IN THE SUPREME COURT OF IOWA
No. 16–1988
Filed March 10, 2017
IOWA SUPREME COURT ATTORNEY DISCIPLINARY BOARD,
Complainant,
vs.
RICHARD DILLON CROTTY,
Respondent.
On review of the report of the Grievance Commission of the
Supreme Court of Iowa.
The grievance commission found an Iowa attorney violated several
rules of professional conduct while representing a personal
representative in an estate and a claimant in a worker’s compensation
claim. The commission recommends a ninety-day suspension of the
attorney’s license. We suspend the attorney’s license for sixty days.
LICENSE SUSPENDED.
Tara van Brederode and Wendell J. Harms, for complainant.
Richard D. Crotty, Omaha, Nebraska, pro se.
2
HECHT, Justice.
The Iowa Supreme Court Attorney Disciplinary Board filed a
complaint alleging that an Iowa lawyer violated several disciplinary rules
while representing a personal representative in an estate and in handling
an appeal of a worker’s compensation case. After a hearing, the
Grievance Commission of the Iowa Supreme Court found the lawyer
violated several rules and recommended his license to practice be
suspended for ninety days. Upon our de novo review, we find the lawyer
violated various rules, and we conclude his license should be suspended
with no possibility of reinstatement for sixty days from the date of this
opinion.
I. Prior Proceedings.
Richard Crotty was first licensed to practice law in Iowa in 1975.
Upon investigation of a complaint lodged against Crotty in 2013, the
Iowa Supreme Court Attorney Disciplinary Board (Board) filed a
proceeding before the Grievance Commission of the Supreme Court of
Iowa (commission) alleging Crotty violated several ethical rules in
representing the administrator of an estate and in representing a
claimant in a worker’s compensation case.
Following a hearing, the commission filed its findings of facts,
conclusions of law, and recommendations with this court on
November 17, 2016. The commission found Crotty violated several
ethical rules while representing the administrator of the estate when he
failed to disclose to the court that certain documents filed with the court
in the probate proceeding bore forged signatures and by charging and
receiving excessive and unauthorized attorney fees. The commission
found Crotty violated ethical rules in the worker’s compensation matter
by practicing law after his license had been suspended for failing to
3
comply with continuing legal education requirements. The commission
recommended Crotty’s license to practice law in Iowa be suspended for at
least three months and that as a condition of any reinstatement he be
required to show completion of at least eight hours of continuing legal
education on probate law.
II. Findings of Fact.
A. The Cleaver Estate. While practicing law in Council Bluffs in
2012, Crotty was contacted by Leonard Cleaver who requested legal
representation. Leonard sought Crotty’s counsel in enforcing a judgment
lien against Nancy Cleaver, the ex-wife of Leonard’s father, Richard
Cleaver. 1
When the marriage of Nancy and Richard was dissolved in 2006,
the family residence was awarded to Nancy. Richard was granted
personal property and a judgment against Nancy in the amount of
$34,600, payable upon sale of the residence. Richard died intestate in
2007, leaving four sons as his only heirs. Nancy sold the residence in
2012, but the judgment lien was not satisfied at the time of the sale.
Leonard and Crotty signed an attorney fee agreement on
August 21, 2012. The agreement did not include a description of the
scope or purpose of Crotty’s representation, but it provided for a one-
third contingent fee. 2 Crotty sent letters dated August 22 to Leonard’s
siblings, Richard Jr., Ronald, and Michael, informing them of his
representation of Leonard in the effort to enforce the judgment lien
1Nancy was the stepmother of Richard’s four sons: Richard Jr., Ronald, Leonard,
and Michael.
2Although the heading on the contract read “Attorney Fee Contract (Personal
Injury),” the only objective of the representation discussed by Crotty and Leonard before
signing it was collection of the judgment against Nancy.
4
against Nancy. 3 Crotty also sent a letter to Nancy demanding prompt
payment of the judgment.
Having concluded that any action against Nancy to enforce the
judgment should be brought by Richard Cleaver’s estate, Crotty prepared
and Leonard signed a petition for administration and appointment of an
administrator. A new attorney fee agreement was also signed on
September 12 providing Crotty would represent Leonard “in connection
with the estate of [Richard Cleaver Sr.].” 4 The court appointed Leonard
administrator of the estate and Leonard formally designated Crotty as his
attorney for the administration of the estate on September 13.
