NOTICE: This opinion is subject to modification resulting from motions for reconsideration under Supreme Court
Rule 27, the Court’s reconsideration, and editorial revisions by the Reporter of Decisions. The version of the
opinion published in the Advance Sheets for the Georgia Reports, designated as the “Final Copy,” will replace any
prior version on the Court’s website and docket. A bound volume of the Georgia Reports will contain the final and
official text of the opinion.
In the Supreme Court of Georgia
Decided: March 21, 2023
S23Y0445. IN THE MATTER OF WILLIE GEORGE DAVIS, JR.
PER CURIAM.
This is the third appearance of this disciplinary matter before
the Court, following the rejection of the petition for voluntary
discipline filed by Willie George Davis, Jr. (State Bar No. 213371)
after a formal complaint was filed against him. See In the Matter of
Willie George Davis, Jr., 311 Ga. 67 (855 SE2d 643) (2021) (“Davis
II”).1 This matter is now before the Court on the report and
recommendation of the State Disciplinary Review Board (the
“Review Board”) which recommends that Davis, a member of the
State Bar since 1996, be disbarred based on his violations of Rules
1.7 (a) and (b), 1.15 (I) (a) and (c), 1.15 (II) (a) and (b), 3.4 (a), 3.5 (d),
Prior to Davis II, we granted the State Bar’s petition for appointment
1
of a special master. See In the Matter of Willie George Davis, Jr., Case No.
S19B0187 (Oct. 10, 2018) (“Davis I”).
8.1 (b), and 8.4 (a) (5) of the Georgia Rules of Professional Conduct
(“GRPC”) found in Bar Rule 4-102 (d), which stem from Davis’s
mishandling of his sister’s estate and his nephew’s conservatorship
as well as his repeated failure to comply with orders of the Cobb
County Probate Court. After considering the record and Davis’s
exceptions to the Review Board’s report and recommendation, this
Court finds that given the circumstances of this case, disbarment is
appropriate.
1. The Facts and Procedural History.
Regarding the facts and circumstances surrounding Davis’s
misconduct, we have previously recounted as follows:
In 2012, Davis drafted a will for his sister, naming
himself as the executor of her estate, the guardian of his
nephew, and the conservator of his nephew’s funds. The
will specifically excepted Davis from the requirements to
post a fiduciary bond and to file inventories or annual
returns with the probate court, and Davis did not obtain
informed and written consent that his sister was aware of
the potential conflict of interest in having him serve
without bond as executor, conservator, and guardian
pursuant to the will he drafted. Davis was not aware that
his sister was suffering from breast cancer at the time he
drafted her will, and she died shortly thereafter. The
2
nephew was only 13 years old at the time of his mother’s
death and was the sole beneficiary of his mother’s estate.
Davis filed a petition to admit the will to probate,
and the probate court appointed him to serve without
bond as executor, conservator, and guardian per the
terms of the will. The nephew was named a beneficiary of
his mother’s life insurance policy, the proceeds of which
were $157,277.48. Davis admitted that he received the
funds and placed them in his IOLTA account instead of a
conservator account. Moreover, although the Special
Master found that Davis did eventually establish a
conservator account and ‘transferred the funds to that
account,’ Davis failed to maintain, and could not produce,
records of the funds held in the IOLTA account. He also
received the nephew’s Social Security benefit checks in
trust as the nephew’s custodian and conservator, but he
did not keep records of those funds, either.
In October 2016, the nephew reached the age of
majority (18), which terminated the testamentary
conservatorship by law. Thereafter, the nephew and
Davis had disagreements that led to Davis cutting off the
nephew’s cell phone service and making no further
mortgage payments on his deceased sister’s home, where
the nephew had been residing.
In May 2017, the nephew, through counsel, filed a
petition to suspend the conservatorship and to obtain a
final settlement of accounts of the estate and the
conservatorship. According to the probate court, ‘[a]n
extensive procedural odyssey ensued … including
multiple hearings, dozens of attempts to serve [Davis],
findings of contempt against [Davis], and multiple
orders of [Davis’s] incarceration.’ First, the probate court
3
entered an order suspending Davis’s letters of
testamentary and issued a citation for him to appear and
make an accounting of estate and conservatorship assets
within 15 days. A deputy from the Fulton County Sheriff’s
Office then personally served Davis with the probate
court’s order and citation. Davis, however, did not make
any accounting or appear at the hearing because he
‘simply could not handle the emotion which welled up.
