IN THE SUPREME COURT OF APPEALS OF WEST VIRGINIA
January 2024 Term FILED
_____________________ March 21, 2024
released at 3:00 p.m.
C. CASEY FORBES, CLERK
No. 22-916 SUPREME COURT OF APPEALS
_____________________ OF WEST VIRGINIA
LAWYER DISCIPLINARY BOARD,
Petitioner,
v.
JEFFERY A. DAVIS,
Respondent.
___________________________________________________________
Lawyer Disciplinary Proceeding
Nos. 21-03-363 and 22-03-255
LAW LICENSE SUSPENDED AND OTHER SANCTIONS IMPOSED
_________________________________________________________
Submitted: February 7, 2024
Filed: March 21, 2024
Rachael L. Fletcher Cipoletti, Esq. Michael D. Dunham, Esq.
Chief Lawyer Disciplinary Counsel Shuman McCuskey Slicer PLLC
Renee N. Frymyer, Esq. Winchester, Virginia
Lawyer Disciplinary Counsel Counsel for the Respondent
Office of Disciplinary Counsel
Charleston, West Virginia
Counsel for the Petitioner
JUSTICE WOOTON delivered the Opinion of the Court.
SYLLABUS BY THE COURT
1. “A de novo standard applies to a review of the adjudicatory record
made before the [Hearing Panel Subcommittee of the Lawyer Disciplinary Board] as to
questions of law, questions of application of the law to the facts, and questions of
appropriate sanctions; this Court gives respectful consideration to the [Hearing Panel
Subcommittee’s] recommendations while ultimately exercising its own independent
judgment. On the other hand, substantial deference is given to the [Hearing Panel
Subcommittee’s] findings of fact, unless such findings are not supported by reliable,
probative, and substantial evidence on the whole record.” Syl. Pt. 3, Comm. on Legal
Ethics of the W. Va. State Bar v. McCorkle, 192 W. Va. 286, 452 S.E.2d 377 (1994).
2. “This Court is the final arbiter of legal ethics problems and must make
the ultimate decisions about public reprimands, suspensions or annulments of attorneys’
licenses to practice law.” Syl. Pt. 3, Comm. on Legal Ethics of the W.Va. State Bar v. Blair,
174 W. Va. 494, 327 S.E.2d 671 (1984).
3. “Rule 3.16 of the West Virginia Rules of Lawyer Disciplinary
Procedure enumerates factors to be considered in imposing sanctions and provides as
follows: ‘In imposing a sanction after a finding of lawyer misconduct, unless otherwise
provided in these rules, the Court [West Virginia Supreme Court of Appeals] or Board
[Lawyer Disciplinary Board] shall consider the following factors: (1) whether the lawyer
i
has violated a duty owed to a client, to the public, to the legal system, or to the profession;
(2) whether the lawyer acted intentionally, knowingly, or negligently; (3) the amount of
the actual or potential injury caused by the lawyer’s misconduct; and (4) the existence of
any aggravating or mitigating factors.’” Syl. Pt. 4, Off. of Law. Disciplinary Couns. v.
Jordan, 204 W. Va. 495, 513 S.E.2d 722 (1998).
4. “Aggravating factors in a lawyer disciplinary proceeding are any
considerations or factors that may justify an increase in the degree of discipline to be
imposed.” Syl. Pt. 4, Law. Disciplinary Bd. v. Scott, 213 W. Va. 209, 579 S.E.2d 550
(2003).
5. “Mitigating factors in a lawyer disciplinary proceeding are any
considerations or factors that may justify a reduction in the degree of discipline to be
imposed.” Syl. Pt. 2, Law. Disciplinary Bd. v. Scott, 213 W. Va. 209, 579 S.E.2d 550
(2003).
