In re Leven

Decision Date07 December 2020
Docket NumberDocket No. DRB 20-002
PartiesIn the Matter of Lawrence A. Leven An Attorney at Law
CourtNew Jersey Supreme Court

Disciplinary Review Board

Decision

Eugene A. Racz appeared in behalf of the Office of Attorney Ethics.

Respondent appeared pro se.

To the Honorable Chief Justice and Associate Justices of the Supreme Court of New Jersey.

This matter was before us pursuant to R. 1:20-6(c)(1).1 The Office of Attorney Ethics (OAE) charged respondent with having violated RPC 1.15(d)(failing to comply with recordkeeping requirements); RPC 3.4(c) (knowingly disobeying an obligation under the rules of a tribunal); RPC 8.1(b) (failing to cooperate with disciplinary authorities); and RPC 8.4(d) (engaging in conduct prejudicial to the administration of justice). In his verified answer to the complaint, respondent admitted having violated those RPCs, with one minor caveat.

For the reasons set forth below, we determine to impose a reprimand, with conditions.

Respondent earned admission to the New Jersey bar in 1973. On December 4, 2018, the Court temporarily suspended respondent for failure to cooperate with the OAE in connection with this matter, and he remains suspended to date. In re Leven, 236 N.J. 92 (2018). At the relevant time, he maintained an office for the practice of law in West Caldwell, New Jersey.

On January 25 and April 26, 2010, the OAE performed a random audit of respondent's Attorney Trust Account (ATA) and Attorney Business Account (ABA) records. The OAE audit uncovered eighteen recordkeeping deficiencies. From March 2, 2016 through dates in 2017, the OAE performed a second random audit of respondent's ATA and ABA records. During the second audit, the OAE found twenty-one recordkeeping deficiencies, including multiple, repeat deficiencies that respondent should have resolved after the first random audit.

By letter dated August 14, 2017, the OAE directed respondent to produce his law firm's financial records maintained in accordance with R. 1:21-6, including monthly, three-way ATA reconciliations, client ledger cards, disbursements journals, and two specific client files. From August 29 to December 20, 2017, respondent failed to comply, despite the OAE's repeated efforts, made via correspondence, telephone, and in-person requests. At best, he provided incomplete records.

On February 1, 2018, the OAE petitioned the Court to temporarily suspend respondent from the practice of law. By letter dated March 1, 2018, respondent admitted to the Court that, since 2015, he had failed to maintain compliant financial records, because he had believed he was going to imminently retire. Additionally, he assured the Court that the OAE's petition had a "sobering effect" on him, and that he would submit the records to the OAE within two weeks. By letter dated April 24, 2018, the Court ordered respondent to provide the requested records by May 7, 2018. On May 8, 2018, the OAE informed the Court that respondent had failed to comply with its Order.

A few months later, on September 6, 2018, the OAE reported to the Deputy Clerk of the Court, with a copy to respondent, that the OAE still had not received the requested financial records from respondent. By letter and certification dated September 14, 2018, respondent represented to the Court thathe would provide the records to the OAE by October 1, 2018. On September 21, 2018, the Court ordered respondent to provide the records to the OAE within forty-five days. By letter dated October 12, 2018, the OAE directed respondent to provide the records in accordance with the Court's Order.

Although, on November 5, 2018, respondent provided some financial records, the OAE found them to be incomplete and inaccurate. Specifically, respondent's monthly, three-way ATA reconciliations for January 1, 2015 through November 5, 2018 were incomplete; an unidentified client ledger card had a negative balance of $50,200.35; his monthly receipts and disbursements journals for January 1, 2015 through November 5, 2018 were incomplete; he had no ledger cards detailing attorney funds held for bank charges; and he continued to fail to deposit all legal fees in his ABA.

As stated in respondent's ethics history above, on December 4, 2018, the Court granted the OAE's motion to temporarily suspend respondent.

In his December 10, 2019 answer to the formal ethics complaint, respondent admitted the factual allegations and his violation of RPC 1.15(d), RPC 3.4(c), RPC 8.1(b), and RPC 8.4(d). However, he denied that he had commingled personal and client funds. Further, he claimed that he had provided to the OAE all the financial documents that he could locate.

