Iowa Supreme Court Attorney Disciplinary Board v. Harold K. Widdison ( 2021 )


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  •                IN THE SUPREME COURT OF IOWA
    No. 21–0148
    Submitted April 15, 2021—Filed May 28, 2021
    Amended August 3, 2021
    IOWA SUPREME COURT ATTORNEY DISCIPLINARY BOARD,
    Complainant,
    vs.
    HAROLD K. WIDDISON,
    Respondent.
    On review of the report of the Iowa Supreme Court Grievance
    Commission.
    Iowa Supreme Court Grievance Commission determined that an
    attorney violated multiple rules of professional conduct and recommended
    the attorney’s license be suspended. LICENSE SUSPENDED.
    Appel, J., delivered the opinion of the court, in which all justices
    joined.
    Tara van Brederode and Crystal Rink, Des Moines, for complainant.
    John C. Gray, Sioux City, for respondent.
    2
    APPEL, Justice.
    The Iowa Supreme Court Attorney Disciplinary Board charged Iowa
    attorney Harold K. Widdison with a series of ethical violations related to
    his conduct during his postdivorce litigation and trust account
    management.      After a hearing, the Iowa Supreme Court Grievance
    Commission determined that Widdison violated Iowa Rules of Professional
    Conduct 32:3.1 (frivolous defenses or proceedings), 32:3.3(a)(1) (false
    statements of law or fact before a tribunal), 32:8.2(a) (false statement
    regarding the integrity of a judge), and 32:8.4(c) (dishonesty, fraud, deceit,
    or misrepresentation). The commission recommended Widdison’s license
    be suspended for one hundred twenty days. Upon our de novo review, we
    find that Widdison violated multiple disciplinary rules and impose a
    ninety-day suspension of Widdison’s license to practice law.
    I. Background Facts and Procedural History.
    A. Overview. Harold Widdison has been an Iowa attorney since
    June 16, 1995. Widdison maintains a solo private practice law firm in
    Sioux City. He is an experienced and respected attorney. Widdison has
    not had a prior disciplinary history.
    Widdison and his former spouse, Amy Dendy, were divorced in 2015.
    In the divorce proceedings, the parties entered into a settlement agreement
    filed on January 20, 2015. The district court entered a divorce decree that
    same day. As part of the settlement agreement, Dendy became the sole
    owner of a 50% interest in an apartment complex that had previously been
    owned jointly by Widdison and Dendy. Widdison and Dendy entered into
    a settlement agreement which mutually released all claims they might
    have against each other. Joint child custody was awarded.
    3
    B. Allegations of Disciplinary Board.
    1. Introduction.   On April 21, 2020, the Iowa Supreme Court
    Attorney Disciplinary Board filed a two-count complaint against Widdison.
    In count I, the Board alleged a series of ethics violations in connection with
    his conduct during postdivorce litigation. In count II, the Board alleged
    Widdison engaged in various trust account violations.
    2. Ethical violations related to postdivorce litigation. In count I, the
    Board alleged ethical violations arising from four separate events. First,
    according to the Board, Widdison prosecuted a frivolous claim for past
    attorney fees against his former spouse and Northpark, a limited liability
    company wholly owned by his former spouse. Second, the Board asserted
    that Widdison sought to recuse the magistrate hearing his attorney fees
    claim by making a false allegation that she had a conflict of interest which
    disqualified her from hearing the case. Third, the Board claimed that in a
    modification proceeding, Widdison threatened potential witnesses by
    sending a letter to several witnesses, purportedly addressed to the judge
    in the case that claimed negative information would be revealed against
    the witnesses if they were subject to cross-examination. Fourth, the Board
    alleged that in the modification proceeding, Widdison falsely claimed that
    the judge handling the matter told the parties that “she was suffering some
    form of brain cancer and that the Court’s decision will take a long time to
    issue.” When the court characterized Widdison’s statement as “false” or
    “not truthful,” the Board stated that Widdison sought to strike the court’s
    references. The Board claimed that Widdison repeated his false claims in
    several other documents filed with the court.
    Based on the above conduct, the Board alleged that Widdison
    violated Iowa Rules of Professional Conduct 32:3.1 (frivolous defenses or
    proceedings), 32:3.3(a)(1) (false statement of fact or law to a tribunal),
    4
    32:8.2(a) (false or reckless statements concerning a judge), and 32:8.4(c)
    (dishonesty, fraud, deceit, or misrepresentation).
    3. Ethical violations related to trust accounts.    In count II of the
    complaint, the Board alleged that on December 18, 2018, an auditor for
    the Iowa Supreme Court Client Security Commission (Client Security
    Commission) began an audit of Widdison’s client trust account. According
    to the Board, auditor Tony A. Bennett found six negative client account
    balances, one due to a timing issue regarding receipt of funds, with the
    remaining five accounts showing a negative balance of $293.61.            The
    Board further asserted that it found seven stale client accounts without
    activity in over a year with a combined balance of $2605.94. The Board
    asserted that Widdison either withdrew the funds to pay outstanding
    balances or refunded the amounts to the clients.
    On December 13, 2019, the Board stated it received information
    about Widdison’s accounts from the Client Security Commission.            The
    Board asserted it provided Widdison with notice of the complaint on
    December 17. According to the Board, Widdison denied that he was out
    of compliance with any trust account rules and denied the summary of the
    audit results prepared by the Client Security Commission.
    Based on the above allegations, the Board charged Widdison with
    violation of Iowa Rules of Professional Conduct 32:1.15(a) (separate funds
    for client property), 32:1.15(d) (prompt delivery of client funds), 32:1.15(f)
    (trust accounts governed by chapter 45 of the Iowa Court Rules), and
    32:8.1(a) (lawyer in connection with disciplinary proceeding shall not
    knowingly make a false statement of material fact), and Iowa Court Rule
    45.2(2) (prompt delivery of funds client is entitled to receive and provide a
    full accounting).
    5
    C. Hearing Before the Grievance Commission.                The Iowa
    Supreme Court Grievance Commission held a hearing on the Board’s
    complaint on September 14 and 15, 2020.             The commission heard
    testimony from twelve witnesses, including Chief Judge Duane Hoffmeyer,
    Judge Nancy Whittenburg, and Magistrate Jenny Winterfeld. Both sides
    introduced exhibits.
    D. Findings of Fact, Conclusions of Law, and Recommended
    Sanctions.
    1. Overview. The commission filed its findings of fact, conclusions
    of law, and recommended sanctions in a thorough and detailed forty-five-
    page document. The commission found multiple violations of our ethical
    rules related to Widdison’s postdivorce litigation activity.
