Hubert Patty v. Board of Professional Responsibility ( 2002 )


Menu:
  •                     IN THE SUPREME COURT OF TENNESSEE
    AT KNOXVILLE
    September 5, 2002 Session
    HUBERT PATTY v. BOARD OF PROFESSIONAL RESPONSIBILITY
    Direct Appeal from the Chancery Court for Blount County
    No. 01-096  Frank V. Williams, III, Sitting by Designation
    No. E2002-00499-SC-R3-CV - Filed November 1, 2002
    This is a direct appeal in a Board of Professional Responsibility case. A hearing committee found
    that the petitioner violated four disciplinary rules arising out of client representation, imposed a one-
    year suspension from the practice of law, and ordered the petitioner to complete courses in ethics and
    civil procedure at an accredited law school before applying for reinstatement. The chancery court
    upheld the hearing committee’s findings and conclusions with respect to the violations, but reduced
    the suspension to 60 days and vacated the requirement for law school education.
    After our review of the record and applicable authority, we conclude that the chancery court properly
    affirmed the hearing committee’s findings with regard to the petitioner’s violations of the
    disciplinary rules, but we modify the length of the suspension to four months and the condition for
    reinstatement by requiring the petitioner to complete six hours of continuing legal education in ethics
    and twelve hours of continuing legal education in courses related to civil trial practice or civil
    litigation, in addition to the three hours of ethics and twelve hours of general credit required annually
    of attorneys in this State. The judgment is, therefore, affirmed as modified.
    Supreme Court Rule 9, §1.3; Judgment of the Trial Court Affirmed,
    as Modified
    E. RILEY ANDERSON, J., delivered the opinion of the court, in which FRANK D. DROWOTA , III, C.J.,
    and ADOLPHO A. BIRCH, JR., JANICE M. HOLDER, and WILLIAM M. BARKER, JJ., joined.
    Hubert D. Patty, Maryville, Tennessee, Pro Se.
    James A. Vick, Nashville, Tennessee, for the appellee, Board of Professional Responsibility.
    OPINION
    BACKGROUND
    The petitioner, Hubert Patty, received his Tennessee license to practice law in 1954. The
    present disciplinary proceedings against Patty arose out of his legal representation of two clients in
    unrelated matters. We summarize the facts of each case below.
    Boruff Proceedings
    Patty appeared in the Circuit Court of Blount County on October 26, 1998, and requested that
    he replace the public defender as defense counsel for Douglas Boruff, who was charged with rape
    of a child. In the course of his request, Patty told the trial court that he would not be prepared for
    trial, which was already set for November 12, 1998, and asked for a continuance. The trial court told
    Patty that he would not be permitted to substitute as counsel if doing so would require a continuance.
    Accordingly, the trial court refused to sign an agreed order substituting Patty as counsel because the
    order did not state that the case would be tried as set on November 12, 1998. An agreed order,
    however, was later submitted by Patty and entered by the court that expressly stated the case would
    be tried on November 12, 1998.
    Six days before trial, on November 6, 1998, Patty filed a motion to continue the case on the
    ground that he was unprepared for trial. Thereafter, on the day of trial, Patty appeared in court and
    requested that the motion for continuance be granted. Although the trial court granted the motion
    and continued the trial, it found Patty in contempt of court, fined him $50.00, and reported the matter
    to the office of Disciplinary Counsel. The trial court found as follows:
    [T]he Court finds that from what you’ve told me here today
    that you knew on the 26th of October, by having talked with [the
    Public Defender] and seeing the file, that not enough work had been
    done for you to possibly be able to try this case on November 12th. .
    ..
    The Court further finds that you signed this order on the 29th
    day of October of ‘98, . . . saying that you agreed to represent the
    Defendant . . . at trial on November 12th of ‘98 and you knew at that
    time when you signed that order and you had known for at least three
    or four days that you could not be ready for trial.
    ...
    [I]n order to be his lawyer, you signed an order agreeing to
    something that you knew when you signed it that you could not
    perform. . . .
    -2-
    Patty appealed his contempt conviction to the Court of Criminal Appeals; the appeals court found
    that the evidence was sufficient to support contempt, but reversed the conviction on procedural
    grounds.
    Turner Proceedings
    On July 16, 1997, Patty filed a complaint for malicious prosecution and outrageous conduct
    on behalf of his client, Carolyn Turner, in the Circuit Court of Blount County. The complaint, which
    sought damages in the amount of $7,500,000.00, was based on a worthless check charge against
    Turner that had been dismissed.1 The defendants responded by filing a motion for summary
    judgment and a motion to dismiss as a sanction for a discovery violation.
    On April 14, 1998, the circuit court heard the motions and dismissed the complaint on two
    grounds: (1) that there were no disputed issues of material fact; and (2) that dismissal was
    appropriate as a discovery sanction based on false or misleading discovery responses provided by
