Annabelle Clinton Imber, Justice,
dissenting. This court stice, Association Standing Committee on Professional Discipline to “examine the structure, operations, and procedures of our lawyer disciplinary system for the purpose of making recommendations for improvements to the system.” See In Re: Amendments to the Procedures Regulating Professional Conduct of Attorneys at Law, 345 Ark. 675 (2001) (per curiam). Pursuant to that Standing Committee’s report, and after reviewing comments and making further deliberations, we adopted the procedures that are now in place. Id. Yet, the majority today has refused to apply the plain and ordinary language of our recently adopted rules in order to reach the result it feels is equitable. While I can empathize with Attorney Gillaspie in this case, abandoning our own rules of procedure to reach a desired result only tears at the foundation of our established system for adjudicating matters of attorney discipline. In my view, the preservation of the rule of law is at stake here. I must therefore respectfully dissent.
The majority holds that an attorney need not file a response to a formal complaint filed by 'the Committee on Professional Conduct when an admission of fault by the attorney is attached as an exhibit to the complaint. Our rules make no such exception. Indeed, the Procedures of the Arkansas Supreme Court Regulating Professional Conduct of Attorneys at Law (hereinafter “the Procedures”) are clear and unambiguous:
(1)An attorney’s failure to provide, in the prescribed time and manner, a written response to a formal complaint served in compliance with Section 9(A)(2) shall constitute separate and distinct grounds for the imposition of sanctions notwithstanding the merits of the underlying, substantive allegations of the complaint; or,
(2)May be considered for enhancement of sanctions imposed upon a finding of violation of the Model Rules.
(3)The separate imposition or the enhancement of sanctions for failure to respond may be accomplished by the panel’s notation of such failure in the appropriate sanction order and shall not require any separate or additional notice to the respondent attorney.
(4) Failure to respond to a formal complaint shall constitute an admission of the factual allegations of the complaint and shall extinguish a respondent’s right to a public hearing.
(a) Provided, however, that a respondent attorney, within the time specified in Section 10(D) (3), may file with the Executive Director an original and eight (8) copies of a petition for reconsideration, stating, on oath, compelling and cogent evidence of unavoidable circumstances sufficient to excuse or justify the failure to respond. Otherwise, the panel’s decision shall be final and will be filed of record with the Clerk.
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(d) If the petition for reconsideration is denied, the panel’s original decision and imposition of sanctions become final and will be filed of record with the Clerk. Appeal from the Committee’s denial of reconsideration and the imposition of sanctions may be taken in the time and manner prescribed by the applicable provisions of Section 12. Provided, however, that such appeal cannot attack the substantive allegations of the complaint and shall be limited to the panel’s denial of reconsideration.
Proced. Regulating Profl Cond. § 9(C) (2003). There is no doubt that an attorney’s failure to provide a written response to a formal complaint shall constitute separate and distinct grounds for the imposition of sanctions. Proced. Regulating Profl Cond. § 9(C) (2003). The majority completely ignores that rule and states “[w]e see no reason for Mr. Gillaspie to file a second document stating: ‘I admit that the untimely filing of the Notice of Appeal is my fault,’ when . .. the Office already had Mr. Gillaspie’s response and admission of fault on file.” The reason we require an attorney to file a response is quite simple: to preserve the rules established by this court. The majority opinion begs the question — under what factual scenario will this court decide to apply its rules?
An attorney who fails to file a timely response to a formal complaint may file a petition for reconsideration, stating, on oath, compelling and cogent evidence of unavoidable circumstances sufficient to excuse or justify the failure to respond. Proced. Regulating Profl Cond. § 9(C)(4)(a) (2003). However, an appeal from the denial of a petition to reconsider and the imposition of sanctions “shall be limited to the panel’s denial of reconsideration.” Proced. Regulating Profl Cond. § 9(C)(4)(d) (2003).
The question before this court is whether Attorney Gillaspie’s petition for reconsideration identified compelling and cogent evidence of unavoidable circumstances sufficient to excuse or justify the failure to respond. The term “unavoidable circumstances” is defined by the Procedures as “circumstances not attributable to negligence, carelessness, fault, or the lack of diligence on the part of the respondent attorney.” Proc. Regulating Profl Cond. § 2(M) (2003). The petition cited three primary reasons for his failure to respond: (1) he had no defense to assert; (2) he was ignorant of the rules governing the proceedings; and (3) the penalty in this case is too harsh.
