Iowa Supreme Court Attorney Disciplinary Board v. Anthony Zane Blessum , 861 N.W.2d 575 ( 2015 )


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  •                IN THE SUPREME COURT OF IOWA
    No. 14–1201
    Filed March 27, 2015
    IOWA SUPREME COURT ATTORNEY DISCIPLINARY BOARD,
    Complainant,
    vs.
    ANTHONY ZANE BLESSUM,
    Respondent.
    On review of the report of the Grievance Commission of the
    Supreme Court of Iowa.
    Respondent appeals from the grievance commission’s findings of
    ethical violations and its recommendation of a four-year suspension.
    LICENSE SUSPENDED.
    Charles L. Harrington and Elizabeth E. Quinlan, Des Moines, for
    complainant.
    David L. Brown, Hansen, McClintock & Riley, Des Moines,
    Brenda K. Wallrichs, Lederer Weston Craig PLC, Cedar Rapids, and
    Kent A. Gummert, Lederer Weston Craig PLC, West Des Moines, for
    respondent.
    2
    MANSFIELD, Justice.
    An Iowa attorney entered into an intimate relationship with one of
    his clients, then assaulted her after the relationship deteriorated. The
    attorney pled guilty to assault causing bodily injury, a serious
    misdemeanor. See 
    Iowa Code §§ 708.1
    (1), .2(2) (2011). In addition, the
    attorney did not finalize the qualified domestic relations order (QDRO) in
    this client’s divorce case for two years, and he withdrew this client’s fee
    from his trust account before doing the work.
    The Board filed a complaint alleging the attorney violated Iowa
    Rules of Professional Conduct 32:1.3 (lack of diligence), 32:1.8(j) (sexual
    relationship with a client), 32:8.4(b) (criminal act adversely reflecting on
    the attorney’s fitness as a lawyer), and 32:1.15(c) (improper handling of
    client funds).   A grievance commission panel found that these alleged
    violations had occurred and recommended the attorney be suspended
    indefinitely with no possibility of reinstatement for four years.       The
    attorney has appealed from the commission’s recommendation.
    Based on our de novo review of the matter, including the
    aggravating and mitigating circumstances and our relevant precedents,
    we conclude the attorney violated rules 32:1.8(j), 32:8.4(b), and
    32:1.15(c). We order that his license be suspended indefinitely with no
    possibility of reinstatement for eighteen months.
    I. Background Facts and Proceedings.
    Anthony Zane Blessum was admitted to the Iowa bar in 1984. For
    eleven years beginning in 1986, Blessum served part time as the
    Madison County Attorney. He currently practices in West Des Moines as
    a solo practitioner. He handles criminal law, family law, personal injury,
    breach of contract, workers compensation, and social security cases.
    3
    In October 2008, Jane Doe 1 and her husband came to Blessum’s
    office seeking legal assistance to dissolve their marriage. Blessum had
    previously represented Doe’s husband in one matter in 2002 and had
    written a letter on behalf of Jane Doe in a real estate matter in 2007.
    Blessum informed the couple he could not represent both of them
    because it would be a conflict of interest. It was decided that Blessum
    would represent Jane Doe only and would draft the petition for
    dissolution of marriage.
    Doe paid Blessum a $1000 fee on October 6, 2008, for his
    representation in the divorce.        Blessum deposited the $1000 into his
    trust account on October 6 but then withdrew the entire amount on
    October 14. He did not notify Doe of the withdrawal.
    Blessum filed the petition on behalf of Jane Doe later that month.
    In February 2009, Blessum drafted a proposed divorce decree and sent
    copies to Doe and her husband. The stipulated decree of dissolution was
    filed and approved by the district court in March. It provided, in relevant
    part, that Jane Doe was to be awarded $110,000.00 from her husband’s
    retirement plan and that “[Jane Doe]’s attorney shall be responsible for
    preparing the necessary documents to effectuate this transfer.”
    At that time, Blessum sent a copy of the decree and a letter to Doe,
    stating, “Our office will prepare the Qualified Domestic Relations Order
    [QDRO—to effectuate the transfer from your ex-husband’s retirement
    plan] once we receive the pension documents from [your ex-husband].”
    That same day, Blessum wrote Doe’s ex-husband asking him to forward
    his pension documents.            Doe’s ex-husband provided the relevant
    documents to Blessum two months later.                    Handwritten notes in
    1Due to the sensitive nature of the complaint and the underlying facts, we use
    the pseudonym “Jane Doe” to refer to the complainant.
    4
    Blessum’s file indicate he mailed drafts of the QDRO to both parties for
    their approval but received no response. Undated, handwritten notes in
    the file also indicate that Doe later called Blessum’s office and asked him
    to stop work on her case.
    On December 21, Blessum’s legal assistant mailed copies of the
    QDRO to Jane Doe, Doe’s ex-husband, and the pension provider of Doe’s
    ex-husband as part of the Blessum office’s end-of-the-year procedure to
    tie up loose ends.    Yet on December 31, Blessum sent Doe a further
    letter that stated in part,
    Recently my office sent out to you, [your ex-husband]
    and the Administrator [of his pension plan], a proposed
    Qualified Domestic Relations Order (QDRO) that we were to
    prepare according to the stipulated decree. This was done.
    Previously you had called and said to hold off on the
    QDRO. Again, we have not heard back from you. We will
    . . . close out this file.
    This concludes our work for you.
    Sincerely,
    A. Zane Blessum
    Meanwhile, the pension administrator for the ex-husband’s plan
    wrote Blessum on February 3, 2010, signaling its approval of the
    proposed QDRO. And on February 12, Blessum received a faxed letter
    from Jane Doe’s ex-husband himself. The letter read,
    Dear Zane,
    In regards to our QDRO we agree to the following
    changes to your draft submitted to [ex-husband’s pension
    provider] dated December 21, 2009.
    Item #4: The Alternate Payee’s [(Jane Doe’s)] accounts
    effective date shall begin as of August 1, 2008.
    Item # 7 [Line struck through].
    Thank you for your attention in this matter.
    5
    (Signed)
    [Doe’s ex-husband]                           [Jane Doe] 2
    Both Jane Doe and her ex-husband had signed the letter at the
    bottom and initialed the line that had been struck through.                      The fax
    cover sheet from Doe’s ex-husband contained an additional handwritten
    note that explained, “We crossed off #7 so the only change will be to the
    date the money is split.         I’m mailing you an original.           Any questions
    please call.” Blessum did not take any additional action on the QDRO at
    the time.
    Blessum had no further correspondence with Jane Doe until
    March 22, 2011.         On that day, Doe came to Blessum’s office seeking
    assistance in preparing her will. During that meeting, Doe and Blessum
    also discussed finalizing the QDRO. Within the next few weeks, Doe and
    Blessum began an intimate relationship. Blessum completed Doe’s will
    on June 28 and the QDRO was filed on August 23.
    Blessum and Doe’s intimate relationship lasted for some time. By
    early June 2012, though, they were experiencing problems.                       Doe was
    concerned that Blessum had been with another woman at a concert on
    the evening of June 8. Doe and Blessum discussed Doe’s concerns via
    text message on June 9 and 10. On June 10, Doe suffered an anxiety
    attack and was admitted to the emergency room.                    She was prescribed
    medication and released the same day.                  On June 11, Doe came to
    Blessum’s house to talk about her concerns that he was involved with
    2Jane  Doe claims her ex-husband forced her to sign this letter. Had the effective
    date of the division of the retirement account been successfully moved back to August
    1, 2008, as provided in the letter, Doe’s ex-husband presumably would have received a
    financial benefit (and Jane Doe would have suffered a detriment). That is because stock
    prices dropped significantly between August 1 and the date of their divorce. In any
    event, this proposed change in effective date was not reflected in the final version of the
    QDRO.
    6
    other women. The discussion became heated. Doe was angry Blessum
    appeared to be fixing a romantic dinner for someone else and she picked
    up and threw the cooking pan he had been using.
    During the argument, Doe became quite upset and attempted to
    take one of the anxiety pills that had been prescribed to her the day
    before. Before Doe could take the pill, Blessum struck her in the face,
    causing her to drop the pills.   Blessum hit her more than once.      Doe
    grabbed some of the pills that had fallen onto the floor and swallowed
    them after Blessum struck her.     Blessum refused to let Doe leave his
    house and physically restrained her to prevent her from leaving.
    Doe managed to call 911 when Blessum left the room to get a glass
    of water to try to make her throw up the pills. When Blessum returned,
