
occurred with respect to this count.
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9. Count two alleged a violation of SCR
20:1.4
(a), failure to keep the client reasonably
informed about the status of the matter and
failure to promptly comply with reasonable
requests for information, by virtue of
Attorney Carroll's failure to keep H.H.
adequately informed, despite her numerous
requests for information, during the course
of the litigation. The referee concluded
that misconduct had occurred with respect to
this count.
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10. Count three alleged a violation of SCR
20:1.5
(c), failing to enter into a written
contingent fee agreement with the client, by
virtue of the alleged absence of such an
agreement in this instance. This count was
dismissed by the referee upon stipulation of
the parties.
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11. Count four alleged a violation of SCR
22.07
(2), failure to fully and fairly disclose
all facts and circumstances pertaining to
the alleged misconduct upon investigation by
the Board, by virtue of Attorney Carroll's
failure to disclose to the Board during its
investigation that he had filed the earlier
lawsuit that was ultimately dismissed and in
general misrepresenting the nature of his
representation of H.H. The referee concluded
that misconduct had occurred with respect to
this count.
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12. Neither Attorney Carroll nor the Board
have
raised on appeal any matters pertaining to
the counts involving the representation of
H.H., and we adopt the referee's findings
and conclusions with respect to these
counts.
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13. Attorney Carroll represented J.J. in
1998 on
a claim against an insurance company
involving a motorcycle loss. The company
issued a check listing J.J., Attorney
Carroll, and the lien holder on the
motorcycle as payees. Attorney Carroll's
office unsuccessfully attempted to deposit
the check without obtaining an endorsement
from the lien holder. After that Attorney
Carroll asked the company to issue a new
check deleting the lien holder's name, which
it refused to do. Attorney Carroll then
gave the original check to J.J., instructing
him to obtain the lien holder's signature.
J.J. returned it to Carroll with an
illegible signature purporting to be that of
the lien holder which Attorney Carroll then
deposited in his trust account. It was
later determined that the lien holder had
not actually endorsed the check.
14. Attorney Carroll testified in the
disciplinary proceeding before the referee
that he had been told by J.J. that the lien
would be satisfied and that is why the lien
holder signed the check. However, the
referee found that Attorney Carroll should
have known that this likely was untrue
because he knew that his client had
previously lied to him about the status of
the lien and he also should have been
suspicious when the check was returned with
the illegible signature.
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15. The referee found that once Attorney
Carroll
discovered that his client had lied to him
about a significant financial matter, it was
unreasonable and irresponsible to deliver a
negotiable instrument to him, given the
obvious high risk of forgery. The referee
further stated that Attorney Carroll should
not escape responsibility for the fraudulent
conduct he set in motion under these
circumstances. Thus the referee concluded
that Carroll had committed professional
misconduct under SCR 20:8.4(c), engaging in
conduct involving dishonesty, fraud, deceit
or misrepresentation, count five.
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16. Neither the Board nor Attorney Carroll
have
appealed any aspect of the referee's
determination with respect to this count,
and we adopt the referee's findings and
conclusions.
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17. L.L. had hired Attorney Carroll's firm
in
1998 to represent her husband on criminal
charges. She assigned $5000 of the $10,000
bail she had posted, upon its release, to
Attorney Carroll to cover his retainer.
However, she also later paid a $5000
retainer directly to him. When her husband
was eventually convicted, $9468 of the bail
was released and sent to Attorney Carroll
which he deposited in its entirety in his
client trust account. On the same day he
returned $4468 to L.L. and moved the
remaining $5000 of the bail to his business
operations account. L.L. demanded return of
the $5000 and four months later Attorney
Carroll returned $4589.75 to her. (The
$410.25 still retained by Attorney Carroll
was apparently not a subject of dispute).
18. Attorney Carroll testified that in his
view
both the $5000 bail assignment and the $5000
paid directly were supposed to have been a
retainer. The referee found to the contrary
and concluded that professional misconduct
had occurred with respect to four counts
alleged by the Board with reference to L.L.
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19. The referee concluded that a violation
of
count six had occurred, involving a
violation of SCR 20:1.15(a), ailing to hold
client funds in trust, by virtue of Attorney
Carroll moving what the client considered to
be refunded bail from his trust account into
his business operations account.
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20. The referee further concluded that a
violation of count seven had occurred,
involving SCR 20:1.15(b), failing to render
a full accounting of trust property and
failing to properly return client trust
funds, by virtue of Attorney Carroll's
failure to respond to the client's request
to return the refunded bail and to account
for the funds within a reasonable period.
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21. Next, the referee concluded that a
violation
of count eight had occurred, relating to SCR
20:1.15(d), involving the proper treatment
of disputed funds as trust property pending
resolution of the dispute with a client, by
virtue of Attorney Carroll's failure to
retain the disputed bail amount in the
client's trust account.
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22. Finally the referee recommended
dismissal of
count nine, pertaining to a violation of SCR
20:8.4(f), declaring professional misconduct
to have occurred when an attorney violates a
supreme court rule or decision, again
relating to Attorney Carroll's retention of
the refunded bail after there was a
dispute. The referee concluded that this
count was duplicative of the other three
counts
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23. Neither Attorney Carroll nor the Board
has
raised on appeal any issue with reference to
counts six through nine, and we adopt the
referee's findings and conclusions with
respect to these counts.