[He] was in denial and could not address the court
proceeding properly.’ He explained that, beginning in
2016, he experienced a series of family deaths and life
changes that impacted him severely and that he failed to
address right away. In 2017, during the time of these
proceedings, his primary care physician prescribed him
medication for depression and anxiety, but he failed to
seek counseling as his physician directed him to do. He
also did not notify his nephew’s counsel or the probate
court about his mental illness or seek any relief from the
probate court’s requirements on that basis.
In June 2017, the probate court issued another order
directing Davis to file the accountings, and the court set
the matter for another hearing. But Davis did not file the
accountings or appear in court, and the probate court
issued another order for Davis to appear, to present the
accountings, and to show cause why he should not be held
in contempt. The probate court then entered an interim
judgment against Davis in the amount of $157,227.58, the
amount of the life insurance proceeds for which he had
not accounted, and attorney fees in the amount of
$11,891. Approximately one month before that order was
issued, Davis delivered a check to his nephew’s attorney
in the amount of $34,025.80, which was the amount that
remained in the conservatorship account. But Davis still
did not respond to the probate court’s ‘requests for
4
personal service of the court’s notices and demands,’
which resulted in the probate court directing service by
publication. Davis admitted that he was not opening
correspondence from the probate court during this time
due to his declining mental state, and after he failed to
appear at yet another hearing, the probate court issued a
bench warrant for his arrest and issued an order finding
him in contempt. Davis eventually turned himself in to
jail in January 2018.
Following a hearing, the probate court entered a
criminal contempt finding, sentencing Davis to 20 days in
jail with credit for time served, and to pay a fine of $500;
the probate court also entered a civil contempt finding,
sentencing Davis to remain incarcerated and pay a fine of
$100 per day until such time as he purged his contempt
by filing accountings of the estate and conservatorship.
Because Davis ‘had been unable to put together anything
remotely [responsive] to the court’s demand’ while
incarcerated, and because he had not been given his
medication while in custody, the judge released Davis to
allow him to get back on his medication, to gather the
records of the conservatorship and estate, and to file the
accountings in advance of a hearing in March 2018. The
judge also awarded the nephew additional attorney fees.
At two hearings, Davis presented some documentation of
his activities and expenditures on behalf of the estate and
conservatorship, as well as an inventory of the estate and
its annual returns, but failed to include complete bank
statements for the custodial account or any statements for
an account for the estate. After considering that evidence,
the probate court issued a judgment against Davis in
favor of his nephew in an amount of $9,971 for breaches
related to the estate and in the amount of $190,043.48 for
breaches related to the conservatorship.
5
Following the judgment, Davis failed adequately to
respond to his nephew’s post-judgment requests, which
caused the probate court to grant the nephew’s motion to
compel and request for attorney fees for having to file the
motion. Davis then failed to respond to the requests
within the time set forth in the order granting the motion
to compel, which caused him to be held in contempt and
subject to additional attorney fees. Davis admitted that,
including amounts due for the attorney fees judgments,
but not including any statutory interest, the amount of
money he still owed to his nephew was $193,174.91.
Davis II, 311 Ga. at 68-70 (1). The Special Master recommended that
Davis be suspended from the practice of law for at least 18 months,
with reinstatement conditioned upon Davis providing proof that he
has satisfied the probate court judgment and that he was no longer
suffering from any mental disability that would make him unfit to
practice law. See id. at 75 (3) (b). But if Davis failed to meet the
above conditions within 60 days after the 18-month suspension
expired, the time-limited suspension would be converted
automatically to an indefinite suspension under the same
conditions, so that Davis’s nephew could seek relief for his loss under
the Client’s Security Fund. See id.
The Court rejected the Special Master’s recommendation,
6
reasoning that “to impose an indefinite suspension until the
reinstatement conditions are met would effectively result in Davis
being suspended for approximately 50 years if he continued paying
restitution at the rate the record shows he is currently paying,” and
this Court does not allow suspensions of that length. Id. at 75 (4).
