Iowa Supreme Court Attorney Disciplinary Board v. Gerald Anthony Lyman Moothart , 860 N.W.2d 598 ( 2015 )


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  •                IN THE SUPREME COURT OF IOWA
    No. 14–1708
    Filed March 6, 2015
    IOWA SUPREME COURT ATTORNEY DISCIPLINARY BOARD,
    Complainant,
    vs.
    GERALD ANTHONY LYMAN MOOTHART,
    Respondent.
    On review of the report of the Grievance Commission of the
    Supreme Court of Iowa.
    The grievance commission reports the respondent committed
    multiple ethical violations and recommends a thirty-month suspension of
    the attorney’s license. LICENSE SUSPENDED.
    Charles L. Harrington and Elizabeth E. Quinlan, Des Moines, for
    complainant.
    Christopher A. Clausen of Moothart & Clausen Law Office, Ames,
    for respondent.
    2
    APPEL, Justice.
    The Iowa Supreme Court Disciplinary Board charged attorney
    Gerald A.L. Moothart with multiple violations of our disciplinary rules in
    connection with interactions and relationships with five women between
    2006 and 2011. These charges include allegations of sexual harassment
    in the practice of law with each of the five women, sexual relations with a
    client with two of the women, and an allegation of a concurrent conflict of
    interest arising as a result of his relationship with one woman.
    After a hearing, a division of the Grievance Commission of the
    Supreme Court of Iowa concluded that Moothart committed each of the
    alleged   violations   and   recommended     a   thirty-month   suspension.
    Additionally, the commission recommended that prior to reinstatement,
    Moothart provide proof of participation in a psychological evaluation and
    counseling, or other form of treatment, which would provide some
    indication that he is fit to practice law.
    Upon de novo review of the record and the commission’s findings of
    fact, conclusions of law, and recommendations, we agree Moothart
    committed all the violations found by the commission. Giving particular
    consideration to the vulnerability of each woman with whom Moothart
    interacted, we also agree with the commission’s recommended sanction
    and order Moothart’s license suspended for thirty months. Additionally,
    before he is reinstated, we require Moothart to provide this court with an
    evaluation by a licensed health care professional, including proof of
    participation in a counseling program specific to sexual harassment,
    verifying his fitness to practice law.
    3
    I. Background Facts and Proceedings.
    Respondent Moothart is a licensed Iowa attorney.             He graduated
    from law school in May 1996, passed the Iowa bar examination, and was
    admitted to practice the following month.
    After obtaining his law license, Moothart worked as an assistant
    county attorney for the Marshall County attorney’s office for about one
    and one-half years. Thereafter, he began working in private practice in
    Ames, Iowa, where he continues to practice today. He practices primarily
    in criminal defense and family law. From March 2003 until December
    2013, Moothart was a sole practitioner. In December 2013, an associate
    attorney joined the firm.
    Moothart generally has a reputation in the Ames area as a very
    good defense and family-law attorney.           He has developed forms and
    methods of practice that are used by other attorneys and has been a
    mentor to new attorneys. He has served as president and as a member
    of the board of directors of the Center for Creative Justice in Ames.
    On March 18, 2011, the State charged Moothart in Story County
    with assault with intent to commit sexual abuse on Jane Doe #11 in
    violation of section 709.11 of the Iowa Code.           Three days after being
    charged, Moothart filed a report with the Office of Professional
    Regulation, which included a copy of the complaint.
    Following a trial in June of 2011, Moothart was acquitted of the
    criminal charge. After the filing of the criminal charge against Moothart,
    Jane Does #2, #3, #4, and #5 filed complaints with the Ames police
    department and later filed complaints with the Iowa Supreme Court
    1Due   to the nature of the complaints and the accompanying factual
    backgrounds involved in this case, we use the pseudonym “Jane Doe” to identify each
    woman involved in the proceedings against Moothart.
    4
    Attorney Disciplinary Board.      All of these complaints alleged that
    Moothart engaged in various acts of sexual misconduct.
    On December 31, 2013, the Board filed a five-count complaint
    against Moothart.    The complaint alleged Moothart engaged in sexual
    harassment in the practice of law with each of the five women in violation
    of Iowa Rule of Professional Conduct 32:8.4(g). In addition, for Jane Doe
    #2 and Jane Doe #3, the Board alleged Moothart engaged in sexual
    relations with a client, in violation of Iowa Rule of Professional Conduct
    32:1.8(j).   Lastly, with respect to Jane Doe #2, the Board additionally
    alleged a conflict of interest in violation of Iowa Rule of Professional
    Conduct 32:1.7(a)(2).
    The commission held a hearing on May 14 and 15, 2014. All five
    Jane Doe’s testified, as did Moothart, Jane Doe #1’s father, Jane Doe
    #3’s caseworker, and attorney Daniel Gonnerman, a character witness
    for Moothart.
    The commission found that Moothart had committed all the
    violations as charged by the Board.           In making its findings and
    conclusions, the commission generally credited the testimony of the
    complaining witnesses and not that of Moothart.        On legal issues, the
    commission noted that violation of Iowa Rule of Professional Conduct
    32:8.4(g), relating to sexual harassment, did not require an attorney–
    client relationship, but only that the conduct occur “in the practice of
    law.” The commission also concluded the term “sexual harassment” in
    the rule is broadly construed and consent is not a defense in the context
    of an attorney–client relationship.       Based on the vulnerability of the
    complainants, the pervasiveness of the misconduct, and the balance of
    aggravating and mitigating factors, the commission recommended that
    Moothart’s license be suspended for thirty months. The commission also
    5
    recommended that prior to reinstatement, Moothart present proof that he
    has obtained a psychological evaluation and counseling and that he was
    fit to practice law.
    II. Standard of Review.
    We review factual findings of the commission de novo. Iowa Ct. R.
    35.11(1); Iowa Supreme Ct. Att’y Disciplinary Bd. v. Van Ginkel, 
    809 N.W.2d 96
    , 101 (Iowa 2012).      We give respectful consideration to the
    findings of the commission, especially when considering credibility of
    witnesses, but are not bound by them. Van Ginkel, 809 N.W.2d at 101;
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Marzen, 
    779 N.W.2d 757
    , 759
    (Iowa 2010).       The Board must prove charges by a convincing
    preponderance of the evidence. Iowa Supreme Ct. Bd. of Prof’l Ethics &
    Conduct v. Evans, 
    537 N.W.2d 783
    , 784 (Iowa 1995). “This burden is
    higher than the burden in most civil cases, but lower than in a criminal
    prosecution.” Van Ginkel, 809 N.W.2d at 102. It is also less stringent
    than the clear and convincing evidence which is the highest standard of
    civil proof.   See Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v.
    Ronwin, 
    557 N.W.2d 515
    , 517 (Iowa 1996) (per curiam).
    III. Legal Issues.
    A. Introduction. Before we review the evidence developed at the
    hearing and consider the appropriate sanction, if any, we first address
    several important legal issues that will impact our approach to our
    de novo review of the record. We will review the nature of the burden of
    proof in this case; the scope of the phrase “sexual harassment . . . in the
    practice of law” under Iowa Rule of Professional Conduct 32:8.4(g); the
    proper approach to establishing the existence of an attorney–client
    relationship under rule 32:1.8(j), which prohibits sexual relations with a
    client; the applicability of rule 32:1.7(a)(2) prohibiting concurrent
    6
    conflicts of interest when a conflict arises between one client and another
    person who is not a client; and two rules of evidence that are applicable
    to this disciplinary proceeding.
    B. Burden of Proof. In this case, as in all disciplinary cases, we
    note the Board bears the burden of proof of showing a violation of our
    disciplinary rules by a convincing preponderance of the evidence. See,
    e.g., Evans, 
    537 N.W.2d at 784
    .          We note it is one thing to make
    allegations or claims and another to provide evidence to meet the
    somewhat heightened burden of proof in an attorney disciplinary case.
    While we recognize that we live in an age in which there is often a rush to
    judgment on controversial questions, episodes such as the McMartin
    child abuse case and the Duke Lacrosse debacle show the fallacy of
    assuming guilt when sexual misconduct is alleged. On the other hand,
    we refuse to cast our eyes aside because of the uncomfortable nature of
    the allegations in cases concerning charges of sexual misconduct
    involving lawyers. It is our duty in this case, as it is in every case, to
    carefully sift through the evidence, examine it with a critical eye, and
    reach a fair and impartial result. We base our judgment solely on the
    facts of the case and the applicable law.
    C. Scope of “Sexual Harassment . . . in the Practice of Law”
    Under Rule 32:8.4(g).       Iowa Rule of Professional Conduct 32:8.4(g)
    provides: “It is professional misconduct for a lawyer to . . . engage in
    sexual harassment . . . in the practice of law . . . .” This case presents
    several legal questions regarding the scope and meaning of the phrase
    “sexual harassment . . . in the practice of law” as used in the rule.
    We first note that the rule utilizes the comparatively broad phrase
    “in the practice of law.”   We have noted that this language is “quite
    broad.” Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v. Steffes, 588
    