    Patty’s client. Patty then filed a motion to rehear the order of dismissal without alleging any
    additional factual or legal grounds. The trial court denied the motion after finding that Patty lacked
    “a good faith basis in fact and law upon which to file the Motion.” See Tenn. R. Civ. P. 11.02 (2)
    and (3). Patty then appealed to the Court of Appeals, which affirmed the dismissal of the complaint
    and remanded the case for the trial court to award damages for the filing of a frivolous appeal in the
    appellate court. The trial court subsequently approved a settlement in the amount of $3,000 as
    damages for the filing of the frivolous appeal.
    On June 18, 1998, Patty filed a suit in federal district court on behalf of Carolyn Turner
    claiming a violation of 42 U.S.C. § 1983 based on the same grounds asserted in the complaint filed
    in circuit court. The suit named several additional defendants, including Blount County and the
    general sessions court clerk who issued the worthless check warrant, and sought $11,000,000 in
    damages.
    The district court granted summary judgment to all of the defendants after finding that the
    general sessions court clerk had absolute immunity, that the county was not liable under principles
    of respondeat superior, and that the remaining defendants were not state actors. The district court
    also made the following findings:
    [P]laintiff’s counsel filed this frivolous lawsuit against the
    Blount County defendants. The court can draw no other conclusion
    other than that plaintiff’s attorney has filed this complaint for an
    improper purpose, i.e., to continue to harass the Blount County
    1
    Briefly stated, the complaint alleged that a worthless check had been written to the defendant, Monroe County
    Farmers’ Co-op, using Turner’s business account. An employee of the Co-op sought a worthless check warrant against
    Carolyn Turner, even though the check apparently had been signed by Turner’s son and not by Turner personally. The
    general sessions court clerk issued the warrant after consulting with a general sessions court judge about the matter.
    -3-
    defendants. The complaint contains claims and other legal
    contentions that are not warranted by existing law or by a non-
    frivolous argument for the extension, modification, or reversal of
    existing law or the establishment of new law. . . . As a direct
    consequence of plaintiff’s counsel’s actions, plaintiff has wrongfully
    named . . . defendants in this litigation.
    See Fed. R. Civ. P. 11. The district court then imposed sanctions against Patty that included the
    payment of costs and attorneys’ fees in the amount of $ 2,811.30 and a one-year suspension from
    practicing law in the District Court for the Eastern District of Tennessee due to the frivolous nature
    of the lawsuit.
    Disciplinary Proceedings
    As a result of the report of the trial judge to the Board of Professional Responsibility, an
    investigation was made and a hearing committee of the Board was convened. It found that Patty’s
    conduct in the above court proceedings violated the following disciplinary rules found in Rule 8,
    Rules of the Supreme Court: DR 1-102, misconduct in violating a disciplinary rule; DR 6-101,
    failing to act competently; DR 7-102, failing to represent a client within the bounds of the law; and
    DR 7-106, engaging in improper trial conduct.2 The hearing committee cited Patty’s previous
    disciplinary history as aggravating factors, which included the following: a private admonition on
    February 3, 1986 for neglect; a private reprimand on March 8, 1998 for obtaining a loan from a
    client; a private admonition on July 13, 1989 for neglect; a public censure on February 15, 1995; and
    a private reprimand on February 15, 1995 for conflict of interest and neglect. It therefore ordered
    that Patty be suspended from the practice of law for one year and that any reinstatement after the
    one-year period was conditioned on his completion of “a civil procedure course and an ethics course
    at an accredited law school.”
    Patty appealed the hearing committee’s order to the Chancery Court for Blount County. The
    chancellor held a hearing and affirmed the hearing committee’s findings of fact and conclusions of
    law. The chancellor determined, however, that
    the appropriate sanction for the [ ] violations of the disciplinary rules
    by the Petitioner, given all the circumstances and remedial actions
    taken by the courts in which the Petitioner’s conduct occurred, is a
    suspension of the Petitioner’s license to practice law for a period of
    sixty days.
    2
    The full text of the disciplinary rules cited b y the hearing committee are included in the appendix to this
    opinion.
    -4-
    The chancellor also vacated the portion of the hearing committee’s order requiring Patty to complete
    courses in ethics and civil procedure at an accredited law school as a condition for reinstatement.
    Patty then appealed directly to this Court. See Rule 9, § 1.3, Rules of the Supreme Court.
    STANDARD OF REVIEW
    When a party appeals the judgment of a Board of Professional Responsibility hearing
    committee, the trial court shall review the evidence before the hearing committee, as well as the
    proof either party may introduce, and shall determine the facts by the preponderance of the evidence.
    Rule 9, § 1.3, Rules of the Supreme Court. The trial court’s judgment may be appealed directly to
    this Court. Id. Our review of the decision is de novo with a presumption of correctness unless the