6. “In deciding on the appropriate disciplinary action for ethical
violations, this Court must consider not only what steps would appropriately punish the
respondent attorney, but also whether the discipline imposed is adequate to serve as an
effective deterrent to other members of the Bar and at the same time restore public
confidence in the ethical standards of the legal profession.” Syl. Pt. 3, Comm. on Legal
Ethics of W. Va. State Bar v. Walker, 178 W. Va. 150, 358 S.E.2d 234 (1987).
ii
WOOTON, Justice:
This is a lawyer disciplinary proceeding brought against the respondent
Jeffrey A. Davis, a member of the West Virginia State Bar, arising out of a two-count
Statement of Charges issued against him by the Investigative Panel of the Lawyer
Disciplinary Board (“the Board”) and brought to this Court by the Office of Disciplinary
Counsel (“ODC”) on behalf of the Board. The Board’s Hearing Panel Subcommittee
(“HPS”) determined that the respondent committed multiple violations of the West
Virginia Rules of Professional Conduct (“Rules”).1 The HPS recommended that the
respondent’s law license be suspended for a period of three years, served retroactively
based on this Court’s March 14, 2022, mandate suspending the respondent’s law license
for a six-month period in a separate disciplinary matter,2 in addition to other sanctions.3
1
Specifically, the HPS found that the respondent violated Rule 1.4(a)(4) and Rule
8.4(a) and (d) in regard to Count I and Rules 1.3, 3.2, and 1.16(d) in regard to Count II.
2
At the time the subject charges were filed, the respondent’s law license had been
suspended for a six-month period pursuant to a March 14, 2022, mandate issued by this
Court in a separate disciplinary matter. See Law. Disciplinary Bd. v. Davis, 2022 WL
421119 (W. Va. filed Feb. 11, 2022) (memorandum decision) (involving six violations of
the West Virginia Rules of Professional Conduct arising from a single disciplinary
complaint filed on November 20, 2020, concerning respondent’s failure to communicate
and timely file motions in a privately retained criminal matter). Following completion of
the six-month suspension, on August 26, 2022, the respondent filed a petition seeking to
reinstate his law license pursuant to Rule 3.32 of the West Virginia Rules of Lawyer
Disciplinary Procedure. On March 30, 2023, the HPS filed its report with the Court in
which it recommended that the respondent’s license not be reinstated. On May 12, 2023,
the Court entered an order adopting the HPS’s recommendation to deny the respondent’s
petition for reinstatement.
3
See infra discussion.
1
The ODC consented to the HPS’s recommendation. The respondent objected to the
recommendation and, accordingly, this Court scheduled the matter for oral argument with
briefs to be submitted by the parties in support of their respective positions.
This Court has now carefully considered the parties’ written and oral
arguments, the submitted record, and the pertinent authorities. Upon our review, we find
that the record and law support the HPS’s report, and we adopt the report and recommended
sanctions contained therein.
I. Facts and Procedural Background
The respondent was admitted to the practice of law in West Virginia in 1993,
and last practiced in Spencer, West Virginia. He has a lengthy disciplinary history.
After two formal charges, as described more fully below, were filed against
the respondent, the HPS conducted a hearing in May, 2023, wherein the respondent and
the two complainants testified. In addition, the ODC submitted several exhibits and the
parties submitted stipulations regarding certain findings of fact, conclusions of law, and
recommendation as to discipline, which were admitted into evidence during the hearing
without objection. The following is a summary of the evidence regarding the two counts.
2
A. Count I
This count involved the respondent’s court-appointed representation of a
defendant, Samantha Shafer, in a criminal case.4 The evidence established that on October
25, 2021, Ms. Shafer submitted a document to the circuit court, which the court referred to
as a “pro se motion,” following a hearing involving Ms. Shafer’s entry of a guilty plea and
sentencing.5 In the motion, Ms. Shafer stated that the respondent made sexual overtures
toward her and had asked her “if [she] wanted to go to the beach with him while [she] was
his client.” She requested that the court appoint her a new public defender. The court
replaced the respondent as Ms. Shafer’s counsel the next day. On November 2, 2021, the
circuit court sent Ms. Shafer’s motion to ODC, which opened a complaint.
The respondent answered the complaint, denying any wrongdoing. He
indicated that his representation of Ms. Shafer had resulted in a plea agreement whereby
she entered a guilty plea. After the plea was entered, but before she was sentenced, she
reviewed her pre-sentence investigation (“PSI”) report and became angry. She was told by
4
The evidence showed that Ms. Shafer was charged with several counts in two
different indictments: the first indictment included counts for third offense shoplifting,
conspiracy to commit a felony, obtaining money by false pretense, and conspiracy to
commit a misdemeanor; the second indictment included counts for burglary, grand larceny,
and two counts of conspiracy to commit a felony.