    7 N.W.2d 121
    , 124 (Iowa 1999). We think the language makes it clear that
    the rule may be violated even if there is no attorney–client relationship
    between the lawyer and the person subject to sexual harassment, as long
    as the attorney is engaged in the practice of law.       The rule may be
    violated if a lawyer sexually harasses witnesses, court personnel, law
    partners, law-office employees, or other third parties that come into
    contact with a lawyer engaged in the practice of law. See 
    id.
     Cases from
    other jurisdictions prior to Iowa’s adoption of rule 32:8.4(g) have for some
    time held that sexual harassment against non-clients violated more
    general ethical rules.      See, e.g., People v. Lowery, 
    894 P.2d 758
    , 760
    (Colo. 1995) (en banc) (sexual harassment of employees); In re Discipline
    of Peters, 
    428 N.W.2d 375
    , 376, 381–82 (Minn. 1988) (sexual harassment
    of employees and law students); In re Gould, 
    4 A.D.2d 174
    , 176 (N.Y.
    App. Div. 1957) (per curiam) (sexual harassment of job applicants).
    Clearly, the adoption of rule 32:8.4(g), which explicitly prohibits sexual
    harassment in the practice of law, was designed to strengthen, and not
    limit, the application of ethical rules in the sexual harassment context.
    See Steffes, 588 N.W.2d at 124.
    Second, we consider what is meant by the term “sexual
    harassment.”    In briefing before the commission, Moothart offers a
    narrow   definition    of    sexual   harassment   borrowed   largely   from
    employment law.       Citing Equal Employment Opportunity Commission
    guidelines, 
    29 C.F.R. § 1604.11
     (1980), Moothart asserts that sexual
    harassment must be unwelcome and must be more than an occasional
    stray comment. The Board counters that Moothart’s definition of sexual
    harassment is too narrow and out of context. According to the Board,
    our cases indicate sexual harassment can include any physical or verbal
    act of a sexual nature that has no legitimate place in a legal setting. See
    8
    Steffes, 588 N.W.2d at 124 (noting that rule regarding sexual harassment
    was adopted in response to recommendation made by the Equality in the
    Courts Task Force, which examined “discriminatory treatment received
    by women in the courtroom and from the legal system in general” (citing
    Equality in the Cts. Task Force, State of Iowa, Final Report 41–92
    (1993))). The commission agreed with the Board’s approach. So do we.
    In Steffes, we emphasized the breadth of the term “sexual
    harassment” used in rule 32:8.4(g). Id. We stated sexual harassment as
    used in the rule includes “ ‘sexual advances, requests for sexual favors,
    and other verbal [or] physical conduct of a sexual nature.’ ” Id. (quoting
    Black’s Law Dictionary 1375 (6th ed. 1990)). We have not required that
    the harassment be ongoing or pervasive as has been required in some
    employment contexts.       See, e.g., id. at 124–25 (deeming sexually
    revealing photos allegedly documenting back injury conduct of a sexual
    nature, thereby constituting sexual harassment).
    Third, we have generally rejected the notion that consent is a
    defense to acts of sexual harassment, at least in the context of an
    attorney–client relationship. For instance in Iowa Supreme Court Board
    of Professional Ethics & Conduct v. Hill (Hill II), we noted in the context of
    sexual harassment that “the professional relationship renders it
    impossible for the vulnerable layperson to be considered ‘consenting.’ ”
    
    540 N.W.2d 43
    , 44 (Iowa 1995) (emphasis added).          In short, Iowa has
    adopted a per se rule regarding sexual harassment of a client. See 
    id.
     at
    43–44; see also Iowa Supreme Ct. Att’y Disciplinary Bd. v. McGrath, 
    713 N.W.2d 682
    , 703–04 (Iowa 2006).
    D. Establishing an “Attorney–Client Relationship” Under Rule
    32:1.8(j) Prohibiting Sexual Relations with a Client.          Iowa Rule of
    Professional Conduct 32:1.8(j) provides in relevant part: “A lawyer shall
    9
    not have sexual relations with a client . . . unless the person is the
    spouse of the lawyer or the sexual relationship predates the initiation of
    the client–lawyer relationship.”
    Unlike rule 32:8.4(g) related to sexual harassment, our rule
    prohibiting sexual relations requires the existence of an attorney–client
    relationship.   Compare 
    id.
     r. 32:1.8(j), with 
    id.
     r. 32:8.4(g).   When an
    attorney–client relationship is present, however, a per se rule applies to
    clients who are not spouses or when a sexual relationship does not
    predate the attorney–client relationship.    As with sexual harassment,
    consent is not a defense. See Iowa Supreme Ct. Bd. of Prof’l Ethics &
    Conduct v. Furlong, 
    625 N.W.2d 711
    , 714 (Iowa 2001).
    In determining whether an attorney–client relationship is present,
    a comment to our rules notes that “principles of substantive law external
    to [the ethical rules] determine whether a client-lawyer relationship
    exists.”   Iowa R. Prof’l Conduct Scope [17].     In Iowa Supreme Court
    Attorney Disciplinary Board v. Netti, “consistent with section 14 of the
    Restatement (Third) of the Law Governing Lawyers,” we noted a three-
    part test determines the existence of an attorney–client relationship. 
    797 N.W.2d 591
    , 599 (Iowa 2011). Such a relationship exists when:
    (1) a person sought advice or assistance from an attorney, (2)
    the advice or assistance sought pertained to matters within
    the attorney’s professional competence, and (3) the attorney
    expressly or impliedly agreed to give or actually gave the
    desired advice or assistance.
    