The Court also concluded that the reinstatement conditions
recommended by the Special Master for Davis were “considerably
less stringent than for disbarred attorneys, insofar as Davis could
remain suspended for far longer than five years but—upon
satisfying the conditions of his suspension—not be required to re-
certify his fitness before he resumes the practice of law.” Id. at 76
(4). The Court also noted that the recommended conditions seemed
“more punitive to Davis” because “the large discrepancy between the
amount he would be required to repay and his current rate of
repayment” meant that “the recommended conditions could place
Davis in a disciplinary purgatory: if he cannot finish paying
restitution, his discipline will be endless.” Id.
After Davis II, the State Bar took Davis’s deposition and filed
7
its motion for partial summary judgment, arguing that the record,
including Davis’s deposition and unconditional admissions in his
petition for voluntary discipline, established as a matter of law that
he violated GRPC Rules 1.7 (a) and (b), 1.15 (I) (a) and (c), 1.15 (II)
(a) and (b), 3.4 (a), 3.5 (d), 8.1 (b), and 8.4 (a) (5). The State Bar
elected not to proceed on the claims that Davis had violated GRPC
Rules 1.15 (I) (d), 8.1 (a), and 8.4 (a) (4).
After Davis failed to file a response to the motion for partial
summary judgment, the Special Master granted the motion, finding
that Davis had violated the above GRPC Rules by clear and
convincing evidence. The nephew then filed an amicus brief in which
he harshly criticized his uncle, providing details about Davis’s
behavior toward him while he was a minor.
After granting partial summary judgment, the Special Master
issued her second report and recommendation that Davis be
disbarred with reinstatement conditioned upon (1) his payment in
full of the probate judgment and (2) his obtaining a certification of
fitness to practice law from a licensed mental health professional.
8
Davis filed exceptions and requested review by the Review Board.
Subsequently, the State Bar filed a response.
In its report and recommendation, the Review Board adopted
the Special Master’s findings of fact and conclusions of law and
incorporated them by reference, concluding that the Special
Master’s recommendation of disbarment with conditions for
reinstatement was the appropriate level of discipline.
2. Special Master’s Report and Recommendation.
(a) Findings of Fact and Conclusions of Law.
In her second report and recommendation, the Special Master
summarized the procedural history of the disciplinary proceeding,
including that she had granted partial summary judgment as to
Davis’s violations of GRPC Rules 1.7 (a) and (b), 1.15 (II) (a) and (c),
1.15 (II) (a) and (b), 3.4 (a), 3.5 (d), 8.1 (b), and 8.4 (a) (5). The Special
Master also adopted the facts as stated by the Court in Davis II.
Regarding GRPC Rules 1.7 (a) and (b),2 the Special Master
2 GRPC Rules 1.7 (a) and (b) provide:
9
concluded that Davis violated these rules by drafting his sister’s will
without first obtaining informed consent confirmed in writing that
his sister was aware of a potential conflict of interest in Davis
naming himself the executor of her will.
Regarding GRPC Rule 1.15 (I) (a),3 (concerning segregation of
(a) A lawyer shall not represent or continue to represent a client if
there is a significant risk that the lawyer’s own interests or the
lawyer’s duties to another client, a former client, or a third person
will materially and adversely affect the representation of the
client, except as permitted in (b).
(b) If client informed consent is permissible a lawyer may
represent a client notwithstanding a significant risk of material
and adverse effect if each affected client or former gives informed
consent, confirmed in writing, to the representation after:
(1) consultation with the lawyer, pursuant to Rule 1.0
(c);
(2) having received in writing reasonable and adequate
information about the material risks of and reasonable
available alternatives to the representation; and
(3) having been given the opportunity to consult with
independent counsel.
3 GRPC Rule 1.15 (I) (a) provides:
A lawyer shall hold funds or other property of clients or third
persons that are in a lawyer’s possession in connection with a
representation separate from the lawyer’s own funds or other
property. Funds shall be kept in one or more separate accounts
maintained in an approved institution as defined by Rule 1.15 (III)
(c) (1). Other property shall be identified as such and appropriately
safeguarded. Complete records of such account funds and other
property shall be kept by the lawyer and shall be preserved for a
period of six years after termination of the representation.
10
funds and recordkeeping), the Special Master concluded Davis
violated this rule by depositing his sister’s life insurance proceeds
into his IOLTA account, transferring the proceeds to his personal
investment account, and failing to maintain accurate records.