    Doe hid the phone under a stack of papers. Both of them were unaware
    the call had gone through and was being monitored and recorded.
    Blessum continued to assault Doe and restrain her from leaving.        He
    made crude threats to her as she begged to be let go. Meanwhile, the
    911 dispatcher sent police to Blessum’s house and continued to monitor
    the call until they had arrived. When the police knocked on Blessum’s
    door, Doe cried out for help.
    Doe suffered lacerations to her mouth, a black eye, a torn piercing,
    swelling on her eye, cheek, and mouth, and bruises to her arm,
    abdomen, face, and neck. She was taken away by an ambulance and
    treated at an emergency room for her injuries.
    After the assault, Blessum contacted Doe repeatedly to apologize.
    In a note, he said, “I am sorry for hitting you and terrorizing you.” Doe
    initially agreed to get back together with Blessum.        Blessum also
    instructed Doe to call the Dallas County courthouse and tell the
    authorities she did not want to press charges. However, when the two of
    7
    them broke up for good in August, Doe made further contact with the
    police and obtained a no-contact order from the court.
    Blessum was eventually charged in January 2013. He pled guilty
    to assault causing bodily injury in violation of Iowa Code sections
    708.1(1) and 708.2(2), a serious misdemeanor. He was sentenced to one
    year in jail with all but seven days suspended, ordered to pay a $315 fine
    and $6,988.68 in restitution, and placed on probation for twelve months.
    As part of his probation, Blessum was required to complete anger
    management counseling.
    Doe lodged two disciplinary complaints with the Board concerning
    Blessum.       The Board investigated and filed its complaint against
    Blessum in August. The complaint detailed Blessum’s handling of the
    QDRO and his subsequent relationship with Doe, including the assault
    charge.      It alleged Blessum had violated Iowa Rules of Professional
    Conduct 32:1.3 (lawyer shall act with reasonable diligence), 32:8.4(d)
    (conduct prejudicial to the administration of justice),3 32:1.8(j) (sexual
    relations with a client), and 32:8.4(b) (criminal act reflecting on lawyer’s
    honesty, trustworthiness, or fitness).
    On April 1, 2014, the Board amended its complaint to add a count
    relating to the advance fee Doe had paid Blessum to handle the
    dissolution. The Board alleged Blessum had withdrawn the $1000 fee
    before it was earned and did not provide Doe with a contemporaneous
    accounting.     The Board asserted this conduct violated Iowa Rule of
    Professional Conduct 32:1.15(c) (lawyer shall withdraw fees as earned)
    and several of the rules governing trust accounts, including Iowa Court
    Rules 45.7(3) (lawyer may withdraw fee only as earned), 45.7(4) (lawyer
    3The    Board subsequently withdrew its allegation that Blessum’s conduct was
    prejudicial to the administration of justice.
    8
    must notify client of withdrawal), 45.10(1) (describing a flat fee), 45.10(2)
    (advance payment of a flat fee must be deposited into a trust account),
    and 45.10(3) (lawyer and client can agree on how fees are withdrawn).
    Blessum filed his answer to the amended complaint on April 10,
    2014.    He admitted the factual allegations underlying his relationship
    with Doe and the assault, but denied that they amounted to ethical
    violations. He admitted that he had improperly withdrawn the fee and
    that this was a trust account violation.
    Blessum designated two expert witnesses to testify on his behalf,
    Timothy G. Pearson and Mark McCormick, both of whom are attorneys in
    the Des Moines area. In support of his designations, Blessum provided
    an expert opinion letter from each of them.
    Pearson’s letter was a little over one typewritten page in length. In
    it, Pearson stated he had reviewed Blessum’s file on Doe’s dissolution of
    marriage case and that, in his opinion, Blessum acted diligently in the
    matter. He noted that it was not unusual for a considerable amount of
    time to pass in the filing of QDROs, that Doe’s ex-husband was
    unrepresented and pro se litigants frequently cause delays, and that Doe
    herself had asked Blessum to stop work on the QDRO.
    McCormick’s letter was also about a page long.           McCormick
    accurately stated that the caselaw of this court requires a nexus between
    an attorney’s criminal act and his or her fitness to practice law in order
    to impose discipline. McCormick offered the opinion that there was no
    nexus in Blessum’s case because the assault was a one-time occurrence
    and out of Blessum’s character. His letter concluded,
    The facts I reviewed do not show any link between the
    conduct and Mr. Blessum’s ability to carry out his
    professional responsibilities.
    9
    As I understand the facts, the Board under the
    applicable standard could well find no reasonable likelihood
    of a recurrence of the conduct and that the act received
    ample redress in the criminal court.
    The Board moved to exclude both experts, arguing their testimony
    would be inadmissible since they would be opining on the applicable
    legal standards in the case. Blessum resisted the Board’s motion. He
    maintained that Pearson was an expert in family law who could provide
    enlightenment on the typical handling and processing of QDROs, such as
    the one involved in Doe’s case.     Blessum argued that McCormick, a
    former Iowa Supreme Court Justice who represents attorneys in
    proceedings before the disciplinary commission, would be able to offer
    expert insight into the nexus required between Blessum’s criminal
    conduct and his fitness to practice law.    Blessum disputed that these
    experts would be offering their opinions on purely legal standards. The
    commission, however, agreed with the Board and granted its motion to
    preclude the expert witnesses from testifying.
    A two-day hearing took place before the grievance commission on
    April 10 and 11. Both Doe and Blessum testified. Blessum admitted the
    trust account violation, and admitted he had struck Doe several times on
    June 11, 2012, but denied that Doe was his client when their sexual
    relationship began or that he had been guilty of neglect with respect to
    the QDRO.
    The commission issued its findings of fact, conclusions of law, and
    recommended sanction on July 24, 2014.           It concluded that Blessum
    had committed all the ethical violations alleged by the Board.     Among
    other things, the commission determined that Blessum should have
    continued to work on the QDRO after receiving the fax from his client’s
    ex-husband and his failure to do so constituted a lack of diligence. With
    10
    respect to Blessum’s sexual relationship with Doe, the commission found
    that Blessum was still Doe’s attorney on the QDRO matter when their
    relationship began. The commission also decided Blessum’s conviction
    for assault reflected adversely on his fitness as a lawyer.             The
    commission discredited Blessum’s version of the events of June 11,
    2012, namely, that he was just trying to defuse the situation and prevent
    Doe from committing suicide, and that he rather than Doe had called
    911.      Finally, the commission found Blessum’s handling of the $1000
    advance fee constituted a violation of the trust account rules.
    The commission noted as a mitigating factor that Blessum was in
    counseling but also found several aggravating factors. Specifically, the
    commission determined Blessum had minimized his responsibility and
    tried to shift the blame to Doe throughout the proceedings.             The
    commission also noted Blessum had nearly thirty years of experience as
    an attorney and had committed multiple infractions against the same
    client.       The   commission   ultimately   recommended    an   indefinite
    suspension with no possibility of reinstatement for four years.
    II. Standard of Review.
    We review attorney disciplinary proceedings de novo. Iowa Ct. R.
    35.12(4); Iowa Supreme Ct. Att’y Disciplinary Bd. v. Mendez, 
    855 N.W.2d 156
    , 165 (Iowa 2014).       The Board has the burden to prove attorney
    misconduct by a convincing preponderance of the evidence.             Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Barnhill, 
    847 N.W.2d 466
    , 470 (Iowa
    2014). “This standard is more demanding than proof by preponderance
    of the evidence, but less demanding than proof beyond a reasonable
    doubt.” Iowa Supreme Ct. Att’y Disciplinary Bd. v. Ouderkirk, 
    845 N.W.2d 31
    , 33 (Iowa 2014).
    11
    We give weight to the findings of the commission, especially with
    regard to the credibility of witnesses, but we are not bound by the
    commission’s determinations. Iowa Supreme Ct. Att’y Disciplinary Bd. v.
    Kieffer-Garrison, 
    847 N.W.2d 489
    , 492 (Iowa 2014). Notwithstanding our
    de novo review of the facts, we review the commission’s evidentiary
    rulings for an abuse of discretion. See In re A.K., 
    825 N.W.2d 46
    , 49
    (Iowa 2013); In re N.N.E., 
    752 N.W.2d 1
    , 6 (Iowa 2008).
    III. Admissibility of Expert Witness Testimony.