    2. Postdivorce litigation activity. On the Board’s allegations related
    to Widdison’s conduct during his postdivorce litigation, the commission
    found that Widdison knew that the facts and law precluded him from
    making the claim for attorney fees against Dendy and Northpark, that he
    had no basis in law or fact to bring the action, and that he had an ulterior
    motive to harm Dendy. The commission concluded that the Board had
    proved by a convincing preponderance of the evidence that the conduct of
    Widdison in prosecuting the attorney fees action violated Iowa Rule of
    Professional Conduct 32:3.1.
    The commission also made adverse findings and conclusions in
    connection with Widdison’s effort to disqualify Magistrate Winterfeld in the
    small claims action. The commission found that Widdison’s claim that
    Northpark “is a client of the Klay Law Firm” was without any factual basis.
    The commission found that the source of Widdison’s information was
    unknown, and that in any event he did nothing to ascertain the facts
    supporting the allegations.     While Widdison testified that he had a
    6
    conversation with Klay Law Firm attorney Brad De Jong about the alleged
    conflict,   the   commission     found   the   testimony   so     vague    and
    unsubstantiated that it concluded the conversation never took place. The
    commission concluded that in Widdison’s baseless charge of a conflict, the
    Board proved by a convincing preponderance of the evidence that
    Widdison violated rule 32:3.1.
    Additionally,   the   commission     made    adverse      findings   and
    conclusions against Widdison in connection with his repeated claim that
    Judge Whittenburg had stated that it would take her some time to get out
    a ruling in the modification action because she had been suffering from
    brain cancer.      At the hearing, the commission found that Judge
    Whittenburg testified convincingly that she did not make the statement
    and that her cancer was resolved years before the time Widdison claims
    she made the statement. While Widdison’s wife corroborated Widdison’s
    testimony, the commission found her testimony not believable and
    rehearsed. Even after being presented with the truth, Widdison repeated
    his claim in multiple court filings.      As to the later statements, the
    commission had no doubt that the statements were false. As a result, the
    commission determined that the Board proved by a convincing
    preponderance of the evidence that Widdison’s conduct violated rule
    32:3.3(a)(1). The commission also found a violation of rule 32:3.3(a)(1)
    based on Widdison’s assertion that Chief Judge Hoffmeyer misspoke when
    he stated that Judge Whittenburg returned to the bench in late 2013.
    Finally, the commission made adverse findings and conclusions
    against Widdison in connection with his sending potential witnesses
    Ploeger and Lammers a letter purportedly addressed to Judge Whittenburg
    suggesting that if witnesses appeared at the hearing, negative information
    would come out on cross-examination. The commission found that the
    7
    letter was never sent to Judge Whittenburg and that Widdison had no
    explanation for it. According to the commission, Widdison was clearly
    trying to mislead and intimidate witnesses for the opposing party the week
    before trial. As a result, the commission found that the Board proved by
    a convincing preponderance of the evidence that Widdison violated rule
    32:8.4(c).
    3. Trust fund violations. The commission was not impressed with
    the Board’s evidence regarding the trust fund rule violations.           The
    commission found that Widdison had been sloppy in his accounting
    practices but there was no conversion of client property and Widdison had
    no intent to enrich himself at his clients’ expense. The commission noted
    that   the   Board’s   auditor   indicated that   the   errors   were   minor
    mathematical errors common to sole practitioners around the state. The
    commission concluded that with respect to alleged trust fund violations,
    the Board failed to show by a convincing preponderance of the evidence
    any violation of our disciplinary rules related to management of trust
    funds.
    4. Sanctions.    As required by our precedents, the commission
    considered aggravating and mitigating factors and our caselaw in
    determining the level of recommended sanction. As aggravating factors,
    the commission noted that there were multiple rule violations and that
    there was harm to Dendy and to the judicial system through the pursuit
    of meritless claims.      The commission further noted that Widdison
    persistently repeated falsehoods. The commission also cited his failure to
    learn from prior audits of his trust accounts.          The most egregious
    aggravating factor, according to the commission, was his untruthful and
    evasive testimony at the commission hearing.
    8
    As mitigating factors, the commission noted that Widdison had no
    prior discipline. The commission further found that Widdison exhibited
    remorse. The commission also found that Widdison is an experienced
    attorney working in northwest Iowa, an underserved area of the state.
    The commission engaged in a review of our disciplinary cases related
    to sanctions. Among other cases, the commission cited Iowa Supreme
    Court Attorney Disciplinary Board v. Sporer, 
    897 N.W.2d 69
    , 85–87 (Iowa
    2017) (imposing six-month suspension for violation of disciplinary rules
    for misconduct involving a frivolous claim and false statements); Iowa
    Supreme Court Attorney Disciplinary Board v. Rhinehart, 
    827 N.W.2d 169
    ,
    180–82 (Iowa 2013) (imposing a sixty-day suspension for violation of
    disciplinary   rules   arising   from   misconduct    including   fraud   and
    inexcusable delay in returning client funds); Iowa Supreme Court Attorney
    Disciplinary Board v. Weaver, 
    750 N.W.2d 71
    , 77–78 (Iowa 2008) (imposing
    a three-month suspension where attorney made false statement to
    newspaper regarding a judge); Iowa Supreme Court Board of Professional
    Ethics & Conduct v. Ronwin, 
    557 N.W.2d 515
    , 521–22 (Iowa 1996)
    (per curiam) (revoking an attorney’s license for falsely accusing judges of
    “deliberately lying” and conduct that amounted to obstruction of justice).
    Based on the aggravating and mitigating factors, and a review of our
    caselaw, the commission concluded that Widdison’s license to practice law
    should be suspended for one hundred twenty days.
    E. Issues on Appeal. Neither party filed an appeal in this matter,
    but both parties filed statements regarding the appropriate sanction. The
    Board urges us to impose the one hundred twenty-day suspension
    recommended by the commission.              Widdison urges us to reduce the
    sanction to a private admonition.
    9
    II. Standard of Review.
    We review factual findings of the commission de novo. Iowa Ct. R.