5
The respondent negotiated a plea deal for Ms. Shafer in which she pled guilty to
one count of grand larceny, one count of third offense shoplifting, and one count of first
offense shoplifting, which was a misdemeanor. Communications broke down when Ms.
Shafer’s bond was revoked and she was placed in jail due to a failed drug test.
3
a probation officer that in order to be considered for alternative sentencing she had to enroll
in a drug rehabilitation facility because she had failed a prior drug screen.6 The respondent
indicated that he discussed this issue with Ms. Shafer on October 25, 2021, and she told
him that she regretted entering the plea because she did not want to go to drug
rehabilitation. Ms. Shafer then filed the “pro se motion” seeking his removal from her case
and the circuit court replaced him as her counsel.
At the respondent’s disciplinary hearing, Ms. Shafer testified that while
representing her, the respondent picked her up in his vehicle and took her and her son7 to
get food. After getting food, the respondent then drove to an abandoned school parking lot
and parked the car so that they could talk. She stated that the respondent never discussed
her case with her but they talked about trips, and he offered to take her on an all-expense
paid trip to the beach. She felt the conversation was inappropriate and unprofessional. She
stated that he also gave her compliments on her looks. She testified that she was under the
impression the respondent was flirting with her and had she reciprocated, she would have
been given different legal representation: “I feel like if I would have went along with it,
that I would have been represented differently.” Instead, she stated that he would not
6
While Ms. Shafer was out on bond before she entered the guilty plea she had a
positive drug screen and the circuit court revoked her bond. Her bond was later reinstated
as a result of the respondent filing a motion to reinstate bond.
Ms. Shafer’s son was not called as a witness at the disciplinary hearing. Also, the
7
respondent disputed that Ms. Shafer’s son was with her when he picked her up.
4
discuss her case with her despite her case involving several serious felony charges. Further,
after Ms. Shafer’s bond was revoked, she was incarcerated for about six weeks before she
was re-released when her bond was reinstated. She testified that during this time, the
respondent made no attempt to contact her and he never answered her phone calls even
though she placed a call to his office every day.8 She stated that she was able to speak with
the respondent on three occasions while she was incarcerated, when another individual
called the respondent on her behalf with her on the line as a third party.9
The respondent also testified at the hearing and denied making flirtatious
comments to Ms. Shafer or offering to take her on an all-expense paid trip to the beach. In
regard to the comments, he stated that on one occasion he told Ms. Shafer that she looked
nice because she was dressed appropriately for court. In regard to the beach trip, the
respondent testified that he never offered to take Ms. Shafer to the beach. However, he
stated that in an attempt to calm Ms. Shafer down when she was nervous and upset about
going to prison, he told her to think of a place that made her happy and where she could
forget her troubles. When Ms. Shafer responded that she liked the beach, he told her to
think about the beach. The respondent also testified that he believed that he had adequately
communicated with Ms. Shafer during her incarceration and that it would have been a
8
Ms. Shafer testified that prior to her incarceration the respondent would return her
calls when she left messages within “a couple days later.”
9
There is no evidence that these three telephone conversations concerned anything
other than her case.
5
“waste of time and the state’s money” to visit with her while she was in jail. He stated that
he did not accept collect calls from jail and only communicated with her as a result of a
three-way call in which she was joined into the call. Specifically, the respondent denied
that he engaged in any misconduct in regard to Ms. Shafer.10
Based upon evidence offered in regard to Count I, the HPS found that
because the respondent failed to respond to Ms. Shafer’s phone calls while she was
incarcerated, he violated Rule of Professional Conduct 1.4.11 The HPS also found that the
respondent made “unwelcome advances in an attempt to create an inappropriate
relationship of a sexual nature with his court-appointed client” in violation of “Rule 8.4(a)
and (d)12 [attempted violation of Rule 1.8(j) of the Rules of Conduct].”13 (Footnote added.).
10
The respondent and the ODC entered into “Stipulations Regarding Certain
Findings of Fact, Conclusions of Law and Recommendations as to Discipline”
(“stipulations”), which were admitted into evidence at the respondent’s disciplinary
hearing. See infra discussion. The respondent declined to stipulate to any violation of the
Rules of Professional Conduct pertaining to Ms. Shafer.