Regarding GRPC Rule 1.15 (I) (c),4 the Special Master
concluded Davis violated this rule by: (1) failing to deliver the full
amount of the life insurance proceeds to his nephew and “treat[ing]
[him] abysmally and failed in his basic duties to him as a child”; and
(2) failing to provide his nephew with an accounting of the life
insurance proceeds and by admitting that an accounting was not
possible because he did not maintain records of how he used the
funds.
4GRPC Rule 1.15 (I) (c) provides:
Upon receiving funds or other property in which a client or third
person has an interest, a lawyer shall promptly notify the client or
third person. Except as stated in this rule or otherwise permitted
by law or by agreement with the client, a lawyer shall promptly
deliver to the client or third person any funds or other property
that the client or third person is entitled to receive and, upon
request by the client or third person, shall promptly render a full
accounting regarding such property.
11
Regarding GRPC Rule 1.15 (II) (a),5 the Special Master
concluded Davis violated this rule because, as a fiduciary, he was
required to deposit his sister’s life insurance proceeds into an
interest-bearing trust account for the benefit of his nephew, but
instead, he deposited the funds into a personal investment account
and “administered” the funds from there. The Special Master
further found that Davis admitted to these acts at his deposition.
Regarding GRPC Rule 1.15 (II) (b),6 the Special Master
5 GRPC Rule 1.15 (II) (a) provides:
Every lawyer who practices law in Georgia, whether said lawyer
practices as a sole practitioner, or as a member of a firm,
association, or professional corporation, and who receives money
or property on behalf of a client or in any other fiduciary capacity,
shall maintain or have available one or more trust accounts as
required by these rules. All funds held by a lawyer for a client and
all funds held by a lawyer in any other fiduciary capacity shall be
deposited in and administered from a trust account.
6 GRPC Rule 1.15 (II) (b) provides:
No personal funds shall ever be deposited in a lawyer’s trust
account, except that unearned attorney’s fees may be so held until
the same are earned. Sufficient personal funds of the lawyer may
be kept in the trust account to cover maintenance fees such as
service charges on the account. Records on such trust accounts
shall be so kept and maintained as to reflect at all times the exact
balance held for each client or third person. No funds shall be
withdrawn from such trust accounts for the personal use of the
lawyer maintaining the account except earned lawyer’s fees
12
concluded Davis violated this rule by failing to keep and maintain
accurate records of expenditures made from the life insurance
proceeds.
Regarding GRPC Rule 3.4 (a),7 the Special Master concluded
Davis violated this rule when he unlawfully obstructed his nephew’s
access to evidence for nearly a year during the probate court
proceedings and failed to provide an accounting of expenditures of
the funds after the nephew’s attorney repeatedly requested it. The
Special Master also concluded that Davis violated this rule when he
failed to produce an accounting of expenditures after ordered to do
so by the probate court, finding that some documentation of
expenditures existed when the accounting was first requested by the
nephew’s attorney.
debited against the account of a specific client and recorded as
such.
7 GRPC Rule 3.4 (a) provides: “A lawyer shall not: unlawfully obstruct
another party’s access to evidence or unlawfully alter, destroy or conceal a
document or other material having potential evidentiary value. A lawyer shall
not counsel or assist another person to do any such act.”
13
Regarding GRPC Rule 3.5 (d),8 the Special Master concluded
Davis violated this rule by failing to attend the probate proceedings.
Regarding GRPC Rule 8.1 (b),9 the Special Master concluded
Davis violated this rule by failing to provide the accounting
requested by the State Bar during its investigation in the
disciplinary proceeding and by failing to respond to the notice of
investigation, which led to his interim suspension pursuant to Bar
Rule 4-204.3 (d) in 2018.
Finally, regarding GRPC Rule 8.4 (a) (5),10 the Special Master
concluded Davis violated this rule by “violat[ing] his fiduciary duties
to account for funds held in trust (i.e., the money collected by him
and held in his IOLTA account), which formed the basis of the
8 GRPC Rule 3.5 (d) provides that “[a] lawyer shall not, without regard
to whether the lawyer represents a client in the matter: engage in conduct
intended to disrupt a tribunal.”
9 GRPC Rule 8.1 (b) provides in relevant part that “a lawyer . . . in
connection with a disciplinary matter, shall not: fail to disclose a fact necessary
to correct a misapprehension known by the person to have arisen in this
matter, or knowingly fail to respond to a lawful demand for information from
a[] . . . disciplinary authority . . . .”