    36.21(1); Comm. on Pro. Ethics & Conduct v. Baker, 
    492 N.W.2d 695
    , 700–
    01 (Iowa 1992) (“Although Baker did not appeal, we still review de novo the
    record made before the commission. We independently decide the matter
    and take appropriate action on it.” (citation omitted)). “We give respectful
    consideration to commission findings, especially when considering
    credibility of witnesses, but are not bound by them.” Iowa Sup. Ct. Att’y
    Disciplinary Bd. v. Said, 
    953 N.W.2d 126
    , 142 (Iowa 2021). The Board
    must prove attorney misconduct charges by a convincing preponderance
    of the evidence which is a burden higher than the traditional
    preponderance of the evidence of most civil cases but lower than the
    beyond the reasonable doubt standard of a criminal prosecution. Id.; Iowa
    Sup. Ct. Att’y Disciplinary Bd. v. Moothart, 
    860 N.W.2d 598
    , 603 (Iowa
    2015). The burden is less stringent than a clear and convincing evidence
    standard. Said, 953 N.W.2d at 142; Moothart, 860 N.W.2d at 603. We
    “may impose a lesser or greater sanction than the discipline the grievance
    commission recommends.” Iowa Ct. R. 36.21(1); see also Iowa Sup. Ct.
    Att’y Disciplinary Bd. v. Rhinehart, 
    953 N.W.2d 156
    , 160 (Iowa 2021).
    III. Discussion.
    A. Introduction. In engaging in our de novo review, we note that
    the commission in this case has made specific credibility findings with
    respect to witnesses that appeared before it. The commission found that
    the testimony of Widdison and his spouse were not credible. Conversely,
    the commission found the Board’s witnesses to be credible. Such findings,
    of course, are not determinative, but are entitled to respectful
    consideration by the court.      Iowa Sup. Ct. Att’y Disciplinary Bd. v.
    10
    Arzberger, 
    887 N.W.2d 353
    , 367 (Iowa 2016); Iowa Sup. Ct. Att’y
    Disciplinary Bd. v. Clarity, 
    838 N.W.2d 648
    , 659 (Iowa 2013).
    We begin our discussion on the merits by providing the legal
    framework for the alleged violations of our disciplinary rules. We then
    apply the facts of the case to the legal framework to determine whether the
    Board proved by a convincing preponderance of the evidence that
    Widdison violated the ethical rules.
    B. Legal Framework.
    1. Iowa Rule of Professional Conduct 32:3.1 (frivolous proceedings).
    This rule relates to meritorious claims and contentions, and provides:
    A lawyer shall not bring or defend a proceeding . . .
    unless there is a basis in law and fact for doing so that is not
    frivolous, which includes a good faith argument for an
    extension, modification, or reversal of existing law.
    Iowa R. Prof’l Conduct 32:3.1.
    We have stated that in order to comply with the rule, the attorney
    must present an “arguably meritorious claim[] to the court.” Iowa Sup. Ct.
    Att’y Disciplinary Bd. v. Daniels, 
    838 N.W.2d 672
    , 678 (Iowa 2013). The
    comments to the rule make it clear that an action or filing is not frivolous
    “merely because the facts have not first been fully substantiated or
    because the lawyer expects to develop vital evidence only by discovery.”
    Iowa R. Prof’l Conduct 32:3.1, cmt. [2]. The comment makes clear that
    what is required of lawyers “is that they inform themselves about the facts
    of their clients’ cases and the applicable law and determine that they can
    make good faith arguments in support of their clients’ positions.” Id.
    2. Iowa Rule of Professional Conduct 32:3.3(a)(1) (false statements of
    law or fact before a tribunal).   This rule provides: “A lawyer shall not
    knowingly . . . make a false statement of fact or law to a tribunal or fail to
    11
    correct a false statement of material fact or law previously made to the
    tribunal by the lawyer[.]” Iowa R. Prof’l Conduct 32:3.3(a)(1).
    The comments to the rule make clear that a lawyer is not required
    to present an impartial exposition of law or to vouch for evidence admitted
    in a cause, but the lawyer “must not allow the tribunal to be misled by
    false statements of law or fact or evidence that the lawyer knows to be
    false.” Id. at cmt. [2].
    Under the rule, “knowing” means “actual knowledge of the fact in
    question” and can “be inferred from circumstances.” Id. r. 32:1.0(f); see
    also Iowa Sup. Ct. Att’y Disciplinary Bd. v. Barnhill, 
    847 N.W.2d 466
    , 486
    (Iowa 2014). “[T]he omission of information by a lawyer can [also] give rise
    to a false statement to the court.” Daniels, 838 N.W.2d at 677.
    3. Iowa Rule of Professional Responsibility 32:8.2(a) (false or
    reckless statements regarding a tribunal). This rule provides:
    A lawyer shall not make a statement that the lawyer
    knows to be false or with reckless disregard as to its truth or
    falsity concerning the qualifications or integrity of a judge,
    adjudicatory officer, or public legal officer, or of a candidate
    for election or appointment to judicial or legal office.
    Iowa R. Prof’l Conduct 32:8.2(a).
    We established a three-step process for considering violations of this
    rule in Iowa Supreme Court Attorney Disciplinary Board v. Attorney Doe
    No. 792, 
    878 N.W.2d 189
    , 194–95 (Iowa 2016).          First, we determine
    whether the attorney’s statements are “capable of being proven true or
    false.” 
    Id. at 195
    . Second, we inquire whether the statements are false.
    
    Id.
     Third, we explore whether the attorney “had an objectively reasonable
    basis for making the statements.” 
    Id.
    We explored the contours of the rule in Ronwin, 
    557 N.W.2d at
    520–
    23. In Ronwin, an attorney filed a complaint in federal court alleging that
    12
    multiple judges violated his civil rights, that actions taken by the judges
    amounted to a conspiracy, that the judicial district involved was rife with
    fraud and corruption, and claimed on appeal that the federal district court
    “gave comfort and encouragement to the criminal conduct” of Iowa judges.
    
    Id. at 522
    . We found a violation of rule 32:8.2(a). In addition, Ronwin
    engaged in the filing of frivolous legal actions. 
    Id. at 520
    . Based on the
    egregious nature of Ronwin’s conduct, we revoked his license to practice
    law. 
    Id. at 523
    .
    We have found no Iowa case related to the application of the
    disciplinary rule in connection with an effort to recuse a judge. There is,
    however, instructive authority from other jurisdictions. In In re Yelverton,
    the District of Columbia Court of Appeals held that a motion to recuse
    violated a similar local disciplinary rule because the lawyer should have
    known that there was no basis to disqualify the judge. 
    105 A.3d 413
    , 425–
    26 (D.C. 2014).
    And, in State ex rel. Oklahoma Bar Ass’n v. Bednar, the Supreme
    Court of Oklahoma found a violation of a similar rule when an attorney
    made a motion to recuse the court.        
    441 P.3d 91
    , 102 (Okla. 2019)
    (per curiam). In particular, the court noted that repeated unsubstantiated
    motions to recuse were used by the offending lawyer as a “procedural
    weapon designed to run up litigation costs and delay the effect of
    judgments entered” and therefore the attorney did not have a good-faith
    reason for bringing the motions. 