    Id.
     (quoting Comm. on Prof’l Ethics & Conduct v. Wunschel, 
    461 N.W.2d 840
    , 845 (Iowa 1990)); see also Restatement (Third) of the Law Governing
    Lawyers § 14, at 125 (2000). Therefore, determining when an attorney–
    client relationship begins is a question of fact. Cf. Wunschel, 
    461 N.W.2d at 845
    ; Kurtenbach v. TeKippe, 
    260 N.W.2d 53
    , 57 (Iowa 1977).
    10
    For example, in determining the existence of an attorney–client
    relationship, we have addressed situations involving persons who might
    be considered former clients. For instance, in Iowa Supreme Court Board
    of Professional Ethics & Conduct v. Walters, we considered a case in
    which a lawyer borrowed money from a former client. 
    603 N.W.2d 772
    ,
    774–75 (Iowa 1999).       The applicable disciplinary rule prohibited a
    business transaction with a client under certain situations. 
    Id. at 775
    .
    We held that the rule applied “as long as the attorney has influence
    arising from a previous attorney-client relationship and the client is
    looking to the attorney to protect the client’s interest.” 
    Id. at 775
    ; see
    also Manoir–ElectroAlloys Corp. v. Amalloy Corp., 
    711 F. Supp. 188
    , 194
    (D.N.J. 1989) (holding client reasonably viewed law firm as continuing
    representation in light of follow-up letters related to prior work);
    Disciplinary Counsel v. Bunstein, 
    995 N.E.2d 184
    , 187 (Ohio 2013) (per
    curiam) (finding lawyer–client relationship when lawyer had previously
    represented client involving same issue and when client reasonably
    sought attorney’s advice); In re Conduct of Hassenstab, 
    934 P.2d 1110
    ,
    1114 (Or. 1997) (noting “[a] lawyer need not be on retainer or engaged for
    a specific purpose to be considered an attorney for a client who, from
    time to time, calls that lawyer seeking legal advice” (alteration in original)
    (internal quotation marks omitted)).
    E. Conflict of Interest Involving Nonparties.             Rule 32:1.7
    provides in relevant part:
    (a) . . . [A] lawyer shall not represent a client if the
    representation involves a concurrent conflict of interest. A
    concurrent conflict of interest exists if:
    ....
    (2) there is a significant risk that the representation of
    one or more clients will be materially limited by the lawyer’s
    11
    responsibilities to another client, a former client, or a third
    person or by a personal interest of the lawyer.
    Iowa R. Prof’l Conduct 32:1.7(a)(2).
    For purposes of this case, it is important to observe that a
    concurrent conflict of interest may arise even though there is only one
    attorney–client relationship. When representing a client, the ABA long
    ago emphasized that “[p]rotecting a client’s emotional and physical well-
    being is surely as important as protecting the client’s financial well-
    being.” ABA Comm. on Ethics & Prof’l Responsibility, Formal Op. 92-364
    (1992). We agree.
    A number of courts have found violations under conflict rules
    similar to rule 32:1.7(a)(2) when a lawyer engaged in sexual misconduct
    toward a client. For instance, in In re Disciplinary Proceedings Against
    Ridgeway, the Wisconsin Supreme Court found a lawyer violated its
    concurrent-conflicts rule when he provided beer to his client contrary to
    the conditions of the client’s probation and had sexual contact with her
    at the same time he was representing her on a possible probation
    revocation matter. 
    462 N.W.2d 671
    , 671–73 (Wis. 1990). Similarly, in
    People v. Bauder, the Colorado Supreme Court considered a case in
    which an attorney sexually solicited the wife of a dissolution client. 
    941 P.2d 282
    , 282–83 (Colo. 1997) (en banc) (per curiam).        The Colorado
    court concluded that “while the women involved were not themselves
    clients of the respondent, the respondent’s comments and proposals
    violated the fiduciary duty that the respondent owed his client because of
    the victims’ relationships to the client.” Id. at 283. Other jurisdictions
    have found similar violations. See, e.g., In re Piatt, 
    951 P.2d 889
    , 891
    (Ariz. 1997) (en banc) (holding sexual harassment of client by lawyer
    violated rule prohibiting lawyer from representing client when that
    12
    representation was materially limited by lawyer’s own interests); Attorney
    Grievance Comm. of Md. v. Culver, 
    849 A.2d 423
    , 435 (Md. 2004) (holding
    attorney who had sex with client placed his personal interest above those
    of client who was in unstable emotional state due to pending divorce); In
    re Application for Disciplinary Action Against Chinquist, 
    714 N.W.2d 469
    ,
    473–75 (N.D. 2006) (finding conflict of interest when lawyer engaged in
    sexual relationship with client while working on visitation and child-
    support issues); Chesley Payne, An Overview of Sexual Harassment in the
    Attorney-Client Relationship as Interpreted Under the ABA Rules of
    Professional Conduct, 
    26 J. Legal Prof. 249
    , 251 (2002) (noting
    concurrent-conflict rule is an often cited rule “that squarely fits the
    situation of sexual harassment in the attorney-client relationship”).
    F. Evidentiary Issues Implicated in this Case. The Iowa Rules
    of Evidence apply in disciplinary proceedings. See Iowa Ct. R. 36.14(3).
    Our review of the record in this case reveals two evidentiary issues,
    namely, the use of prior acts of the respondent as evidence of subsequent
    acts, and the use of prior consistent statements to buttress the
    credibility of the complainants’ testimony.
    We begin with a discussion of the issue of use of prior acts as
    evidence of subsequent acts. Iowa Rule of Evidence 5.404(b) generally
    limits admissibility of proof “of other crimes, wrongs, or acts” in order “to
    prove the character of a person in order to show that the person acted in
    conformity” with that character at another time.         The rule, however,
    explicitly allows admission of such evidence “for other purposes, such as
    proof of motive, opportunity, intent, preparation, plan, knowledge,
    identity, or absence of mistake or accident.”      
    Id.
       Under the rule as
    interpreted by our caselaw, prior bad acts are not admissible to show
    general propensity of wrongdoing but may be admissible to show
    13
    signature crimes, relationship of the parties, or other nonpropensity
    facts. See State v. Putman, 
    848 N.W.2d 1
    , 10–13 (Iowa 2014) (canvassing
    authorities and distinguishing between cases merely with common
    threads and cases with striking similarities and admitting evidence as
    relevant to identity of perpetrator); State v. Cox, 
    781 N.W.2d 757
    , 760–61
    (Iowa 2010) (holding prior acts of sexual abuse not admissible when not
    relevant to any nonpropensity purpose such as opportunity, common
    scheme or plan, or modus operandi).
    In this case, five separate charges were brought against Moothart.
    Moothart did not seek to sever the charges, however, and did not seek to
    limit the use of prior-bad-acts testimony.     In any event, the evidence
    related to each complainant was plainly admissible to show alleged
    violations against them.
    In at least one prior case, we declined to consider the application of
    rule 5.404(b) in the context of multiple charges of sexual misconduct.
    See, e.g., McGrath, 
    713 N.W.2d at
    687 n.1; In re J.A.L., 
    694 N.W.2d 748
    ,
    753 (Iowa 2005) (declining to decide whether admission of prior-acts
    evidence was harmless error and refraining from considering prior-acts
    evidence in de novo review).    In our de novo review, we recognize the
    general proposition embraced by the rule, namely, that absent some
    relevance other than propensity, evidence related to sexual harassment
    of one person should be given no weight in determining the merits of a
    different sexual harassment claim involving another person.
    A second issue relates to the use of prior consistent statements.
    Under Iowa Rule of Evidence 5.801(d)(1)(B), a prior consistent statement
    is admissible if the declarant is available for cross-examination at the
    hearing and if the prior consistent statement is offered to rebut the
    opposing party’s express or implied charge of recent fabrication or
    14
    improper influence or motive. Thus, to the extent Moothart challenged
    the credibility of witness testimony, prior consistent statements of the
    same witness are admissible to rebut the opposing party’s charge of
    improper motive.
    IV. Discussion of Merits.
    A. Jane Doe #1 (Sexual Harassment).            The Board charged
    Moothart with sexual harassment of Jane Doe #1 in violation of rule
    32:8.4(g). Based on our de novo review of the entire record, and giving
    due consideration to the credibility determinations of the commission, we
    find the following facts.
    Jane Doe #1 was a twenty-two-year-old college student who was
    arrested and charged with operating while intoxicated (OWI), first offense
    in August 2010. With Moothart as her lawyer, Jane Doe #1 pled guilty,
    received a deferred judgment, and was put on probation.           During
    attorney–client meetings with Jane Doe #1 in Moothart’s office, Moothart
    made explicit and crude sexual comments about her body that made
    Jane Doe #1 feel “really uncomfortable.”
    Ultimately, Jane Doe #1 left school for a period of time, but when
    she returned to school several months later, she contacted Moothart.
    Although Moothart had sent Jane Doe #1 a letter after her sentencing
    advising Jane Doe #1 that his representation had terminated, Moothart
    instructed her to contact him upon her return to school so that he could
    write a letter advocating her early discharge from probation. In addition,
    Moothart later sent Jane Doe #1 a letter in early December with a copy of
    her probation contract signed the previous month in which Jane Doe #1
    declared that Moothart was her attorney. This letter told Jane Doe #1
    that she should contact Moothart if she had any questions.
    15
    Upon her return to college, Jane Doe #1 telephoned Moothart as
    instructed and a meeting was scheduled for January 20, 2011. At the
    subsequent meeting, Jane Doe #1 and Moothart sat in a conference room
    at his office after hours and discussed matters related to her successful
    completion of the terms of her probation for about forty-five minutes.
    After this part of the evening concluded, Moothart mixed and served her
    three or four vodka lemonade drinks and she became intoxicated.
    Moothart did not consume alcohol, but drank soda.
    As the evening progressed, the discussion changed to topics of a
    sexual nature.   At some point, Moothart asked Jane Doe #1 to come
    around to his side of the table and show him her breasts.       Although
    exactly how this occurred is somewhat disputed, it is undisputed that
    following Moothart’s request, Jane Doe #1’s breasts were fully exposed to
    Moothart. Jane Doe #1 was “extremely uncomfortable” when Moothart
    looked at her breasts.   Shortly thereafter Moothart and Jane Doe #1
    moved to a dark room where there was a couch. They sat on the couch
    in a sexually provocative manner.         Moothart then made sexual
    suggestions to Jane Doe #1.     At that point, Jane Doe #1 asked to be
    driven home and Moothart drove Jane Doe #1 back to her apartment,
    dropping her off at approximately 9:30 p.m.
    Jane Doe #1’s father became aware something unusual had
    happened that night after Jane Doe #1 called home after meeting with
    Moothart in an intoxicated state, talked mostly to her mother, and
    provided the outlines of the sexual encounter.      Concerned about his
    daughter’s welfare, Jane Doe #1’s father called Moothart’s law office that
    evening at about 10:30 p.m. and left a message with Moothart. When
    Jane Doe #1’s father eventually spoke with Moothart after a few days,
    16
    Moothart told him that the purpose of the meeting with his daughter was
    to discuss her probation.
    Moothart admitted to many, though not all, of the facts recited by
    Jane Doe #1, including that he provided alcohol to her that night, that
    she exposed her breasts, that they sat together on the couch in sexually
    suggestive positions, and that he took Jane Doe #1 home at that point.
    He recognized that serving alcohol to someone on probation for an
    alcohol offense was “the dumbest thing anybody could do, especially an
    attorney.”     He further testified the evening was not appropriate for a
    married man with a daughter, stating, “There was nothing right about
    that night.”
    Moothart disputed, however, that he and Jane Doe #1 had an
    attorney–client relationship during the encounter. Therefore, the fighting
    issue was whether Jane Doe #1 was a client at the time the above events
    transpired. On the question of Moothart’s relationship with Jane Doe #1
    on January 20, we recognize that Moothart sent her a letter in October
    2010 indicating his representation had concluded.       However, we note
    that his December letter to Jane Doe #1 included a probation contract
    signed by Jane Doe #1 in November listing Moothart as her attorney.