Leonard told Crotty that two of his siblings—Richard Jr. and
Ronald—were not supportive of the estate’s claim against Nancy and
wanted nothing to do with it. Relying on Leonard’s representation,
Crotty prepared renunciation documents for signature by Richard Jr.
and Ronald and gave the documents to Leonard on September 19.
Leonard left Crotty’s office with the documents and brought them back
bearing signatures later the same day. Crotty’s secretary thought it
unusual that Leonard could have secured his brothers’ signatures in less
than an hour. Yet when Crotty asked Leonard directly about the
authenticity of the signatures, Leonard attested that his brothers had
signed the renunciations. Relying on Leonard’s affirmation of the
authenticity of his brothers’ signatures, Crotty filed the renunciations
with the court.
3The letters informed Richard Jr., Ronald, and Michael that if they did not
respond within ten days, Crotty would assume they did not wish to proceed with
collection of the judgment.
4Like the attorney fee contract signed by Crotty and Leonard on August 21, this
one also called for a contingent attorney fee of one-third of any recovery.
5
Nancy responded quickly through counsel to Crotty’s demand
letter and agreed to pay the sum of $34,600 in exchange for satisfaction
of the judgment lien. On September 24, Crotty presented Leonard’s
application to a district court judge for approval of the estate’s settlement
of the claim against Nancy and Crotty’s claim for attorney fees. The
application briefly described the factual and legal bases for the estate’s
claim against Nancy and requested the court’s approval of a settlement
in the amount of $34,600 and Crotty’s attorney fee. Notably, the
application did not disclose to the court the gross amount of the attorney
fee claimed by Crotty in connection with the proposed settlement or a
formula for its computation; nor did the application itemize the amount
of time spent or the work performed by Crotty in achieving the settlement
for the estate. The district court signed an order prepared and presented
by Crotty, finding the settlement was “reasonable and in the best
interests of the estate,” and further finding “[Crotty’s] fees hereunder are
fair and reasonable and were necessary.” 5
Crotty prepared and Leonard signed a release which was provided
to Nancy in consideration for her payment of $34,600 to the estate.
Crotty retained the sum of $11,533.33 from the settlement proceeds as
his fee. He distributed the remainder of the proceeds to Leonard for
distribution to the heirs.
5Richard Jr., Ronald, and Michael received no notice of Leonard’s application for
approval of the settlement or Crotty’s fee before the court entered its order approving
both on September 24. The district court judge who entered the order later explained in
testimony before the grievance commission that the order approved an attorney fee for
Crotty’s legal services in collecting the judgment; the court did not view the order as an
approval of either an ordinary or extraordinary fee for services rendered by Crotty in the
administration of the estate.
6
Leonard made uneven initial distributions of the net settlement
proceeds to his brothers: $9033.33 to Michael, $1500 to Richard Jr., and
$1500 to Ronald. Richard Jr. and Ronald found it peculiar that the
distributions to them were in cash and decided to investigate the terms
of the settlement. In the course of their investigation, Richard Jr. and
Ronald revealed to Crotty that they had not signed the renunciations.
Upon learning this, Crotty sent a letter to Leonard on October 23
revealing Crotty’s discovery of the fact that the signatures on the
renunciations were forged and demanding that he return the settlement
proceeds.
Although the record does not disclose the substance of Leonard’s
response to Crotty’s letter of October 23, Crotty concedes that, when
confronted, Leonard admitted he forged his brothers’ signatures on the
renunciations. Armed with Leonard’s admission of the forgeries, Crotty
prepared and Leonard signed an application for the appointment of a
successor administrator. The application filed on November 14 alleged
that Leonard’s actions as administrator had “resulted in less than
amicable relationships with the remaining heirs” and that the best
interests of the estate would be served by the appointment of his brother,
Ronald, as administrator.
The application for appointment of a successor did not inform the
court that the signatures on the two renunciations previously filed in the
case were forged, nor did it reveal that Leonard had made uneven
distributions of the settlement proceeds to the heirs. However, Crotty
testified that he revealed the forgeries in conversations with two district
court judges before the order appointing Ronald as the successor
administrator was issued on November 14. Both of those judges testified
before the grievance commission. One of them did not recall having such
7
a conversation with Crotty; the other judge—the one who signed the
order appointing Ronald as successor administrator—recalled having a
conversation with Crotty about the fact that the renunciations bore
forged signatures but did not recall discussing other measures Crotty
might or should take to memorialize the forgeries in the court file.