    Id. at 104
    .
    4. Iowa Rule of Professional Conduct 32:8.4(c) (dishonesty, fraud,
    deceit, or misrepresentation).     This rule states: “It is professional
    misconduct for a lawyer to . . . engage in conduct involving dishonesty,
    fraud, deceit, or misrepresentation[.]” Iowa R. Prof’l Conduct 32:8.4(c).
    13
    We have stated that to find a violation, we must find that “the
    attorney acted knowingly, intentionally, or with the aim to mislead.” Iowa
    Sup. Ct. Att’y Disciplinary Bd. v. Noel, 
    923 N.W.2d 575
    , 588 (Iowa 2019)
    (quoting Iowa Sup. Ct. Att’y Disciplinary Bd. v. Guthrie, 
    901 N.W.2d 493
    ,
    498 (Iowa 2017)). This means that “[t]o find a violation of this rule, ‘[the
    court] must find “a level of scienter that is more than negligent behavior
    or incompetence.” ’ ” Noel, 923 N.W.2d at 587 (quoting Iowa Sup. Ct. Att’y
    Disciplinary Bd. v. Suarez-Quilty, 
    912 N.W.2d 150
    , 158 (Iowa 2018)). We
    have said that “[t]he dispositive question ‘is whether the effect of the
    lawyer’s conduct is to mislead rather than to inform.’ ” 
    Id.
     (quoting Suarez-
    Quilty, 912 N.W.2d at 158).
    5. Iowa Rule of Professional Conduct 32:1.15(a) and (d), and Iowa
    Court Rule 45.2(2) (trust accounts and client property). These rules relate
    to the management of client property by lawyers. Iowa Rule of Professional
    Conduct 32:1.15(a) and (d) provide:
    (a) A lawyer shall hold property of clients or third
    persons that is in a lawyer’s possession in connection with a
    representation separate from the lawyer’s own property.
    Funds shall be kept in a separate account.
    ....
    (d) Upon receiving funds or other property in which a
    client or third person has an interest, a lawyer shall promptly
    notify the client or third person. . . . [A] lawyer shall promptly
    deliver to the client or third person any funds or other
    property that the client or third person is entitled to receive
    and, upon request by the client or third person, shall promptly
    render a full accounting regarding such property.
    Iowa Court Rule 45.2(2) provides:
    Except as stated in this chapter or otherwise permitted by law
    or by agreement with the client, a lawyer must promptly
    deliver to the client or third person any funds or other
    property that the client or third person is entitled to receive
    and must promptly render a full accounting regarding such
    property.
    14
    These rules are meant to “strictly prohibit lawyers from commingling
    unearned client funds with their own property.” Clarity, 838 N.W.2d at
    655.
    C. Violations of Disciplinary Rules Related to Postdivorce
    Litigation.
    1. Frivolous small claims litigation. The Board charged Widdison
    with violating Iowa Rule of Professional Conduct 32:3.1 in connection with
    the filing and prosecution of his claim that Dendy and Northpark owed his
    law firm attorney fees. The claim was originally filed on December 22,
    2014. On January 20, 2015, however, Widdison and his spouse filed a
    stipulation with the court in the divorce action. The court approved the
    stipulation and granted the divorce the same day.         The stipulation
    provided that the parties’ 50% ownership in Northpark would be awarded
    to Dendy. Under the stipulation, both parties agreed to a settlement and
    release of all claims that included any claims: “growing out of the
    relationship, marriage or business between them, or any corporation,
    partnership, company or entity owned by them, whether such claims or
    demands include allegations of tort, negligence, contract claims, or
    otherwise.” Notwithstanding the release, Widdison did not dismiss the
    claim and it proceeded to trial.
    On June 30, Magistrate Jenny Winterfeld dismissed the claim with
    prejudice.    Magistrate Winterfeld found that the plaintiff was fully
    compensated for his share of attorney fees arising from services to
    Northpark.    Further, Magistrate Winterfeld concluded that any claims
    Widdison might have against Dendy were “in direct conflict with the
    parties’ Stipulation.”
    Even if there was a good-faith basis for the claim when originally
    filed on December 22, 2014, there was no basis for prosecution after the
    15
    stipulation was executed by the parties and approved by the court in the
    divorce action on January 20, 2015. Widdison asserts that he had a good-
    faith basis for the claim because his professional corporation is a different
    party than Widdison personally. But the release expressly covers claims
    by corporations owned by the parties. Like the commission, we find that
    the Board proved by a convincing preponderance of the evidence that
    Widdison violated rule 32:3.1 for prosecuting the frivolous small claims
    action.
    2. Violations related to effort to disqualify the magistrate. Widdison
    made a number of attempts to disqualify Magistrate Winterfeld in the small
    claims action. On this claim, we find the facts as follows.
    On May 13, 2015, Widdison made an oral motion to disqualify
    Magistrate Winterfeld for displaying personal animosity.         Magistrate
    Winterfeld responded by stating that she “had no personal bias or
    animosity against Attorney Widdison but did not approve of the way
    Attorney Widdison was conducting himself in the courtroom.” After the
    hearing, Widdison apologized to Magistrate Winterfeld for his behavior.
    But, on May 29, Widdison filed a motion for judicial recusal,
    restating his claim that Magistrate Winterfeld demonstrated animosity
    toward him, but further asserting that:
    The presiding Magistrate is employed or associated with the
    Klay Firm. . . . Defendant Northpark Apartments of Sheldon
    LLC is a client of the Klay Law Firm. . . . [T]here is a direct
    conflict of interest because the Defendant is a client of
    Magistrate’s law firm.
    At the commission hearing, Widdison claimed that his May 29,
    pleading was supported by a conversation he had with the managing
    partner of the Klay firm, Brad De Jong. According to Widdison, De Jong
    confirmed that Northpark was a client of the firm. Although Widdison
    16
    claimed at the commission hearing that the Klay firm “did multiple things”
    for Northpark, he could not provide specifics.
    On June 24, Magistrate Winterfeld issued an order on the recusal
    motion. Magistrate Winterfeld stated that a lawyer with the Klay firm in
    2008 had prepared a notice to quit for Northpark in a closed matter.
    Magistrate Winterfeld noted that she joined the firm in 2012, well after the
    representation had ceased. Magistrate Winterfeld noted that prior to being
    appointed in the case, a conflict check was conducted at the Klay firm
    indicating that neither party was an active or current client of the firm.
