FOR THE RESPONDENT FOR THE INDIANA SUPREME COURT
DISCIPLINARY COMMISSION
Kevin P. McGoff Donald R. Lundberg, Executive Secretary Kiefer & McGoff 115 West Washington Street, Ste. 1060 8900 Keystone Crossing, Ste. 400 Indianapolis, IN 46204 Indianapolis, IN 46240 _________________________________________________________________
IN THE MATTER OF )
) Case No. 17S00-9407-DI-627
RICHARD J. THONERT )
_________________________________________________________________
Lawyers who have been suspended from the practice of law may not allow their non-
lawyer staff to continue to actively operate their law office and conduct business on behalf
of clients during the period of suspension.
On July 3, 1997, this Court suspended the respondent, Richard J. Thonert, for a period
of thirty days, beginning August 11, 1997, and ending September 10, 1997, for violations of
the Rules of Professional Conduct for Attorneys at Law. Matter of Thonert, 682 N.E.2d 522
(Ind. 1997). That order specified that the respondent would be automatically reinstated to
the practice of law, provided he pay the costs of the underlying proceeding and comply with
the requirements of Admis.Disc.R. 23(4)(c).See footnote
1
On September 2, 1997, the Commission filed
its Verified Objection to Automatic Reinstatement, stating that during the period of his
suspension, the respondent engaged or attempted to engage in the practice of law by acting
through non-attorney employees of his office. On September 10, 1997, this Court stayed the
respondent's automatic reinstatement pending consideration of the Commission's objections.
Thereafter, the parties filed stipulations of fact and a joint petition for ruling. Each fully
briefed its position. On October 17, 1997, this Court issued an Order Imposing Additional
Suspension and Lifting Stay of Automatic Reinstatement, finding that the respondent
"violated the order of suspension and that . . . an additional period of suspension, with
automatic reinstatement, is warranted." Accordingly, we extended the respondent's
suspension from September 10, 1997, until October 17, 1997. This opinion more fully sets
forth the facts and circumstances of this case and our analysis underlying our decision to
extend his suspension.
I. FACTS
his support staff could take during the period of suspension. The respondent recorded the
conversation and allowed his staff to listen to the tape. He then told his staff members that
they were not to provide legal advice to clients, but that they could keep clients informed of
court dates or other matters that occurred in their cases, that if they had questions they should
contact the attorney with whom the respondent had arranged for them to speak, and that the
designation "Attorney at Law" should be removed from the office letterhead. In signed
correspondence, the respondent directed them to write "Secretary to Richard J. Thonert."
Projects the respondent instructed his staff to undertake during the period of suspension
included going through old accounts receivable and sending out new statements, organizing
the office, and closing old files. He gave them no specific instructions concerning the
preparation and processing of routine forms and correspondence. During the suspension,
several clients in fact spoke with the attorney to whom they were referred. That attorney
appeared in court on numerous matters on behalf of the respondent's clients.
While in his office during the period of suspension, the respondent reviewed incoming
mail and dictated "informational" letters to clients. The letters, signed by the secretaries,
advised of court hearings or other matters relative to specific cases. His staff produced,
signed and dispersed form letters advising clients of documents received during the
suspension period. The respondent stipulated that not only did he believe that he and his
staff were permitted to provide such information to clients, but also that his failure to do so
could expose him to further disciplinary action. If a matter on an existing case needed to be
continued or some other action was needed, the respondent directed his staff to contact the
referral attorney to handle the matter. In some instances, the respondent and/or his staff
prepared motions or other documents and forwarded them to the attorney for signature and
filing. If an existing client presented a new matter, or if a potential new client contacted the
office, the person either was directed to another attorney or was scheduled to meet with the
respondent after the period of suspension expired.
On August 8, 1997, a member of the respondent's support staff prepared and sent a
letter to a deputy prosecuting attorney in Allen County requesting his support in a motion for
sentence modification. Attached to the letter was a proposed petition for modification of
sentence, an agreed entry, and a status report from the client's probation officer. This
correspondence was a duplicate of an earlier, pre-suspension request which the respondent
had sent to the prosecutor but which the prosecutor apparently had not acknowledged.