    Moothart was aware of this document as he forwarded it to Jane Doe #1.
    Further, Jane Doe #1 called Moothart at his professional office while still
    on probation to schedule an appointment which ultimately occurred at
    the office, although after hours.    Finally, when Jane Doe #1’s father
    talked to Moothart on January 24, 2011, Moothart claimed the meeting
    was professional in nature.
    Under the facts as we view them, we think the Board established
    by a convincing preponderance of the evidence that an attorney–client
    relationship existed on January 20 under the standards of Netti, 797
    17
    N.W.2d at 599.    Further, we think the facts fit comfortably within the
    approach recognized in Walters, in which we noted an attorney–client
    relationship existed with a former client “as long as the attorney has
    influence arising from a previous attorney–client relationship and the
    client is looking to the attorney to protect the client’s interest.”   
    603 N.W.2d at 775
    .
    We also conclude the acts described above are sufficient to
    establish sexual harassment under our broad construction of the term.
    See Steffes, 588 N.W.2d at 124. Moothart does not escape culpability
    under our reading of sexual harassment under rule 32:8.4(g) simply
    because (he claims) Jane Doe #2 was intoxicated and did not expressly
    object to the activities or the sexual nature of their conversation. See
    Steffes, 588 N.W.2d at 125 (noting client’s failure to actively resist
    attorney’s inappropriate requests does not change ethical violation); Hill
    II, 
    540 N.W.2d at 44
     (noting a vulnerable layperson cannot consent to
    sexual advances made by her attorney).
    Based on our de novo review, we conclude the Board has
    established by a convincing preponderance of the evidence that Moothart
    violated rule 32:8.4(g) by engaging in sexual harassment in his office on
    January 20.
    B. Jane Doe #2 (Sexual Harassment, Sexual Relations with a
    Client, and Conflict of Interest).          The Board charged Moothart with
    sexual harassment, sexual relations with a client, and conflict of interest
    contrary to rules 32:8.4(g), 32:1.8(j), and 32:1.7(a)(2) regarding his
    interactions with Jane Doe #2. Based on our de novo review of the entire
    record, we find the following facts.
    In the spring of 2010, Moothart was appointed to represent D.A.
    for a probation violation as a result of D.A. being charged with domestic
    18
    assault.    Jane Doe #2 was the victim and primary witness of the
    domestic assault.
    Prior to D.A.’s probation revocation hearing, Jane Doe #2 met twice
    with Moothart. During the first meeting in Moothart’s office, Moothart
    complemented Jane Doe #2 on her physical appearance, with a specific
    comment about her breasts, which he asked to see. Jane Doe #2 also
    discussed her relationship with D.A. with Moothart, telling him D.A. was
    abusive towards her.
    Also during the first meeting, Jane Doe #2 told Moothart she did
    not have a driver’s license. Moothart responded that he could help her
    with that. Additionally, Moothart advised her to stay in a hotel to avoid
    receiving a subpoena. Jane Doe #2 did so based on his request.
    On the day of D.A.’s probation revocation hearing, Moothart met
    with Jane Doe #2 alone in a conference room at the courthouse. At this
    second meeting, Moothart started kissing her “and stuff” while they were
    alone together. Jane Doe #2 did not object because she “was going to do
    anything to help [D.A.].” She stated, “I really didn’t want to do it but I
    did it so [Moothart] would do his best to get my boyfriend out.”
    About a month later, Jane Doe #2 received a letter from Moothart,
    stating in pertinent part:
    Thank you for speaking with me earlier today, Ref: (a) I
    am writing to confirm I will take no further action regarding
    the status of your motor vehicle operator’s license pending
    your formal request and agreement regarding the same.
    In anticipation of you making such request, however,
    attached please find a copy of the documents you will be
    executing when you come to my office, Enc (1) and (2). To
    expedite our meeting, please fill out Part B of the attached
    Request prior to our meeting. Kindly note you will also need
    to bring the following items with you to our meeting:
    • Check in the amount of $5.50 payable to Treasurer,
    State of Iowa (to include with the application)
    19
    • Driver’s license or more likely, non-driver identification
    card
    The letter also included an “Affidavit of Consent,” which identified
    Moothart as Jane Doe #2’s attorney. Following receipt of this letter, Jane
    Doe #2 provided Moothart with the $5.50 and a copy of her nondriver
    identification card.
    A few weeks after Jane Doe #2 received the letter, Moothart picked
    her up and they traveled together to a hotel outside of Ames. The same
    day, Jane Doe #2 had her signature notarized on the Affidavit of Consent
    and gave it to Moothart when they met. Prior to picking Jane Doe #2 up,
    he had called and asked her what she preferred to drink, to which she
    responded wine.        At the hotel, Jane Doe #2 drank an entire bottle of
    wine. Moothart drank no alcohol. Thereafter, Moothart and Jane Doe #2
    had sex.     Moothart paid for the hotel room.        Following this night,
    Moothart and Jane Doe #2 had several phone conversations, which
    included conversations about her driver’s license.
    Two months after the first hotel tryst, Jane Doe #2 and Moothart
    met at another hotel outside of Ames. They discussed her driver’s license
    and the steps Moothart was taking in resolving the matter.         Moothart
    brought beer for Jane Doe #2 to drink and they had sex. Moothart again
    paid for the hotel room.
    Following that night, Moothart wrote to Jane Doe #2 on office
    letterhead requesting that she sign the Affidavit of Consent in front of a
    notary.    This letter also confirmed receipt of the $5.50 requested by
    Moothart.    The following week, a document in Moothart’s file, entitled
    “Privacy Act Agreement for Request of Motor Vehicle Records,” identified
    him as Jane Doe #2’s attorney.
    Moothart admits he and Jane Doe #2 had sex on the two occasions
    described above. Moothart insists, however, that Jane Doe #2 was not
    20
    his client.   Moothart testified he and Jane Doe #2 spoke only about
    matters related to D.A.’s probation revocation hearing during his
    meetings with Jane Doe #2 prior to the hearing. He claimed the later
    sexual liaisons were consensual in nature.
    With respect to the documents in his file on Jane Doe #2, Moothart
    claims the letters were fake and designed to assuage D.A., a person with
    a propensity toward violence.        Moothart testified the letters and
    discussions about Jane Doe #2’s driver’s license were designed as a ruse
    to keep them safe from D.A.      In support of his ruse claim, Moothart
    noted that the document requesting a copy of Jane Doe #2’s driver’s
    license record did not have a number for her nondriver identification, but
    instead used an entry of 000XX0000. He further noted that the check
    number for payment of the $5.50 was listed as 0000. Moothart argues
    these incomplete entries indicate there was never any intention to submit
    the documentation to the IDOT and that, in fact, he did not do so.
    Further, Moothart testified there was, in fact, nothing he could do for
    Jane Doe #2 regarding her request for a driver’s license, as her license
    was suspended for nonpayment of fines.
    On our de novo review, we conclude the Board proved its sexual
    harassment claim by a convincing preponderance of the evidence. We
    note the commission made two credibility determinations: it found Jane
    Doe #2 credible, while it found Moothart’s testimony incredible. Aside
    from the commission’s credibility determinations, which we consider
    important, we are persuaded Moothart had unwanted sexual contact
    with Jane Doe #2 before he admittedly took her to a motel to engage in
    sexual intercourse.    We therefore conclude the Board proved by a
    convincing preponderance of the evidence that Moothart engaged in
    sexual harassment in violation of rule 32:8.4(g).
    21
    Like the commission, we also find that Moothart violated rule
    32:1.8(j) by having sex with a client. Moothart offers an unusual theory,
    claiming that oddities in the documents and the futility of the
    representation demonstrate the lack of an attorney–client relationship. It
    may well have been that Moothart regarded the documents as a ruse to
    provide a buffer against the current and prospective rage of a jealous
    client.     The creation of false files, of course, would hardly generate
    confidence in Moothart as a lawyer, but we concede for the purpose of
    argument that it is possible that Moothart was devious enough to engage
    in such behavior.
    In determining whether there was an attorney–client relationship,
    however, we have adopted a three-part test. The test generally requires
    that “(1) a person sought advice or assistance from an attorney, (2) the
    advice or assistance sought pertained to matters within the attorney’s
    professional competence, and (3) the attorney expressly or impliedly
    agreed to give or actually gave the desired advice or assistance.” State v.
    Parker, 
    747 N.W.2d 196
    , 203 (Iowa 2008) (internal quotation marks
    omitted); see also Netti, 797 N.W.2d at 599; Kurtenbach, 
    260 N.W.2d at 56
     (stating that an attorney can give express or implied legal assistance
    “when [a] person seeking legal services reasonably relies on the attorney
    to provide them [services] and the attorney, aware of such reliance, does
    nothing to negate it”); see generally Restatement (Third) of the Law
    Governing Lawyers § 14, at 125 (detailing the formation of an attorney–
    client relationship, including when a client reasonably relies on the
    services of an attorney). Jane Doe #2 testified she believed Moothart was
    assisting her in connection with her driver’s license.         She had a
    document notarized, at Moothart’s request, expressly stating that he was
    her lawyer in connection with her driver’s license matter. Under these
    22
    circumstances, we conclude that an attorney–client relationship was
    established between Moothart and Jane Doe #2.
    There is no persuasive reason to believe that Jane Doe #2 knew
    she was executing a false consent at Moothart’s request.         There is no
    evidence that Jane Doe #2 was sophisticated about driver’s license
    matters, including those involving her own license. That is why we have
    lawyers. We think the documentary trail drives the balance well away
    from equipoise and establishes by a convincing preponderance of the
    evidence the existence of an attorney–client relationship at the time of
    the sexual intercourse.    We therefore conclude that Moothart violated
    rule 32:1.8(j).
    Finally, on the question of conflict of interest, we also agree with
    the commission that Moothart violated rule 32:1.7(a)(2).             Moothart
    represented D.A. in a domestic abuse charge while at the same time he
    sought to establish or engaged in a personal relationship with the
    purported victim of the domestic abuse. An attorney cannot zealously
    represent the interest of a person accused of domestic abuse while
    seeking sexual favors from the alleged victim. Further, we note that by
    engaging in sexual relations with Jane Doe #2, Moothart increased Jane
    Doe #2’s risk of exposure to angry outbursts from D.A. We conclude the
    Board established by a preponderance of the evidence that Moothart
    violated rule 32:1.7(a)(2) by engaging in a personal relationship that gave
    rise to a concurrent conflict of interest with an existing client.
    C. Jane Doe #3 (Sexual Harassment, Sexual Relations with a
    Client).   The Board charged Moothart with sexual harassment and
    sexual relations with a client in violation of rule 32:8.4(g) and rule
    32:1.8(j), regarding his interactions with Jane Doe #3.        Based on our
    de novo review of the entire record, we find the following facts.
    23
    At the time of the alleged transgressions, Jane Doe #3 was a
    woman in her early thirties who was a single mother of two young
    children.    Moothart was court appointed to represent Jane Doe #3 in
    three misdemeanor matters and two child-in-need-of-assistance matters
    from September 2010 through December 2011. During this time, Jane
    Doe #3’s children were in foster care.
    Jane Doe #3 had an extensive history of mental-health and
    substance-abuse problems and was being treated for PTSD, anxiety, and
    depression. Moothart was well aware that her life was in turmoil.
    During her first meeting with Moothart, Moothart questioned Jane
    Doe #3 extensively about her past work in the escort business and work
    as a prostitute. Jane Doe #3 felt uncomfortable with the questions and
    did not understand why Moothart was asking about these things as they
    had nothing to do with her case or with her children.
    At this time, Jane Doe #3 was residing at a transitional living