After several months of inactivity in the estate, Crotty filed a final
report and an accounting which included his request for an ordinary
attorney fee of $812. 6 Ronald subsequently objected to the final report
on the ground that the accounting attached to it by Crotty inaccurately
reported the distributions made by Leonard to the heirs. Neither the
final report filed by Crotty nor the attorney fee requested by Crotty were
approved by the court. Crotty moved to withdraw as counsel for the
administrator, asserting the estate’s nonpayment of an attorney fee as
the reason. The district court granted Crotty’s unresisted motion on
April 29.
The estate remained open. On June 1, the clerk of court issued a
delinquency notice informing Ronald, who was unrepresented at the
time, of Crotty’s failure to file an inventory in the estate.
On June 11, Crotty filed a small claims case against Ronald
asserting a claim in the amount of $812 for attorney fees for legal
services rendered in the administration of the estate. Ronald disputed
Crotty’s claim, but the parties reached a compromise settlement. Ronald
paid Crotty the sum of $670 in exchange for a release and dismissal of
the small claims case.
6The final report filed by Crotty on March 7, 2013, did not refer to the fact that
the signatures on the renunciations were forged.
8
On September 3, the district court ordered Ronald to appear and
show cause why he should not be held in contempt for failing to file an
inventory report in the estate. Ronald appeared as ordered, and the
court directed him to hire counsel to complete the work necessary to
close the estate. In compliance with the court’s directive, Ronald hired
Leo Martin as his counsel for completion of the estate proceedings.
On January 9, 2014, Martin filed a report and inventory together
with affidavits signed by Richard Jr. and Ronald attesting that their
signatures were forged on the renunciations filed earlier in the estate
proceedings. Martin also filed an application requesting instructions
from the court as to the amount of attorney fees Crotty was entitled to for
his services to the estate and for a determination of how the estate’s only
asset—the settlement proceeds—should be distributed. 7 Following a
hearing on March 6, the district court ordered Crotty to refund $670 to
the estate because that fee had neither been earned nor approved by the
court. In its April 16 order, the court further found that the fair and
reasonable extraordinary fee for Crotty’s services to the estate in securing
payment of the judgment against Nancy was $5000 8 and ordered Crotty
to refund $7203.33 to the estate within thirty days. 9
7Because Crotty had already received fees in the amounts of $11,533.33 and
$670 from the estate, Martin’s application requested the court to decide whether Crotty
had been overpaid and should be ordered to refund fees to the estate. The application
filed by Martin also revealed the unequal amounts of distributions paid to the four heirs
to date and requested the court to determine whether those distributions should be
reallocated among them.
8Thecourt found Crotty had spent twenty hours in securing payment of the
judgment and a reasonable rate for the services was $250 per hour.
9The court directed the administrator to distribute equally among the heirs any
estate assets remaining after paying the fees of the successor attorney and
administrator and to file an amended final report.
9
Crotty filed a motion to set aside the district court’s order and
sought a new hearing. The court rejected Crotty’s posthearing requests
for relief, and Crotty filed a notice of appeal on June 18. The appeal was
dismissed, however, because Crotty failed to comply with our rules of
appellate procedure. After the administrator sought further court
intervention in securing the repayment, Crotty eventually refunded the
sum of $7203.33 to the estate.
B. Freeman Worker’s Compensation Matter. Crotty’s license to
practice law in Iowa was suspended by an order of this court on
December 5, 2014, for failing to comply with Iowa Court Rule 41.4. See
Iowa Ct. R. 41.4 (requiring Iowa attorneys to file annual report with
commission on continuing education). On December 9, while suspended
from the practice of law, Crotty signed a proof brief as counsel for Robert
Freeman who was the claimant in a worker’s compensation case. On
December 12, Crotty signed the final brief as Freeman’s counsel in the
same case.
III. Scope of Review.
Our review of the record made before the commission is de novo.
Iowa Ct. R. 36.21(1); Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v.
Bernard, 653 N.W.2d 373, 375 (Iowa 2002). The burden to prove ethical
violations by a convincing preponderance of the evidence is allocated to
the Board. Iowa Supreme Ct. Att’y Disciplinary Bd. v. Adams, 809
N.W.2d 543, 545 (Iowa 2012). This standard of proof is less demanding
than proof beyond a reasonable doubt, but more demanding than proof
by a preponderance of the evidence. Id. “We give respectful
consideration to the commission’s finding of fact and recommended
sanction, but we are not bound by them.” Iowa Supreme Ct. Att’y
Disciplinary Bd. v. McGinness, 844 N.W.2d 456, 461 (Iowa 2014).
