Disciplinary Proceedings Against Maynard
2014 WI 13, 3/14/2014 (2014)
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ATTORNEY disciplinary
proceeding. Attorney's license
suspended.
¶1 PER CURIAM. We review a
stipulation filed pursuant to SCR 22.12 by
the Office of Lawyer Regulation (OLR) and
Attorney John R. Maynard. In the
stipulation, Attorney Maynard agrees that by
failing to give timely written notice of the
suspension of his license to practice law,
and consequent inability to continue as
counsel, to each of his clients; by
continuing to practice law after the date
this court ordered his license suspended; by
knowingly making a false statement to a
court that his license had already been
reinstated; by repeated use of firm
letterhead while he was suspended and other
false and misleading communications that he
was an attorney permitted to practice law in
Wisconsin during the term of his suspension;
by failing to fully and fairly disclose all
facts and circumstances pertaining to his
alleged misconduct; and by filing a
complaint that violated Wis. Stat. § 802.05
(2), as subsequently determined by a court,
a one-year suspension of his license to
practice law in Wisconsin is an appropriate
level of discipline. There is no request in
this matter for a restitution award, nor is
there a request for the imposition of costs
against Attorney Maynard.
¶2 After careful review of the matter,
we agree that a one-year suspension of
Attorney Maynard's license to practice law
in Wisconsin is a proper sanction. Since
the matter is being resolved without the
appointment of a referee, we do not impose
any costs on Attorney Maynard.
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¶3 Attorney Maynard was admitted to the
practice of law in Wisconsin in 1973. He
was admitted to practice law in California
the same year. On December 29, 2009, this
court suspended Attorney Maynard's license
to practice law for 90 days, effective
February 1, 2010, for failing to notify his
former law firm of payments for legal
services that he received and deposited in
his personal account, and for making false
and misleading communications when he failed
to identify his "of counsel" status when he
used law firm stationery and when he
represented on a postal application that he
was a principal of the law firm. See
In re
Disciplinary Proceedings Against Maynard,
2009 WI 106, 322 Wis. 2d 53, 776 N.W.2d 583.
¶4 Attorney Maynard was reinstated from
the disciplinary suspension on January 31,
2011. However, his Wisconsin law license
was not restored to good standing until May
2, 2011, due to existing administrative
suspensions of his license caused by his
noncompliance with continuing legal
education (CLE) requirements and failure to
pay State Bar of Wisconsin dues.
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¶5 On September 1, 2011, this court
temporarily suspended Attorney Maynard's
license to practice law for his willful
failure to respond or cooperate in an OLR
grievance investigation involving the
conduct that is the subject of this
opinion. That temporary suspension remains
in effect. In addition to the temporary
disciplinary suspension, Attorney Maynard's
license to practice law is currently
administratively suspended for failure to
pay State Bar of Wisconsin dues, failure to
file a trust account certification, and
noncompliance with CLE requirements.
¶6 Attorney Maynard's license to
practice law in California was suspended for
90 days in 2011, as reciprocal discipline to
his 90-day suspension in Wisconsin. In 2012
his California license was inactivated for
failure to comply with his obligations while
he was suspended. On October 15, 2012, his
California license was suspended for failure
to take and pass the Multistate Professional
Responsibility Examination by August 21,
2012, which was a condition of
reinstatement. Attorney Maynard was
ultimately disbarred from California for his
noncompliance, effective August 16, 2013.
¶7 Between the time the Wisconsin
suspension order was issued on December 29,
2009, and its February 1, 2010 effective
date, Attorney Maynard was in practice as a
partner in Maynard, Schmitt & Associates, in
Cedarburg, Wisconsin. The only other
attorney at the firm was Attorney Maynard's
then-partner, Mark S. Schmitt.
¶8 As of February 1, 2010, Attorney
Maynard was attorney of record in seven
cases pending in the courts and he was also
performing legal services for various other
clients. On January 29, 2010, Attorney
Maynard wrote to one client advising that
Attorney Maynard was being suspended from
the practice of law for 90 days and would be
unable to act as the client's attorney
during that period. Rather than advising
the client to seek legal advice of his
choice elsewhere, as required by SCR 22.26(1)
(b), Attorney Maynard said that the pending
matters would be handled by Mark Schmitt.
The letter went on to say, "As an
alternative, you can seek legal services
elsewhere regarding these two matters."
This letter was the only letter notifying a
client of his suspension that Attorney
Maynard produced for the OLR, despite the
OLR's request for information about, and
copies of, all such letters.
¶9 On October 25, 2013, the OLR filed a
complaint alleging nine counts of misconduct
with respect to Attorney Maynard's failure
to give timely written notice of the
suspension of his license to practice law as
required by SCR 22.26(1); his continuing to
practice law during the term of his
suspension; misrepresenting himself as an
attorney while he was in fact suspended;
filing a frivolous complaint; and failing to
provide complete information to the OLR
during the course of its investigation.
¶10 The complaint alleged the following
counts of misconduct:
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[COUNT I] By failing to give timely
written
notice of the suspension of his license to
practice law, and consequent inability to
continue as counsel, to each of his clients,
to each of the courts before which a
client's legal action was pending, and to
each other party's counsel in those actions,
by failing to advise each of [his] clients,
in writing, to seek legal counsel elsewhere,
and by failing to provide an affidavit
listing all clients in all pending matters
and listing all matters pending before any
court or administrative agency, Maynard
violated SCR 20:8.4(f) and SCR 22.26(1).
