[Until this opinion appears in the Ohio Official Reports advance sheets, it may be cited as
Disciplinary Counsel v. Cramer, Slip Opinion No. 2020-Ohio-4195.]
NOTICE
This slip opinion is subject to formal revision before it is published in
an advance sheet of the Ohio Official Reports. Readers are requested
to promptly notify the Reporter of Decisions, Supreme Court of Ohio,
65 South Front Street, Columbus, Ohio 43215, of any typographical or
other formal errors in the opinion, in order that corrections may be
made before the opinion is published.
SLIP OPINION NO. 2020-OHIO-4195
DISCIPLINARY COUNSEL v. CRAMER.
[Until this opinion appears in the Ohio Official Reports advance sheets, it
may be cited as Disciplinary Counsel v. Cramer, Slip Opinion No.
2020-Ohio-4195.]
Attorneys—Misconduct—Violations of the Rules of Professional Conduct,
including engaging in conduct that adversely reflects on the lawyer’s
fitness to practice law—Indefinite suspension.
(No. 2019-1739—Submitted April 8, 2020—Decided August 27, 2020.)
ON CERTIFIED REPORT by the Board of Professional Conduct of the Supreme
Court, No. 2018-038.
______________
Per Curiam.
{¶ 1} Respondent, Marilyn Abrienne Cramer, of Cleveland, Ohio,
Attorney Registration No. 0032947, was admitted to the practice of law in Ohio in
1977.
{¶ 2} In a July 3, 2018 complaint, relator, disciplinary counsel, alleged
that Cramer’s conduct with respect to the ancillary administration of her mother’s
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probate estate in Franklin County violated the Rules of Professional Conduct.
Specifically, the complaint alleged that Cramer (1) knowingly or recklessly made
false statements concerning the integrity of judicial officers, (2) knowingly made
false statements of fact or law to a tribunal, (3) engaged in conduct involving
dishonesty, fraud, deceit, or misrepresentation, (4) filed frivolous pleadings, (5)
engaged in conduct that was prejudicial to the administration of justice, and (6)
engaged in conduct that adversely reflects on her fitness to practice law.
{¶ 3} Following a two-day hearing, a panel of the Board of Professional
Conduct issued a report finding that Cramer committed all the charged
misconduct and recommending that she be indefinitely suspended from the
practice of law, with certain conditions on her reinstatement to the profession.
The board adopted the findings of fact, conclusions of law, and recommendation
of the hearing panel. Cramer has filed 28 objections to the board’s findings of
fact, conclusions of law, and recommended sanction and asks this court to dismiss
relator’s complaint. Based on our review of the record, we overrule each of
Cramer’s objections and adopt the board’s findings of misconduct and
recommended sanction.
Background
{¶ 4} A brief summary of the underlying probate litigation in this case is
necessary to understand the nature of Cramer’s misconduct.
{¶ 5} Cramer’s mother, Selena Cramer, died in Alabama on September 28,
2007, and was survived by four heirs—Cramer and her siblings, Callie Lipka,
Myron Cramer (“Myron”), and Carrie Chaplin. In November 2014, Lipka opened
an estate in Limestone County, Alabama, but did not identify Cramer as one of
Selena’s surviving children. Lipka also retained an attorney to file an application
for ancillary administration in Franklin County, Ohio, hired a realtor to dispose of
a house that Selena owned in Columbus at the time of her death, and placed the
house on the market. Three days before the hearing on that application, Cramer
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January Term, 2020
filed in Franklin County a competing application for authority to administer
Selena’s entire estate, along with a sworn declaration making numerous
disparaging comments about Lipka and Myron. Thereafter, Lipka’s counsel
withdrew his application, citing the family’s disagreement regarding how to
proceed.
{¶ 6} On September 29, 2014, the probate-court magistrate ordered
Cramer to file an amended application to be appointed as the ancillary
administrator and stated that upon filing of the appropriate documents and bond,
Cramer would receive the appointment. The magistrate advised the parties that
the ancillary administrator would have to work for the common benefit of all
beneficiaries and that the failure to do so would result in the ancillary
administrator’s removal and the appointment of an independent administrator.
The magistrate stated that she would not entertain any arguments regarding the
validity of the Alabama administration because there was no allegation that
Selena was a resident of Franklin County at the time of her death. Following that
hearing, Cramer fired Lipka’s realtor and took the house off of the market. On
November 28, 2014, Cramer filed the necessary documents and bond and was
appointed as the ancillary administrator to dispose of the Franklin County real
estate.