    Blessum      argues    the   commission      erroneously     excluded     the
    anticipated testimony of his expert witnesses, attorneys McCormick and
    Pearson. He urges us to accept and consider McCormick’s and Pearson’s
    opinions in our de novo review of this matter.
    Our prior caselaw has addressed when expert testimony is
    admissible to assist the trier of fact. 4         In Grismore v. Consolidated
    Products Co., we indicated an expert could testify regarding cause and
    effect in areas of specialized knowledge such as scientific, mechanical, or
    professional areas of study.       
    232 Iowa 328
    , 343, 
    5 N.W.2d 646
    , 655
    (1942). We stated this was true even if the expert opinion touched upon
    a so-called “ultimate fact” in the case. See 
    id.
     at 343–44, 
    5 N.W.2d at 655
    . Thus, in Grismore, we upheld the trial court’s admission of expert
    testimony on what had caused the sickness and death of the plaintiff’s
    turkeys, even though causation was an ultimate issue in the case. 
    Id.
     at
    340–41, 361, 
    5 N.W.2d at 654, 663
    .
    More recently, we clarified that while Grismore abolished the
    blanket rule prohibiting experts from testifying on ultimate issues, there
    remain limits on the admissibility of expert testimony. See In re Det. of
    4The   Iowa Rules of Evidence apply in grievance commission hearings. See Iowa
    Ct. R. 36.14(4).
    12
    Palmer, 
    691 N.W.2d 413
    , 418 (Iowa 2005) (citing Grismore, 
    232 Iowa at 343
    , 361 
    5 N.W.2d at 655, 663
    ). An expert witness “cannot opine on a
    legal conclusion or whether the facts of the case meet a given legal
    standard.” 
    Id. at 419
    . Opinions couched in legal terms are problematic
    because they may lead the jury to misunderstand the law.           See 
    id.
    Therefore, “[w]hether an opinion couched in legal terms is excludable . . .
    depends on ‘whether the terms . . . have a separate, distinct and
    specialized meaning in the law different from that present in the
    vernacular.’ ” 
    Id. at 420
     (quoting Torres v. Cnty. of Oakland, 
    758 F.2d 147
    , 151 (6th Cir. 1985)). Such specialized legal terms are not properly
    the subject of expert opinion testimony. See 
    id.
    Our court went on to apply this rule to the facts of that case. In
    Palmer, the expert was permitted to give her opinion on “whether the
    respondent’s pedophilia makes it likely that he will engage in predatory
    acts of a sexually-violent nature” if he were not civilly committed. Id. at
    420 (internal quotation marks omitted). The language “likely to engage
    in predatory acts constituting sexually violent offenses” came directly
    from the statute under which the state was seeking to commit the
    respondent. See id. (quoting Iowa Code § 229A.2(11) (2003)). Yet, we
    determined the expert could testify as to whether the defendant was
    likely to commit an act because the statutory definition of “likely”—more
    likely than not—mirrored its popular meaning. Id. at 421. At the same
    time, we found the expert should not have been permitted to testify
    regarding “predatory” and “sexual[ly] violent offenses,” however, because
    these were legal terms with precise definitions that were more specialized
    than the common vernacular. See id.
    In a case of sexual exploitation by a counselor, where one of the
    issues was whether the defendant had counseled the victims within the
    13
    meaning of the criminal statute, we upheld a trial court ruling barring an
    expert from testifying as to whether the pastor defendant’s actions
    amounted to “pastoral counseling.” State v. Edouard, 
    854 N.W.2d 421
    ,
    426, 436–37 (Iowa 2014). In an offer of proof, the expert testified that
    the theological community recognized an important difference between
    pastoral care and pastoral counseling. 
    Id. at 436
    . We concluded that
    the specialized definition given to these terms within the theological
    community was irrelevant to whether the defendant’s actions fell within
    the legal definition of “mental health services.” 
    Id. at 437
    .
    We have also applied the principles of Grismore and Palmer to
    proposed expert testimony in attorney disciplinary proceedings.         See
    Comm. on Prof’l Ethics & Conduct v. Baudino, 
    452 N.W.2d 455
    , 459 (Iowa
    1990) (citing Grismore, 
    232 Iowa at 361
    , 
    5 N.W.2d at 663
    ). In Baudino,
    the attorney failed to properly file his state and federal income tax
    returns.    
    Id. at 456
    .    At the hearing before the ethics commission,
    Baudino called a law professor to testify as an expert witness on his
    behalf.    
    Id. at 459
    .   The professor opined that Baudino should not be
    subject to a disciplinary sanction because his failure to file taxes was due
    to confusion, not an intentional disregard of the law. 
    Id.
     We stated the
    professor’s testimony was of “questionable admissibility” because it was
    an opinion on whether Baudino’s conduct met the legal standard
    warranting a sanction. See 
    id.
     at 459–60. However, we ultimately found
    it unnecessary to consider the expert’s testimony anyway because it was
    grounded on a factual assumption—the attorney’s genuine confusion—
    that we did not accept. See 
    id. at 460
    .
    In light of the foregoing, we believe the commission properly
    excluded McCormick’s testimony. McCormick’s letter indicated that he
    would be testifying on an ultimate issue that was a purely legal one—
    14
    namely, whether there was a nexus between Blessum’s criminal conduct
    and the practice of law.     It is difficult to see what an expert opinion
    would add to this analysis. Nexus in this context is a legal term of art,
    and we have adopted the following multifactor test to resolve the nexus
    question:
    There must be some rational connection other than
    the criminality of the act between the conduct and the
    actor’s fitness to practice law. Pertinent considerations
    include the lawyer’s mental state; the extent to which the act
    demonstrates disrespect for the law or law enforcement; the
    presence or absence of a victim; the extent of actual or
    potential injury to a victim; and the presence or absence of a
    pattern of criminal conduct.
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Khowassah, 
    837 N.W.2d 649
    ,
    653 (Iowa 2013) (internal quotation marks omitted).         Factors such as
    “mental state,” “disrespect,” the “presence or absence of a victim,” the
    “extent of actual or potential injury to a victim,” and the “presence or
    absence of a pattern of criminal conduct” are simply not ones where the
    testimony of a legal expert is likely to be helpful. See id.; cf. Iowa R. Evid.
    5.702 (allowing expert testimony that “will assist the trier of fact to
    understand the evidence or to determine a fact in issue”).
    Pearson’s proposed expert testimony presents a closer call.          His
    letter sets forth the opinions of a domestic-relations attorney on the
    timeliness of Blessum’s work on the QDRO.            The Board argues that
    because Pearson opined on Blessum’s “diligence”—the same term used in
    rule 32:1.3—the commission properly excluded his testimony. However,
    unlike “sexually violent offense,” Palmer, 
    691 N.W.2d at
    420–22, or
    “mental health services,” Edouard, 854 N.W.2d at 436–37, or even
    “nexus,” Khowassah, 837 N.W.2d at 653, the term “diligence” does not
    have a specialized legal definition.       To the contrary, a review of our
    caselaw indicates “diligence” in the context of an attorney disciplinary
    15
    proceeding pursuant to rule 32:1.3 has been given a commonsense
    meaning. See, e.g., Barnhill, 847 N.W.2d at 483 (indicating that this rule
    requires an attorney to “handle a client matter in a reasonably timely
    manner”). Whether an attorney acted with proper diligence can be the
    basis for a malpractice action, and we normally require expert testimony
    on the standard of care in those cases.      See Crookham v. Riley, 
    584 N.W.2d 258
    , 266 (Iowa 1998).     Nonetheless, for the reasons discussed
    below, we find Blessum did not violate rule 32:1.3.     Therefore, even if
    Pearson should have been permitted to testify on that issue, it did not
    affect the proceeding.
    IV. Review of Alleged Ethical Violations.
    A. Failure to Act with Reasonable Diligence (Rule 32:1.3).
    Rule 32:1.3 states, “A lawyer shall act with reasonable diligence and
    promptness in representing a client.” Iowa R. Prof’l Conduct 32:1.3. In
    Iowa Supreme Court Attorney Disciplinary Board v. Taylor, we elaborated
    on when conduct may violate rule 32:1.3:
    Generally, a violation of rule 32:1.3 cannot be found if
    the acts or omissions complained of were inadvertent or the
    result of an error of judgment made in good faith. An
    attorney does not typically commit neglect by missing a
    single deadline. Instead, neglect involves a consistent failure
    to perform obligations the lawyer has assumed or a
    conscious disregard for the responsibilities a lawyer owes to
    a client and may arise when an attorney repeatedly fails to
    meet deadlines.
    