10 GRPC Rule 8.4 (a) (5) provides that it is a violation of the Rules for a
lawyer to “fail to pay any final judgment or rule absolute rendered against such
lawyer for money collected by him or her as a lawyer within ten days after the
time appointed in the order or judgment.”
14
judgment against him [by] his nephew” and by failing to pay the
probate court judgment.
(b) Application of ABA Standards.
The Special Master looked to the ABA Standards for Imposing
Lawyer Sanctions (“ABA Standards”) to determine the appropriate
punishment for Davis’s misconduct, see In the Matter of Morse, 266
Ga. 652, 653 (470 SE2d 232) (1996) (ABA Standards are instructive
in determining the appropriate level of discipline), and noted that in
imposing a sanction for a lawyer’s misconduct, a court should
consider: (1) the duty violated; (2) the lawyer’s mental state; (3) the
potential or actual injury caused by the lawyer’s misconduct; and (4)
the existence of aggravating or mitigating factors. See ABA
Standard 3.0.
The Special Master found that Davis violated his duties by: (1)
failing to preserve his nephew’s property, see ABA Standard 4.1; (2)
failing to obtain informed consent regarding the conflict of interest
inherent in drafting a will that allowed him to serve, without bond,
as executor, conservator, and guardian, see ABA Standard 4.3; (3)
15
failing to diligently handle his nephew’s affairs entrusted to him
both before and after the nephew turned 18, see ABA Standard 4.4;
(4) failing to recognize his lack of competency in acting as a fiduciary
for his nephew, see ABA Standard 4.5; (5) misleading the nephew’s
attorney and the probate court in order to protect his actions from
scrutiny, see ABA Standard 4.6; (6) deliberately withholding
material information regarding the status of his sister’s estate and
the nephew’s conservatorship from the probate court, see ABA
Standard 6.1; and (7) violating duties owed to the probate court by
unnecessarily delaying the progress of the nephew’s reasonable
efforts to obtain an accounting of the funds that had been entrusted
to him, see ABA Standard 6.2.
Regarding Davis’s mental state, the Special Master made
lengthy and detailed findings. The Special Master found that Davis
was affected by grief, depression, and anxiety, but that Davis never
suggested he was incompetent. The Special Master accepted that
Davis’s clinical depression and anxiety played a role in his general
avoidance of his duties. But, the Special Master concluded that
16
Davis’s mental state when he drafted his sister’s will and when his
sister died shortly thereafter was different than the mental state he
had five years later when his nephew reached the age of majority
and the probate court became involved. Ultimately, the Special
Master concluded that Davis’s depression did not explain his
behavior when the probate court and his nephew’s attorney
requested that he provide an accounting and appear in court.
The Special Master found that while Davis did not admit to
stealing the money, he could not establish that he used all the money
to pay the nephew’s expenses. Nonetheless, Davis acknowledged he
owed his nephew the amount of the probate court judgment, but
stated he could not pay the judgment because the funds had been
depleted.
Ultimately, the Special Master found that some of Davis’s
conduct was negligent, i.e., he grossly disregarded his duties as
executor and conservator, but that a significant amount of Davis’s
conduct appeared to be knowing and intentional, with the purpose
of avoiding the consequences of having misused or squandered his
17
nephew’s funds without any excuse, oversight, or recordkeeping.
The Special Master noted that Davis’s nephew lived alone most of
the time after his mother’s death and should have been protected by
the arrangements she made for him, but instead, Davis shunned his
nephew, drained and depleted his funds, and attacked him when he
inquired about the funds. The Special Master concluded that this
more culpable mental state distinguished Davis’s actions from cases
where trust accounting problems were based on oversight failure
alone, see In the Matter of Mathis, 312 Ga. 626 (864 SE2d 40) (2021),
or oversight failure alongside serious personal and emotional
problems, see In the Matter of Cook, 311 Ga. 206 (857 SE2d 212)
(2021).