10
IV. Violations.
The Board alleged Crotty violated several ethical rules in
representing the administrator of the Cleaver estate and claimant Robert
Freeman in a worker’s compensation case. Like the commission, we find
Crotty violated ethical rules in both matters.
A. The Cleaver Estate. The Board alleged that Crotty violated
several ethical rules in connection with the Cleaver estate. First, the
Board alleged Crotty obtained fees in violation of Iowa Rule of
Professional Conduct 32:1.5(a) (violating restrictions imposed by law) by
violating Iowa Court Rules 7.2(2) (ordinary fees), 7.2(3) (extraordinary
fees), and 7.2(4) (schedule for ordinary fee collection) and further alleged
that by taking the unauthorized fees Crotty violated Iowa Rule of
Professional Conduct 32:8.4(d) (prejudice to the administration of
justice). Second, the Board alleged Crotty violated several rules of ethics
in connection with his client’s forging of signatures on estate documents
filed with the court. Specifically, the Board alleged he violated Iowa
Rules of Professional Conduct 32:1.2(d) (counselling or assisting a client
to engage in crime or fraud), 32:1.4(a)(5) (communicating legal limits of
lawyer’s powers to client), 32:3.3(a)(3) (candor to court), 32:8.4(c)
(conduct involving dishonesty, fraud, deceit, or misrepresentation). The
commission found Crotty violated all of these rules except rule
32:1.4(a)(5).
1. Fees obtained. The Board alleged and the commission found
Crotty violated Iowa Rules of Professional Conduct 32:1.5(a) and
32:8.4(d) in connection with the fee he obtained for his work in the
Crotty estate. We agree.
Rule 32:1.5(a) of the Iowa Rules of Professional Conduct provides
that “[a] lawyer shall not . . . charge, or collect an unreasonable fee or an
11
unreasonable amount for expenses, or violate any restrictions imposed
by law.” Iowa R. Prof’l Conduct 32:1.5(a). Our rules of probate
procedure impose several restrictions on the process for obtaining
attorney fees in probate matters. A violation of any of those probate
rules can thereby also constitute a violation of rule 32:1.5(a).
In our rules of probate procedure, fees for ordinary services are
governed by rules 7.2(2) and 7.2(4), and fees for extraordinary services
are governed by rule 7.2(3). Rule 7.2(2) provides, “When fees for ordinary
services are sought pursuant to Iowa Code sections 633.197 and
633.198, proof of the nature and extent of responsibilities assumed and
services rendered shall be required.” Iowa Ct. R. 7.2(2). Rule 7.2(4)
prescribes a timeline for the payment of such fees. Id. r. 7.2(4). When,
as was the case in the Cleaver estate, neither a federal estate tax return
nor an Iowa inheritance tax return is required, one-half of the fees for
ordinary services may be paid when the probate inventory is filed. Id.
The commission found Crotty’s taking of the $670 fee before a probate
inventory was filed violated a temporal restriction on taking fees for
ordinary services and therefore also constituted a violation of rule
32:1.5(a). We agree. Crotty violated rule 7.2(4) and rule 32:1.5(a) in
taking a fee for ordinary services before the inventory was filed. Further,
Crotty violated rule 7.2(2) by collecting an ordinary fee without justifying
the reasonableness of his claim through an itemized statement of
services rendered. See Iowa Supreme Ct. Att’y Disciplinary Bd. v.
Arzberger, 887 N.W.2d 353, 365 (Iowa 2016).
Rule 7.2(3) provides,
When an allowance for extraordinary expenses or services is
sought pursuant to Iowa Code section 633.199, the request
shall include a written statement showing the necessity for
such expenses or services, the responsibilities assumed, and
12
the amount of extra time or expense involved. In appropriate
cases, the statement shall also explain the importance of the
matter to the estate and describe the results obtained. The
request may be made in the final report or by separate
application. It shall be set for hearing upon reasonable
notice, specifying the amounts claimed, unless waivers of
notice identifying the amounts claimed are filed by all
interested persons. The applicant shall have the burden of
proving such allowance should be made.
Iowa Ct. R. 7.2(3). The commission found Crotty violated this rule—and
thereby rule 32:1.5—by taking a contingent fee in the amount of
$11,533.33, substantially in excess of the statutory limit on fees for
ordinary services. See Iowa Code § 633.197 (2017) (prescribing limit of
fees payable to personal representatives for ordinary services); id.