    814 N.W.2d 259
    , 265 (Iowa 2012) (citations omitted) (internal quotation
    marks omitted); see also Iowa Supreme Ct. Att’y Disciplinary Bd. v.
    Conroy, 
    845 N.W.2d 59
    , 64 (Iowa 2014); Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Van Ginkel, 
    809 N.W.2d 96
    , 102 (Iowa 2012).
    In the context of a dissolution-of-marriage case such as Doe’s, we
    have found a violation of rule 32:1.3 when an attorney ceased working on
    16
    the divorce, resulting in a default decree being entered against his client.
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Hauser, 
    782 N.W.2d 147
    , 150,
    152–53 (Iowa 2010).        Hauser had initially provided appropriate
    representation, including the filing of an answer to the dissolution
    petition on his client’s behalf. 
    Id. at 150
    . Within a few months, however,
    Hauser stopped doing any additional work on the case. See 
    id.
     He did
    not file any further pleadings or motions and failed to appear for the
    scheduled trial. 
    Id.
     After the default decree was entered, Hauser’s client
    repeatedly tried to contact him to no avail. 
    Id.
     The client eventually had
    to pay another attorney who attempted—unsuccessfully—to have the
    default judgment set aside.    
    Id.
     We characterized Hauser’s actions as
    “severe neglect,” “total abandonment,” and “clearly harmful to his client.”
    