Rule 1.4 (a) provides, in part: “(a) A lawyer shall: . . . (4) promptly comply with
11
reasonable requests for information[.]”
12
Rule 8.4 provides: “It is professional misconduct for a lawyer to: (a) violate or
attempt to violate the Rules of Professional Conduct, knowingly assist or induce another
to do so, or do so through the acts of another; . . . [or] (d) engage in conduct that is
prejudicial to the administration of justice[.]”
13
Rule 1.8 (j) provides:
A lawyer shall not have sexual relations with a client
whom the lawyer personally represents during the legal
representation unless a consensual sexual relationship existed
between them at the commencement of the lawyer/client
6
B. Count II
The second count arose from a complaint that ODC received from Cletis W.
Rogers on July 7, 2022, in which Mr. Rogers stated that he had entered into an agreement
with the respondent to represent him in a civil matter and that he had paid the respondent
$500 to file an injunction on his behalf. Mr. Rogers claimed that the respondent had not
filed the injunction and he wanted his money refunded.
In response to Mr. Rogers’ complaint, the respondent stated that he had
agreed to represent him in September, 2021, to seek an injunction in regard to a blocked
right of way involving Mr. Rogers’ property. Mr. Rogers told the respondent that he
wanted to use the right of way to haul timber cut on his land. Mr. Rogers paid the
respondent $500 for his representation. The respondent stated that Mr. Rogers told him in
the fall or early winter of 2021 that there was no rush in filing the action because the
weather would be bad until spring. The respondent admitted that he had had no
communications with Mr. Rogers until Mr. Rogers filed suit against him in magistrate court
in December of 2021. Mr. Rogers testified in magistrate court that he never instructed the
respondent to wait until spring to bring the action. On March 7, 2022, the magistrate court
relationship. For purposes of this rule, “sexual relations”
means sexual intercourse or any touching of the sexual or other
intimate parts of a client or causing such client to touch the
sexual or other intimate parts of the lawyer for the purpose of
arousing or gratifying the sexual desire of either party or as a
means of abuse.
7
awarded Mr. Rogers $700 ($500 refund plus $200 filing fee). The respondent did not
satisfy the civil judgment owed to Mr. Rogers until December 8, 2022.
Unlike the allegations involving Ms. Shafer, the respondent stipulated that
he had “neglected Mr. Rogers’ case and failed to take appropriate action” in violation of
Rule 1.3,14 “failed to make reasonable efforts consistent with the stated and agreed upon
objectives of Mr. Rogers” in violation of Rule 3.2,15 and “failed to promptly return the
unearned fee paid to him by Mr. Rogers upon termination of representation” in violation
of Rule 1.16(d).16
Rule 1.3 provides that “[a] lawyer shall act with reasonable diligence and
14
promptness in representing a client.”
15
Rule 3.2 provides that “[a] lawyer shall make reasonable efforts to expedite
litigation consistent with the interest of the client.”
16
Rule 1.16(d) provides:
(d) Upon termination of representation, a lawyer shall
take steps to the extent reasonably practicable to protect a
client’s interests, such as giving reasonable notice to the client,
allowing time for employment of other counsel, surrendering
papers and property to which the client is entitled and
refunding any advance payment of fee that has not been earned
or incurred. The lawyer may retain papers relating to the client
to the extent permitted by other law.
8
Based on the evidence, the HPS proceeded to consider the appropriate
sanctions to be imposed in light of the violations it found.17 See Syl. Pt. 4, Off. of Law.
Disciplinary Coun. v. Jordan, 204 W. Va. 495, 513 S.E.2d 722 (1998) (setting forth factors
to be considered in imposing sanctions and discussed infra in greater detail); accord W.
Va. R. Law. Disciplinary Proc. 3.16. Specifically, the HPS found that the clear and
convincing evidence established that the respondent violated the duties that he owed to his
clients and the profession. The HPS also found that the respondent “acted in a negligent
manner in these matters.” The HPS considered the fact that the respondent’s actions
“caused frustration and delay on the part of Mr. Rogers[,]” and Ms. Shafer testified that
she felt “abandoned” and “did not feel Respondent was on her side.” In regard to the
aggravating and mitigating factors, the HPS found the respondent had aggravating factors
of prior disciplinary offenses, including thirty-three complaints, eight disciplinary
sanctions consisting of six admonishments and two suspensions over a fifteen-year period,
and substantial experience in the practice of law. The HPS found the respondent’s
cooperative attitude towards the proceedings to be a mitigating factor.