{¶ 7} Myron and Lipka retained another attorney to represent them in the
Franklin County proceedings. In April 2015, they moved for removal of Cramer
as the ancillary administrator on the grounds that she had failed to fulfill her
duties, in part by failing to relist the real property for sale. At a June 2015
hearing, the heirs—including Cramer—agreed to sell the property, pay the
expenses of administration, and surrender the remaining proceeds to the Alabama
estate.
{¶ 8} On July 17, 2015, the magistrate issued a decision recommending
that Cramer be removed as the ancillary administrator based on findings that she
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had failed to list the property for sale and that the resulting delay in the
administration of the estate and personal issues among the heirs required her
removal. See R.C. 2109.24. On December 23, 2015, the court adopted the
magistrate’s decision over Cramer’s objections.
{¶ 9} In January 2016, the probate court appointed attorney Thomas
Taneff to serve as the successor ancillary administrator. Taneff filed a civil
complaint to sell the real estate in a separate but related proceeding. Cramer
opposed Taneff’s actions at every turn and unsuccessfully attempted to remove
him from his role as fiduciary of the estate.
{¶ 10} At some point during Taneff’s administration, the property was
vandalized, and Taneff received an insurance settlement of $43,500 on behalf of
the estate. The property was eventually appraised at $30,000, and in July 2017,
the court approved the sale of the property for $39,000 over Cramer’s repeated
objections.
{¶ 11} In a December 19, 2017 judgment entry, the probate court found
that Cramer willfully violated Civ.R. 11 by drafting and signing numerous
documents and pleadings that lacked grounds to support the allegations made.
The court also found that Cramer willfully violated R.C. 2323.51 by conducting
herself in a manner intended to harass and intimidate Taneff, who was a party to
the action, and engaging in conduct that was not warranted under existing law and
could not be supported by good-faith arguments. The court further determined
that Cramer’s conduct was improper, had caused unnecessary delay, and had
needlessly increased the costs of litigation. On March 22, 2018, the court ordered
Cramer to pay Taneff $22,256.65, representing the attorney fees and costs he had
incurred as the result of her conduct.
{¶ 12} With this backdrop, we proceed to the board’s findings of fact and
misconduct.
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Misconduct
{¶ 13} Relator charged Cramer with seven rule violations arising from her
conduct in the ancillary administration of her mother’s estate. For ease of
discussion, the board divided those charges into three separate counts.
Count One: False Statements Concerning the Integrity of a Judicial Officer
{¶ 14} Relator first alleged that Cramer violated Prof.Cond.R. 8.2(a)
(prohibiting a lawyer from knowingly or recklessly making false statements
concerning the integrity of a judicial officer) by making numerous disparaging
statements about the integrity of the probate court, repeatedly alleging that the
court had engaged in improper ex parte communications and had appointed
Taneff for political reasons.
{¶ 15} Because lawyers “ ‘possess, and are perceived by the public as
possessing, special knowledge of the workings of the judicial branch of
government,’ ” we have recognized that “[their] statements made during court
proceedings are ‘likely to be received as especially authoritative.’ ” Disciplinary
Counsel v. Gardner, 99 Ohio St.3d 416, 2003-Ohio-4048, 793 N.E.2d 425, ¶ 22,
quoting State ex rel. Oklahoma Bar Assn. v. Porter, 766 P.2d 958, 969
(Okla.1988), and Gentile v. Nevada State Bar, 501 U.S. 1030, 1074, 111 S.Ct.
2720, 115 L.Ed.2d 888 (1991). In Gardner, we adopted an objective standard to
determine whether a lawyer’s statements about a judicial officer were made with
knowledge or reckless disregard of their falsity: We look to the nature of the
statements and the context in which they were made and consider what a
reasonable attorney, in light of all his professional functions, would do in the
same or similar circumstances. Id. at ¶ 26. Applying that standard, we held that
“an attorney may be sanctioned for making accusations of judicial impropriety
that a reasonable attorney would believe are false.” Id. at ¶ 31.
{¶ 16} In Cramer’s objections to the magistrate’s 2015 decision
recommending that she be removed as the ancillary administrator, Cramer
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referred to the removal hearing as a “pseudo-hearing” and a “charade”—largely
because the magistrate had refused to consider arguments related to the Alabama
probate proceedings. Cramer also alleged that the magistrate had deprived her of
her rights to fundamental fairness and an unbiased hearing, followed the law
“only reluctantly,” engaged in “fundamentally unfair procedures” by distorting
the truth and concealing evidence to arrive at “predetermined conclusions,” and
removed her as the fiduciary to avoid work.
{¶ 17} In addition, Cramer accused the magistrate of engaging in improper
ex parte communications with the attorneys representing Lipka and Myron. In
support, she stated that she had observed the magistrate speak to one of those
attorneys before a hearing and she cited the alleged statement of a court
employee, but neither allegation identified the substance of the alleged
conversations. In its decision overruling Cramer’s objections and removing her as
the fiduciary, however, the court addressed Cramer’s attacks on the magistrate
and found the magistrate’s conduct to be proper.