First, Attorney Gillaspie’s assertion that he did not have a defense to assert simply does not relieve him of his responsibility to file a response. The lack of a defense is not a circumstance that justifies a failure to respond under the Procedures. The Procedures speak in terms of unavoidable circumstances that excuse an attorney’s failure to respond. In other words, to excuse or justify the failure to respond, a respondent attorney must show circumstances that are outside of his or her control. Furthermore, a disciplinary proceeding involves not only a determination of guilt, but also the imposition of sanctions. Admitting guilt does not relieve an attorney from the obligation to file a response that may weigh on the sanction imposed by the Committee. Indeed, the cover letter accompanying the formal disciplinary complaint notified the respondent attorney that communicating with the Office about a negotiated disposition by consent would not eliminate his obligations to timely file a written response to the formal complaint.
The second excuse, as pled by Attorney Gillaspie, is that he was ignorant of the procedures and consequences contained in the Procedures. Being ignorant of the rules is not a justifiable excuse. Moreover, the respondent attorney here was directed to the pertinent rules and informed that his failure to respond might subject him to adverse consequences. In the criminal context, we have reiterated the old maxim that “ignorance of the law is never an excuse to a criminal charge.” See, e.g., Owens v. State, 354 Ark. 644, 128 S.W.3d 445 (2003) (citing Williams v. State, 346 Ark. 304, 309, 57 S.W.3d 706, 710 (2001)). The same is true in civil matters. See Hogg v. Jerry, 299 Ark. 283, 773 S.W.2d 84 (1989) (explaining ignorance of a duty to register securities, or to procure their exemption, can in no way excuse the failure to do so); Dunkin v. Citizens Bank of Jonesboro, 291 Ark. 588, 727 S.W.2d 138 (1987) (stating that ignorance of the law has never served as a good reason or an excuse for a failure to present proof to the trial court). Ignorance of the Procedures is not a sufficient excuse to justify Attorney Gillaspie’s failure to respond.
For his last excuse, Attorney Gillaspie suggests that the severe sanctions imposed by the Committee warrant reconsideration. Such an argument, however, ignores the fact that the respondent attorney was required to file a response to the complaint before the Committee made its findings. The severity of a sanction cannot excuse or justify an attorney’s failure to file a response to the formal complaint. To rule otherwise would be to get the proverbial “cart before the horse.”
Therefore, I conclude that Attorney Gillaspie provided no “compelling and cogent evidence of unavoidable circumstances sufficient to excuse or justify the failure to respond” to the formal complaint. Proced. Regulating Prof 1 Cond. § 9(C)(4)(a). Accordingly, I cannot say that the Committee’s denial of reconsideration was clearly erroneous.
While section 9(C) of the Procedures precludes this court from ruling on the severity of the sanctions imposed by the Committee, the court can address whether the sanctions imposed by the Committee were within the range authorized by the procedures. The procedures provide that a lawyer’s privilege to practice law may be suspended not longer than five years when a panel finds that the lawyer has engaged-in “serious misconduct.” See Proced. Regulating Profl Cond. § 17(E)(2) (2002). Attorney Gillaspie asserts on appeal that his conduct does not rise to the level of “serious misconduct” that is required to restrict a lawyer’s license under section 17 of the Procedures Regulating Professional Conduct. Fie buttresses his point by simply listing factors the Committee is required to consider under the Procedures. See Proced. Regulating Prof 1 Cond. § 19 (2003).
The two sections of the Procedures cited by Attorney Gillaspie state in pertinent part:
B. Serious Misconduct. Serious misconduct is conduct in violation of the Model Rules1 that would warrant a sanction terminating or restricting the lawyer’s license to practice law. Conduct will be considered serious misconduct if any of the following considerations apply:
(1) The misconduct involves the misappropriation of funds;
(2) The misconduct results in or is likely to result in substantial prejudice to a client or other person;
(3) The misconduct involves dishonesty, deceit, fraud, or misrepresentation by the lawyer;
(4) The misconduct is part of a pattern of similar misconduct;
(5) The lawyer’s prior record of public sanctions demonstrates a substantial disregard of the lawyer’s professional duties and responsibilities; or
(6) The misconduct constitutes a “Serious Crime” as defined in these Procedures.
Proced. Regulating Profl Cond. § 17(B) (2003).
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In addition to any other considerations permitted by these Procedures, a panel of the Committee, in imposing any sanctions, shall consider:
A. The nature and degree of the misconduct for which the lawyer is being sanctioned.
B. The seriousness and circumstances surrounding the misconduct.
C. The loss or damage to clients.
D. The damage to the profession.
E. The assurance that those who seek legal services in the future will be protected from the type of misconduct found.
F. The profit to the lawyer.
G. The avoidance of repetition.
H. Whether the misconduct was deliberate, intentional or negligent.
I. The deterrent effect on others.
J. The maintenance of respect for the legal profession.
K. The conduct of the lawyer during the course of the Committee action.
L. The lawyer’s prior disciplinary record, to include warnings.
M. Matters offered by the lawyer in mitigation or extenuation except that a claim of disability or impairment resulting from the use of alcohol or drugs may not be considered unless the lawyer demonstrates that he or she is .successfully pursuing in good faith a program of recovery.