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[COUNT II] By swearing in a SCR 22.26
(1)(e)
affidavit that his name had been removed
from the law firm's [stationery] and that
there were no pending court matters not
identified in his affidavit, and by omitting
the names of clients with pending legal
matters, when he knew all of that
information to be inaccurate and/or
incomplete, Maynard violated SCR 20:8.4
(c).
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[COUNT III] By continuing to practice
law
in Wisconsin after February 1, 2010, when
the Supreme Court of Wisconsin ordered his
license suspended, Maynard violated SCR
20:8.4(f), SCR 22.26(2), and SCR 20:5.5(a)
(1).
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[COUNT IV] By knowingly making a
false
statement to the court in the Petrolon v.
Badger Sheet Metal Works [(Brown County
Case
No. 2010CV34)] matter that his license had
already been reinstated, and, in a
subsequent letter to the same court, by
omitting relevant facts and creating the
false impression that OLR had consented to
his resumption of the practice of law,
Maynard violated SCR 20:3.3(a)(1) and SCR
20:8.4(c).
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[COUNT V] By repeated use of firm
letterhead while he was suspended and
multiple other false or misleading
communications that he was an attorney
permitted to practice law in Wisconsin
during his suspension, Maynard violated SCR
20:7.1(a) and SCR 20:7.5(a).
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[COUNT VI] By misrepresenting himself
to
counsel for another party as an attorney
while he was suspended, by making
conflicting representations about whether he
or his partner drafted the Articles of
Amendment for Absolute Automations Systems,
Inc., by dishonestly claiming lack of
knowledge of SCR 22.28, by making selective
and incomplete factual representations to
create a false impression about OLR's
position on his practice of law during May
2010, by deceitfully stating in a letter to
OLR that while suspended he had not
undertaken work for clients, or filed or
attended hearings in any courtroom, by
misrepresenting on his "Petition to
Voluntarily Surrender a Wisconsin License,"
that there were no grievances pending
against him, Maynard violated SCR 20:8.4
(c).
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[COUNT VII] By serving as general
counsel
for a corporation in Georgia, meeting with
corporate management personnel in Georgia to
discuss legal issues, giving legal advice to
management personnel of the corporation
located in Georgia, providing legal
documents he prepared to the Georgia
corporation and by representing the
corporation to others, all without being
duly licensed as an attorney in Georgia,
Maynard violated SCR 20:5.5(a)(1).
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[COUNT VIII] By failing to fully and
fairly
disclose all facts and circumstances
pertaining to the alleged misconduct, by
failing to answer questions and produce
documents and information requested by OLR
by generally failing to provide relevant
information, and by providing incomplete
information and information containing
misrepresentations, Maynard violated SCR
22.03(2) and SCR 22.03(6), enforced via SCR
20:8.4(h).
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[COUNT IX] By filing a complaint in
Petrolon v. Badger Sheet Metal Works
that
violated Wis. Stat. § 802.05(2), as
subsequently determined by a court, Maynard
violated SCR 20:3.1(a).
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¶11 On November 15, 2013, the OLR and
Attorney Maynard entered into a stipulation
whereby Attorney Maynard agreed that his
conduct violated all of the supreme court
rules referenced in the OLR's complaint. He
further agreed that it would be appropriate
for this court to impose the level of
discipline sought by the OLR director,
namely a one-year suspension of his license
to practice law in Wisconsin.
¶12 Attorney Maynard states that he
fully understands the misconduct allegations
and the ramifications should this court
impose a one-year license suspension. He
also states that he fully understands his
right to contest this matter and his right
to consult with counsel. He represents that
his entry into the stipulation is made
knowingly and voluntarily.
¶13 Having carefully considered this
matter, we approve the stipulation and adopt
the stipulated facts and legal conclusions
of professional misconduct. We also agree
that a one-year suspension of Attorney
Maynard's license to practice law in
Wisconsin is appropriate. We note that in
In re Disciplinary Proceedings Against
Hahnfeld, 2012 WI 17, 338 Wis. 2d 740, 809
N.W.2d 382, an attorney's license was
suspended for one year for six counts of
misconduct relating to his continued
representation of a client while suspended,
his failure to disclose his suspension to
the client or the OLR, and his failure to
cooperate with the OLR; and three counts
related to the attorney's failure to hold in
trust that client's fees and refusal to
refund fees when he was terminated by the
client. Attorney Hahnfeld had two prior
public reprimands and a 60-day license
suspension, a more extensive disciplinary
history than does Attorney Maynard. In
addition, a component of Attorney Hahnfeld's
misconduct involved client fees, whereas
Attorney Maynard's misconduct did not
involve any fee issues. On the other hand,
Attorney Hahnfeld's conduct did not include
making false representations to a court or
filing a frivolous lawsuit, and Attorney
Hahnfeld's case related to only one client
whereas Attorney Maynard represented
multiple clients while his license was
suspended. On balance, however, the
misconduct at issue in Hahnfeld and the
misconduct at issue in this matter are
somewhat similar, leading to the conclusion
that a one-year suspension of Attorney
Maynard's license is an appropriate sanction.
¶14 IT IS ORDERED that the license of
John R. Maynard to practice law in Wisconsin
is suspended for one year, effective the
date of this order.
¶15 IT IS FURTHER ORDERED that the
temporary license suspension of September 1,
2011, which arose out of Attorney Maynard's
willful failure to respond or cooperate into
the OLR's grievance investigation in this
matter, is lifted.
¶16 IT IS FURTHER ORDERED John R.
Maynard shall continue compliance 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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