    Id. at 153
    .
    We also found a lack of diligence in another dissolution case, Iowa
    Supreme Court Attorney Disciplinary Board v. Johnson, 
    792 N.W.2d 674
    ,
    678–81 (Iowa 2010).     There, the attorney failed to appear for status
    conferences and did not respond to his client’s or the court’s inquiries,
    resulting in unfavorable court decisions for his client. 
    Id.
     at 679–80.
    We have found other instances of persistent neglect to constitute a
    lack of attorney diligence in violation of rule 32:1.3. See, e.g., Conroy,
    845 N.W.2d at 64–65, 67 (disciplining an attorney for failing to meet
    deadlines in six appeals and failing to cure the defaults after being
    notified of the opportunity to do so); Iowa Supreme Ct. Att’y Disciplinary
    Bd. v. Humphrey, 
    812 N.W.2d 659
    , 664–65 (Iowa 2012) (finding a
    violation where the attorney did not respond to repeated client inquiries
    and the only action the attorney took in an insurance settlement case
    during a twenty-month period was to send two letters); Iowa Supreme Ct.
    Att’y Disciplinary Bd. v. Cunningham, 
    812 N.W.2d 541
    , 547, 549, 553
    17
    (Iowa 2012) (disciplining an attorney who did not pass along discovery
    requests to a client and failed to notify that client of a hearing and
    sanctions imposed in one case and never filed a bankruptcy petition he
    promised to file in another case); Van Ginkel, 809 N.W.2d at 100, 102
    (finding that seven probate delinquencies in one estate, resulting in the
    estate being closed two years after the statutory deadline, established
    neglect); Iowa Supreme Ct. Att’y Disciplinary Bd. v. Ochs, 
    804 N.W.2d 720
    , 721–22 (Iowa 2011) (holding attorney violated disciplinary rules
    when he missed deadlines in ten separate probate cases over a number
    of years); Iowa Supreme Ct. Att’y Disciplinary Bd. v. Dolezal, 
    796 N.W.2d 910
    , 913–14, 917, 919, 922–23 (Iowa 2011) (sanctioning an attorney for
    allowing two cases to be dismissed and failing to timely close an estate
    despite repeated delinquency notices).
    In the present case, the Board correctly points out that the QDRO
    was not filed for more than two years after the dissolution decree was
    entered.    However, this fact alone does not establish that Blessum
    violated the applicable ethical rule. In fact, Blessum initially performed
    work on the QDRO, including seeking required paperwork from Doe’s ex-
    husband, preparing a draft QDRO, and sending the draft to Doe and her
    ex-husband.      Doe failed to directly respond to correspondence, and at
    one point, told Blessum’s office to stop working on the QDRO. 5 It is true,
    as the commission found, that a significant period of time elapsed from
    February 2010, when Doe’s ex-husband faxed revised instructions to
    Blessum regarding the QDRO, and August 2011, when the QDRO was
    finally filed.   But this fact needs to be placed in context.               Blessum
    5Doe denies that she gave this instruction. Still, it was reflected in Blessum’s
    notes and later confirmed in Blessum’s December 31, 2009 letter, which was sent
    before any dispute between Doe and Blessum arose. We accept Blessum’s version of
    events here.
    18
    initially handled the matter diligently, the client was not responsive, the
    client told Blessum’s office to stop working on the matter, and at the end
    of 2009, Blessum advised Doe he was closing his file on the QDRO. Cf.
    Humphrey, 812 N.W.2d at 664–65 (disciplining an attorney for sending
    only two letters in a twenty-month period on behalf of his client);
    Johnson, 792 N.W.2d at 679–80 (imposing a sanction on an attorney who
    did little to no work on behalf of his client).
    We agree with the commission that Blessum should have taken
    action after receiving the February 2010 letter from Doe’s ex-husband
    that was signed by Doe and requested changes to the QDRO. We do not
    accept Blessum’s argument that his December 31, 2009 letter “clos[ing]
    out the file,” which came just ten days after his office’s letter enclosing
    the draft QDRO and which was not accompanied by any effort to formally
    withdraw from the case, was enough to terminate his representation of
    Doe. However, we cannot find that this inactivity by itself establishes a
    rule violation. Overall, we are unable to conclude that a single instance
    of nonprejudicial delay in filing a single document, attributable partly to
    the client, partly to her ex-husband, and partly to the attorney, amounts
    to a violation of rule 32:1.3. Because we find no rule violation, we need
    not determine whether the commission abused its discretion in excluding
    Pearson’s anticipated expert testimony, which went only to this issue.
    B. Sexual Relations with a Client (Rule 32:1.8(j)).        “A lawyer
    shall not have sexual relations with a client, or a representative of a
    client, unless the person is the spouse of the lawyer or the sexual
    relationship predates the initiation of the client-lawyer relationship.”
    Iowa R. Prof’l Conduct 32:1.8(j).        The sexual relationship need not
    constitute sexual harassment or involve coercion to violate this rule. See
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Morrison, 
    727 N.W.2d 115
    ,
    19
    118–19 (Iowa 2007) (indicating that even purely consensual sexual
    relationships are prohibited as between client and attorney under
    similarly worded prior ethical rule); see also Iowa R. Prof’l Conduct
    32:1.8 cmt. 17 (“[T]his rule prohibits the lawyer from having sexual
    relations with a client regardless of whether the relationship is
    consensual and regardless of the absence of prejudice to the client.”).
    The unequal nature of the relationship between an attorney and
    his or her client “renders it impossible for the vulnerable layperson to be
    considered consenting to the sexual relationship.”      Iowa Supreme Ct.
    Att’y Disciplinary Bd. v. Marzen, 
    779 N.W.2d 757
    , 760 (Iowa 2010)
    (internal quotation marks omitted).      “[A] sexual relationship between
    lawyer and client can involve unfair exploitation of the lawyer’s fiduciary
    role, in violation of the lawyer’s basic ethical obligation not to use the
    trust of the client to the client’s disadvantage.” Iowa R. Prof’l Conduct
    32:1.8 cmt. 17.   The rule is clear that any sexual relationship with a
    current client is prohibited, regardless of the circumstances.        Iowa
    Supreme Ct. Bd. of Prof’l Ethics & Conduct v. Furlong, 
    625 N.W.2d 711
    ,
    714 (Iowa 2001) (stating while applying rule 32:1.8(j)’s predecessor that
    “[p]rofessional responsibility involves many gray areas, but sexual
    relationships between attorney and client is not one of these[ and s]uch
    conduct is clearly improper”).
    Some of the more notorious cases under this rule involve so-called
    “sex for fees” arrangements in which attorneys persuade their clients to
    have sexual relations with them in exchange for legal services. See, e.g.,
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Bowles, 
    794 N.W.2d 1
    , 4–5
    (Iowa 2011) (finding a violation where the attorney had previously had a
    sexual relationship with the client and the client later engaged in a sex
    act with the defendant to induce him to represent her on another
    20
    matter); Iowa Supreme Ct. Att’y Disciplinary Bd. v. McGrath, 
    713 N.W.2d 682
    , 695, 702–03 (Iowa 2006) (finding attorney violated former rule DR
    5–101(B) prohibiting attorney–client sexual relationships by proposing
    that his client “do something nice” for him in exchange for working on a
    client’s visitation case (internal quotation marks omitted)).
    However, even sexual relationships between attorney and client
    that do not involve an exchange for fees violate rule 32:1.8(j) because a
    client cannot, by definition, consent to a relationship with his or her
    attorney. Iowa R. Prof’l Conduct 32:1.8 cmt. 17. For example, in Iowa
    Supreme Court Attorney Disciplinary Board v. Monroe, we found a
    violation of rule 32:1.8(j) when the attorney had a sexual relationship
    with a client he represented in a child custody dispute. 
    784 N.W.2d 784
    ,
    787–88 (Iowa 2010). The client with whom Monroe had the relationship
    testified “that she felt it was her own decision to be in or out of the
    relationship” and there was no coercion or expectation that her fees
    would be forgiven in exchange for sex. 
    Id. at 787
    . Furthermore, at the
    hearing, the client stated she “harbor[ed] no ill will toward Monroe and
    continue[d] to regard him as a good friend.”         
    Id.
       We nevertheless
    concluded the relationship violated the rule.        
    Id. at 788
    ; see also
    Moothart, ___ N.W.2d ___, ___ (Iowa 2015) (finding violations where the
    attorney had sexual relations with two different clients);      Marzen, 
    779 N.W.2d at 760, 764
     (finding a violation where the attorney had sexual
    relations with a client he represented on hospitalization commitment,
    custody, and child support issues); Morrison, 
    727 N.W.2d at
    117–18
    (finding a violation of then-existing disciplinary rules where an attorney
    had sexual relations with a client he represented in a dissolution
    proceeding); Furlong, 
    625 N.W.2d at
    712–14 (finding a violation under
    prior rule where the attorney engaged in a twenty-month, consensual
    21
    sexual relationship with a client he represented on several different
    matters).
    The rule contains an exception for sexual relationships that
    predate the attorney’s representation of the client.                  Iowa R. Prof’l
    Conduct 32:1.8(j). Blessum relies on this exception and maintains that
    Doe was not his client when their sexual relationship began. According
    to Blessum, his representation of Doe on the dissolution matter
    terminated with his December 31, 2009 letter. Blessum insists he was
    not representing Doe in any legal matter when their sexual relationship
    commenced in April 2011. Like the commission, we find otherwise.
    The existence of an attorney–client relationship is governed by
    contract principles and may be either express, such as a relationship
    based on an actual written agreement, or implied from the conduct of the
    parties. See Comm. on Prof’l Ethics & Conduct v. Wunschel, 
    461 N.W.2d 840
    , 845 (Iowa 1990).          An attorney–client relationship is established
    when three elements are met:
    (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.; see also Restatement (Third) of the Law Governing Lawyers § 14, at
    125 (2000).
    Doe testified that when she met with Blessum on March 22, 2011,
    it was her understanding that he was “going to do [her] will.” Blessum
    also testified that “[s]he became [his] client that day” because he “agree[d]
    to do her will for her.” 6 These statements indicate (1) Doe “sought . . .
    6Blessum  testified that as he was getting more intimate with Doe, but before the
    parties had engaged in sexual relations, he made a note not to proceed with the will.
    He then claims he changed course and decided to prepare the will later, after their
    relationship became sexual. We do not find this aspect of his testimony credible. In
    22
    assistance from an attorney” (Blessum), (2) the “assistance sought
    pertained to matters within” Blessum’s professional competence (drafting
    a will), and (3) “the attorney expressly . . . agreed to give . . . the desired
    . . . assistance” (it was understood Blessum would draft Doe’s will). See
    Wunschel, 
    461 N.W.2d at 845
    .           Their sexual relationship began a few
    weeks thereafter.        Because we conclude that Blessum and Doe
    established an attorney–client relationship on the will matter on March
    22, we need not determine whether Blessum’s representation of Doe on
    the QDRO was still ongoing at that time. Blessum violated rule 32:1.8(j).
    C. Criminal Act Adversely Reflecting on Lawyer’s Fitness to
    Practice Law (Rule 32:8.4(b)).         Rule 32:8.4(b) states it is professional
    misconduct for a lawyer to “commit a criminal act that reflects adversely
    on the lawyer’s honesty, trustworthiness, or fitness as a lawyer in other
    respects.” Iowa R. Prof’l Conduct 32:8.4(b).
    This rule requires the criminal act to have a nexus with the
    lawyer’s honesty, trustworthiness, or fitness to practice law. See id.; see
    also Iowa Supreme Ct. Att’y Disciplinary Bd. v. Templeton, 
    784 N.W.2d 761
    , 767 (Iowa 2010) (stating that under the modern rule, “[t]he mere
    commission of a criminal act does not necessarily reflect adversely on the
    fitness of an attorney to practice law”).          “There cannot be too much
    attention focused on the moral quality of the conduct; instead, the court
    must focus on the link between the conduct and the actor’s ability to
    function as a lawyer.” Iowa Supreme Ct. Att’y Disciplinary Bd. v. Schmidt,
    