    facility in an attempt to address the problems in her life.          After being
    discharged early, she was placed at a residential treatment center. While
    a resident at the center, Jane Doe #3 was able to leave and meet with
    Moothart at his office several times.
    During    a   subsequent     meeting,      Moothart     complimented   her
    appearance and asked her to “flash him.”            In response, Jane Doe #3
    showed      Moothart   her   breasts,   which     generated    a   crude   sexual
    compliment from Moothart.        Jane Doe #3 was uncomfortable with his
    requests; however, she complied because, as she stated, “Well, he was
    my lawyer. I mean, and I was in a pretty tough situation. Going to lose
    my kids.”
    In later attorney–client sessions, Moothart made additional crude
    sexual comments to Jane Doe #3.              Eventually, Moothart scheduled a
    24
    meeting at his office with Jane Doe #3 after business hours.          At
    Moothart’s request, Jane Doe #3 performed oral sex on Moothart.       He
    paid her $100 for doing so. After this incident, Moothart attempted to
    arrange further meetings with Jane Doe #3 to engage in sex acts for
    money, but she refused.
    The sexual encounter bothered Jane Doe #3. She recognized she
    faced adverse consequences, including loss of reputation, possible jail
    time for prostitution, and negative consequences on her effort to be
    united with her children if she disclosed the events that had transpired.
    After some delay, she eventually told one of her caseworkers, R.S., and
    obtained assistance in requesting that Moothart withdraw from pending
    matters. Eventually Jane Doe #3 left residential treatment and had her
    children returned to her and the juvenile court cases involving her
    children closed.
    R.S., an in-home caseworker for Children and Families of Iowa,
    corroborated Jane Doe #3’s testimony about reporting the incident.
    While R.S. offered testimony about a prior consistent statement by Jane
    Doe #3 over Moothart’s objection, we note such evidence was admissible
    because Moothart had attempted to impeach the testimony of Jane Doe
    #3. See Iowa R. Evid. 5.801(d)(1)(B).
    Based upon our de novo review of the facts, we conclude that
    Moothart violated rule 32:8.4(g) when he made several crude sexual
    comments to Jane Doe #3, including asking her to flash him. Like the
    commission, we conclude these statements were “ ‘sexual advances,
    request for sexual favors, and other verbal [or] physical conduct of a
    sexual nature.’ ” See Steffes, 588 N.W.2d at 124 (quoting Black’s Law
    Dictionary 1375). Further, Jane Doe #3 did not consent or welcome the
    sexual advances made by Moothart and was clearly not in a position to
    25
    do so, as she testified she was in a tough situation and was depending
    on Moothart so she could regain custody of her children.
    We also conclude that Moothart violated rule 32:1.8(j) by giving
    Jane Doe #3 $100 in exchange for oral sex.       There is no dispute that
    Moothart was Jane Doe #3’s court-appointed attorney during this time.
    D. Jane Doe #4 (Sexual Harassment).              The Board charged
    Moothart with sexual harassment of Jane Doe #4 in violation of rule
    32:8.4(g). Based on our de novo review of the entire record, we find the
    following facts.
    In October 2010, Moothart was court appointed to represent
    eighteen-year-old Jane Doe #4 on a probation violation matter stemming
    from an OWI, first offense charge.           During the course of his
    representation, Moothart met with Jane Doe #4 three times. During the
    first meeting in Moothart’s office, Moothart made comments about her
    cleavage and asked her to pull her shirt down. Further, when Jane Doe
    #4 asked how much Moothart would charge for his legal services, his
    response was “it depends on how much cleavage you show me.” Jane
    Doe #4 stated that as a result of Moothart’s behavior, she “felt kind of
    embarrassed.” She stated, “I didn’t know really what to do. I didn’t want
    to, I guess, risk having any issues with my case, so I just was compliant.”
    At the second meeting, Jane Doe #4 and Moothart met at the
    courthouse shortly before her hearing.      Based on her last interaction
    with Moothart, Jane Doe #4 brought her mother and sister with her, as
    she “really didn’t want to be in another situation like the [last] meeting.”
    Jane Doe #4 asked that they be able to go into the meeting room with her
    and Moothart. Moothart refused to allow them to accompany her into
    the meeting. At the meeting, Moothart made more comments about her
    cleavage and again asked her to pull down her shirt.
    26
    The last meeting occurred immediately after the hearing, when
    Moothart again met privately with Jane Doe #4 in a courthouse
    conference room where he asked Jane Doe #4 if they could get drinks
    together and hang out in a hot tub. Because her case was over, Jane
    Doe #4 felt comfortable telling Moothart his actions and comments were
    inappropriate.
    Based upon our de novo review, we conclude the Board proved by
    a convincing preponderance of the evidence that Moothart’s behavior
    with respect to Jane Doe #4 violated rule 32:8.4(g). Under the facts we
    have found, Moothart’s behavior clearly constitutes sexual harassment
    under this rule. 2
    E. Jane Doe #5 (Sexual Harassment).                     The Board charged
    Moothart with sexual harassment of Jane Doe #5 in violation of rule
    32:8.4(g).    Based on our review of the entire record, we make the
    following findings of fact.
    Jane Doe #5 testified that she had known Moothart since she was
    ten or twelve.     She began working at Moothart’s law office in April of
    2006 as a legal secretary and receptionist.
    In 2006, while Jane Doe #5 was working for Moothart, he
    represented her in her dissolution-of-marriage case.                   In the office,
    Moothart had often made sexual comments which made her feel
    uncomfortable. These types of comments increased in frequency when
    he began representing her in her dissolution case. She testified Moothart
    would comment about her weight and how her body looked in different
    2There is a question whether we should consider the similarity between Jane
    Doe #4’s allegations and the allegations of other Jane Doe’s. We need not decide this
    question, as even if we conclude that the acts only have a common thread and are not
    strikingly similar, see Putman, 848 N.W.2d at 12, it does not affect the result in this
    case. Even if we decline to view the claims as strikingly similar, the Board has met its
    burden to prove each of the charges by a convincing preponderance of the evidence.
    27
    outfits, about her breasts, and about other aspects of her body. He also
    asked her to perform lap dances and taped a $20 bill to the back of a
    cabinet door and said she was free to take it if she danced naked on the
    conference room table.
    At the beginning of her employment, Moothart’s driving privileges
    had been revoked as the result of his second conviction for OWI and
    Jane Doe #5 drove him to his appointments.         On one occasion, while
    Jane Doe #5 was driving him to court, Moothart reached over and
    grabbed one of her breasts.
    On another occasion while at work, Moothart asked Jane Doe #5 if
    she knew what a particular sex toy was. After responding she did not,
    Jane Doe #5 testified that he pulled up a picture on his computer and
    asked if he should order one so they could use it while having sex. She
    testified this made her “extremely uncomfortable.”
    During a Saturday spent putting together new office furniture,
    Jane Doe #5 was sitting at her desk and Moothart was on the ground
    connecting wires.     He looked up her skirt and commented on her
    underwear.
    Throughout Jane Doe #5’s employment, Moothart would regularly
    make comments about female clients’ breasts.         She also testified that
    Moothart kept alcohol in the office and would offer it to certain clients.
    On December 30, 2006, Jane Doe #5 met a client after hours to
    celebrate the client’s case being over. While out together, Jane Doe #5
    recalled being informed by the client of a highly inappropriate proposal of
    a sexual nature from Moothart. Jane Doe #5 claimed that this was the
    final straw and quit her job a few days later, in early January 2007.
    In April 2009, Moothart was court appointed to represent Jane Doe
    #5 in a juvenile case involving her son with special needs.        Although
    28
    Moothart testified that Jane Doe #5 wanted him to represent her in the
    matter, Jane Doe #5 denies that was her desire.                During his
    representation from approximately May 2009 until the summer of 2011,
    Moothart continued to make comments about her breasts.
    Based on our de novo review, we conclude that the Board
    established by a convincing preponderance of the evidence that Moothart
    violated rule 32:8.4(g) by injecting sexual commentary into the workplace
    and during the period of time when Jane Doe #5 was his client.
    V. Sanction.
    In order to determine the appropriate sanction in this case, we
    must consider:
    “[T]he nature of the violations, the attorney’s fitness to
    continue in the practice of law, the protection of society from
    those unfit to practice law, the need to uphold public
    confidence in the justice system, deterrence, maintenance of
    the reputation of the bar as a whole, and any aggravating or
    mitigating circumstances.”
    Van Ginkel, 809 N.W.2d at 108 (alteration in original) (quoting Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Ireland, 
    748 N.W.2d 498
    , 502 (Iowa
    2008)). “The primary goal of attorney discipline is to protect the public,
    not to punish the attorney.” Iowa Supreme Ct. Att’y Disciplinary Bd. v.
    Barnhill, 
    847 N.W.2d 466
    , 487 (Iowa 2014). We are mindful there is no
    “standard sanction for a particular type of misconduct, and though prior
    cases can be instructive, we ultimately determine an appropriate
    sanction based on the particular circumstances of each case.”           Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Earley, 
    729 N.W.2d 437
    , 443 (Iowa
    2007); see also Iowa Supreme Ct. Att’y Disciplinary Bd. v. Morrison, 
    727 N.W.2d 115
    , 119 (Iowa 2007) (“We give the discipline recommended by
    the Grievance Commission its due respect although the matter of
    sanction is solely within the authority of this court.” (Internal quotation
    29
    marks omitted.)).   Further, the form and extent of the sanction must
    necessarily be “ ‘tailored to the specific facts and circumstances of each
    individual case.’ ” Van Ginkel, 809 N.W.2d at 108 (quoting Iowa Supreme
    Ct. Att’y Disciplinary Bd. v. Marks, 
    759 N.W.2d 328
    , 332 (Iowa 2009)).
    With these principles in mind, we now consider the question of the
    appropriate sanction in this case. Moothart acknowledges some level of
    discipline is warranted, but contends anything more than a thirty-day
    suspension will be devastating to his family and coworkers, including an
    office assistant and a newly-hired associate. We conclude a more severe
    sanction is appropriate.    Moothart’s conduct indicates a pattern of
    inappropriate behavior over many years that clearly harmed the women
    with whom he interacted as well as the profession he represented.
    We have considered instances of an Iowa attorney’s inappropriate
    sexual misconduct on a number of occasions and imposed sanctions
    ranging from a public reprimand to a three-year suspension. See, e.g.,
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Templeton, 
    784 N.W.2d 761
    ,
    767–68, 771 (Iowa 2010) (imposing three-month suspension for attorney
    on inactive status convicted of serious misdemeanor for window peeping);
    Marzen, 
    779 N.W.2d at 764, 769
     (suspending attorney for six months
    when attorney engaged in consensual sexual relationship and accused
    of entering into sex-for-fees relationship); McGrath, 
    713 N.W.2d at
    703–
    04 (imposing three-year suspension for attorney who sexually harassed
    at least two female clients, including exchanging legal services for sex);
    Furlong, 
    625 N.W.2d at
    712–14 (suspending attorney for eighteen months
    for engaging in a sexual relationship with one client and encouraging her
    to withdraw her complaint with the Board and sexually harassing
    another client); Steffes, 588 N.W.2d at 124–25 (imposing two-year
    suspension for taking photographs of partially-clothed client under
    30
    pretext photos needed to document back injury); Hill II, 
    540 N.W.2d at 43, 45
     (suspending attorney for twelve months for making inappropriate
    sexual advances toward client); Comm. on Prof’l Ethics & Conduct v.
    Barrer, 
    495 N.W.2d 756
    , 757 (Iowa 1993) (imposing two-year suspension
    for making obscene phone calls to teenage boys); Comm. on Prof’l Ethics
    & Conduct v. Hill (Hill I), 
    436 N.W.2d 57
    , 58–59 (Iowa 1989) (suspending
    attorney for three months for accepting vulnerable client’s offer to have
    sex in exchange for money); Comm. on Prof’l Ethics & Conduct v. Vesole,
    