    The Board charged that Widdison’s effort to disqualify Magistrate
    Winterfeld in the small claims action violated rule 32:3.1 by bringing a
    frivolous disqualification motion, rule 32:3.3(a) by making a false
    statement of fact or law to a tribunal, rule 32:8.2(a) by making a false
    statement regarding the qualifications or integrity of a judge, and rule
    32:8.4(c) by engaging in professional misconduct involving dishonesty,
    fraud, deceit, or misrepresentation.      The commission concluded that
    Widdison violated rules 32:3.1 and 32:3.3(a)(1).
    The record before the commission reveals that Widdison filed a bare-
    bones motion for recusal against Magistrate Winterfeld. He alleged that
    Northpark “is a client of the Klay Law Firm,” that Magistrate Winterfeld “is
    employed or associated with the Klay Firm,” and that she failed to disclose
    these facts. Her failure to disclose, according to Widdison, would create
    questions of her impartiality due to conflict of interest. After Magistrate
    Winterfeld overruled Widdison’s motion and explained that her firm was
    only engaged in unrelated and completed representation in 2008, well
    before she joined the Klay firm in 2012, Widdison dropped the matter.
    Widdison’s motion to recuse Magistrate Winterfeld was legally
    insufficient, but he was not in possession of all the facts. The Klay firm
    17
    had represented Northpark in the past on a small matter. Importantly,
    however, Widdison dropped the issue after Magistrate Winterfeld disclosed
    the facts. Although Widdison later indicated in his appellate brief that he
    filed a motion to recuse “because the Magistrate had also performed legal
    work for Amy and the rental properties in the past,” it is not clear that this
    is a reassertion of Widdison’s previous charge or merely a historical
    description of past events. Therefore, we find that the Board failed to prove
    by a convincing preponderance of the evidence that Widdison’s efforts to
    recuse Magistrate Winterfeld violated our disciplinary rules.
    3. Violations of disciplinary rules arising from sending a misleading
    letter to witnesses in the modification proceeding. As the commission found
    and we confirm based on our de novo review, Widdison prior to the hearing
    on the pending modification petition sent what appeared to be a letter
    addressed to Judge Whittenburg to two potential witnesses, Ploeger and
    Lammers. The letter stated that negative information would be revealed
    on cross-examination if the witnesses testified at the hearing. The letter
    falsely suggested that it was sent to Judge Whittenburg. Its purpose was
    to intimidate the witnesses. When asked why he sent the letter to Ploeger
    and Lammers at the hearing, Widdison responded, “I don’t know. I don’t
    remember.”      The commission was not impressed with Widdison’s
    testimony, and neither are we.
    Based on these facts, we find that the Board proved by a convincing
    preponderance of the evidence that Widdison violated rule 32:8.4(c) when
    he sent the letter to Ploeger and Lammers that misrepresented that it had
    also been sent to Judge Whittenburg.
    4. Violation of disciplinary rules related to an effort to disqualify the
    district court judge.   In order to comprehend the course of conduct of
    Widdison in connection with his effort to disqualify Judge Nancy
    18
    Whittenburg, a full understanding of the cascading chronology of
    postdivorce litigation is necessary. Based on our de novo review, we find
    the facts as follows.
    On April 5, 2016, Widdison’s attorney filed a petition for modification
    of child custody, support, and visitation in the divorce proceeding. District
    Court Judge Nancy Whittenburg was assigned the matter.                Dendy
    responded with an application for rule to show cause in the divorce.
    On February 7, 2017, Judge Whittenburg held a hearing on the
    petition for modification. Judge Whittenburg at the end of the hearing told
    the parties that because of her caseload, her ruling would be delayed.
    Several months later, on May 8, 2017, the court held a hearing on Dendy’s
    application to show cause.
    On December 1, Judge Whittenburg entered her order in the
    modification proceeding.      Judge Whittenburg overruled Widdison’s
    petition to modify child custody, granted Dendy’s request to modify
    visitation, and increased the amount of child support to be paid by
    Widdison to Dendy.       In addition, the court ordered Widdison to pay
    Dendy’s attorney fees.
    On December 7, regarding the motion to show cause, Judge
    Whittenburg found Widdison in contempt and sentenced Widdison to
    serve two days in jail, subject to being purged by compliance with the
    divorce decree within seven days.         Judge Whittenburg again ordered
    Widdison to pay Dendy’s attorney fees.
    After receiving an adverse ruling from Judge Whittenburg in the
    modification proceeding, Widdison made an appearance on his own behalf
    in the proceeding on December 15.
    19
    On March 2, 2018, Widdison sought to recuse Judge Whittenburg
    from continuing to adjudicate additional matters in the case. Widdison
    claimed that:
    At the conclusion of the trial on the Petition for Modification,
    [Judge Whittenburg] disclosed (off the record) to the parties
    that she was suffering some form of brain cancer and that the
    Court’s decision will take a long time to issue.
    The March 2 assertion that Judge Whittenburg had brain cancer that
    affected her ability to do her work was his first charge against her. Four
    days later, Judge Whittenburg issued an order recusing herself, but
    stating that Widdison’s assertion that she said brain cancer would delay
    her ruling “is not a truthful statement.”
    Widdison was not deterred by Judge Whittenburg’s order.            On
    March 7, 2018, he filed a motion to strike and then an amended motion to
    strike.   The motion to strike was his second charge against Judge
    Whittenburg. Widdison asserted that Judge Whittenburg’s statements in
    her March 6 order were “unnecessary and improper” and “intended to
    punish [Widdison] for appealing the Court’s [December 1, 2017] ruling.”
    According to Widdison, the order was “clearly intended to improperly and
    unfairly portray [Widdison] in a negative light to the next judge to be
    assigned in this case.” Widdison was now not simply claiming that Judge
    Whittenburg was recovering from an illness that slowed her work, but that
    she was on a vendetta to punish Widdison.
    On March 9, a hearing on the pending motions was held before Chief
    Judge Duane Hoffmeyer.       At the hearing, Chief Judge Hoffmeyer told
    Widdison that part of his job was to be aware of how judges are scheduled,
    that Judge Whittenburg returned from medical leave on November 1,
    2013, and that she had been working full time since that date. Further,
    Dendy’s attorney Amanda Van Wyhe filed a resistance to the motion to
    20
    strike disputing Widdison’s assertions regarding Judge Whittenburg’s
    brain cancer as being a cause for delay in issuing a ruling on the matter.
    That same day, Chief Judge Hoffmeyer entered an order that, among
    other things, directed the motions to strike back to Judge Whittenburg for
    her to determine whether she wished to change anything in her prior order.