{¶ 18} In Cramer’s answer to Taneff’s complaint in the real-estate
proceeding, she claimed that Taneff’s appointment as the successor ancillary
administrator was illegal and appeared to have been “politically motivated.”
Cramer claimed that she had arranged for the court’s appraiser to enter and
inspect the real property after Taneff had failed to do so. She also continued to
attack Lipka and Myron and argued that they had acted unlawfully in the
Alabama proceedings.
{¶ 19} In her response to Taneff’s motion to strike her answer to the
complaint, Cramer alleged that the clerk’s office had engaged in “particularly
suspicious and troubling” handling of her answer and had failed to timely file it
despite its timely submission. The magistrate subsequently issued an order
deeming Cramer’s answer to be timely filed but explaining why Cramer’s
allegations of misconduct by the clerk were “unfounded and spurious.”
6
January Term, 2020
{¶ 20} In November 2016, Cramer arrived late for a scheduled hearing.
During the hearing, Cramer continued to allege that the court had engaged in
improper ex parte communications with Taneff and other attorneys involved in
the case. On cross-examination, Taneff explained that he had contacted the court
for the purposes of scheduling hearings and locating documents. Taneff expressly
denied that the contacts with the court were substantive in nature. Cramer
declined the court’s invitation to present evidence to support her allegations that
the court had engaged in ex parte communications with other attorneys.
{¶ 21} After the magistrate issued a decision confirming the sale of the
real property in November 2016, Cramer filed objections and numerous motions.
In these filings, she continued to make disparaging comments about the court and
Taneff. Among other things, she alleged that Taneff’s prior service as the finance
chair of the judge’s political campaign, combined with his monetary contributions
to various other (unidentified) political campaigns, “create insurmountable ethical
issues, rendering it inadvisable for the Court to entertain his motions attacking the
heirs.”1 In early 2017, the chief justice assigned a visiting judge to preside over
the probate proceedings.
{¶ 22} In her answer to the disciplinary charges brought against her,
Cramer continued to impugn the integrity of the magistrate and the court and
commenced an attack on disciplinary counsel. She renewed her allegations that
the magistrate and opposing counsel had engaged in impermissible ex parte
communications and had “schemed” to remove her as the fiduciary of the
ancillary estate, and she repeatedly alleged that the magistrate and the judge were
1. We note that although Jud.Cond.R. 2.13(A) requires a judge to exercise the power of
appointment impartially and on the basis of merit and to avoid nepotism, favoritism, and
unnecessary appointments, it does not expressly prohibit the appointment of persons affiliated
with a judge’s campaign. Moreover, Loc.R. 8.1 of the Court of Common Pleas of Franklin
County, Probate Division, provides that “[p]ersons appointed by the court to serve as * * *
fiduciaries * * * shall be selected from lists maintained by the court” and requires the court to
review those lists periodically to ensure the equitable distribution of those appointments.
7
SUPREME COURT OF OHIO
corrupt. She also claimed that assistant disciplinary counsel had “deliberately
prepared a dishonest complaint or [was] incompetent to perform his job” and had
engaged in misconduct for the purpose of covering up the probate court’s actions
by “setting up and framing [Cramer].” Moreover, she denied that any of her
statements were improper, because the magistrate and the probate judge “ha[d]
shown, repeatedly, that they have no integrity,” and she asserted that the “insults
and threats in [the court’s] order [are] far more intemperate and offensive than
anything she wrote in protest of th[e] corruption.”
{¶ 23} Although Cramer was given multiple opportunities during her
disciplinary hearing to submit evidence or otherwise explain the basis for her
accusations, she adamantly maintained her position that she was the victim of a
corrupt court. Her primary defense was that but for collusion on the part of the
court, she could not have been removed as the ancillary administrator and the
court could not have made its subsequent orders. Cramer showed no remorse for
her misconduct. The board found that relator had established by clear and
convincing evidence that Cramer violated Prof.Cond.R. 8.2(a).
{¶ 24} Cramer raises seven objections regarding the board’s findings with
respect to this count. She claims that several of the board’s factual findings are
false, and she argues that the board’s determination that she violated Prof.Cond.R.
8.2(a) is not supported by the evidence.