    400 N.W.2d 591
    , 591–93 (Iowa 1987) (imposing three-year suspension
    for repeated instances of indecent exposure to women); Comm. on Prof’l
    Ethics & Conduct v. Durham, 
    279 N.W.2d 280
    , 281, 285–86 (Iowa 1979)
    (reprimanding attorney for kissing and embracing inmate client).
    Other   jurisdictions   have   also   dealt   with   similar   attorney
    misconduct and have imposed sanctions ranging from a public
    reprimand to disbarment depending on the number of victims and
    interactions, as well as the severity of the alleged misconduct. See, e.g.,
    People v. Good, 
    893 P.2d 101
    , 102, 105 (Colo. 1995) (en banc) (per
    curiam) (suspending attorney for one year and one day after engaging in
    a consensual sexual relationship with a client); In re Tenenbaum, 
    880 A.2d 1025
    , 1026 (Del. 2005) (per curiam) (imposing suspension of three
    years after attorney sexually harassed clients and employees over a
    period of five to ten years); In re Hammond, 
    56 So. 3d 199
    , 201–05, 214
    (La. 2011) (disbarring attorney who was found to have engaged in
    repeated unwanted and coercive sexual contact with a number of clients,
    most of whom were incarcerated inmates); Attorney Grievance Comm’n of
    Md. v. Goldsborough, 
    624 A.2d 503
    , 514 (Md. 1993) (imposing a
    minimum two-year indefinite suspension after attorney was accused of
    sexual harassment of three women and requiring the attorney to
    31
    “persuade   [the    court]   that   the   conduct   which   necessitated   his
    suspension will never be repeated”); In re Discipline Action Against
    Griffith, 
    838 N.W.2d 792
    , 792–93 (Minn. 2013) (suspending attorney
    associated with a law school for ninety days for engaging in unwelcome
    sexual conduct and contact with law student); State ex rel. Okla. Bar
    Ass’n v. Miskovsky, 
    938 P.2d 744
    , 746–47, 751 (Okla. 1997) (imposing
    sixty-day suspension after attorney made repeated sexual comments and
    advances with two separate prospective divorce clients); In re White, 
    611 S.E.2d 917
    , 918–19 (S.C. 2005) (per curiam) (suspending attorney for
    eighteen months after admitting to a pattern and practice of making
    sexual comments and suggestions to clients); In re Yarborough, 
    524 S.E.2d 100
    , 103–05 (S.C. 1999) (per curiam) (reprimanding attorney for
    making sexual advances and sexual comments to a client); In re
    Discipline Proceedings Against Voss, 
    795 N.W.2d 415
    , 422–23 (Wis. 2011)
    (per curiam) (suspending attorney for four years and eight months after
    finding the attorney engaged in an ongoing sexual relationship with a
    particularly vulnerable client and then attempted to intimidate her and
    her family to avoid punishment).
    This case is different from those resulting in reprimands and short
    suspensions.       Here, unlike in both Monroe and Morrison when the
    attorneys were suspended for thirty days after each had sex with one
    client, see Iowa Supreme Ct. Att’y Disciplinary Bd. v. Monroe, 
    784 N.W.2d 784
    , 787, 791 (Iowa 2010) (suspending attorney for thirty days for having
    a sexual relationship with a dissolution client when at the disciplinary
    hearing, the client testified she harbored no ill will toward the attorney
    and continued to regard him as a friend); Morrison, 
    727 N.W.2d at 117, 120
     (imposing thirty-day suspension for attorney who admitted having
    sex with one client and acknowledged his conduct was unethical),
    32
    Moothart admitted to having sex twice with one client, and we have
    found he paid another client for sex and sexually harassed five women.
    The pattern and extent of Moothart’s conduct is an unprecedented set of
    facts in Iowa and therefore warrants a suspension far beyond thirty-
    days.
    This case presents numerous aggravating factors, most notably the
    vulnerability of the women with whom Moothart interacted and the
    pattern of such conduct. See Templeton, 
    784 N.W.2d at 770
     (noting “we
    cannot overlook the serious, egregious, and persistent nature of
    Templeton’s misconduct and the effect it had on his victims”); Comm. on
    Prof'l Ethics & Conduct v. Tompkins, 
    415 N.W.2d 620
    , 623 (Iowa 1987)
    (stating “the more egregious and persistent the conduct, the more
    debased the character of the offender”).           Each woman believed she
    needed Moothart’s professional help and all were in difficult, stressful
    situations. This is especially true with regards to Jane Doe #3, who was
    at risk of losing her children and had mental health concerns.              See
    Marzen, 
    779 N.W.2d at 769
     (“While many, if not most, people seek out
    lawyers    for   help   in   matters   of    personal   importance   and   may,
    consequently, be vulnerable, the mental health condition of [the victim]
    at the time the sexual relationship began is an aggravating circumstance
    to consider in the imposition of discipline.”).         Further, there was an
    obvious power imbalance between Moothart and each woman, which he
    acknowledged and took full advantage of. See generally State v. Johnson,
    