§ 633.198 (authorizing compensation of attorney for personal
representative to be “such reasonable fee as may be determined by the
court, for services rendered, but not in excess of the schedule of fees
herein provided for personal representatives”). We conclude the Board
proved Crotty violated rule 7.2(3) by taking the contingent fee without
requesting a hearing on the application or filing waivers signed by the
heirs. 10
Iowa Rule of Professional Conduct 32:8.4(d) provides “[i]t is
professional misconduct for a lawyer to . . . engage in conduct that is
prejudicial to the administration of justice.” Iowa R. Prof’l Conduct
32:8.4(d). The Board urges that Crotty’s conduct in the Cleaver estate
10As we have noted, the district court concluded in the estate proceedings that
the contingent fee of $11,533.33 taken by Crotty for collecting the judgment was
unreasonable in amount when considered in light of the factors listed in rule 32:1.5(a).
The Board alleged and the commission also found Crotty violated this ethical rule by
collecting that fee. Because we find Crotty violated rule 32:1.5(a) by taking the fee
without a hearing upon reasonable notice to the heirs or filing waivers of such a hearing
under rule 7.2(3), we do not decide on this record whether the contingent fee was
unreasonable in amount. Because we have already found another violation of rule
32:1.5(a), any determination of unreasonableness of the amount of the fee would not
affect the sanction we impose in this case.
13
violated this rule. We will find a violation of this rule if a lawyer’s
conduct “impedes ‘the efficient and proper operation of the courts or of
ancillary systems upon which the courts rely.’ ” Iowa Supreme Ct. Att’y
Disciplinary Bd. v. Taylor, 814 N.W.2d 259, 267 (Iowa 2012) (quoting
Iowa Supreme Ct. Att’y Disciplinary Bd. v. Van Ginkel, 809 N.W.2d 96,
102–03 (Iowa 2012)). Crotty took attorney fees in the estate without
notice to the heirs and before they were authorized under the applicable
court rules. Court proceedings were consequently instituted in the
estate to litigate the appropriate amount of attorney fees owed by the
estate to Crotty. Accordingly, we conclude he violated rule 32:8.4(d).
2. The forgeries. As we noted above, the Board alleged Crotty’s
actions concerning his client’s forgeries violated Iowa Rules of
Professional Conduct 32:1.2(d), 32:1.4(a)(5), 32:3.3(a)(3), and 32:8.4(c).
The commission found Crotty violated each of these rules except rule
32:1.4(a)(5). We conclude Crotty’s actions concerning his client’s forgery
do not amount to a disciplinary violation.
The Board first alleged Crotty violated rule 32:1.2(d) in failing to
disclose to the court that the renunciations filed with the court were
forged. This rule provides,
A lawyer shall not counsel a client to engage, or assist a
client, in conduct that the lawyer knows is criminal or
fraudulent, but a lawyer may discuss the legal consequences
of any proposed course of conduct with a client and may
counsel or assist a client to make a good faith effort to
determine the validity, scope, meaning, or application of the
law.
Iowa R. Prof’l Conduct 32:1.2(d). Although the commission did not find
that Crotty knew the signatures of Richard Jr. and Ronald were forged
when he filed the renunciations with the court, it nonetheless found
Crotty violated the rule when he failed to reveal to the court Leonard’s
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forgeries in the application for appointment of a successor administrator,
in the final report, or in a separate application requesting Leonard be
held in contempt. In particular, the commission found Crotty’s vague
written characterization of the reason for appointing a successor
administrator misled the court and aided Leonard’s perpetration of a
fraud. We respectfully disagree. We conclude the Board failed to prove
Crotty either counseled Leonard to forge the signatures of his brothers or
knowingly assisted him in perpetrating a fraud on the court. We credit
Crotty’s testimony that he was unaware of the forgeries when he filed the
renunciations with the court. We also are convinced that Crotty verbally
revealed the forgeries to the court when he presented the application and
order for appointment of a successor administrator. Although we believe
it would have been a better practice to further disclose the forgeries in a
motion to withdraw the renunciations filed in the probate proceeding, we
find the Board failed to meet its burden to prove a violation of rule
32:1.2(d).