{¶ 25} After independently reviewing the record and verifying that the
record contains clear and convincing evidence to support the board’s factual
findings summarized above, we find that Cramer repeatedly made numerous
accusations of judicial impropriety that a reasonable attorney would believe are
false. For example, we have held that it is not reasonable for an attorney to allege
that a judge has engaged in ex parte communications based solely on the
attorney’s observation of a judge entering his or her chambers with counsel for
one party, coupled with the attorney’s speculation about the content of the
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January Term, 2020
communication. See Disciplinary Counsel v. Pullins, 127 Ohio St.3d 436, 2010-
Ohio-6241, 940 N.E.2d 952, ¶ 53.
{¶ 26} We therefore overrule Cramer’s first, fourth, fifth, 13th, 18th, 19th,
and 20th objections to the board’s findings of fact, and we find that Cramer
violated Prof.Cond.R. 8.2(a).
Count Two: Dishonest Conduct and Making False Statements to a Tribunal
{¶ 27} Next, the board considered relator’s allegations that Cramer (1)
misrepresented her authority as the ancillary administrator before her
appointment, (2) gave false testimony regarding her forcible entry onto the real
property after her authority was revoked, and (3) gave false testimony about the
existence of a buyer who was purportedly willing to purchase the real property for
$101,000.
{¶ 28} Regarding the first allegation, in a September 29, 2014 order, the
magistrate specifically cautioned that she would not appoint Cramer as the
ancillary administrator unless and until she filed the appropriate documents and
bond. Cramer filed the required documents and bond and was appointed as the
ancillary administrator on November 28, 2014. But in October 2014, Cramer
contacted the realtor Lipka had hired to sell the Ohio real property. Cramer told
the realtor that she had been appointed the ancillary administrator and that she had
removed the realtor’s sign from the yard. She demanded that the realtor
immediately withdraw the property from the market and provide copies of the
realtor’s correspondence with Lipka and Myron, and she threatened the realtor
with legal process if she did not respond to Cramer’s demand.
{¶ 29} With respect to relator’s second allegation, at the probate court’s
October 27, 2017 hearing on a motion for sanctions against Cramer, Cramer
testified that after Taneff was appointed as the ancillary administrator, off-duty
police officer Patrick Lavender helped her forcibly enter the real property with a
crowbar. In an affidavit submitted to the probate court—and again in his
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testimony before the disciplinary panel—however, Lavender adamantly denied
that he assisted Cramer in the forcible entry of the property. He explained that
although he had helped Cramer secure the property while she was serving as the
ancillary administrator, he knew that something was wrong when he noticed
different locks on the door after the court had revoked Cramer’s authority. He
therefore refused to help her forcibly enter the property. At her disciplinary
hearing, Cramer reaffirmed that Lavender had aided her forcible entry of the
property and further alleged that Taneff had pressured Lavender into giving false
testimony.
{¶ 30} Finally, throughout the probate proceedings, Cramer repeatedly
represented to the court that she had two buyers who were willing to purchase the
Ohio property for $101,000. In its December 19, 2017 judgment entry finding
that Cramer willfully violated Civ.R. 11 and R.C. 2323.51, the probate court made
the following finding:
Marilyn Cramer never submitted the mystery $101,000.00+ offer
to Mr. Taneff, and during the October 27, 2017 hearing, Marilyn
Cramer testified that she did not send the mystery offer to Mr.
Taneff’s office. For Marilyn Cramer to claim Mr. Taneff is
negligent for not acting on an offer to purchase real estate which
she repeatedly failed to submit is duplicitous.
{¶ 31} At her disciplinary hearing, Cramer called at least two witnesses in
an effort to establish that the prospective buyers were willing to pay far more than
Taneff obtained for the real property, but the board found that their testimony did
not support that proffer.
{¶ 32} On these facts, the board found that Cramer violated Prof.Cond.R.
3.3(a)(1) (prohibiting a lawyer from knowingly making a false statement of fact
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January Term, 2020
or law to a tribunal) and 8.4(c) (prohibiting a lawyer from engaging in conduct
involving dishonesty, fraud, deceit, or misrepresentation).
{¶ 33} The board also noted that Cramer had submitted an affidavit from
one of the alleged prospective buyers in the underlying probate proceeding but
found that his testimony at the disciplinary hearing demonstrated that he had no
personal knowledge of the facts contained in that affidavit. Having weighed the
credibility of that witness and of Cramer, the panel determined that Cramer had
drafted the affidavit and submitted it to the probate court and the panel, knowing
that it was false.
{¶ 34} Cramer raises six objections to the board’s factual findings with
respect to this count. As three of those objections, she claims that she did not
misrepresent her authority before becoming the ancillary administrator, that she
did not falsely claim to have a buyer willing to pay between double and triple the
price that Taneff obtained for the property, and that she did not draft a false
affidavit.