    149 Iowa 462
    , 468, 
    128 N.W. 837
    , 839 (1910) (“[A]n attorney who
    knowingly abuses the trust and confidence placed in him by his client is
    unfit for the profession and unworthy of a place therein.”). Additionally,
    this was not an isolated incident.          Moothart’s actions show a specific
    pattern of conduct with respect to a number of victims, which we
    33
    consider an aggravating factor.      See Iowa Supreme Court Bd. of Prof’l
    Ethics & Conduct v. Vinyard, 
    656 N.W.2d 127
    , 132 (Iowa 2003) (noting
    pattern of misconduct is an aggravating factor).
    This case is more analogous to those cases in which a lengthy
    suspension was imposed. See McGrath, 
    713 N.W.2d at
    703–04; Steffes,
    588 N.W.2d at 125; Hill II, 
    540 N.W.2d at 45
    ; Barrer, 
    495 N.W.2d at 757
    ;
    Vesole, 
    400 N.W.2d at 593
    .
    The nature and extent of these ethical violations is very disturbing.
    Although we credit Moothart for his lack of prior disciplinary record, his
    voluntary   work   in   connection    with   his   daughter’s   school   and
    extracurricular activities, his contributions to the local bar and legal
    organizations, and his general reputation in the Ames legal community,
    we are alarmed by the nature and pattern of his ethical violations. All
    five women sought Moothart’s help with matters of personal importance.
    Preying upon their vulnerability, Moothart manipulated each woman for
    his own sexual gratification. We therefore think a lengthy suspension is
    warranted to provide adequate deterrence and to protect future potential
    clients and the reputation of the bar, particularly in light of the
    seriousness of the offenses.
    Therefore, we find the appropriate sanction for Moothart’s conduct
    is suspension of his license to practice law indefinitely with no possibility
    of reinstatement for thirty months.          Prior to any application for
    reinstatement, Moothart must provide this court with an evaluation by a
    licensed health care professional, including proof of participation in a
    counseling program specific to sexual harassment, verifying his fitness to
    practice law. See Steffes, 588 N.W.2d at 125 (noting “as a condition of
    license reinstatement, Steffes [was] required to demonstrate that he . . .
    completed formal training in sensitivity to sexual harassment issues to
    34
    prevent a reoccurrence of the conduct that resulted in his suspension”);
    see also Templeton, 
    784 N.W.2d at 771
    .
    VI. Conclusion.
    For the above reasons, we suspend Moothart’s license to practice
    law in this state for an indefinite period of time with no possibility of
    reinstatement for thirty months.    Additionally, Moothart must provide
    this court with an evaluation by a licensed health care professional,
    including proof of participation in a counseling program specific to
    sexual harassment, verifying his fitness to practice law.
    This suspension shall apply to all facets of law.      Iowa Ct. R.
    35.13(3). Moothart shall provide all of the notifications required by Iowa
    Court Rule 35.23.      The costs of this proceeding are taxed against
    Moothart pursuant to Iowa Court Rule 35.27(1).
    LICENSE SUSPENDED.
    