Second, the Board alleged Crotty violated rule 32:1.4(a)(5) by
failing to consult with his client, Leonard, about any relevant limitation
on his conduct when he knew Leonard expected assistance not permitted
by the Iowa Rules of Professional Conduct or other law. Rule 32:1.4(a)(5)
requires every lawyer in Iowa to communicate “any relevant limitation on
the lawyer’s conduct when the lawyer knows that the client expects
assistance not permitted by the Iowa Rules of Professional Conduct or
other law.” Id. r. 32:1.4(a)(5). The commission found no violation of this
rule in the record and neither do we.
Third, the Board alleged Crotty violated rule 32:3.3(a)(3) because
he did not act with candor toward the court after learning of the
forgeries. This rule provides a lawyer “shall not knowingly . . . offer
15
evidence that [he or she] knows to be false.” Id. r. 32:3.3(a)(3). As we
have already noted, Crotty did not know the renunciations were forged
when he filed them with the court. But this does not end our analysis of
the Board’s claim under this rule, for the rule also requires Crotty to
“take reasonable remedial measures, including, if necessary, disclosure
to the tribunal” when he came to know of the forgeries. 11 Id. Comment
10 to rule 32:3.3 informs our understanding of Crotty’s obligation under
the rule:
If withdrawal from the representation is not permitted or will
not undo the effect of the false evidence, the advocate must
make such disclosure to the tribunal as is reasonably
necessary to remedy the situation, even if doing so requires
the lawyer to reveal information that otherwise would be
protected by rule 32:1.6. It is for the tribunal then to
determine what should be done—making a statement about
the matter to the trier of fact, ordering a mistrial, or perhaps
nothing.
Id. r. 32:3.3(a)(3), cmt 10. Although, as we have already noted, it would
have been better if Crotty had disclosed the forgeries in a writing filed
with the court or specifically sought direction from the court as to any
additional measures he should take under the circumstances, we cannot
say on this record that his verbal disclosure of the forgeries to the court
was an unreasonable measure under the circumstances presented here.
Accordingly, we find no violation of rule 32:3.3(a)(3).
11We assume without deciding that the renunciations filed with the court
constituted an offer of “evidence” under rule 32:3.3(a)(3). Although the renunciations
were not testimony or exhibits presented in a hearing or trial, they did make
representations to the court about material facts in an estate proceeding and were
arguably relevant to Crotty’s duty of candor. See Lipman v. Dickinson, 174 F.3d 1363,
1371–72 (Fed. Cir. 1999) (finding attorney violated duty of candor in an administrative
appeal before the Commissioner of Patents and Trademarks by continuing to propound
affidavits after the affiants notified the attorney that the affidavits were inaccurate and
should not be used for any purpose); In re Scahill, 767 N.E.2d 976, 980–81 (Ind. 2002)
(per curiam) (finding attorney who failed to update client’s financial declaration and
reveal an IRA no longer existed at the time of trial violated his duty of candor to court).
16
Finally, the Board alleged that Crotty violated rule 32:8.4(c) when
he filed a final report but failed to mention the renunciations in the court
file bore signatures forged by the former administrator. Rule 32:8.4(c)
provides that lawyers may not “engage in conduct involving dishonesty,
fraud, deceit, or misrepresentation.” Id. r. 32:8.4(c). The commission
found a violation; however, we are not convinced. A lawyer violating this
rule must act with some level of scienter. Thus, proof of a
misrepresentation arising from mere negligence will not support a finding
of a violation of this rule. Iowa Supreme Ct. Att’y Disciplinary Bd. v. Netti,
797 N.W.2d 591, 605 (Iowa 2011). In this case, Crotty disclosed the
forgeries to a district court judge more than four months before he filed a
final report. Although he could have taken more aggressive remedial
measures, we find Crotty’s failure to do so was not motivated by a
purpose to deceive or defraud the court or the decedent’s heirs, nor was
it the result of an intentional misrepresentation. Crotty explained that
he chose to disclose the forgeries in a conversation with the court rather
than in a motion or application because he was fearful of Leonard’s
reaction. While this explanation might support a finding that Crotty was
lacking in courage to face a client’s wrath if the forgery were revealed to
the court in writing, we are not persuaded that the Board proved Crotty’s
conduct in this context was of a type prohibited under rule 32:8.4(c).
B. The Freeman Worker’s Compensation Matter. The Board
also alleged that Crotty violated several court rules during the fifteen
days following the suspension of his law license on December 5, 2014.
In particular, he failed to take several actions required of Iowa lawyers
who are suspended under chapter 41 of this court’s rules for failing to
satisfy continuing legal education requirements. See Iowa Ct. R.