{¶ 35} Our review of the record shows that the challenged findings of the
board in this regard are amply supported by the evidence. The parties submitted
as a joint exhibit a copy of an October 22, 2014 letter to the realtor in which
Cramer represented that she had been appointed the administrator of all the
estate’s assets in Franklin County—five weeks before she was actually appointed
to that role. It is true that Cramer presented testimony regarding two people who
had, at various times, expressed interest in purchasing the property for
approximately $100,000, but the record shows that neither of the potential buyers
ever made a written offer to purchase the property. And although one of the
potential buyers testified that he needed to assess the condition of the house in
person before making an offer, he admitted that he never contacted Taneff or the
realtor to inquire about viewing the property. Instead, he relied on Cramer’s
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representations that Taneff would not respond to her requests about gaining
access to the property.
{¶ 36} As her three remaining objections to the board’s findings regarding
Count Two, Cramer asserts that Lavender gave false testimony regarding his
participation in the forcible entry of the property and that in any event, as an heir
with an equitable interest in the real property, Cramer’s forcible entry could not
constitute a trespass—though she offers no legal authority to support that position.
Because the hearing panel has the opportunity to observe the witnesses firsthand,
we typically defer to its credibility determinations unless the record weighs
heavily against those findings. Cincinnati Bar Assn. v. Statzer, 101 Ohio St.3d
14, 2003-Ohio-6649, 800 N.E.2d 1117, ¶ 8, citing Cleveland Bar Assn. v. Cleary,
93 Ohio St.3d 191, 198, 754 N.E.2d 235 (2001). Here, the record supports the
panel’s determination that Lavender’s testimony was more credible than
Cramer’s.
{¶ 37} For these reasons, we overrule Cramer’s third, seventh, eighth, and
ninth objections to the board’s factual findings and her second objection to the
board’s conclusions of law, and we adopt the board’s findings that Cramer
violated Prof.Cond.R. 3.3(a)(1) and 8.4(c).
Count Three: Conduct that is Unsupported by the Law, that is Prejudicial to the
Administration of Justice, and that Adversely Reflects on the Attorney’s Fitness to
Practice Law
{¶ 38} The last three allegations of misconduct against Cramer are that she
engaged in frivolous conduct that prejudiced the administration of justice and
adversely reflects on her fitness to practice law by acting outside the scope of her
authority, obstructing the successor ancillary administrator’s ability to sell the real
property, and threatening parties and witnesses in the ancillary probate
proceedings.
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January Term, 2020
{¶ 39} In support of these allegations, the board noted that in the 32-page
judgment entry issued on December 19, 2017, the probate court found that
Cramer willfully violated Civ.R. 11 and R.C. 2323.51 and later ordered her to pay
Taneff $22,256.65 in fees and costs that it found to be directly attributable to her
frivolous conduct. The court found that Cramer had filed numerous pleadings and
other documents containing “scandalous, insulting, and groundless allegations”
against the court and had filed actions raising issues that either were not before
the court or had already been decided—all for the purpose of delay. In addition,
the court found that Cramer had conducted herself in a manner meant to harass
and intimidate Taneff with supposition and innuendo that had no evidentiary
support. Moreover, the court noted that “Cramer failed to grasp the reality that
when she was removed as the ancillary administrator, she lost the ability to dictate
the terms of sale of the real estate” and that “[her] bad conduct and frivolous
filings turned what should have been a simple land sale into a circus devoid of
any respect to the court and its officers.” On appeal, the Tenth District Court of
Appeals affirmed the probate court’s judgment, overruling 11 of Cramer’s
assignments of error and dismissing a 12th. Taneff v. Lipka, 2019-Ohio-887, 124
N.E.3d 859 (10th Dist.).
{¶ 40} Based on the probate court’s findings, the board found that Cramer
violated Prof.Cond.R. 3.1 (prohibiting a lawyer from bringing or defending a
proceeding, or asserting or contradicting an issue in a proceeding, unless there is a
nonfrivolous basis in law and fact for doing so), 8.4(d) (prohibiting a lawyer from
engaging in conduct that is prejudicial to the administration of justice), and 8.4(h)
(prohibiting a lawyer from engaging in conduct that adversely reflects on the
lawyer’s fitness to practice law). The board found that Cramer violated
Prof.Cond.R. 8.4(h) by engaging in conduct not specifically prohibited by the
Rules of Professional Conduct that adversely reflected on her fitness to practice
law and that her conduct in violation of other professional-conduct rules was
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sufficiently egregious to warrant an additional finding that she violated
Prof.Cond.R. 8.4(h). See Disciplinary Counsel v. Bricker, 137 Ohio St.3d 35,
2013-Ohio-3998, 997 N.E.2d 500, ¶ 21.