17
We note that the respondent and ODC agreed to recommended sanctions that
included, inter alia, a one-year license suspension, “served retroactively based on the
Supreme Court’s Mandate of March 14, 2022, which suspended Respondent’s license to
practice for six months.” However, the parties also stipulated that this Court is “the final
arbiter in lawyer disciplinary matters” and that we can impose sanctions “which may differ
from those stipulated or those recommended by the [HPS].” For reasons discussed infra
in greater detail, the HPS (and this Court) declined to adopt the recommended one-year
suspension as a sanction.
9
The HPS then recommended the following sanctions:
1) Respondent’s law license be suspended for a period of three
years, served retroactively based upon the Supreme Court’s
Mandate of March 14, 2022, which suspended Respondent’s
license to practice law for six months.
2) That Respondent[’s] petition for reinstatement pursuant to
Rule 3.32 of the Rules of Lawyer Disciplinary Procedure [be
denied [until] . . . [he] undergo[es] a psychological evaluation
with confirmation of his ability to practice law. Should he be
reinstated to the practice of law pursuant to those proceedings,
that Respondent’s practice be supervised for a period of two
years by an attorney agreed upon by the ODC and
Respondent;18
3) Respondent shall pay the costs of this disciplinary
proceeding to Rule 3.15 of the Rules of Lawyer Disciplinary
Procedure.
(Footnoted added).
The ODC consented to the HPS’s recommendation and the respondent filed
a general objection to the “recommended disposition, findings and conclusions” by the
HPS, which caused the case to be placed on the Court’s docket.
18
The language of the HPS’s sanction in regard to the reinstatement read, in part,
as follows: “That Respondent petition for reinstatement pursuant to Rule 3.32 of the Rules
of Lawyer Disciplinary Procedure be denied. That Respondent undergo a psychological
evaluation with confirmation of this ability to practice law.” This phrasing is awkward, at
best, and necessitated the modification indicated above.
10
II. Standard of Review
In lawyer disciplinary proceedings, this Court reviews the report by the HPS,
including its recommended sanctions, under the following standard of review:
A de novo standard applies to a review of the
adjudicatory record made before the [Hearing Panel
Subcommittee of the Lawyer Disciplinary Board] as to
questions of law, questions of application of the law to the
facts, and questions of appropriate sanctions; this Court gives
respectful consideration to the [Hearing Panel
Subcommittee’s] recommendations while ultimately
exercising its own independent judgment. On the other hand,
substantial deference is given to the [Hearing Panel
Subcommittee’s] findings of fact, unless such findings are not
supported by reliable, probative, and substantial evidence on
the whole record.
Syl. Pt. 3, Comm. on Legal Ethics of the W. Va. State Bar v. McCorkle, 192 W. Va. 286,
452 S.E.2d 377 (1994). While affording respectful consideration to the recommendations
made by the HPS, we have held that “[t]his Court is the final arbiter of legal ethics problems
and must make the ultimate decisions about public reprimands, suspensions or annulments
of attorneys’ licenses to practice law.” Syl. Pt. 3, Comm. on Legal Ethics of the W.Va.
State Bar v. Blair, 174 W. Va. 494, 327 S.E.2d 671 (1984). With these standards in mind,
we proceed to the merits of this matter.
III. Discussion
The respondent argues that the HPS erred in its factual findings and in
concluding that he violated Rules 1.4 and 8.4 of the Rules of Professional Conduct
11
involving Ms. Shafer.19 In regard to the factual findings made by the HPS, the respondent
contends that they “were incorrect, unsound, and not supported by clear and convincing
evidence on the whole adjudicatory record and should thereby be overturned.” He
specifically targets the HPS’s credibility determinations, contending that the HPS
“surprisingly found” Ms. Shafer’s testimony to be more reliable than his despite his
contention that “much of Shafer’s testimony was verifiably false or unreliable[]” and
“unsubstantiated.” In support of this argument, the respondent rehashes the evidence that
was considered by the HPS and arbitrarily selects various statements made either by him
or Ms. Shafer to show that the HPS erred in affording Ms. Shafer’s testimony more weight
because, according to the respondent, she was not being truthful and he was. The
respondent also contends that Ms. Shafer’s memory of the events was “vague” and he
insinuates that her testimony pertaining to events that transpired before her incarceration
was hindered by her “testing positive for marijuana and methamphetamines.”