    Chief Judge Hoffmeyer’s order stated, yet again, that “Judge Whittenburg
    had returned to work on November 1, 2013 and had been working full time
    since that date.”
    Notwithstanding Judge Whittenburg’s order explaining that the
    claims were false and Chief Judge Hoffmeyer’s oral statement and written
    order declaring that Judge Whittenburg returned to the bench full time in
    November 2013, Widdison did not retreat. A half-hour after Chief Judge
    Hoffmeyer filed his report, Widdison filed what he styled “Report to Court
    Post March 9th, 2018 hearing.” The “report” contained Widdison’s third
    charge against Judge Whittenburg. In the filing, Widdison asserted that
    during the March 9 hearing, “opposing counsel did not dispute that some
    post-trial statements were made by Judge Whittenburg to the parties
    regarding her brain cancer.”     Widdison emphasized that Chief Judge
    Hoffmeyer did confirm that Judge Whittenburg had brain cancer in the
    past.   At this point, a judge from a different district, Judge James S.
    Heckerman, was designated to preside over further proceedings in the
    case.
    Meanwhile, Widdison’s appeal proceeded in the appellate courts. In
    a filing on April 4, 2018, Widdison made his fourth charge against Judge
    Whittenburg. In the document, Widdison claimed that on May 16, 2015,
    the date she was appointed to handle the modification matter, that Judge
    Whittenburg:
    21
    [W]as recovering from brain cancer.             However, Judge
    Whittenburg chose not to disclose this health condition to the
    parties. . . . At the end of the trial and off the record, Judge
    Whittenburg finally discussed that she was recovering from
    brain cancer which would effect how long it would take for her
    to get a Ruling out. On information an belief, . . . [i]t appears
    that Judge Hoffmeyer misspoke when he said that Judge
    Whittenburg returned to the bench on November 1 of 2013,
    because Judge Whittenburg indicated that she returned back
    to work in November 2015.
    (Emphasis omitted.)
    On April 5, 2018, Judge Whittenburg entered an order denying
    Widdison’s motion to strike. And, also on April 5, Widdison continued the
    fight with his fifth charge against Judge Whittenburg, declaring in a
    motion to strike Whittenburg’s most recent order that:
    Judge Whittenburg took the liberty of ruling on [Widdison’s]
    Motion to Strike in direct violation of Rule 51:2.7 of the Iowa
    Code of Judicial Conduct. . . . Judge Whittenburg’s April 4th
    ruling also violated Rule 51:2.3 of the Iowa Code of Judicial
    Conduct for the second time. . . . In over twenty-two years of
    practice [Widdison] has never seen such unprofessional
    conduct by a judge. Judge Whittenburg’s April 4th, 2018
    Ruling and Order on Amended Motion to Strike contains
    defamatory statements which constitute libel per se because
    the statements are false, or were made with reckless disregard
    for their truth or falsity.
    The April 5 motion to strike represented yet another escalation in
    Widdison’s campaign against Judge Whittenburg. He was now declaring
    that she violated disciplinary rules, was unprofessional, and engaged in
    defamatory statements.
    On April 6, Chief Judge Hoffmeyer issued a calendar entry
    emphasizing that Judge Whittenburg returned to work in November 2013
    and that any statements that she returned to work “in 2016 [sic] are not
    accurate factually.”
    On April 10, Widdison filed a response to the calendar entry
    requesting that Judge Heckerman strike some references in Judge
    22
    Whittenburg’s March 6 order and to strike Judge Whittenburg’s entire
    April 4 ruling. This amounted to Widdison’s sixth charge against Judge
    Whittenburg. Widdison repeated the claims he made in his April 6 motion
    to strike, stating:
    Judge Whittenburg took the liberty of ruling on the
    Respondent’s Motion to Strike in direct violation of Rule
    51:2.7 of the Iowa Code of Judicial Conduct . . . [and] [r]ecused
    Judge Whittenburg’s April 4th ruling also violated Rule 51:2.3
    of the Iowa Code of Judicial Conduct for the second time. . . .
    Judge Whittenburg’s April 4th, 2018 Ruling and Order on
    Amended Motion to Strike contains defamatory statements
    which constitute libel per se because the statements are false,
    or were made with reckless disregard for their truth or falsity.
    Finally, in his amended reply brief in the appellate case, Widdison
    made additional assertions regarding Judge Whittenburg. In the context
    of disagreeing with her calculation of child support, Widdison asked, “Was
    this a symptom of brain cancer?” Widdison claimed in his brief that Judge
    Whittenburg’s recusal order made reference to “false statements” but did
    not actually identify any “false statements.”       Widdison then asked,
    “Symptom of brain cancer?” And, finally, Widdison declared:
    Because the trial Court failed to inform the parties of her brain
    cancer as required by the Iowa Code of Judicial Conduct, the
    trial Court’s Ruling is questionable because there is a
    significant probability the brain cancer impacted the trial
    Court Judge’s memory and intellectual capacity and function.
    The amended reply brief was Widdison’s seventh charge against Judge
    Whittenburg and now specifically suggested that illness impacted her
    ability to do the job.
    Lawyers are all human, of course, and mistakes, including
    unjustified attacks or potshots at a judge, occasionally occur by a lawyer
    who knows better.        But Widdison’s conduct was not a simple
    uncharacteristic error of judgment that could be largely salved by an
    expression of remorse.      Widdison launched a deliberate campaign,
    23
    stretched over a several-month period, where he repeatedly attacked
    Judge Whittenburg. It commenced when she ruled adversely to Widdison
    in the modification action and it extended into the appellate courts with
    increasingly shrill language.
    And so it is not just a matter of piling on. Over time, the assertions
    became qualitatively more troubling.          Widdison’s statements first
    suggested that illness delayed a ruling in his case. Not very attractive, but
    not severe either. But it escalated from there. Widdison had dug the
    proverbial hole, and instead of stopping when the jig was up, he kept
    digging. In the end, he was questioning Judge Whittenburg’s integrity,
    accusing her of violating ethical rules, claiming she committed libel per se,
    and implied that her brain cancer affected the quality of her work. Even
    if Widdison could have made his initial statement without “knowing” its
    falsity, he certainly violated the rule by not abandoning the argument after
    Judge Whittenburg and Chief Judge Hoffmeyer set the record straight.
    The facts regarding Judge Whittenburg’s health were false and after
    statements by Judge Whittenburg and Chief Judge Hoffmeyer, Widdison
    had no objectively reasonable basis for continuing to make the statements
    about Judge Whittenburg.