Regarding any presumptive penalty, the Special Master
recited that the maximum penalty for Davis’s violations of GRPC
Rules 1.7 (a) and (b), 1.15 (I) (a) and (c), 1.15 (II) (a) and (b), 3.4 (a),
8.1 (b), and 8.4 (a) (5) was disbarment, and the maximum penalty
for his violation of GRPC Rule 3.5 (d) was a public reprimand. Based
on the application of the ABA Standards, Davis’s mental state, and
18
the ongoing injury to his nephew, the Special Master concluded that
“the presumptive penalty is clearly disbarment.”
Regarding the potential or actual injury caused by Davis’s
misconduct, the Special Master found that the nephew suffered
serious, actual injury from Davis’s misconduct, exemplified by the
probate court judgment and Davis’s failure to pay. The Special
Master also found that the nephew suffered serious, actual injury as
a result of Davis’s withholding information and not appearing in
court.
Regarding the existence of aggravating or mitigating factors,
the Special Master found five aggravating factors supported by clear
and convincing evidence: (1) Davis violated multiple GRPC Rules
over several years, see ABA Standard 9.22 (d); (2) Davis obstructed
the disciplinary proceeding by failing to respond to the State Bar’s
demands for information, see ABA Standard 9.22 (e); (3) Davis’s
nephew was a vulnerable victim because he was orphaned at age 13,
see ABA Standard 9.22 (h); (4) Davis had practiced law for 26 years,
see ABA Standard 9.22 (i); and (5) Davis was involved in two prior
19
disciplinary matters in the form of an Investigative Panel
Reprimand in 2014 and a Formal Letter of Admonition in 2016, see
ABA Standard 9.22 (a).
The Special Master found three mitigating factors supported
by the evidence: (1) Davis had difficulty dealing with the deaths of
family members, which affected his law practice and his judgment,
see ABA Standard 9.32 (c); (2) Davis’s partially untreated
depression and anxiety played a role in his misconduct, see ABA
Standard 9.32 (i); and (3) Davis’s leadership positions in his
children’s school organizations justified a finding of his positive
character and reputation insofar as Davis reported that he tutored
students, volunteered as a career day speaker, served in various
offices of his children’s elementary school’s PTA/PTSA, was
chairman of the local school advisory council, vice chairman of the
school governance council, president of Westlake High School PTSA,
and school board chairman of Berean Christian Junior Academy, see
ABA Standard 9.32 (g).
(c) Recommendation of Discipline.
20
The Special Master concluded that disbarment remained the
presumptive penalty because, sympathy aside, the mitigating
factors were not sufficient to offset the aggravating factors. After a
review of Davis II and other cases “involving violations of trust
accounting rules and [GRPC] Rule 8.4,” the Special Master
recommended that Davis be disbarred, with two reinstatement
conditions. First, Davis must make full repayment of his debt to his
nephew. See In the Matter of Woodall, 273 Ga. 412, 417 (541 SE2d
649) (2001) (disbarring attorney and requiring that “prior to
submitting any petition for reinstatement, [attorney] shall make full
restitution to the estate of all moneys he received in regard to his
representation of the estate . . . .”); In the Matter of Henderson, 289
Ga. 135, 136 (710 SE2d 124) (2011) (rejecting petition for voluntary
suspension because petitioner had not made full restitution to
victim). Second, Davis must provide certification from a licensed
mental health professional that he was fit to practice law prior to
seeking reinstatement. See In the Matter of Moore, 305 Ga. 419, 420-
421 (825 SE2d 225) (2019) (describing what is necessary to include
21
in mental health evaluation). Davis filed exceptions to the Special
Master’s report and recommendation and sought review by the
Review Board.
3. Review Board’s Report and Recommendation.
The Review Board concluded that the Special Master’s factual
findings were supported by the record and were not clearly
erroneous or manifestly in error and adopted them. The Review
Board further concluded that the Special Master’s conclusions of law
were correct and adopted them. The Review Board also affirmed the
Special Master’s grant of partial summary judgment to the State
Bar. Next, the Review Board adopted the Special Master’s findings
with regard to the ABA Standards and the applicable aggravating
and mitigating factors. The Review Board recommended that this
Court adopt the Special Master’s findings and disbar Davis with
conditions for reinstatement.