    796 N.W.2d 33
    , 40 (Iowa 2011).                Conduct meets the definition of
    reflecting adversely on an attorney’s fitness when it “reveals character
    defects, which affect[] the lawyer’s ability to deal with important
    ______________________
    any event, a unilateral decision not to draft the will, which was not communicated to
    Doe, would not suffice to terminate their attorney–client relationship.
    23
    controversies and confidential information and that lessen [ ] public
    confidence in the legal profession.” Iowa Supreme Ct. Att’y Disciplinary
    Bd. v. Keele, 
    795 N.W.2d 507
    , 512 (Iowa 2011) (second alteration in
    original) (internal quotation marks omitted). As noted above, we consider
    several factors in determining whether an attorney’s criminal act reflects
    adversely on his or her fitness to practice law. Id.; see also Templeton,
    
    784 N.W.2d at 767
    .
    In one case, we held a defendant’s conviction for domestic abuse
    assault on his wife reflected adversely on his fitness to practice law
    because the victim was seriously injured and because the attorney’s
    repeated violations of a no-contact order demonstrated a lack of respect
    for the law. Iowa Supreme Ct. Att’y Disciplinary Bd. v. Axt, 
    791 N.W.2d 98
    , 101–02 (Iowa 2010).
    Similarly, in Schmidt, we determined that an attorney’s criminal
    acts of domestic violence reflected adversely on his fitness as a lawyer in
    violation of rule 32:8.4(b). 796 N.W.2d at 41. In that case, Schmidt and
    his wife were having an argument at their home when Schmidt threw his
    wife down, choked her, and chased her around the house. Id. at 38. He
    then choked her two additional times until she lost consciousness. Id.
    The wife ultimately escaped to a neighbor’s house and attempted to call
    911, but Schmidt stopped her and lied to the neighbor by telling him his
    wife had fallen and hit her head in the hot tub. Id. When a sheriff’s
    deputy finally arrived and placed Schmidt in the patrol car, Schmidt
    broke through the steel cage in the back seat and used the deputy’s cell
    phone. Id. Schmidt’s wife was taken to the hospital for treatment. Id.
    Subsequently, she and the children had a number of psychological
    problems for which they had to undergo counseling. Id. at 39. Schmidt
    24
    pled guilty to two aggravated misdemeanors involving domestic abuse.
    Id. at 38.
    Applying the considerations set forth above from Keele and
    Templeton, we noted Schmidt’s criminal conduct involved “the conscious
    decision to act on [his] hostility and assault his wife multiple times,
    rather than walk away” and his depression did not excuse this choice.
    Id. at 41.    Furthermore, Schmidt demonstrated disrespect for law
    enforcement by preventing his wife from calling 911, lying to the
    neighbor, and breaking the steel cage in the deputy’s patrol car.       Id.
    Finally, Schmidt’s wife and children were victims of his criminal acts; his
    wife was harmed physically and mentally, and his children were
    traumatized by having witnessed the event. Id.
    In Iowa Supreme Court Attorney Disciplinary Board v. Cannon, we
    considered the case of an attorney who had received convictions for
    operating a boat while intoxicated, possession of cocaine, and OWI. 
    821 N.W.2d 873
    , 877 (Iowa 2012).         We found a nexus there as well,
    emphasizing the actual property damage and threat of physical harm to
    persons resulting from his conduct, the attorney’s pattern of criminal
    conduct, and his disrespect for the law and law enforcement exemplified
    by his responses when confronted by law enforcement. 
    Id.
     at 878–80;
    see also Iowa Supreme Ct. Att’y Disciplinary Bd. v. Weaver, 
    812 N.W.2d 4
    ,
    11–12 (Iowa 2012) (finding a nexus between attorney’s OWI-third-offense
    conviction and the practice of law based on grave risk of injury to others
    and pattern of criminal conduct).
    In contrast to the foregoing cases where the attorneys’ criminal
    conduct reflected adversely on their fitness as lawyers, we have stated in
    dicta that a conviction for assault might not violate rule 32:8.4(b) if it
    were merely a private dispute and did not otherwise reflect on the
    25
    attorney’s fitness: “[A] lawyer who becomes involved in an isolated
    incident of assault and battery while drunk, might well be considered
    unlikely to commit such a violent outburst in his professional life, and
    thereby not be subject to discipline.”       Schmidt, 796 N.W.2d at 41
    (internal quotation marks omitted).
    Placing the present case against this legal backdrop, we have no
    difficulty concluding that Blessum’s conviction for assault causing bodily
    injury reflects adversely on his fitness as a lawyer. First, Blessum made
    “the conscious decision to act on [his] hostility and assault [Doe] . . .
    rather than walk away.”      Id.   In fact, he forcibly prevented her from
    leaving while dragging and striking her repeatedly.      Second, Blessum
    showed disrespect for law enforcement by attempting to falsely take
    credit for summoning the police once he realized Doe had successfully
    dialed 911. Third, Doe had to go to the hospital because of the physical
    injuries Blessum inflicted and continued to suffer mental and emotional
    problems after the assault was over. Fourth, Doe was a client. Had she
    never retained Blessum as her attorney, she never would have been
    assaulted by him.
    Thus, we agree with the commission that Blessum’s conviction for
    assault causing bodily injury violated rule 32:8.4(j).
    D. Trust Account Practices (Rule 32:1.15(c)).        Rule 32:1.15(c)
    states, “A lawyer shall deposit into a client trust account legal fees and
    expenses that have been paid in advance, to be withdrawn by the lawyer
    only as fees are earned or expenses incurred.” Iowa R. Prof’l Conduct
    32:1.15(c).   Trust accounts in Iowa are governed by chapter 45 of the
    Iowa Court Rules. Id. r. 32:1.15(f). “A lawyer must deposit advance fee
    and expense payments from a client into the trust account and may
    26
    withdraw such payments only as the fee is earned or the expense is
    incurred.” Iowa Ct. R. 45.7(3).
    A lawyer accepting advance fee or expense payments must
    notify the client in writing of the time, amount, and purpose
    of any withdrawal of the fee or expense, together with a
    complete accounting. The attorney must transmit such
    notice no later than the date of the withdrawal.
    Id. r. 45.7(4). 7
    Prematurely withdrawing fees violates rules 32:1.15(c) and 45.7(3).
    See Iowa Supreme Ct. Att’y Disciplinary Bd. v. Denton, 
    814 N.W.2d 548
    ,
    551 (Iowa 2012) (noting these rules require flat fees to be deposited in a
    trust account and withdrawn only when earned); Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. McCuskey, 
    814 N.W.2d 250
    , 256 (Iowa 2012) (stating
    7In its complaint, the Board also cited rules 45.10(1), 45.10(2), and 45.10(3) in
    connection with Blessum’s handling of the $1000 fee from Doe. These rules specifically
    relate to flat fees and provide as follows:
    45.10(1) Definition. A flat fee is one that embraces all services
    that a lawyer is to perform, whether the work be relatively simple or
    complex.
    45.10(2) When deposit required. If the client makes an advance
    payment of a flat fee prior to performance of the services, the lawyer
    must deposit the fee into the trust account.
    45.10(3) Withdrawal of flat fee. A lawyer and client may agree as
    to when, how, and in what proportion the lawyer may withdraw funds
    from an advance fee payment of a flat fee. The agreement, however,
    must reasonably protect the client’s right to a refund of unearned fees if
    the lawyer fails to complete the services or the client discharges the
    lawyer. In no event may the lawyer withdraw unearned fees.
    Iowa Ct. R. 45.10.
    However, the Board did not refer to these rules in its presentation to the
    commission. Nor does it mention them in its appellate brief. The commission’s
    decision does not discuss them, either. Therefore, we will not address rules 45.10(1),
    45.10(2), or 45.10(3) here. The Board concedes that Blessum initially deposited the fee
    into his trust account and does not assert Doe and Blessum had a specific agreement
    regarding its withdrawal. It should be noted that the last sentence of rule 45.10(3)
    essentially recaps what rule 45.7(3) already provides. Compare 
    id.
     r. 45.10(3) (“In no
    event may the lawyer withdraw unearned fees.”), with 
    id.
     r. 45.7(3) (“A lawyer . . . may
    withdraw such [advance] payments only as the fee is earned or the expense is
    incurred.”).
    27
    rule 32:1.15(c) “requires fees to be withdrawn by the lawyer only as
    earned”).       Failure   to   render   a    contemporary   accounting   when
    withdrawing a fee violates rules 32:1.15(c) and 45.7(4).         Denton, 814
    N.W.2d at 551; McCuskey, 814 N.W.2d at 256.
    In his answer to the Board’s amended complaint, Blessum
    admitted the underlying facts that show he improperly handled the
    $1000 advance fee from Doe. See Iowa Supreme Ct. Att’y Disciplinary Bd.
    v. Nelson, 
    838 N.W.2d 528
    , 532 (Iowa 2013) (“Factual matters admitted
    by an attorney in an answer are deemed established . . . .”).             The
    evidence and testimony presented at the hearing corroborated that
    Blessum withdrew the funds before performing the work and without
    providing an accounting. We therefore conclude Blessum violated rules
    32:1.15(c), 45.7(3), and 45.7(4).
    V. Consideration of Appropriate Sanction.
    We now consider the appropriate sanction for Blessum’s violations.
    “ ‘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. Morris, 
    847 N.W.2d 428
    , 435 (Iowa 2014) (quoting Iowa Supreme Ct. Att’y Disciplinary Bd. v.
    Earley, 
    729 N.W.2d 437
    , 443 (Iowa 2007)). We respectfully consider the
    commission’s recommended sanction, but are free to impose a greater or
    lesser sanction. Iowa Supreme Ct. Att’y Disciplinary Bd. v. McGinness,
    