Document Info

Docket Number: 14–1708

Citation Numbers: 860 N.W.2d 598

Filed Date: 3/6/2015

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (28)

In Re Tenenbaum , 880 A.2d 1025 ( 2005 )

Iowa Supreme Court Attorney Disciplinary Board v. Templeton , 784 N.W.2d 761 ( 2010 )

Iowa Supreme Court Board of Professional Ethics & Conduct v.... , 625 N.W.2d 711 ( 2001 )

Committee on Professional Ethics v. Durham , 279 N.W.2d 280 ( 1979 )

IOWA PRO. ETHICS & CONDUCT BD. v. Evans , 537 N.W.2d 783 ( 1995 )

Committee on Professional Ethics & Conduct of the Iowa ... , 400 N.W.2d 591 ( 1987 )

Iowa Supreme Court Board of Professional Ethics & Conduct v.... , 656 N.W.2d 127 ( 2003 )

Iowa Supreme Court Attorney Disciplinary Board v. Marks , 759 N.W.2d 328 ( 2009 )

Iowa Supreme Court Attorney Disciplinary Board v. Monroe , 784 N.W.2d 784 ( 2010 )

COMM. ON PRO. ETHICS v. Barrer , 495 N.W.2d 756 ( 1993 )

IA S. CT. ATTY. DISCIPLINARY BD. v. Ireland , 748 N.W.2d 498 ( 2008 )

Iowa Supreme Court Board of Professional Ethics & Conduct v.... , 557 N.W.2d 515 ( 1996 )

Committee on Professional Ethics & Conduct of the Iowa ... , 415 N.W.2d 620 ( 1987 )

Committee v. Wunschel , 461 N.W.2d 840 ( 1990 )

Committee on Professional Ethics & Conduct of the Iowa ... , 436 N.W.2d 57 ( 1989 )

State v. Parker , 747 N.W.2d 196 ( 2008 )

Iowa Supreme Court Attorney Disciplinary Board v. Earley , 729 N.W.2d 437 ( 2007 )

In Re JAL , 694 N.W.2d 748 ( 2005 )

Iowa Supreme Court Board of Professional Ethics & Conduct v.... , 603 N.W.2d 772 ( 1999 )

Kurtenbach v. TeKippe , 260 N.W.2d 53 ( 1977 )

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