4. Davis’s Exceptions.
Davis has made four exceptions to the Review Board: (1) Bar
22
Rule 4-22211 prohibits the State Bar from prosecuting conduct that
occurred outside the four-year time limitation provided for in the
rule; (2) the Special Master’s recommendation of disbarment is too
harsh and not suited to the facts of this case; (3) the Bar Rules do
not assign “presumptive” discipline for a lawyer’s conduct; and (4)
the probate court judgment is the proper vehicle for making Davis’s
nephew whole. We conclude that these exceptions are without merit.
First, Davis drafted his sister’s will in August 2012, and the
State Bar filed its grievance within six years on March 12, 2018. Bar
Rule 4-222 (a) contains a four-year limitation, but permits a two-
year tolling period where “the offense is unknown.” Here, Davis’s
nephew did not discover Davis’s misconduct until he reached the age
11 Bar Rule 4-222 (a) provides:
No proceeding under Part IV, Chapter 2, shall be brought unless a
Memorandum of Grievance, a written description pursuant to Rule
4-202 (a), or a Client Assistance Program referral form has been
received at the State Bar of Georgia headquarters or instituted
pursuant to these Rules within four years after the commission of
the act; provided, however, this limitation shall be tolled during
any period of time, not to exceed two years, that the offender or the
offense is unknown, the offender’s whereabouts are unknown, or
the offender’s name is removed from the roll of those authorized to
practice law in this State.
23
of majority and instituted probate court proceedings. Accordingly,
this exception has no merit. We further note that Davis
unconditionally admitted in his petition for voluntary discipline that
he violated GRPC Rule 1.7 (b) by failing to obtain his sister’s
informed consent as to the potential conflict of interest in naming
Davis as the executor in her will and to violating GRPC Rule 1.15 (I)
(a) by depositing the insurance proceeds into his IOLTA account and
failing to maintain accurate records.
Second, we conclude that disbarment is consistent with the
ABA Standards and this Court’s rulings in similar cases. Davis
attempts to rely on several cases involving trust account violations
for his argument that disbarment is too harsh a sanction,12 but these
cases are distinguishable. In several of these cases, there was no
12 See Cook, 311 Ga. at 218 (3) (public reprimand appropriate for repeated
violations of GRPC Rules 1.15 (I) (a) and (II) (a) and (b)); In the Matter of Brock,
306 Ga. 388, 389 (830 SE2d 736) (2019) (Review Board reprimand appropriate
for violations of GRPC Rules 1.15 (I) (a) and (c), 1.15 (II) (a) and (b), and 5.3 (a)
and (b)); In the Matter of Ralston, 300 Ga. 416, 416 (794 SE2d 646) (2016)
(Review Board reprimand appropriate for violation of GRPC Rules 1.8 (e) and
1.15 (II) (b)); In re Brown, 297 Ga. 865, 866 (778 SE2d 790) (2015) (public
reprimand appropriate for violation of GRPC Rules 1.3, 1.4, 1.15(I) (a), 1.15(II)
(a), and 1.15(III) (b)); In re Francis, 297 Ga. 282, 283 (773 SE2d 280) (2015)
(public reprimand appropriate for one violation of GRPC Rule 1.15(II)).
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harm done to a client or third party. See Cook, 311 Ga. at 218 (3) (a)
(concluding that no client or third party suffered any actual harm as
a result of the violations); Ralston, 300 Ga. at 418 (concluding there
was an absence of any apparent harm to a client or benefit to the
lawyer); Francis, 297 Ga. at 283 (concluding that no clients were
harmed). Additionally, in the cases where clients were harmed,
there were timely, good-faith efforts to make restitution and to
rectify the consequences of the misconduct. See Brock, 306 Ga. at
390; Brown, 297 Ga. at 867. Here, Davis’s misconduct not only
harmed his nephew, but there was no timely, good-faith effort to
make restitution. Rather, Davis appeared to have stonewalled both
his nephew and the probate court. Further, in all of these cases,
there was either no intentional conduct by the lawyer or no dispute
that the lawyer’s conduct was not the result of a selfish or dishonest
motive. See Cook, 311 Ga. at 218 (3) (a) (no evidence that the lawyer
acted dishonestly, intentionally, or maliciously); Brock, 306 Ga. at
389 (evidence showed that the lawyer failed to supervise his
paralegal’s use of the trust account); Ralston, 300 Ga. at 417 (no
25
dispute that the lawyer did not intentionally violate GRPC Rule 1.8
(e)); Brown, 297 Ga. at 866 (no dispute that the lawyer’s actions were
not the result of a dishonest or sinister motive); Francis, 297 Ga. at
283 (no dispute that the lawyer’s conduct was not for a selfish or
dishonest motive). Here, the Special Master found that at least some
of Davis’s misconduct was intentional, e.g., Davis “deliberately and
improperly withheld material information . . . regarding the status
of [his nephew’s] estate and the conservatorship from the [p]robate
[c]ourt” and “[i]t took [Davis] being jailed for contempt to get [Davis]
to take ‘remedial action.’” “[B]ecause this Court recognizes that the
special master is in the best position to determine the witnesses’
credibility, it generally defers to the factual findings and credibility
determinations made by the special master unless those findings or
determinations are clearly erroneous.” In the Matter of Eddings, 314
Ga. 409, 416 (877 SE2d 248) (2022). And the Special Master’s
findings that some of Davis’s misconduct was intentional were not
clearly erroneous.