    We come to the conclusion that Widdison’s conduct is simply
    unacceptable for an Iowa lawyer. Obviously, his conduct drained judicial
    resources. Although all of us in the judicial branch must be prepared for
    criticism, fair and unfair, the unsubstantiated attacks on a judicial officer
    from an Iowa lawyer in this case are beyond the pale.
    We find that the Board proved by a convincing preponderance of the
    evidence that Widdison violated rules 32:3.3(a)(1) and 32:8.2(a) by making
    a false statement and then failing to correct the statement attacking the
    qualifications and integrity of a judge.
    24
    D. Violations Related to the Client Trust Accounts. The Board’s
    complaint    against   Widdison   included   several   violations   of   client
    safekeeping of property under Iowa Rule of Professional Conduct
    32:1.15(a) and (d), and Iowa Court Rule 45.2(2). Although the commission
    dismissed the charges related to trust accounts and the Board has not
    appealed, the entire matter is still before us.        Iowa Sup. Ct. Att’y
    Disciplinary Bd. v. Howe, 
    706 N.W.2d 360
    , 364–65 (Iowa 2005). On the
    trust account issues, we find the facts as follows.
    In December 2018, Tony A. Bennett, an auditor for the Client
    Security Commission, commenced an audit of Widdison’s client trust
    account. As a result of the audit, Bennett identified a difference between
    the client account balances and the check register balance of $2899.01.
    Bennett concluded that the difference resulted from manual records that
    were not current.
    Bennett also identified six negative client balances. He determined
    that the negative balances resulted from Widdison inputting in his records
    funds received in one month but not depositing the funds until the
    following month.
    Bennett also identified seven stale client account balances without
    activity for a year. Once the balances were identified, Widdison either
    withdrew and applied the balances to outstanding fees or refunded them
    to the clients.
    In his response to the Board’s complaint regarding alleged
    disciplinary violations, Widdison asserted about the 2018 audit that,
    among other things, there were no “stale client balances” and that there
    were no negative client balances.
    The Board asserts that Widdison made false statements when he
    told the commission that there were no stale client balances, no negative
    25
    client balances, and no lost accountability of client funds.    Widdison
    testified that he meant the statements to apply at the conclusion of the
    2018 audit after he had an opportunity to engage in the repairs necessary
    to bring his accounts into compliance. While Widdison’s choice of words
    in his response to the Board was questionable, we do not find that the
    Board proved by a convincing preponderance of the evidence a knowing
    misrepresentation in violation of rule 32:8.1(a).
    We find that the Board proved by a convincing preponderance of the
    evidence that Widdison violated rules 32:1.15(d) and 45.2(2) when he
    failed to promptly return unused retainer fees to clients. Once a client
    matter is closed, an attorney must promptly return the funds. Here, the
    balances were relatively small (ranging from $24.51 up to $1210.70) and
    were fully refunded to the clients.    Because Widdison failed to return
    unused client funds for over one year after the matters were closed, he
    violated the rules. We do not believe Widdison’s actions demonstrated an
    intent to enrich himself or to harm his clients nor do we find that he
    engaged in intentional misconduct related to the stale client accounts.
    We do not, however, find that Widdison violated rule 32:1.15 in the
    management of his client trust accounts as far as the negative account
    balances or the small discrepancies between manual and electronic
    records. The Client Security Commission’s auditor agreed that Widdison’s
    errors were minor mathematical errors and were common to sole
    practitioners around the state. After Widdison was made aware of the
    irregularities, he took corrective action.   We do not quibble with the
    commission’s characterization of Widdison’s trust accounting as “sloppy,”
    but there was no evidence that Widdison engaged in intentional
    misconduct related to trust account matters and no client harm occurred
    from the accounting irregularities. We wish, of course, that client trust
    26
    accounts never contain any errors, but such a goal is not realistic and is
    not demanded by our ethical rules.
    E. Sanctions.
    1. Overview.    When determining the severity of sanctions to be
    imposed for violation of disciplinary rules, we review the “totality of facts
    and circumstances” in each case. Iowa Sup. Ct. Att’y Disciplinary Bd. v.
    Deremiah, 
    875 N.W.2d 728
    , 737 (Iowa 2016). We will consider “the nature
    of the violations, the need for deterrence, protection of the public,
    maintenance of the reputation of the bar as a whole, and the attorney’s
    fitness to continue practicing law, as well as any aggravating or mitigating
    circumstances.” Iowa Sup. Ct. Att’y Disciplinary Bd. v. Bartley, 
    860 N.W.2d 331
    , 337 (Iowa 2015).
    The Board endorses the commission’s sanction of a one hundred
    twenty-day suspension. The Board emphasizes that although there was
    no client harm, there was harm to Dendy in the small claims matter and
    that scarce judicial resources were used because of Widdison’s
    misconduct.     The Board emphasizes the persistence of Widdison’s
    behavior as an aggravating factor.
    Widdison argues for a private reprimand as the appropriate
    sanction. He notes that he has been active in various bar association
    activities, has participated in pro bono representation, and has been active
    in community affairs. He cites the trauma of his divorce and the loss of
    his father as mitigating factors that clouded his judgment. He notes that
    he “should have dropped the cancer issue” and “hope[s] that Judge
    Whittenburg can forgive [his] misunderstanding and accept [his] sincere
    apology.” He states that even a short suspension would have a devastating
    impact on his practice and would prejudice his clients, some of whom are
    indigent Iowans.
    27
    2. Aggravating factors.     The Board asserts several aggravating
    factors. Multiple rule violations may give “rise to more serious sanctions.”
    Iowa Sup. Ct. Att’y Disciplinary Bd. v. Parrish, 
    925 N.W.2d 163
    , 181 (Iowa
    2019).   “[S]ubstantial experience in the practice of law is another
    aggravating factor.” 
    Id.
     Here, we have found violations of rules 32:3.1,
    32:3.3(a), and 32:8.4(c).   We have stated that noncompliance with the
    technicalities of the client trust account rules carry a lesser sanction than
    conversion of client funds. Iowa Sup. Ct. Att’y Disciplinary Bd. v. Cepican,
    
    861 N.W.2d 841
    , 844 (Iowa 2015). Considering Widdison’s violations of
    the client trust account rules were minor, unintentional, and did not
    create client harm, we do not find that his violation of rules 32:1.15 or
    45.2(2) provide a significant basis for enhanced sanctions.
    Another aggravating factor is Widdison’s persistence in his
    prosecution of the small claims action and in his efforts to attack Judge
    Whittenburg. We have previously stated that an attorney’s persistence “in
    perpetuating his falsehood is a remarkable aggravating factor” when an
    attorney had multiple opportunities to correct the misconduct “but instead
    simply dug himself into a progressively deeper ethical pit.” Iowa Sup. Ct.