41.5(2)(a) (notice to clients in all pending matters to seek legal advice
17
elsewhere); id. r. 41.5(2)(b) (deliver to all clients in pending matters any
papers or other property to which they are entitled or notify them of
suitable time and place where papers and other property may be
obtained); id. r. 41.5(2)(d) (notify opposing counsel in pending litigation of
the suspension). Crotty concedes that he failed to comply with these
requirements and that he also violated rule 41.5(2)(g) by failing to file
with the Board within thirty days of his suspension proof of his
performance of the requirements under rule 41.5(2)(a)–(f). See id.
r. 41.5(2)(g).
We conclude the Board met its burden to prove Crotty violated
several ethical rules when he performed legal services in the Freeman
case during the week following his suspension. In particular, Crotty
admitted that he continued to perform legal services in the appeal of
Freeman’s worker’s compensation case for several days after his
suspension commenced and that he did not withdraw. In doing so, he
violated rule 32:1.16(a)(1) (requiring withdrawal if the representation will
result in a violation of the Iowa Rules of Professional Conduct or other
law) and rule 32:5.5(a) (prohibiting practice of law in a jurisdiction in
violation of the regulation of the legal profession in that jurisdiction). See
id. r. 32:1.16(a)(1); id. r. 32:5.5(a).
V. Sanction.
We next consider what sanction is appropriate for an attorney who
violated our rules restricting the charging and collecting of attorney fees
in probate matters and who violated rules governing the conduct of an
attorney whose license is suspended. When choosing the appropriate
sanction for an attorney’s violation of ethical rules,
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
18
public confidence in the justice system, deterrence,
maintenance of the reputation of the bar as a whole, and any
aggravating or mitigating circumstances.
Iowa Supreme Ct. Att’y Disciplinary Bd. v. Casey, 761 N.W.2d 53, 61
(Iowa 2009) (quoting Iowa Supreme Ct. Att’y Disciplinary Bd. v. Ireland,
748 N.W.2d 498, 502 (Iowa 2008) (per curiam)). We seek to “achieve
consistency with prior cases when determining the proper sanction.”
Iowa Supreme Ct. Att’y Disciplinary Bd. v. Templeton, 784 N.W.2d 761,
769 (Iowa 2010).
Crotty is not the first Iowa lawyer to violate our rules controlling
the charging and collecting of attorney fees in probate matters. “In prior
cases, the resulting discipline has ranged from a reprimand to a
suspension of various degrees.” Iowa Supreme Ct. Att’y Disciplinary Bd.
v. Carty, 738 N.W.2d 622, 624 (Iowa 2007). In a recent survey of our
cases involving sanctions for violations of the rules and statutes
governing attorney fees in probate matters, we observed that “if an
attorney violates probate rules by taking an early fee to which she is
otherwise entitled, later obtains a court order authorizing the fee, and
causes no other harm to the client, we may issue a public reprimand.”
Arzberger, 887 N.W.2d at 368. If, however, the attorney “charges an
excessive fee or engages in misrepresentation, we may suspend the
attorney.” Id.
In Iowa Supreme Court Board of Professional Ethics & Conduct v.
Evans, the Board filed a complaint alleging an experienced probate
attorney took attorney fees in two probate matters before they were
authorized under the applicable law and charged an excessive attorney
fee in one of those matters. 537 N.W.2d 783, 784 (Iowa 1995). We
suspended the attorney’s license with no possibility of reinstatement for
thirty days. Id. at 786.
19
In Arzberger, we found an attorney charged and collected an
extraordinary fee in a probate proceeding without making application for
or receiving court approval. 887 N.W.2d at 366–67. Although we found
the attorney made misrepresentations to her client and the commission,
we found her commendable record of volunteer community service and
efforts to institute better office procedures to reduce the risk of similar
future errors were mitigating factors, and we imposed a suspension of
thirty days. Id. at 367–69.
In Carty, an experienced probate attorney charged and received a
fee in excess of $19,000 for ordinary services to an estate. 738 N.W.2d at
623. He later discovered the estate’s assets were overvalued by nearly
$90,000 and that his fee had therefore been incorrectly calculated. Id.