    preponderance of the evidence is contrary to the trial court’s action. Murphy v. Board of
    Professional Responsibility, 
    924 S.W.2d 643
     (Tenn. 1996).
    ANALYSIS
    Patty argues that his representation of his clients did not warrant a finding that he violated
    the disciplinary rules and did not warrant the imposition of any sanctions. Patty maintains, for
    example, that he was legally and ethically required to seek a continuance in the Boruff criminal
    matter because he was not prepared for trial on November 12, 1998. He likewise contends that he
    was “fully justified” in seeking state and federal relief in the Turner civil proceedings and that the
    district court was biased against him. The Board of Professional Responsibility responds that the
    evidence in the record supports the findings and sanctions imposed by the hearing committee.
    After reviewing the record, we conclude that the evidence preponderates in favor of the
    chancery court’s affirmance of the factual findings and conclusions made by the hearing committee.
    For example, in the Boruff matter, Patty correctly states that he had a legal and ethical duty
    to zealously represent his client. He fails to acknowledge, however, that he was told by the trial
    court that he would not be permitted to substitute as counsel unless he was prepared for trial on
    November 12, 1998. Moreover, Patty conceded to the trial court that he submitted the agreed order
    stating that the case would be tried on November 12, 1998, even though he knew at that time that
    he would not be prepared for trial. Accordingly, we agree with the chancellor that the evidence
    preponderated in favor of a finding that Patty violated the agreed order and that his conduct also
    violated DR 1-102, DR 6-101, DR 7-102, and DR 7-106 for the reasons found by the hearing
    committee.
    In the Turner matter, Patty persisted in filing and pursuing frivolous claims that twice led to
    the imposition of sanctions against him under Tenn. R. Civ. P. 11 and Fed. R. Civ. P. 11. In the state
    claim, Patty filed a petition to rehear even though the complaint had been dismissed on two grounds
    and Patty asserted no new factual or legal grounds for rehearing.
    -5-
    In the federal claim, Patty made essentially the same assertions only with the addition of new
    defendants. Summary judgment for all of the defendants was granted and sanctions were imposed
    upon Patty by the federal district court. Although Patty argues that the federal district court imposed
    sanctions because it was biased, the contention has absolutely no support in the record. Accordingly,
    we agree with the chancery court that the evidence preponderated in favor of the findings of the
    hearing committee.
    Finally, Patty argues that the chancery court implicitly found that the evidence was
    insufficient to support a finding that he engaged in conduct that violated any of the disciplinary rules.
    The chancellor said that Patty’s conduct in the Boruff and Turner matters, “standing alone,” would
    not support a suspension of his license for any period of time. Although we disagree with the
    chancellor’s observation, it is clear from the record that the chancellor did not say that Patty’s
    conduct failed to support a finding that he engaged in conduct that violated the disciplinary rules.
    Indeed, the chancery court upheld the hearing committee’s findings and conclusions on all issues
    except for the length and nature of the sanctions imposed. In short, the evidence preponderates in
    favor of the chancery court’s judgment affirming the factual findings made by the hearing committee
    with regard to Patty’s violations of the cited disciplinary rules.
    With respect to the appropriate sanctions to be imposed, we agree that some period of
    suspension is justified due to the nature of the circumstances, the nature of Patty’s conduct, Patty’s
    unwillingness to acknowledge any wrongdoing, and the existence of Patty’s prior disciplinary
    history. We disagree, however, with a one-year suspension inasmuch as the hearing committee
    appeared to give little or no weight to the fact that Patty was sanctioned for his conduct by the courts
    in which his conduct took place. In addition, we believe that the requirement for taking civil
    procedure and ethics courses at an accredited law school before Patty may apply for reinstatement
    was too strong a penalty and amounted to a suspension for an indefinite and perhaps permanent
    length of time.
    Accordingly, in light of the record as a whole, we modify Patty’s suspension from the
    practice of law to four months. Moreover, we modify the condition for his reinstatement to
    completing six hours of continuing legal education in ethics and twelve hours of continuing legal
    education in courses related to civil trial practice or civil litigation. These credit hours shall be
    completed in courses accredited by the Tennessee Commission on Continuing Legal Education and
    shall be in addition to the three hours of ethics and twelve hours of general credit required annually
    of attorneys in this State.
    CONCLUSION
    After our review of the record, we affirm the chancery court’s affirmance of the hearing
    committee’s findings and conclusions with regard to the petitioner’s violations of the disciplinary
    rules, but we modify the length of the suspension to four months. In addition, we modify the
    condition for reinstatement by requiring the petitioner to complete six hours of continuing legal