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24. R.A. paid Attorney Carroll $2500 in
1998 to
represent her son in a criminal matter.
Shortly thereafter she retained a different
attorney, discharged Attorney Carroll, and
requested a refund of the retainer. He
agreed to return $1500 but did not do so.
R.A. then called Attorney Carroll's office
numerous times during the following nine
months but he never responded. Once R.A.
filed a grievance with the Board, Attorney
Carroll sent her the $1500.
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25. The referee found that a $1500 check
had
been made out to R.A. soon after Attorney
Carroll agreed to refund that amount but
that apparently the check was mislaid and
never mailed. The referee further found
that Attorney Carroll's bookkeeper voided
the check five months later and a new check
was issued but never mailed. Even though
R.A. did not receive the $1500 for an
additional four months, during which her
repeated calls to Attorney Carroll were
ignored, the referee found that "a new check
was promptly issued." The referee
recommended dismissal of this count,
concluding that no violation of SCR 20:1.16
(d), which requires the timely refund of any
advance payment of fees had occurred. The
referee stated:
While better office practice would have
disclosed the error earlier, I cannot find
this to be an intentional violation of
supreme court rules. Nor can I find the
failure to discover the error sooner to be
such negligence as to rise to an ethical
violation. Inadvertent misfilings probably
occur in every lawyer's office. . . . It is
unreasonable to expect perfection in every
process. I am satisfied that records
maintained in the ordinary course of
business in his office establish that
Carroll made a good faith effort to promptly
return this disputed fee.
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26. The Board has appealed the
recommendation on
this count. It argues that the referee made
a clearly erroneous finding of fact when she
concluded that once Attorney Carroll's
office discovered the mislaid check to R.A.,
a new check was "promptly issued." The
Board argues that a new check was not issued
until approximately four months later and
thus the referee should not have concluded
that Attorney Carroll made a good faith
effort to promptly return the disputed fee.
27. On a secondary note, the Board
questions whether there was sufficient
evidence that Carroll had ever mislaid the
first check to begin with. The Board
contends that the referee should have found
that Attorney Carroll fabricated the story
about having promptly signed the check but
then having mislaid it.
28. In response, Attorney Carroll simply
contends that the referee's findings and
conclusions on this count were not in
error.
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29. A referee's findings of fact on a
disciplinary matter will not be set aside
unless clearly erroneous. Disciplinary
Proceedings Against Sosnay, 209 Wis. 2d
241, 562 N.W.2d 137 (1997). Conclusions of
law are reviewed de novo. Disciplinary
Proceedings Against Schalow, 131 Wis. 2d
1, 388 N.W.2d 176 (1986).
30. The referee's findings and conclusions
with
respect to this count represent a mixture of
both factual findings and legal
conclusions. To the extent that findings of
fact are involved, we hold that they are
clearly erroneous and we do not adopt them.
31. We make no findings and reach no
conclusions on whether Attorney Carroll
might have fabricated the story about having
promptly signed a refund check and then
mislaid it. But even if Attorney Carroll's
mislaying of the check for five months was
excusable, and even if a new check was
indeed "issued" at that time, his failure to
actually forward the check to the client for
an additional four months, with his repeated
failure to respond to R.A.'s inquiries
during that time, does not represent a "good
faith effort" to "promptly" return the fee.
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32. Thus we reject the referee's findings
of
fact with respect to this count and conclude
that a violation of SCR 20:1.16(d) occurred.
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33. Having concluded that a violation of
seven
counts has occurred, and having noted that
Attorney Carroll had three prior
disciplinary actions for which he received
reprimands, the referee stated that private
discipline apparently had not sufficiently
encouraged him to change his conduct:
The totality of the offenses are more
serious than their isolated parts. The
continuing pattern of conduct is
disturbing. . . . [bad office] practices no
doubt contributed to his extraordinarily bad
judgment. . . . OLR seeks an unreasonably
drastic penalty. To move from private
reprimands directly to a one year suspension
is unreasonably harsh. (Emphasis added).
However, the referee's report to this court
correctly indicated at another point that
one of the three reprimands had been
public. In any event, the referee
recommended a six-month suspension.
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34. The Board argues that the referee
apparently
relied on a misunderstanding of Attorney
Carroll's prior disciplinary record in
recommending a six-month suspension, i.e.,
the referee indicated she was hesitant to
impose a one-year suspension when the prior
reprimands had been private when, in fact,
one of Attorney Carroll's three reprimands
was public. The Board argues that since the
1992 private reprimand involved one count,
the 1997 private reprimand involved two
counts, and the 1999 public reprimand
involved four counts, along with the
original seven (now eight) violations in
this case, Attorney Carroll has violated the
rules of professional conduct multiple times
and that this deserves a one-year suspension.