    844 N.W.2d 456
    , 463–64 (Iowa 2014).
    “When crafting a sanction, we consider the 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
    28
    the bar as a whole, and any aggravating or mitigating
    circumstances.”
    Iowa Supreme Ct. Att’y Disciplinary Bd. v. Clarity, 
    838 N.W.2d 648
    , 660
    (Iowa 2013) (quoting Iowa Supreme Ct. Att’y Disciplinary Bd. v. Rhinehart,
    
    827 N.W.2d 169
    , 182 (Iowa 2013)).
    A. Range of Sanctions for Sexual Relationship with Client.
    “Our past cases reveal a broad range of discipline for attorneys who
    engage in sexual relations with a client. This range is between a public
    reprimand and a lengthy period of suspension . . . .”            Marzen, 
    779 N.W.2d at 767
    . In Morrison, we found an indefinite suspension with no
    possibility of reinstatement for three months to be an appropriate
    sanction where the attorney had a consensual sexual relationship with
    one client in a dissolution matter and had been previously admonished
    for making sexual advances toward another client. 
    727 N.W.2d at
    119–
    20.    In   cases   that   involved   multiple   clients   and    sex-for-fees
    arrangements, we have given greater sanctions. See, e.g., McGrath, 
    713 N.W.2d at 695, 698
    , 702–04 (suspending attorney’s license indefinitely
    with no possibility of reinstatement for three years for proposing sex-for-
    fees arrangements with two clients seeking help on custody matters).
    Additionally, we have considered the vulnerability of the client to
    be an aggravating circumstance warranting higher sanctions.               See
    Marzen, 
    779 N.W.2d at 765
    , 768–69 (imposing a six-month suspension
    for attorney’s sexual relationship with client he represented in an
    involuntary mental health commitment proceeding and who he knew was
    involved in family conflict, including a child custody dispute); Bowles,
    794 N.W.2d at 7–8 (imposing an eighteen-month suspension for
    attorney’s sexual relationship with a client who had only recently been
    29
    discharged from a mental health facility where the attorney also
    facilitated the client’s preparation of a false affidavit).
    We      have   also   levied   more   severe    sanctions   where   sexual
    relationships were accompanied by sexual harassment and other
    violations.    Moothart, ___ N.W.2d at ___ (imposing a thirty-month
    suspension for attorney’s sexual relations with two clients and sexual
    harassment of those two clients plus three others); Furlong, 
    625 N.W.2d at
    713–14 (suspending an attorney for eighteen months for engaging in a
    sexual relationship with one client and attempting to dissuade her from
    pursuing an ethics complaint and sexually harassing another client).
    In contrast, when the attorney was found to have had sexual
    relations with only one client and that client suffered no legal, emotional,
    or physical harm, we have ordered a lesser sanction. See Monroe, 
    784 N.W.2d at 791
     (imposing a thirty-day suspension and noting “the
    misconduct appear[ed] to be an isolated occurrence”).
    B. Range of Sanctions for Criminal Conduct Violation.                  The
    range of sanctions for domestic abuse crimes that adversely reflect on an
    attorney’s fitness to practice law is similarly broad. We noted in Schmidt
    our intent to treat domestic violence by attorneys more seriously than we
    had in the past when a private admonition had sometimes been deemed
    sufficient: “In light of our determination that domestic abuse violence is a
    ‘reprehensible crime,’ we now find that admonishment for such acts [is]
    inappropriate.” 796 N.W.2d at 43. At the same time, we noted that in
    some prior domestic abuse cases, we had imposed sanctions of up to two
    years “depending on the nature and extent of other misconduct proved
    by the board in the same case.” Id.
    In Schmidt, we handed down a thirty-day suspension for an
    attorney who violently assaulted his wife.           Id. at 38, 45.   Despite the
    30
    seriousness of the domestic abuse charge, we noted several mitigating
    factors.   Id. at 39, 45.   Schmidt had begun an intensive rehabilitative
    program even before the disposition of his criminal case. Id. at 39. We
    also   referred   to   Schmidt’s   “lack   of   prior   discipline,   his   taking
    responsibility for his actions, his remorsefulness,” and the substantial
    evidence that this was “a one-time aberration.” Id. at 45.
    In Committee on Professional Ethics & Conduct v. Patterson, we
    imposed an indefinite suspension with no possibility of reinstatement for
    three months on an attorney who brutally assaulted a girlfriend who had
    asked him to represent her, leaving her “a badly disfigured and battered
    woman.”     
    369 N.W.2d 798
    , 799, 801 (Iowa 1985).           We discounted the
    attorney’s contention that he “lost his reason and ha[d] no recollection of
    the event.” 
    Id. at 801
    .
    In another case, we imposed an indefinite suspension with no
    possibility of reinstatement for six months on an attorney who was
    convicted of striking his wife in the eye with his fist while intoxicated.
    Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v. Ruth, 
    636 N.W.2d 86
    ,
    87, 89 (Iowa 2001). He had also been convicted of third-offense OWI, but
    we noted as a mitigating circumstance that he had since made great
    progress in treating his alcoholism. 
    Id.
     at 88–89. In Iowa Supreme Court
    Board of Professional Ethics & Conduct v. Polson, we imposed a two-year
    suspension on an attorney who assaulted his wife by grabbing her neck
    and who then violated the court’s no-contact orders. 
    569 N.W.2d 612
    ,
    613–14 (Iowa 1997). We were especially troubled by the attorney’s lack
    of respect for the court in repeatedly violating the court’s orders. 
    Id. at 614
    .
    We put in place an indefinite suspension with no possibility of
    reinstatement for fourteen months on the attorney in Committee on
    31
    Professional Ethics & Conduct v. Lapointe, 
    415 N.W.2d 617
    , 620 (Iowa
    1987). That attorney had struck his girlfriend in the stomach and face
    during an argument.     
    Id. at 618
    .    Upon discovering his girlfriend was
    going to testify at a grand jury proceeding concerning the incident, he
    drafted a two-page document instructing her on what to say.              
    Id.
    Lapointe was convicted of assault causing bodily injury and tampering
    with a witness.   
    Id. at 619
    .    We noted that the assault was “morally
    reprehensible” and that the witness-tampering charge constituted an
    additional violation of our ethical rules at the time. 
    Id.
     at 619–20.
    C. Range of Trust Account Sanctions. In addressing client trust
    account violations, our sanctions have ranged from a public reprimand
    to license revocation depending on the severity of the incident. See Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Parrish, 
    801 N.W.2d 580
    , 588 (Iowa
    2011) (collecting cases demonstrating the broad range of sanctions for
    trust account violations).      Revocation will occur when the attorney
    “crosses an important line” by misappropriating client funds without a
    colorable future claim. Iowa Supreme Ct. Att’y Disciplinary Bd. v. Kelsen,
    