{¶ 41} Cramer objects to the board’s findings of misconduct with respect
to this count, arguing that the board was required to review the evidence de novo
and that it failed to do so because it adopted the probate and appellate courts’
findings that she violated Civ.R. 11 and R.C. 2323.51. A disciplinary hearing is
not a substitute for an appeal, but regardless, we do not find that the board’s
adoption of the probate court’s factual findings demonstrates that the board
conducted anything but a de novo review. Having reviewed the record, including
Cramer’s numerous filings in the probate proceedings, we find that relator has
established by clear and convincing evidence that Cramer violated Prof.Cond.R.
3.1, 8.4(d), and 8.4(h). We therefore overrule Cramer’s second objection to the
board’s findings of fact and her first objection to the board’s conclusions of law.
Sanction
{¶ 42} When imposing sanctions for attorney misconduct, we consider all
relevant factors, including the ethical duties that the lawyer violated, the
aggravating and mitigating factors listed in Gov.Bar R. V(13), and the sanctions
imposed in similar cases.
Aggravating and Mitigating Factors
{¶ 43} The board found that just one mitigating factor is present—Cramer
has no prior disciplinary record. See Gov.Bar R. V(13)(C)(1). As for aggravating
factors, the board found that Cramer had (1) acted with a dishonest and selfish
motive, (2) committed multiple offenses, (3) showed a lack of cooperation in the
disciplinary process, (4) submitted false evidence or false statements or engaged
in deceptive practices during the disciplinary process by submitting a false
affidavit, and (5) refused to acknowledge the wrongful nature of her conduct. See
Gov.Bar R. V(13)(B)(2) and (4) through (7).
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January Term, 2020
{¶ 44} The board offered a nine-page explanation detailing Cramer’s
extensive and repeated failure to cooperate in the disciplinary process. Cramer
failed to provide answers to relator’s discovery request and made a false
allegation that relator had not provided discovery, necessitating a formal pretrial
hearing to discuss discovery issues. Because Cramer refused to divulge the name
of one of the prospective buyers that she had purportedly identified for the real
property, the panel chair had to order her to provide the name.
{¶ 45} Cramer initially denied that relator had furnished her with a copy of
a transcript, and upon being informed that the document had been provided in
PDF format on a flash drive with other discovery materials, she eventually
acknowledged that she had received it but stated that she did not want to open an
“executable” file. Cramer later requested that the board issue all its orders by
telephone or text message. The panel chair denied the request and instructed
Cramer to check her e-mail account on a timely and regular basis.
{¶ 46} After relator objected to Cramer’s proposed submission of
numerous grievances that she had filed against judicial officers and attorneys, on
the ground that those grievances are required to remain confidential prior to a
determination of probable cause, see Gov.Bar R. V(8)(A)(1)(a), Cramer stated her
intention to call relator’s counsel as witnesses. In a 13-page response to relator’s
motion in limine, Cramer once again made spurious allegations—this time against
Taneff and relator—and demanded that the complaint against her be dismissed.
{¶ 47} Cramer’s failure to cooperate culminated in her conduct during the
disciplinary hearing. She arrived more than an hour late on both days of the
hearing—even after the panel chair had agreed to start the hearings at 10:00 a.m.
and 9:00 a.m., respectively, to accommodate Cramer’s purported sleep disorder.
On the first day, Cramer explained that it had taken her all night to drive from
Cleveland to Columbus and stated that it was the first time that she had made the
trip without stopping for the night. On the second day, Cramer called the board at
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9:02 a.m. to state that she would be late because she had slept through her alarms.
Although her hotel was only three blocks away, she did not arrive at the hearing
until 10:35 a.m. The panel chair viewed Cramer’s tardiness as part of her ongoing
pattern of failing to comply with the panel’s orders and directives.
{¶ 48} The board described Cramer’s participation at the hearing as
rambling and argumentative, and it noted that she was unable to answer questions
without turning the focus to how she had allegedly been victimized by the probate
court and the disciplinary process. The panel chair repeatedly had to admonish
her to answer the question that was being asked. And although Cramer repeatedly
referred to the “ever-changing” allegations against her, she acknowledged that
relator had never filed an amended complaint.
{¶ 49} Cramer was fundamentally unprepared to present her own case; she
introduced no exhibits and wanted to call a witness using her cellular phone.
Although Cramer claimed to have “exercised due diligence,” she acknowledged
that many things were not prepared the way she wanted them prepared. She
stated that she could not do more physically given the unpredictable nature of her
disability and the fact that she had worked through the night on five of the prior
eight days. Cramer also indicated that she had retired from the Department of
Justice due to her deteriorating health. But when asked whether her physical
issues had impacted her ability to practice law, Cramer stated that she had been
unaware that her mental and physical health would be considered at the hearing.