35. In support, the Board points to
Disciplinary Proceedings Against
Grunewald, 2000 WI 115, 238 Wis. 2d 881,
618 N.W.2d 188 (one-year suspension for six
violations, some similar to this case;
attorney previously received a private
reprimand and a six-month suspension);
Disciplinary Proceedings Against Evans,
2000 WI 124, 239 Wis. 2d 279, 618 N.W.2d 873
(two-year suspension for violations
including trust account irregularities and
fraud, some similar to this case; attorney
previously received two private and one
public reprimand); Disciplinary
Proceedings Against Jackson, 221 Wis. 2d
616, 585 N.W.2d 151 (1998) (one-year
suspension for multiple violations which the
Board argued were not as serious as those
committed here; attorney previously received
a public reprimand); and Disciplinary
Proceedings Against Hendree, 211 Wis. 2d
440, 565 N.W.2d 119 (1997) (one-
year suspension for multiple violations
which the Board characterizes as similar to
those here; attorney previously received one
public reprimand).
36. Attorney Carroll argues that a six-
month
suspension is appropriate here because he
views the trust account violations in
Evans as more severe than those here and
because the attorney in Grunewald had
previously received a six-month suspension.
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37. The recommended sanctions by a referee
are
accorded no deference by this court.
Disciplinary Proceedings Against Wolf,
165 Wis. 2d 1, 476 N.W.2d 878 (1991). It is
this court's responsibility to impose
discipline for professional misconduct.
Disciplinary Proceedings Against
Mandelman, 158 Wis. 2d 1, 460 N.W.2d 749
(1990).
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38. It is apparent that the referee erred
in her
recitation of Attorney Carroll's prior
disciplinary history. Even though she
stated earlier in her report to this court
that he had received two private reprimands
followed by a public reprimand, her
discussion of the sanction recommendation
specifically characterized them as three
private reprimands, after which she said it
was excessive to move directly from private
reprimands to a one-year suspension. In
addition, as we previously held, the referee
erred in recommending that count ten be
dismissed.
39. It is, of course, unknown what the
referee
would have recommended even if she had
properly recited Attorney Carroll's
disciplinary history and if she had found a
violation arising out of count ten. It is
possible she might have still recommended a
six-month suspension given that Attorney
Carroll had received no previous
suspensions, unlike Grunewald where the
one-year suspension followed a previous
shorter suspension. But we need not
speculate on what the referee would have
recommended had these errors not occurred.
As noted, the recommendation on sanction is
not binding on this court in any event.
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40. The factors for this court to consider
in
imposing discipline were stated in
Disciplinary Proceedings Against
Charlton, 174 Wis. 2d 844, 498 N.W.2d 380
(1993): (1) the seriousness, nature and
extent of the misconduct; (2) the level of
discipline needed to protect the public, the
courts, and the legal system from repetition
of the attorney's misconduct; (3) the need
to impress upon the attorney the seriousness
of the misconduct; and (4) the need to deter
other attorneys from committing similar
misconduct.
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41. In this case we conclude that the one-
year
suspension sought by the Board is
appropriate. First, the misconduct
committed by Attorney Carroll was serious
and extensive. In particular, it
demonstrated a pattern of deception and
misdealing with clients that runs to the
very heart of the integrity of the attorney-
client relationship. Second, given the
number of violations found here, as well as
the previous violations for which Attorney
Carroll was reprimanded, it is apparent that
there is a substantial need for others to be
protected from his propensity for
misconduct. Third, it is equally apparent,
given his three prior reprimands, that
Attorney Carroll has a substantial disregard
for the rules of professional conduct and
likely will commit future violations unless
a serious sanction is imposed now. Finally,
if we allow this misconduct to pass without
a substantial sanction, we will have sent
the wrong message to the attorneys of this
state with respect to their obligation under
the rules.
42. We also agree with the Board that
previous
cases involving similar conduct and/or
disciplinary history have resulted in a
suspension of this length, if not longer.
For example, in Hendree, the attorney
only had a single public reprimand prior to
the imposition of a one-year suspension for
misconduct that included trust account
violations similar to those here. Further,
Evans involved an attorney who, like
Attorney Carroll, had previously received
two private and one public reprimands, but
received a suspension greater than that
sought here by the Board for conduct that
also included trust account discrepancies.
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43. Accordingly, we conclude that a one-
year
license suspension under these circumstances
is necessary to satisfy the factors we are
to consider under Charlton.
44. IT IS ORDERED that the license of
John Miller Carroll to practice law in
Wisconsin is suspended for a period of one
year, commencing January 10, 2002.
45. IT IS FURTHER ORDERED that within 60
days of the date of this order John Miller
Carroll pay the Office of Lawyer Regulation
the costs of this proceeding in the amount
of $11,433.77, provided that if the costs
are not paid within the time specified, and
absent a showing to this court of his
inability to pay the costs within that time,
the license of John Miller Carroll to
practice law in Wisconsin shall remain
suspended until further order of the court.
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46. IT IS FURTHER ORDERED that, as a
condition
of reinstatement of his license to practice
law, John Miller Carroll shall make
restitution to client H.H. in the amount of
$184.
47. IT IS FURTHER ORDERED that John Miller
Carroll comply with the provisions of SCR
22.26 concerning the duties of a person
whose license to practice law in Wisconsin
has been suspended.
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