This Court gives “substantial deference . . . to the [HPS’s] findings of fact,
unless such findings are not supported by reliable, probative, and substantial evidence on
the whole record.” See McCorkle, 192 W. Va. at 287, 452 S.E.2d at 378, Syl. Pt. 3. Further,
the HPS “hears the testimony of the witnesses firsthand and, being much closer to the pulse
of the hearing, is much better situated to resolve such issues as credibility.” Id. at 290, 452
19
The respondent stipulated to the factual findings and rule violations pertaining to
Count II involving Mr. Rogers and therefore makes no argument as to the HPS’s report in
regard to Count II.
12
S.E.2d 377 at 381. Based on our review of the record in this case, we find that the findings
of fact made by the HPS were supported by “reliable, probative, and substantial evidence”;
therefore, we decline the respondent’s invitation to disturb them.
Next, the respondent argues that the HPS erred in determining that he
violated Rules 1.420 and 8.421 of the Rules of Professional Conduct. The respondent
contends that he did not violate Rule 1.4 – which requires a lawyer to “promptly comply
with reasonable requests for information” – simply because he “failed to respond to
Shafer’s phone calls while she was incarcerated” as found by the HPS. The respondent
argues that he communicated with Ms. Shafer on multiple occasions while she was
incarcerated. Thus, he contends that his failure to answer her daily phone calls is not a
violation of the requirement of Rule 1.4 to comply with “reasonable requests for
information.” (Emphasis added).
We are mindful of the fact that the HPS found that the evidence supported
that the respondent did speak with Ms. Shafer on three occasions during the six-week
period in which she was incarcerated and that the respondent “testified that he believed he
had adequately informed her on the status of the matter[.]” However, in support of its
determination that the respondent violated Rule 1.4, the HPS focused upon the
20
See supra note 11.
21
See supra note 12.
13
respondent’s failure to visit Ms. Shafer while she was incarcerated, stating that it “would
just be a waste of time and the state’s money[,]” the respondent’s explanation that “he did
not accept collect calls from jail and that he did not believe that his landline could take
collect calls[,]” and his failure “to respond to Ms. Shafer’s phone calls while she was
incarcerated[.]” The HPS found that “the only time she was able to speak with Respondent
was when another individual called him on her behalf with her on the line as a third party[]”
and that “they spoke in this manner on maybe three occasions.” Thus, the HPS’s
determination that a violation of Rule 1.4 occurred in this case was based on its factual
findings that the respondent failed to “promptly comply” with her repeated phone calls to
him seeking information about her case, in that he never initiated a return phone call to Ms.
Shafer or visited with her while she was incarcerated. See W. Va. R. Pro. Conduct
1.4(a)(4). The Court declines to find that the HPS erred in regard to its determination that
the respondent violated Rule 1.4.22
Also, in regard to the respondent’s contention that the clear and convincing
evidence failed to establish that he “attempted to create an inappropriate relationship of a
sexual nature with Shafer[,]” he again focuses on Ms. Shafer’s credibility by arguing that
she was being untruthful and he was being truthful. It was within the purview of the HPS
to determine whether a violation of Rule 8.4 (a) and (d) occurred, based upon its
22
Our adoption of the HPS’s determination that Rule 1.4 was violated is limited to
the specific facts of this case and should not be read to suggest that three phone calls with
a client over a six-week period is per se evidence of a violation of that rule.
14
consideration of Ms. Shafer’s description of the respondent’s comments to her about going
to the beach while they were meeting in the respondent’s car that was parked in the parking
lot of an abandoned school, as well as his comments to her about her clothing, which she
viewed as flirtatious. The HPS determined that these comments were “unwelcome
advances in an attempt to create an inappropriate relationship of a sexual nature with his
court-appointed client” in violation of Rule 8.4(a) and (d). Ms. Shafer was the respondent’s
client in a felony criminal matter, and she was depending on him to protect her liberty.