Although he amended the probate inventory to reflect the correct asset
valuation, he did not take steps to reduce the amount of his fee for
ordinary services to the estate. Id. Instead, the attorney sought and
received extraordinary fees for services that duplicated some of the work
performed as ordinary services in the estate proceeding. Id. We found
the attorney’s failure to take action to correct the obviously excessive fees
for ordinary and extraordinary services as an aggravating factor and
suspended his license for sixty days. Id. at 625.
In addition to Crotty’s violation of rules governing probate fees, we
must also consider his conduct in continuing—after his license was
suspended—to practice law for several days in connection with
Freeman’s worker’s compensation proceeding. In recent years we have
been confronted with several disciplinary cases in which attorneys have
been sanctioned for practicing while their licenses were suspended. See,
e.g., Iowa Supreme Ct. Att’y Disciplinary Bd. v. McCuskey, 814 N.W.2d
250, 257–59 (Iowa 2012); Iowa Supreme Ct. Att’y Disciplinary Bd. v.
20
Hearity, 812 N.W.2d 614, 618, 622 (Iowa 2012); Iowa Supreme Ct. Att’y
Disciplinary Bd. v. D’Angelo, 710 N.W.2d 226, 233, 236–37 (Iowa 2006).
However, these cases are not particularly instructive in our
determination of the appropriate sanction for Crotty because they
presented a much broader and more egregious range of violations
requiring a more severe sanction. 12 We find some aggravating factors in
this record affecting our choice of the appropriate sanction. First, this is
Crotty’s second disciplinary action. A history of “prior disciplinary action
is properly considered as an aggravating circumstance.” Iowa Supreme
Ct. Bd. of Prof’l Ethics & Conduct v. Gallner, 621 N.W.2d 183, 188 (Iowa
2001). In 1980, Crotty was found in contempt and fined $500 for
practicing law in Iowa while holding a certificate exempting him from
continuing education requirements. Second, Crotty was an experienced
lawyer on the verge of retirement at the time he committed the violations
discussed above. We view his substantial experience in the practice of
law as an aggravating factor. Id.
We find one mitigating factor in this case as well. Crotty
forthrightly admitted that he performed legal services for Freeman after
his license was suspended. We consider his recognition of some
wrongdoing as a mitigating circumstance affecting our determination of
12In McCuskey, we imposed a one-year suspension for assorted misconduct
including dishonesty, fraud, deceit or misrepresentation, trust account violations, and
failure to respond to the board’s complaint. 814 N.W.2d at 254–56, 259. Similarly, in
Hearity, we suspended a lawyer’s license for one year for assorted misconduct including
neglect of an estate, neglect of multiple client matters, collecting unreasonable fees and
practicing law after his license was suspended, and making false representations to the
court. 812 N.W.2d at 618–21, 623. The misconduct of the attorney in Hearity was
aggravated by a history of four prior admonitions. Id. at 622–23. In D’Angelo, we
revoked the license of an attorney who misappropriated client funds in multiple cases,
made misrepresentations to the court, neglected a client’s family law matter, practiced
while his license was suspended, and failed to cooperate with the board. 710 N.W.2d at
236–37.
21
the appropriate sanction. Iowa Supreme Ct. Bd. of Prof’l Ethics &
Conduct v. Lane, 642 N.W.2d 296, 302 (Iowa 2002).
After consideration of the record, relevant precedent, and
aggravating and mitigating factors, we conclude a suspension of sixty
days is appropriate. We conclude Crotty’s misconduct in taking
unauthorized fees in the Cleaver estate is similar to the conduct in Evans
and Arzberger in which suspensions of thirty days were imposed. A
slightly longer suspension of sixty days is warranted in this case,
however. Crotty continued to perform legal services in the Freeman
matter for several days after his license was suspended and this is the
second time he engaged in the practice of law in Iowa when he was not
authorized to do so. Additionally, we find troubling Crotty’s use of an
improper small-claims action to coerce a client into paying a fee that
Crotty knew was not due and could only be obtained through the
auspices of the probate court.
VI. Conclusion.
We suspend Crotty’s license to practice law in Iowa for a period of
sixty days. The suspension imposed in this case applies to all facets of
the practice of law as provided by Iowa Court Rule 34.23(3) and requires
notification to clients, as provided by rule 34.24. As Crotty is already
under suspension for failing to comply with the continuing legal
education requirements for Iowa lawyers, prior to any reinstatement to
practice law, he must establish that he has satisfied and brought current
all continuing legal education obligations. The costs of this proceeding
are assessed against Crotty pursuant to Iowa Court Rule 36.24.
LICENSE SUSPENDED.