    education in ethics and twelve hours of continuing legal education in courses related to civil trial
    -6-
    practice or civil litigation in seminars accredited by the Tennessee Commission on Continuing Legal
    Education. These hours shall be in addition to the three hours of ethics and twelve hours of general
    credit required annually of attorneys in this State. The judgment is, therefore, affirmed as modified,
    and the costs of appeal are assessed equally between the parties.
    _______________________________
    E. RILEY ANDERSON, JUSTICE
    -7-
    APPENDIX
    (Excerpts from Rule 8, Rules of the Supreme Court)
    -8-
    DR 1-102. Misconduct
    (A) A lawyer shall not:
    (1) Violate a Disciplinary Rule.
    (2) Circumvent a Disciplinary Rule through actions of another.
    (3) Engage in illegal conduct involving moral turpitude.
    (4) Engage in conduct involving dishonesty, fraud, deceit, or misrepresentation.
    (5) Engage in conduct that is prejudicial to the administration of justice.
    (6) Engage in any other conduct that adversely reflects on his fitness to practice law.
    (7) Willfully refuse to comply with a court order entered in a case in which the lawyer
    is a party.
    [Amended October 9, 1997.]
    DR 6-101. Failing to Act Competently
    (A) A lawyer shall not:
    (1) Handle a legal matter which the lawyer knows or should know that the lawyer is
    not competent to handle, without associating with a lawyer who is competent to handle it.
    (2) Handle a legal matter without preparation adequate in the circumstances.
    (3) Neglect a legal matter entrusted to the lawyer.
    DR 7-102. Representing a Client Within the Bounds of the Law
    (A) In the representation of a client, a lawyer shall not:
    (1) File a suit, assert a position, conduct a defense, delay a trial, or take other action
    on behalf of the client when the lawyer knows or when it is obvious that such action would
    serve merely to harass or maliciously injure another.
    -9-
    (2) Knowingly advance a claim or defense that is unwarranted under existing law,
    except that the lawyer may advance such claim or defense if it can be supported by good
    faith argument for an extension, modification, or reversal of existing law.
    (3) Conceal or knowingly fail to disclose that which the lawyer is required by law to
    reveal.
    (4) Knowingly use perjured testimony or false evidence.
    (5) Knowingly make a false statement of law or fact.
    (6) Participate in the creation or preservation of evidence when the lawyer knows
    or it is obvious that the evidence is false.
    (7) Counsel or assist the client in conduct that the lawyer knows to be illegal or
    fraudulent.
    (8) Knowingly engage in other illegal conduct or conduct contrary to a Disciplinary
    Rule.
    (B) A lawyer who receives information clearly establishing that:
    (1) The lawyer's client has, in the course of the representation, perpetrated a fraud
    upon a person or tribunal, shall promptly call upon the client to rectify the same, and if the
    client refuses or is unable to do so, the lawyer shall reveal the fraud to the affected person
    or tribunal, except when the information is protected as a privileged communication.
    (2) A person other than the client has perpetrated a fraud upon a tribunal shall
    promptly reveal the fraud to the tribunal.
    [Amended May 18, 1995; September 11, 1995.]
    DR 7-106. Trial Conduct
    (A) A lawyer shall not disregard or advise the client to disregard a standing rule of
    a tribunal or a ruling of a tribunal made in the course of a proceeding, but may take
    appropriate steps in good faith to test the validity of such rule or ruling.
    (B) In presenting a matter to a tribunal, a lawyer shall disclose:
    (1) Legal authority in the controlling jurisdiction known to the lawyer to be directly
    adverse to the position of the client and which is not disclosed by opposing counsel.
    -10-
    (2) Unless privileged or irrelevant, the identities of the clients the lawyer represents
    and of the persons who employed the lawyer.
    (C) In appearing in a professional capacity before a tribunal, a lawyer shall not:
    (1) State or allude to any matter that the lawyer has no reasonable basis to believe
    is relevant to the case or that will not be supported by admissible evidence.
    (2) Ask any question that the lawyer has no reasonable basis to believe is relevant
    to the case and that is intended to degrade a witness or other person.
    (3) Assert the lawyer's personal knowledge of the facts in issue, except when
    testifying as a witness.
    (4) Assert the lawyer's personal opinion as to the justness of a cause, as to the
    credibility of a witness, as to the culpability of a civil litigant, or as to the guilt or innocence
    of an accused; but a lawyer may argue, on the lawyer's analysis of the evidence, for any
    position or conclusion with respect to the matters stated herein.
    (5) Fail to comply with known local customs of courtesy or practice of the bar or a
    particular tribunal without giving to opposing counsel timely notice of an intent not to
    comply.
    (6) Engage in undignified or discourteous conduct which is degrading to a tribunal.
    (7) Intentionally or habitually violate any established rule of procedure or of evidence.
    -11-
    

Document Info

Docket Number: E2002-00499-SC-R3-CV

Judges: Justice E. Riley Anderson

Filed Date: 11/1/2002

Precedential Status: Precedential

Modified Date: 10/30/2014