After relator’s counsel stated that he intended to file a motion for an examination
pursuant to Gov.Bar R. V(15)(C)(1)(b), Cramer stated that she had no objection
and would cooperate with the exam.
{¶ 50} Following the hearing, the panel chair issued an order directing
Cramer to file an amended exhibit list and exhibits on or before June 7, 2019, and
instructed her to include any reports and documents from a qualified healthcare
professional she wished to have the panel consider in mitigation. Cramer filed her
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January Term, 2020
initial exhibit list three days late, supplemented it more than two weeks later, and
finally tendered hard copies of all her exhibits more than one month late—but she
never submitted any medical records. The panel chair excluded 26 of her 110
exhibits on the ground that they were neither offered nor referred to at the hearing
and excluded one exhibit because it has been previously admitted. And although
the panel chair ordered the parties to file posthearing briefs on or before June 28,
2019, Cramer never complied with that order.
{¶ 51} Cramer raises ten objections to the aggravating and mitigating
factors found by the board. But as summarized above, the record supports the
board’s findings. We therefore overrule objections 10 through 12, 14 through 17,
and 21 through 23.
Relevant Precedent
{¶ 52} In determining the appropriate sanction to recommend for
Cramer’s misconduct, the board noted that the sanctions we have imposed on
lawyers who had made false statements concerning the qualifications or integrity
of a judicial officer range from a six-month suspension to a two-year suspension
with the second year stayed on conditions. See, e.g., Disciplinary Counsel v.
Proctor, 131 Ohio St.3d 215, 2012-Ohio-684, 963 N.E.2d 806 (imposing a six-
month suspension on an attorney who had engaged in undignified or discourteous
conduct that was degrading to a tribunal and had recklessly made false statements
concerning the integrity of a judicial officer in a motion for relief from judgment
and an appellate brief); Disciplinary Counsel v. Marshall, 142 Ohio St.3d 1,
2014-Ohio-4815, 27 N.E.3d 481 (imposing a two-year suspension, with the
second year conditionally stayed, on an attorney who had knowingly or recklessly
made in an appellate brief false allegations that a judge’s rulings against her were
influenced by racial and gender bias and had engaged in dishonest conduct that
was prejudicial to the administration of justice by distributing settlement funds in
contravention of a court order). However, the panel found this case to be most
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similar to two cases in which we imposed indefinite suspensions on attorneys
who—like Cramer—repeatedly leveled false or unfounded allegations against
judges and opposing counsel and refused to acknowledge the wrongful nature of
their misconduct.
{¶ 53} In Disciplinary Counsel v. Frost, 122 Ohio St.3d 219, 2009-Ohio-
2870, 909 N.E.2d 1271, an attorney falsely accused several common-pleas-court
judges of bias in the execution of their duties, with “nothing beyond conjecture,
rumor, and innuendo” to support her charges, id. at ¶ 9. She also repeatedly
leveled against a federal judge unfounded accusations of racial bias and other
impropriety and filed a baseless defamation suit against two attorneys who were
her opposing counsel in a sexual-harassment case. As aggravating factors, we
found that Frost had engaged in dishonesty, a pattern of misconduct, and multiple
offenses, that she had failed to acknowledge the wrongfulness of her conduct, and
that her attacks on judges and other public officials had eroded public confidence
in the judiciary. Id. at ¶ 37. Just one mitigating factor was present—the absence
of a prior disciplinary record. Id. at ¶ 36.
{¶ 54} Similarly, in Disciplinary Counsel v. Pullins, 127 Ohio St.3d 436,
2010-Ohio-6241, 940 N.E.2d 952, an attorney recklessly filed affidavits of
disqualification and other court documents containing unfounded accusations
against two judges regarding the performance of their official duties. He also
falsely notarized a document that he had signed on behalf of his wife, submitted
that document to a court, and caused two subpoenas to be issued in an inactive
case to further his own personal agenda.
{¶ 55} As aggravating factors, we found that Pullins had acted with a
dishonest and selfish motive, engaged in a pattern of misconduct, committed
multiple offenses, given false and dishonest explanations of his actions, refused to
acknowledge the wrongful nature of his misconduct, and caused harm to innocent
third parties and the reputations of the judges whose integrity he had impugned.
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January Term, 2020
We also attributed aggravating effect to psychological issues that remained
unaddressed due to Pullins’s premature termination of his contract with the Ohio
Lawyers’ Assistance Program (“OLAP”). Id. at ¶ 82-83. The only mitigating
factors were the absence of a prior disciplinary record and Pullins’s full and free
disclosure to the board and cooperative attitude toward the disciplinary
proceedings. Id. at ¶ 74.