Proced. Regulating Prof 1 Cond. § 19 (2003). While section 19 of the Procedures uses mandatory language, we have recognized that the Committee is not required to set out its findings. Mays v. Neal, 327 Ark. 302, 938 S.W.2d 830 (1997).
Here, Attorney Gillaspie’s repeated failure to timely file documents comes within several of the considerations listed in section 19 of the Procedures. The consistent failure to act prudently in the representation of several clients does damage to the reputation of the legal profession. Proced. Regulating Profl Cond. § 19 (D). A severe sanction is necessary in such circumstances to assure that those who seek legal services in the future will be protected from the type of misconduct found here — the failure to timely file documents. Proced. Regulating Profl Cond. § 19 (E). Specifically, civil litigants are not given the same protections as criminal defendants when documents are filed late. See, e.g., Morris v. Stroud, 317 Ark. 628, 883 S.W.2d 1 (1994). Attorney Gillaspie’s failure to heed prior sanctions shows that a severe sanction was necessary to avoid repetition of the misconduct. Proced. Regulating Profl Cond. § 19 (G). Furthermore, Attorney Gillaspie once again failed to file a timely response to the disciplinary action brought against him by the Committee. See Proced. Regulating Profl Cond. § 19 (K). Finally, the record reveals that Attorney Gillaspie has a substantial listing of prior disciplinary sanctions. Proced. Regulating Profl Cond. § 19 (L).
Considering all the factors enunciated in Section 19 of the Procedures, I conclude that respondent attorney’s conduct in this case satisfies at least two of the stated considerations in section 17 of the Procedures. Specifically, Attorney Gillaspie’s prior record of public sanctions reveals a pattern of similar misconduct and demonstrates a substantial disregard of his professional duties and responsibilities. See Proced. Regulating Profl Cond. § 17 (B)(4), (5). Between the years 1989 and 2002, Attorney Gillaspie was sanctioned seven separate times. Six of the seven sanctions stemmed from a failure to timely file various documents, including notices of appeal, records, and briefs. The first sanction occurred because Attorney Gillaspie erroneously informed his client that he had filed her divorce action; then his phone was disconnected and the client was told he had left town. Attorney Gillaspie’s professional misconduct has merited four reprimands, two warnings, and an order to enroll in the Arkansas Lawyers Assistance Program (ARLAP).2
The majority agrees that Attorney Gillaspie’s failure to timely file a notice of appeal is “serious misconduct,” but suggests that the failure to respond to a formal complaint can never constitute serious misconduct. That suggestion is contrary to the plain language of our rules. Section 19 of the Procedures requires the panel to consider thirteen factors when imposing any sanction, including a sanction for the failure to respond to a formal complaint. Thus, for the same reasons Attorney Gillaspie’s conduct in failing to timely file a notice of appeal falls within the ambit of “serious misconduct,” Attorney Gillaspie’s failure to respond to the Committee’s formal complaint also falls within the scope of “serious misconduct” as defined by the Procedures.
There is ample evidence in the record to support a finding of serious misconduct under section 17 of the Procedures. Furthermore, the sanctions imposed by the Committee were within the range authorized by the Procedures. Thus, I cannot conclude that the Committee’s findings and sanctions are clearly erroneous.
The majority, on the other hand, has ignored our own rules of procedure and side-stepped the Committee to decide what it feels is a proper and equitable sanction. This is evident from the internal inconsistency within the majority opinion itself. Specifically, the majority holds that the Committee erred in sanctioning Attorney Gillaspie for his failure to respond to the formal complaint; yet, it increases the sanction for his failure to timely file a notice of appeal by adding a nine-month probation under the supervision of ARLAP. In so holding, the majority avoids the application of this court’s own rules of procedure and supplants the Committee’s judgment with its own. If the majority insists on establishing such a precedent, the Procedures and the Committee should be abolished and this court should be the one and only panel adjudicating matters of attorney discipline.
Glaze, J., joins.The Procedures define the term “Model Rules” to include any “rules adopted by the Arkansas Supreme Court regulating the professional conduct of attorneys at law.” Proced. Regelating Profl Cond. § 2(G) (2003). The Procedures “were promulgated for the purpose of regulating the professional conduct of attorneys at law . . . .” Proced. Regulating Profl Cond. § 1(A) (2003). Thus, a violation of the Procedures constitutes a violation of the “Model Rules” as contemplated by the Procedures.
In his petition for reconsideration, Attorney Gillaspie admits to being referred to ARLAP and failing to enroll.