Third, although Davis contends that the Special Master’s
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“application of a presumptive penalty for violation of each of the Bar
Rules [was] a clear error of law,” Davis’s complaint regarding the
Special Master’s recommendation is immaterial since, ultimately,
“the level of punishment imposed rests in the sound discretion of
this Court.” Cook, 311 Ga. at 218 (3) (a).
Fourth, we conclude that, contrary to Davis’s contentions, the
State Bar did not “inappropriately expand[] its prosecution” when it
alleged that Davis violated GRPC Rule 8.4 (a) (5) and the Special
Master did not “erroneously appl[y]” the rule when she
recommended repayment of the probate court judgment as a
condition of reinstatement. See In re Smith Fitch, 298 Ga. 379, 380
(782 SE2d 40) (2016) (imposing a six-month suspension with
conditions for reinstatement where the lawyer violated GRPC Rules
1.5 and 8.4 (a) (5) by failing to timely pay a probate court judgment
resulting from her representation in a conservatorship case); In re
Roberson, 273 Ga. 651, 651 (544 SE2d 715) (2001) (adopting Review
Panel’s recommendation of disbarment with special condition of
making full restitution prior to seeking reinstatement). Further, as
27
stated above, “the level of punishment imposed rests in the sound
discretion of this Court.” Cook, 311 Ga. at 218 (3) (a). And we note
that Davis unconditionally admitted in his petition for voluntary
discipline that he violated GRPC Rule 8.4 (a) (5).
5. Analysis and Conclusion.
Based on a careful review of the evidence in the record, we
agree with the Special Master that disbarment is appropriate for
Davis’s violation of GRPC Rules 1.7 (a) and (b), 1.15 (I) (a) and (c),
1.15 (II) (a) and (b), 3.4 (a), 3.5 (d), 8.1 (b), and 8.4 (a) (5), with
reinstatement conditioned upon full payment of the probate
judgment and certification from a licensed mental health
professional of Davis’s fitness to practice law. See In the Matter of
Harris, 301 Ga. 378, 379 (801 SE2d 39) (2017) (disbarring attorney
for violating GRPC Rules 1.15 (I) and 1.15 (II) by
“misappropriat[ing] trust funds and commingl[ing] those funds with
his own,” even though attorney deposited $12,500 of his personal
funds to cure deficiencies in his trust account); In the Matter of
Anderson, 286 Ga. 137, 141 (685 SE2d 711) (2009) (disbarring
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attorney for violating GRPC Rules 1.15 (I) and 1.15 (II) with
reinstatement conditioned upon repayment of a judgment, making
restitution, and completing the State Bar’s Law Practice
Management Program); In the Matter of Byars, 282 Ga. 630, 631
(652 SE2d 567) (2007) (disbarring attorney for violations of the trust
accounting rules and GRPC Rule 8.4 (a) by depositing clients’
settlement checks into trust account and converting them to his own
use); In the Matter of Oellerich, 278 Ga. 22, 25 (596 SE2d 156) (2004)
(disbarring attorney for using his client’s estate as a source of funds
for his close corporation, with reinstatement conditioned upon his
making full restitution to the estate). Accordingly, it is hereby
ordered that the name of Willie George Davis, Jr. be removed from
the rolls of persons authorized to practice law in the State of
Georgia. Davis is reminded of his duties pursuant to Bar Rule 4-219
(b).
Disbarred. All the Justices concur.
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