    Att’y Disciplinary Bd. v. McGinness, 
    844 N.W.2d 456
    , 466 (Iowa 2014)
    (suspending attorney’s license for six months for repeatedly lying to
    opposing counsel and to the district court about a falsified certificate of
    service). Widdison similarly had opportunities to recant allegations but
    continued his course.
    Finally, we agree with the commission’s determination that
    Widdison’s testimony during the disciplinary hearing was either evasive or
    untruthful and constitutes an aggravating factor. Iowa Sup. Ct. Bd. of Pro.
    Ethics & Conduct v. Tofflemire, 
    689 N.W.2d 83
    , 92 (Iowa 2004).           The
    commission found Widdison’s performance as a witness the most
    28
    egregious aggravating factor. We also find Widdison calling his wife as a
    witness to restate his false position was a troublesome tactic that
    aggravates Widdison’s misconduct.
    3. Mitigating factors. We have held that a clean disciplinary record
    is a mitigating factor.    Iowa Sup. Ct. Bd. of Pro. Ethics & Conduct v.
    Williams, 
    675 N.W.2d 530
    , 533 (Iowa 2004).          Widdison has not been
    previously disciplined in more than two decades of practice.
    An attorney’s acceptance of responsibility is also a mitigating factor.
    Tofflemire, 
    689 N.W.2d at 93
    . Widdison gets marginal consideration here.
    Widdison admitted at the disciplinary hearing that if he “had to do it all
    over again [he] would not have sent the letter out” to Ploeger and Lammers.
    In his statement regarding appropriate sanctions, Widdison said that he
    “should have dropped the cancer issue and not pursued it” and hopes that
    Judge Whittenburg can forgive him for his misconduct. He continues to
    believe, however, that his small claims action was made in good faith. And,
    he asserts that Magistrate Winterfeld was “legally incorrect on the conflict
    of interest issue.”
    Finally, in his statement regarding sanctions, Widdison said that
    since the events of this matter he has received counseling. We have found
    seeking counseling a mitigating factor in disciplinary proceedings. Iowa
    Sup. Ct. Att’y Disciplinary Bd. v. Turner, 
    918 N.W.2d 130
    , 156 (Iowa 2018).
    4. Appropriate      sanction.    For   attorney   misrepresentations,
    depending on the severity, we have previously sanctioned anywhere from
    a reprimand to license revocation. Bartley, 860 N.W.2d at 338. In Sporer,
    an attorney violated rules 32:3.1, 32:3.3(a)(1), and 32:8.4(c) for asserting
    a frivolous claim, testifying that he believed the claim, and falsely claiming
    that he sent a letter to an opposing counsel that he did not, and we
    suspended the attorney’s license for six months. 897 N.W.2d at 85–91.
    29
    The sanction was mitigated by the attorney’s cooperation but aggravated
    by his experience, multiple rule violations, and prior disciplinary history.
    Id. at 90.
    In Rhinehart, we found that an attorney violated rule 32:8.4(c) and
    (d), in addition to rules related to client property, during his dissolution of
    marriage proceeding when he committed extrinsic fraud after failing to
    deposit disputed funds into a trust account. 827 N.W.2d at 180–82. The
    nature of the violations were aggravating factors, primarily an inexcusable
    delay in returning client funds, and the attorney’s lack of prior disciplinary
    history as well as a “general reputation for being a hardworking, highly
    competent, zealous advocate” were both mitigating factors. Id. at 183. We
    suspended the attorney’s license for sixty days. Id.
    For violations of rule 32:8.2(a), we have given sanctions ranging from
    admonishment to revocation.       In Weaver, we suspended an attorney’s
    license for three months because he made a false statement to a
    newspaper that a judge who presided over the attorney’s OWI offense was
    personally biased against the attorney and was dishonest about the reason
    for imposing the particular sentence on the attorney. 
    750 N.W.2d at
    77–
    78, 92.      In Ronwin, we revoked an attorney’s license after he falsely
    accused judges of “deliberately lying” and that one of the judge’s actions
    amounted to obstruction of justice. 
    557 N.W.2d at 521, 523
    . In Committee
    on Professional Ethics & Conduct v. Horak, we reprimanded an attorney for
    falsely stating in a court document that the judge was participating in a
    conspiracy with the opposing counsel against the attorney because the
    judge allowed an ex parte order authorizing an amended pleading. 
    292 N.W.2d 129
    , 130 (Iowa 1980) (en banc).
    Attorney disciplinary proceedings are not designed to
    punish, but rather to determine the fitness of an officer of
    court to continue in that capacity, to insulate the courts and
    30
    the public from those persons unfit to practice law, to protect
    the integrity of and the public confidence in our system of
    justice, and to deter other lawyers from engaging in similar
    acts or practices.
    Comm. on Pro. Ethics & Conduct v. Vesole, 
    400 N.W.2d 591
    , 593 (Iowa
    1987) (quoting Comm. on Pro. Ethics & Conduct v. Borchart, 
    392 N.W.2d 491
    , 492 (Iowa 1986) (en banc)). It is not the case that an attorney gets
    one free pass because they have not been previously disciplined nor should
    the attorney get a free pass because of a difficult situation in their personal
    life.
    Finally, we observe that the problems in this case would likely have
    been avoided if Widdison had not decided to represent himself in matters
    related to a stressful divorce. This case is a textbook example of why in
    difficult emotionally challenging circumstances the assistance of a
    qualified and objective lawyer is desirable in light of the risk that a pro se
    lawyer with clouded judgment will cross the Rubicon of our ethical rules
    and then double down on resulting misconduct.
    After considering the entire record, the mitigating and aggravating
    factors, and our relevant precedent, we conclude that Widdison’s license
    to practice law should be suspended for ninety days.
    IV. Conclusion.
    For the foregoing reasons, we find that Widdison violated Iowa Rules
    of Professional Conduct 32:3.1, 32:3.3(a)(1), 32:8.2(a), 32:8.4(c), and
    32:1.15(d), and Iowa Court Rule 45.2(2).        We suspend his license to
    practice law for ninety days. The suspension will continue indefinitely for
    the minimum of ninety days and until we approve Widdison’s written
    application for reinstatement.     Iowa Ct. R. 34.23(1).    This suspension
    applies to all facets of the practice of law. 
    Id.
     r. 34.23(3). Widdison must
    comply with the client and counsel notification requirements of Iowa Court
    31
    Rule 34.24. Costs are taxed against Widdison pursuant to Iowa Court
    Rule 36.24(1).
    LICENSE SUSPENDED.