{¶ 56} In indefinitely suspending Frost and Pullins for their repeated
unfounded attacks on the judicial system and other dishonest conduct, we noted
that their misconduct may have been related to unaddressed mental-health
disorders. Consequently, we conditioned their reinstatement to the profession on
the submission of proof to a reasonable degree of medical certainty that they were
fit to return to the competent, professional, and ethical practice of law. Frost, 122
Ohio St.3d 219, 2009-Ohio-2870, 909 N.E.2d 1271, at ¶ 43; Pullins at ¶ 88.
{¶ 57} Like Frost and Pullins, Cramer repeatedly and falsely accused a
judge and a magistrate of bias and corruption, refused to acknowledge the
wrongful nature of her conduct, and caused considerable harm—not only to the
public officials whom she had attacked but also to the judiciary as a whole. The
board also found that Cramer’s conduct throughout the disciplinary proceedings
demonstrated a pattern of disrespect for the disciplinary process and raised serious
questions regarding her fitness to provide competent and professional legal
representation to her clients going forward. Furthermore, the board expressed
concern that Cramer’s misconduct may be related to unaddressed mental- or
physical-health conditions. Therefore, the board recommends that as conditions
of her reinstatement, she be required to (1) submit to an OLAP evaluation and
comply with any treatment recommendations arising from that evaluation, (2)
submit an opinion from a qualified healthcare professional that she is able to
resume the competent, ethical, and professional practice of law, and (3) provide
proof that she has paid the fees and costs assessed on her by the probate court.
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SUPREME COURT OF OHIO
{¶ 58} As her final three objections, Cramer contends that she should not
be indefinitely suspended from the practice of law simply for filing a grievance
against a judge, for filing a motion to consolidate hearings and a motion to
remove a politically appointed and negligent ancillary administrator, or for
zealously representing a client within the parameters of the law. Renewing her
claim that the charges against her were “ever-changing,” she urges this court to
completely exonerate her, dismiss relator’s complaint, and grant her other forms
of relief not available in disciplinary proceedings.
{¶ 59} Cramer’s objections to the recommended sanction grossly
mischaracterize her conduct in the probate proceedings in an attempt to recast her
actions as an appropriate and reasoned response to the alleged but unsubstantiated
misconduct of others. But we have already overruled more than 20 objections
directed at the board’s findings and determined—based on clear and convincing
evidence—that she committed the rule violations alleged in relator’s complaint.
{¶ 60} Cramer’s misconduct, the presence of numerous aggravating
factors—including the submission of false evidence and statements during this
disciplinary proceeding—and the single mitigating factor that Cramer has never
before been disciplined by this court, are strikingly similar to the circumstances in
Frost and Pullins. We therefore overrule Cramer’s last three objections and
conclude that the appropriate sanction in this case is an indefinite suspension.
Cramer’s pattern of levying baseless attacks against virtually every person
involved in the underlying probate case has now expanded to include allegations
that the panel members and the board have distorted the record, withheld critical
facts and evidence, and misled this court. And in her hearing testimony, she
steadfastly maintained that she herself had done nothing wrong and she described
her own conduct as “brave and exemplary.”
{¶ 61} Cramer’s profound inability to recognize the wrongfulness of her
own actions, combined with her tardiness and evident lack of preparation for her
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January Term, 2020
own disciplinary hearing, support the board’s finding that her misconduct may be
the byproduct of unaddressed physical- or mental-health issues. We therefore
agree that her reinstatement to the practice of law must be conditioned on the
submission of proof that she has completed an OLAP assessment, complied with
any resulting treatment recommendations, and obtained the opinion of a qualified
healthcare professional that she is capable of resuming the competent, ethical, and
professional practice of law.
Conclusion
{¶ 62} Accordingly, Marilyn Abrienne Cramer is indefinitely suspended
from the practice of law in Ohio. In addition to the conditions for reinstatement
set forth in Gov.Bar R. V(25), Cramer shall be required to submit proof (1) that
she has submitted to an evaluation by OLAP and complied with any
recommendations resulting from that evaluation, (2) that she has obtained an
opinion from a qualified healthcare professional that she is able to resume the
competent, ethical, and professional practice of law, and (3) that she has paid the
fees and costs assessed against her in the March 22, 2018 judgment entry of the
Franklin County Court of Common Pleas, Probate Division, in case No. 567794A.
Costs are taxed to Cramer.
Judgment accordingly.
O’CONNOR, C.J., and KENNEDY, FRENCH, FISCHER, DEWINE, DONNELLY,
and STEWART, JJ., concur.
_________________
Joseph M. Caligiuri, Disciplinary Counsel, and Donald M. Scheetz,
Assistant Disciplinary Counsel, for relator.
Marilyn A. Cramer, pro se.
_________________
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