Under our de novo review, we conclude that the “reliable, probative, and substantial
evidence” supports the finding that the respondent violated Rule 8.4(a) and (d) of the Rules
of Professional Conduct, as determined by the HPS. See McCorkle, 192 W.Va. at 287, 452
S.E.2d at 378, Syl. Pt. 3.
Finally, with no supporting legal authority or discussion of facts supporting
his position, the respondent argues that the recommended disposition of suspension for
three years is two years “greater than the stipulated proposed disciplinary recommendation,
[and] is excessive as it gives deference to [Ms.] Shafer’s testimony and is not supported by
clear and convincing evidence. Moreover, [the respondent] has taken accountability for
his actions that did violate the Rules of Professional Responsibility . . . .”
In regard to the HPS’s recommended sanction of a three-year suspension, we
are guided by our holding in syllabus point four of Office of Lawyer Disciplinary Counsel
v. Jordan, 204 W. Va. 495, 513 S.E.2d 722 (1998):
15
Rule 3.16 of the West Virginia Rules of Lawyer
Disciplinary Procedure enumerates factors to be considered in
imposing sanctions and provides as follows: “In imposing a
sanction after a finding of lawyer misconduct, unless otherwise
provided in these rules, the Court [West Virginia Supreme
Court of Appeals] or Board [Lawyer Disciplinary Board] shall
consider the following factors: (1) whether the lawyer has
violated a duty owed to a client, to the public, to the legal
system, or to the profession; (2) whether the lawyer acted
intentionally, knowingly, or negligently; (3) the amount of the
actual or potential injury caused by the lawyer’s misconduct;
and (4) the existence of any aggravating or mitigating factors.”
Based on the factors set forth in Rule 3.16 and Jordan, the HPS found that
the respondent violated duties he owed to his clients and the profession. The respondent
admitted that he violated the duty he owed to Mr. Rogers to diligently pursue the injunction
action he was retained to pursue. Further, the HPS determined that the respondent failed
to “reasonably communicate” with Ms. Shafer and “initiat[ed] intimate and unprofessional
conversations with her,” falling short of his “duties and fiduciary role” with his client in a
felony case. As discussed supra in greater detail, we agree with the HPS’s conclusions
that the respondent violated duties owed to his client and the profession. 23 We also agree
with the HPS’s determination that “[t]he evidence is clear and convincing that Respondent
23
In regard to the duties owed to the profession, the HPS relied upon a lawyer’s
“duties of candor, loyalty, diligence and honesty to their clients,” the fiduciary duties owed
to clients and the obligation to act in their best interests, the duty to maintain the integrity
of the profession, and that “[m]embers of the public should be able to rely on lawyers to
protect their property, liberty, and their lives[,]” finding that “[t]he evidence in this case
establishes by clear and convincing proof that Respondent violated these duties.” We adopt
HPS’s determination in this regard.
16
acted in a negligent manner in these matters.” As to the amount of injury caused by the
respondent’s misconduct, the HPS determined that his conduct “caused frustration and
delay” on Mr. Rogers’ part, and because Mr. Rogers indicated that he no longer trusts
lawyers, the respondent “brought the legal system and legal profession into disrepute.” In
regard to Ms. Shafer, the HPS found that she suffered “emotional injuries,” that were
“intangible,” but “nonetheless significant.” The HPS based this conclusion, in part, on her
testimony that “she did not feel Respondent was on her side.” We agree with the HPS’s
findings and conclusions in regard to the first three Jordan factors. See id.
Finally, the HPS considered the aggravating and mitigating factors present.
This Court held in syllabus point four of Lawyer Disciplinary Board v. Scott, 213 W. Va.
209, 579 S.E.2d 550 (2003), that “[a]ggravating factors in a lawyer disciplinary proceeding
are any considerations or factors that may justify an increase in the degree of discipline to
be imposed.” In regard to aggravating factors, the HPS found that the respondent had a
long history of prior disciplinary offenses. The respondent had been the subject of thirty-
three complaints and eight disciplinary sanctions, including six admonishments and two
suspensions. The HPS also found the respondent’s substantial experience in the practice
of law to be an aggravating factor. We also held in syllabus point two of Scott, that
“[m]itigating factors in a lawyer disciplinary proceeding are any considerations or factors
that may justify a reduction in the degree of discipline to be imposed.” Id. at 209, 579
S.E.2d at 550, Syl. Pt. 2. The HPS noted that the respondent’s “cooperative attitude toward
the proceedings may be considered in mitigation.” We also agree with the HPS’s
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evaluation of the aggravating and mitigation factors present in this case. See Jordan, 204