On August 18, 1997, a member of the respondent's support staff sent a letter to
another of the respondent's clients enclosing a charging information and providing
instructions relating to discovery material which had been received from the prosecutor in
the case. The support staff person indicated that it was the usual practice in the respondent's
office to forward to clients discovery materials and other pleadings received by the
respondent. The respondent dictated similar letters during his suspension for signature and
dispersal by his clerical staff.
On August 20, 1997, a member of the respondent's support staff called the Wells
County Prosecutor's Office asking about discovery, charging documents, cause numbers, and
hearing dates relative to a criminal action pending against one of the respondent's clients.
The call was to follow up on similar inquiries made by the respondent to the prosecutor's
office prior to his suspension.
On August 21, 1997, a member of the respondent's support staff prepared and sent
a letter to an Allen County deputy prosecuting attorney requesting that the prosecutor agree
to modify the conviction of another of the respondent's clients from a Class D felony to a
Class A misdemeanor. Attached to the letter was a petition, an agreed entry, and a status
report from the probation officer. The correspondence was essentially a duplicate of a prior
request made by the respondent to the deputy prosecutor.
On August 25, 1997, a member of the respondent's support staff sent a letter to a
Wells County deputy prosecuting attorney concerning one of the respondent's clients. The
letter stated, in relevant part:
Dear [Deputy Prosecuting Attorney]:
I am writing concerning [client]. His present driving status is HTV. In order for him
to become reinstated, it would be necessary to set aside one or more of the above-referred
convictions.
If vacating one or more of these convictions would be acceptable to your office, I am
enclosing the following documents:
1. Copy of [client's] Driver's Record
2. Agreed Entry/Order
After you have the opportunity to review your file, please send a letter concerning
your position in this matter to our office. I remain,
Very truly yours,
[Secretary]
Secretary to Richard J. Thonert
The support staff person signing the letter considered the act of producing and
dispersing the letter a routine "clerical" task.
On August 26, 1997, a member of the respondent's support staff prepared and sent
a letter to an Allen County deputy prosecuting attorney requesting that the prosecutor agree
to a petition for post-conviction relief to vacate and set aside a prior traffic offense against
another of the respondent's clients. Attached to the letter was a petition for post-conviction
relief, an agreed entry, and a proposed order. Again, the correspondence essentially was a
duplicate of a request made by the respondent prior to his suspension.
The respondent stipulates that numerous other documents similar to those identified
above were produced and sent by his staff during his period of suspension. The respondent's
bookkeeper received on his behalf no legal fees on new matters during his period of
suspension.
On September 7, 1997, after learning that his automatic reinstatement had been stayed
upon the Commission's objections, the respondent met with his staff and informed them that
the letters mailed to the deputy prosecutors and others went beyond informing clients of the
status of their cases, that they should not have been sent, and that they could not continue
to be sent during the period of his suspension. The respondent then arranged for the referral
attorney to completely supervise the respondent's office pending his reinstatement.
actively operate his law office and conduct business on behalf of clients during the period
of suspension." Specifically, the Commission contends that the respondent's law office
engaged in the unauthorized practice of law during the respondent's period of suspension.
The respondent argues that it was not his intention to violate this Court's order of suspension
and that his intention only was to allow his staff to continue to disperse routine
correspondence and information to clients and adverse parties as it systematically did before
he was suspended.
Matter of Perello, 270 Ind. 390, 398, 386 N.E.2d 174, 179 (1979). We have also said that
"[to] practice law is to carry on the business of an attorney at law," and "to make it one's
business to act for, and by the warrant of, others in legal formalities, negotiations, or
proceedings." Fink v. Peden, 214 Ind. 584, 17 N.E.2d 95 (1939). A person who gives legal
advice to clients and transacts business for them in matters connected with the law is engaged
in the practice of law. State ex rel. Pearson v. Gould, 437 N.E.2d 41 (Ind. 1982). Thus, the
practice of law is not defined only as the giving of legal advice or acting in a representative
capacity-- it also had been extended by this Court to conducting the business management
of a law practice.
It is undisputed that the respondent's non-lawyer support staff produced motions,
proposed entries, and correspondence seeking legal relief on behalf of clients and sent them
to opposing counsel. It is also undisputed that the staff informed clients of upcoming hearing
dates, provided instructions to them for answering formal discovery requests and, in a
general sense, advised them of the status of their legal proceedings. We find that the
communications to public officials undertaken in a representative capacity by the members
of the respondent's support staff during his period of suspension, which sought to obtain
benefits for individuals represented by the respondent, constituted the practice of law.