    855 N.W.2d 175
    , 182 (Iowa 2014).           At the other end of the spectrum,
    where the trust account violation is an isolated incident, and the
    attorney had a colorable future claim to the funds, the appropriate
    sanction is generally a public reprimand.        See Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Kersenbrock, 
    821 N.W.2d 415
    , 422 (Iowa 2012) (noting
    that “[a] public reprimand might be sufficient sanction” for a trust
    account violation standing alone and citing cases where this sanction
    was imposed, but imposing a thirty-day suspension on an attorney who
    demonstrated “a systematic failure” to comply with trust account
    requirements).
    32
    D. The Sanction in this Case.                We agree with the commission
    that a substantial sanction is warranted for Blessum’s criminal act
    victimizing his own client. 8          The recording of Doe’s 911 call is very
    disturbing.      The photographs showing Doe’s injuries are also quite
    troubling.      Doe was fortunate the police arrived when they did.
    Blessum’s efforts to downplay his actions before the commission,
    indicating he basically struck Doe only to knock the pills out of her hand
    and prevent her from committing suicide, fall short of the standards we
    expect of attorneys. See, e.g., Iowa Supreme Ct. Att’y Disciplinary Bd. v.
    Dolezal, 
    841 N.W.2d 114
    , 128 (Iowa 2013) (deeming an attorney’s
    insistence that he had done nothing wrong, despite obvious ethical
    misconduct, to be an aggravating factor); Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Stowers, 
    823 N.W.2d 1
    , 17 (Iowa 2012) (“Minimizing or
    failing to take responsibility for one’s misconduct is an aggravating
    factor.”). It is also disappointing that Blessum appeared to play on Doe’s
    emotions to dissuade her from pressing charges against him after the
    assault and even instructed her on how to call the courthouse and have
    the charges dropped. In sum, the totality of Blessum’s behavior shows
    considerable disrespect for the law and the legal system.
    We believe this case therefore warrants a much longer suspension
    than Schmidt, our most recent domestic violence case. 796 N.W.2d at
    45. Most importantly, Schmidt did not involve a client. See id. at 38.
    Thus, unlike in Schmidt, we have two distinct, serious rule violations
    that intersected.        Additionally, in Schmidt, the attorney voluntarily
    undertook “intensive rehabilitative efforts” after assaulting his wife,
    8In determining the sanction, we give some but relatively little weight to the trust
    account violation. Blessum conceded the violation, and there is no dispute he intended
    to and ultimately did the work for which he had been retained. As just discussed, this
    violation, if isolated and a first offense, would probably have resulted in a reprimand.
    33
    including a ten-day program pertaining to destructive behaviors in
    Arizona, a domestic abuse and intervention program, parent enrichment
    classes, anger management as recommended by his children’s therapist,
    and counseling sessions with two different professionals.       Id. at 39.
    While Blessum did complete a court-ordered anger management
    program, paid the court-ordered fine and restitution, and otherwise met
    the terms of his probation, even at the commission hearing he presented
    implausible explanations for what happened on June 11, 2012.
    For example, he claimed that he said hurtful things to Doe that
    evening as a deliberate strategy so she would never want to come back.
    When asked why he can be heard on the 911 recording forcibly
    restraining Doe and telling her in a vulgar, threatening, and abusive
    manner that she could not leave the house, while Doe can be heard
    begging to be permitted to leave, Blessum insisted that he simply did not
    want Doe to be driving in her condition. These explanations did not ring
    true to the commission and do not ring true to us. They contrast sharply
    with Blessum’s after-the-fact note to Doe apologizing for “hitting” and
    “terrorizing” her. In short, we find Blessum’s discounting of his actions
    at the commission hearing to be a significant aggravating factor.
    Furthermore, although Blessum asserts he has sought counseling
    and this should mitigate the severity of the sanction he receives, his
    testimony at the hearing indicated this therapy was primarily to deal
    with his personal and marital issues rather than focused on the
    seriousness of domestic violence and assaultive behavior like the
    programs Schmidt enrolled in.
    34
    There is also evidence that Doe was vulnerable because of
    conditions known to Blessum. 9            See Bowles, 794 N.W.2d at 3–4, 7;
    Marzen, 
    779 N.W.2d at 765
    .            True, Doe is the only client with whom
    Blessum is shown to have had a sexual or sexually harassing
    relationship.    Cf. Moothart, ___ N.W.2d at ___ (sanctioning attorney for
    sexual relationships and sexual harassment of two clients and sexual
    harassment of three additional women). But Doe suffered both physical
    and emotional harm as a result of her relationship with Blessum.
    We do find as a mitigating factor that Blessum has no history of
    violence or domestic abuse, much like the attorney in Schmidt, 796
    N.W.2d at 44. Blessum also has no record of public discipline. 10
    After weighing the commission’s recommendation, the aggravating
    and mitigating factors, and our precedents, we conclude an indefinite
    suspension with no possibility of reinstatement for eighteen months is an
    appropriate sanction in this case.
    VI. Disposition.
    We suspend Blessum’s license to practice law in Iowa with no
    possibility of reinstatement for eighteen months.                  This suspension
    applies to all facets of the practice of law.           See Iowa Ct. R. 35.13(3).
    9During the oral argument of this appeal, the Board asserted that Blessum used
    confidential knowledge he had received from Doe regarding her history of being abused
    when he victimized her on June 11, 2012. We do not find this particular allegation
    supported by the record. For example, Doe testified that she told Blessum about her
    traumatic past around the time they became intimate, but she added that he already
    knew many of the details from his friendship with Doe’s brother-in-law.
    10At the hearing, Blessum testified he had previously received one private
    admonition. In his brief to this court, Blessum stated he has received two private
    admonitions. Private admonitions are not considered discipline. Van Ginkel, 809
    N.W.2d at 110. Nevertheless we can consider private admonitions as aggravating
    factors in imposing sanctions because they serve to put an attorney on notice of ethical
    requirements. See id. Here, however, the Board did not present evidence on the
    subject matter of Blessum’s earlier private admonitions and we therefore decline to
    consider them as aggravating factors in determining the appropriate sanction.
    35
    Blessum must comply with rule 35.23 and notify his clients of the
    suspension.   Id. r. 35.23(1).    Prior to reinstatement, Blessum must
    establish that he has not practiced law during the period of his
    suspension, and that he has conformed with the requirements set forth
    in Iowa Court Rule 35.14.       The costs of this proceeding are taxed to
    Blessum. See id. r. 35.27(1).
    LICENSE SUSPENDED.
    All justices concur except Cady, C.J., who takes no part.
    

Document Info

Docket Number: 14–1201

Citation Numbers: 861 N.W.2d 575

Filed Date: 3/27/2015

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (18)

37-fair-emplpraccas-535-36-empl-prac-dec-p-35085-17-fed-r-evid , 758 F.2d 147 ( 1985 )

Committee on Professional Ethics & Conduct of the Iowa ... , 369 N.W.2d 798 ( 1985 )

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

Crookham v. Riley , 584 N.W.2d 258 ( 1998 )

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

Committee on Professional Ethics & Conduct of the Iowa ... , 452 N.W.2d 455 ( 1990 )

IA SUP. CT. ATTY. DISCIPLINARY v. McGrath , 713 N.W.2d 682 ( 2006 )

IOWA SUP. COURT BD. OF ETHICS v. Polson , 569 N.W.2d 612 ( 1997 )

Iowa Supreme Court Attorney Disciplinary Board v. Marzen , 779 N.W.2d 757 ( 2010 )

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

Iowa Supreme Court Attorney Disciplinary Board v. Hauser , 782 N.W.2d 147 ( 2010 )

Committee on Professional Ethics & Conduct of the Iowa ... , 415 N.W.2d 617 ( 1987 )

Grismore v. Consolidated Products Co. , 232 Iowa 328 ( 1942 )

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

IA SUPREME CT. ATTY. DISC. BD. v. Morrison , 727 N.W.2d 115 ( 2007 )

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

In Re NNE , 752 N.W.2d 1 ( 2008 )

In Re Detention of Palmer , 691 N.W.2d 413 ( 2005 )

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