W. Va. at 497, 513 S.E.2d at 724, Syl. Pt. 4.
Based on its assessment of the Jordan factors, the HPS recommended that a
three-year suspension be imposed and served retroactively to the Supreme Court’s Mandate
of March 14, 2022, which suspended the respondent’s license to practice law for six
months. In syllabus point three of Committee on Legal Ethics of West Virginia State Bar
v. Walker, 178 W. Va. 150, 358 S.E.2d 234 (1987), this Court held:
In deciding on the appropriate disciplinary action for
ethical violations, this Court must consider not only what steps
would appropriately punish the respondent attorney, but also
whether the discipline imposed is adequate to serve as an
effective deterrent to other members of the Bar and at the same
time restore public confidence in the ethical standards of the
legal profession.
In addition, a fundamental purpose of attorney disciplinary proceedings is to
safeguard the public’s interest in the administration of justice. See Off. of Law.
Disciplinary Couns. v. Albers, 214 W. Va. 11, 13, 585 S.E.2d 11, 13 (2003) (“Because of
the enormous amount of trust that the public places in its lawyers, this Court must insure
that the public’s interests are protected and that the integrity of the legal profession is
maintained.”). Here, the respondent and the ODC agreed that the respondent should be
suspended based on his conduct, and proposed a nonbinding recommended disposition of
a one-year suspension. However, in its report the HPS recommended a three-year
suspension as a more appropriate sanction, due to the “long history of misconduct exhibited
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by the Respondent, including 33 complaints, 8 disciplinary sanctions, 6 admonishments,
and 2 suspensions over a 15-year period.” The HPS noted that “[t]he entire record
demonstrates an ongoing pattern of misconduct that has not been corrected by past minimal
sanctions[]” and found the parties’ proposed stipulated sanction of one year to be
“insufficient.”
We agree; the HPS’s recommended sanctions, including a three-year
suspension, are consistent with this Court’s obligation to protect the public interest and
dissuade similar conduct in the future. See, e.g., Comm. on Legal Ethics of the W. Va. State
Bar v. Keenan, 189 W. Va. 37, 427 S.E.2d 471 (1993) (imposing suspension for an
indefinite period for engaging in a pattern and practice of failing to communicate with
clients, to act with reasonable diligence, to keep clients reasonably informed, and to return
unearned fees); Law. Disciplinary Bd. v. Morgan, 228 W. Va. 114, 717 S.E.2d 898 (2011)
(imposing one year suspension for violation of Rules 1.3, 1.4, 8.1(b), 8.4(d), and other
violations); Law. Disciplinary Bd. v. Rossi, 234 W. Va. 675, 769 S.E.2d 464 (2015)
(imposing three-year suspension for violation of Rules 1.3, 1.4, 8.1(b), 8.4(d), and other
violations). Upon consideration of the facts and circumstances in this case, we agree with
the HPS that the public, the legal system, and the profession will be best served by the
imposition of the sanctions recommended by the HPS, and accordingly adopt each
recommended sanction, including a three-year suspension of the respondent’s law license.
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IV. Conclusion
For all the foregoing reasons, we order the following sanctions:
A. Respondent’s law license be suspended for a
period of three years, served retroactively based upon the
Supreme Court’s Mandate of March 14, 2022, which
suspended Respondent’s license to practice law for six
months.24
B. That Respondent’s petition for reinstatement
pursuant to Rule 3.32 of the Rules of Lawyer Disciplinary
Procedure be denied until he undergoes a psychological
evaluation with confirmation of his ability to practice law.
Should he be reinstated to the practice of law pursuant to those
proceedings, that Respondent’s practice be supervised for a
period of two years by an attorney agreed upon by the ODC
and Respondent;
C. Respondent shall pay the costs of this
disciplinary proceeding to Rule 3.15 of the Rules of Lawyer
Disciplinary Procedure.
Law License Suspended and Other Sanctions Imposed.
24
The respondent’s law license shall not be reinstated before March 14, 2025.
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