Likewise, the production and communication of motions, pleadings, and proposed agreed
entries, done without the supervision of an attorney licensed to practice in this state,
constituted the unauthorized practice of law. Pursuant to court rule, legal assistants may
perform services only under the direct supervision of a lawyer authorized to practice in this
state. See Guideline 9.1: Use of Legal Assistants. A lawyer is responsible for all of the
professional actions of a legal assistant performing legal assistant services at the lawyer's
direction and should take reasonable measures to ensure that the legal assistant's conduct is
consistent with the lawyer's obligations under the Rules of Professional Conduct. Id. The
respondent himself admits that his staff should not have contacted deputy prosecuting
attorneys asking that the state agree to sentence modifications or post-conviction relief and
that they should not have sent discovery to clients with instructions as to how to begin preparing factual responses. He states that he should have given clearer and more thorough advice and instruction to his staff about what it could and could not do during his suspension. The respondent was responsible for ensuring that his staff was adequately informed about what it could and could not do while he was suspended. Guideline 9.1; see also Ind.Professional Conduct Rule 5.3. The order imposing his initial suspension was filed July 3, 1997, with the suspension effective August 11. The purpose of the delay between issuance of the order and the effective date of the suspension was to give the respondent time to make arrangements for the care of his clients' legal needs, both substantive and ministerial, to be placed in the expert hands or under the supervision of a licensed attorney. He failed to make adequate arrangements or provide sufficient explanation until his staff had engaged in the unauthorized practice of law. His failure to do so placed his clients at great risk by allowing their cases to be handled by those not trained in the law and licensed to practice.See footnote 2
This case also included less obvious instances of misconduct. The fact that the respondent allowed his support staff to continue "to carry on the business of an attorney at law," i.e., to inform clients of upcoming hearing dates, to apprise them of the status of their legal matters, etc., without the direct supervision of a licensed attorney, constituted the unauthorized practice of law. We caution that to allow non-lawyer staff any contact with clients about the legal status of their cases in the absence of a lawyer's supervision risks harm to the legal rights of the clients. By this decision today, we do not mean to imply that lawyers who have been suspended from the practice of law should simply "walk away" from the practice of law to the detriment of their clients; instead, lawyers should make arrangements for all client needs arising during the period of suspension to be handled by or under the direct supervision of a licensed attorney, or inform all clients who do not choose to use the services of the referral attorney to seek substitute legal counsel of their choice. Admis.Disc.Rule 23(26)(c).See footnote 3
We note, however, that the respondent made a good-faith effort to inform his
employees of what they could and could not do during his suspension. When he learned of
their communications with clients and prosecutors, he immediately took action to correct the
wrongful conduct. He has also expressed sincere remorse for his actions. Because the
respondent apparently did not intend to circumvent our July 3, 1997, order of suspension,
we find that the brief extension of the suspension already imposed is a sufficient sanction for
his misconduct during his period of suspension. The respondent is also admonished of his
obligations to comply with the duties of disbarred or suspended attorneys set forth in
Admis.Disc.R. 23(26)(b) and discussed in this Court's recent opinions in Matter of Deloney,
689 N.E.2d 431 (Ind. 1997), Matter of Thonert, 682 N.E.2d 522, etc.
Costs of this proceeding are assessed against the respondent.
title. (Emphasis added).
The respondent's actions in this case took place before this Court formalized its position with the amendment to Admis.Disc.R. 23(26)(b).
(c) Duties of Suspended Attorneys. The suspended attorney shall, within twenty (20)
days from the date of the notice of suspension, file with the Court an affidavit
showing that:
(1) All clients being represented by the attorney in pending matters have been notified by certified mail, return receipt requested, of the nature and duration of the suspension, and all pending matters of clients requiring the attorney's services during the period of suspension have been placed in the hands and care of an attorney admitted to practice before the Supreme Court of Indiana with the consent of the client.
(2) Clients not consenting to be represented by substitute counsel have been
advised to seek the services of counsel of their own choice.
(3) Proof of compliance with this section of the rule shall be a condition
precedent to reinstatement.
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