In mitigation, respondent offered that he has no prior discipline; that he has a good reputation and character; that he readily admitted his wrongdoing; that he expressed contrition and remorse; that he attempted to cooperate with ethics authorities, but recognized that his cooperation was incomplete; that he did not cause injury to any client; that he did not knowingly misappropriate any client's money or property; that, if reinstated, he would work only for another attorney or law firm, and, thus, would not maintain his own ATA or ABA in the future; that the circumstances show little likelihood of a repeat offense; that, as a condition of reinstatement, he would continue to reconcile his ATA; and that, because he had been suspended since December 4, 2018, he had incurred substantial loss of income and damage to his reputation.

Following our review, we are satisfied that the record clearly and convincingly establishes that respondent was guilty of unethical conduct.

In respect of the RPC 1.15(d) charge, respondent failed to comply with multiple provisions of R. 1:21-6. Respondent admitted having committed twenty of the twenty-one recordkeeping deficiencies alleged in the complaint. Because the quantum of discipline would not change whether we find that he commingled personal and client funds in his ATA, we need not resolve that issue. In respect of the RPC 3.4(c) and RPC 8.4(d) charges, respondent disobeyed the Court's April 24 and May 7, 2018 Orders by failing to provide the OAE with therequested financial records, despite repeatedly promising to do so. Finally, in respect of the RPC 8.1(b) charge, respondent failed to satisfactorily reply to the OAE's multiple demands for information.

In sum, we find that respondent violated RPC 1.15(d); RPC 3.4(c); RPC 8.1(b); and RPC 8.4(d). The sole issue left for us to determine is the appropriate quantum of discipline for respondent's misconduct.

Recordkeeping irregularities ordinarily are met with an admonition, as long as they have not caused a negligent misappropriation of clients' funds. See, e.g., In the Matter of Eric Salzman, DRB 15-064 (May 27, 2015); In the Matter of Leonard S. Miller, DRB 14-178 (September 23, 2014); and In the Matter of Sebastian Onyi Ibezim, Jr., DRB 13-405 (March 26, 2014).

Even in the absence of a negligent misappropriation, however, a reprimand may be imposed if the attorney has failed to correct recordkeeping deficiencies that had been brought to his or her attention previously. See, e.g., In re Abdellah, 241 N.J. 98 (2020) (reprimand for attorney who should have been mindful of his recordkeeping obligations based on a "prior interaction" with the OAE in connection with his recordkeeping practices that had not led to an allegation of unethical conduct) and In re Conroy, 185 N.J. 277 (2015) (reprimand for attorney who had been the subject of a prior random audit duringwhich recordkeeping deficiencies had been revealed; we determined that the attorney should have been more mindful of his recordkeeping obligations).

Ordinarily, a reprimand is imposed on an attorney who fails to obey court orders, even if the infraction is accompanied by other, non-serious violations. In re Ali, 231 N.J. 165 (2017) (attorney disobeyed court orders by failing to appear when ordered to do so and by failing to file a substitution of attorney, violations of RPC 3.4(c) and RPC 8.4(d); he also lacked diligence (RPC 1.3) and failed to expedite litigation (RPC 3.2) in one client matter and engaged in ex parte communications with a judge, a violation of RPC 3.5(b); in mitigation, we considered his inexperience, unblemished disciplinary history, and the fact that his conduct was limited to a single client matter); In re Cerza, 220 N.J. 215 (2015) (attorney failed to comply with a bankruptcy court's order compelling him to comply with a subpoena, which resulted in the entry of a default judgment against him; violations of RPC 3.4(c) and RPC 8.4(d); he also failed to promptly turn over funds to a client or third person, violations of RPC 1.3 and RPC 1.15(b); prior admonition for recordkeeping violations and failure to promptly satisfy tax liens in connection with two client matters, even though he had escrowed funds for that purpose); and In re Gellene, 203 N.J. 443 (2010) (attorney was guilty of conduct prejudicial to the administration of justice and knowingly disobeying an obligation under the rules of a tribunal for failing toappear on the return date of an appellate court's order to show cause and failing to notify the court that he would not appear; the attorney was also guilty of gross neglect, pattern of neglect, lack of diligence, and failure to communicate with clients; mitigating factors considered were the attorney's financial problems, his...

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