Iowa Supreme Court Attorney Disciplinary Board v. Vicki Lorraine Ryan , 2015 Iowa Sup. LEXIS 53 ( 2015 )


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  •                 IN THE SUPREME COURT OF IOWA
    No. 15–0147
    Filed May 1, 2015
    IOWA SUPREME COURT ATTORNEY DISCIPLINARY BOARD,
    Complainant,
    vs.
    VICKI LORRAINE RYAN,
    Respondent.
    On review of the report of the Grievance Commission of the
    Supreme Court of Iowa.
    Grievance commission recommended one-year suspension of
    attorney’s license. LICENSE SUSPENDED.
    Charles   L.   Harrington   and   Teresa   Vens,   Des   Moines,   for
    complainant.
    Vicki Lorraine Ryan, Charter Oak, pro se.
    2
    APPEL, Justice.
    The Iowa Supreme Court Attorney Disciplinary Board charged
    attorney     Vicki   Lorraine    Ryan   with    multiple    violations    of   Iowa’s
    disciplinary rules in connection with her representation of one client.
    These charges include allegations of failing to act with reasonable
    diligence and promptness in representing the client, failing to properly
    communicate with the client, failing to protect the client’s interest upon
    termination of representation, trust account violations, and failing to
    communicate the scope of the representation and the basis of the fees
    involved in the representation.
    After a hearing, a division of the Grievance Commission of the
    Supreme Court of Iowa concluded that Ryan committed each of the
    alleged     violations     and   recommended         a     one-year      suspension.
    Additionally, the commission recommended that prior to reinstatement,
    Ryan reimburse the client security trust fund in the amount of $431.06
    and provide proof of completion of at least two hours of in-person trust
    account continuing legal education (CLE) and two hours of in-person
    ethics     CLE.      The    commission       also   recommended        that    before
    reinstatement Ryan explain what happened in this matter.
    Upon de novo review of the record and the commission’s findings of
    fact, conclusions of law, and recommendations, we agree Ryan
    committed all the violations found by the commission.                 We also agree
    with the commission that Ryan should be required to reimburse the
    client security trust fund in the amount of $431.06.             For the reasons
    expressed below, we modify the length of suspension to an indefinite
    period of time with no possibility of reinstatement for six months. Prior
    to the lifting of any suspension, Ryan must demonstrate she has
    complied with the request of the Client Security Commission to audit her
    3
    trust accounts. Further, Ryan must provide proof of completion of two
    hours of ethics CLE and two hours of trust account CLE.
    I. Factual and Procedural Background.
    The disciplinary trail in this case begins in August and September
    of 2012 when an auditor employed by the Client Security Commission
    attempted to contact Ryan to arrange an audit of her trust accounts and
    investigate a claim against the client security trust fund, pursuant to
    Iowa Court Rule 39.10(3).     The auditor’s attempts included multiple
    telephone calls to each of Ryan’s three telephone numbers and a
    personal visit to Ryan’s residence.     In November 2012, the Client
    Security Commission asked Ryan to respond to a request from a client
    for application of reimbursement from the client security trust fund.
    Ryan did not respond to these efforts to contact her. As a result, this
    court entered an order temporarily suspending Ryan’s license until the
    Client Security Commission certified Ryan fully complied with its
    request, Ryan filed proof of compliance with Iowa Court Rule 39.8(3), and
    the court entered an order reinstating her license to practice. This order
    remains in place today.
    In March 2013, JoLynn Huffman filed a complaint with the Iowa
    Supreme Court Attorney Disciplinary Board.            In the complaint,
    Ms. Huffman asserted Ryan had agreed to represent her in a child
    custody matter, received a retainer, but had then abandoned the
    representation without further communication.
    Ryan failed to respond to the inquiry of the Iowa Supreme Court
    Attorney Disciplinary Board regarding the complaint.      As a result, on
    January 16, 2014, this court temporarily suspended Ryan’s license to
    practice law pursuant to Iowa Court Rule 34.7(3).         This temporary
    suspension was in addition to the prior temporary suspension of Ryan’s
    4
    license for failure to respond to auditors of the Client Security
    Commission.
    On August 27, 2014, the Board filed a disciplinary complaint
    against Ryan.   In the complaint, the Board alleged that in December
    2010, Ryan, a licensed practitioner in Holstein, Iowa, agreed to represent
    Ms. Huffman in a child custody matter.      According to the complaint,
    Ryan received a retainer of $1000 to provide legal services, but there was
    no written fee agreement between Ryan and Ms. Huffman. The Board
    alleged that in January 2011, on Ms. Huffman’s behalf, Ryan filed a
    document entitled “Petition to Establish Custody, Child Support,
    Visitation, Health Care and Income Tax Deductions” in Woodbury
    County District Court naming Michael Poppens as the respondent. The
    Board charged that while Ryan initially communicated with Ms. Huffman
    about the filing and indicated there would be follow-up with opposing
    counsel, thereafter, Ryan stopped communicating with Ms. Huffman.
    Between mid-December of 2011 and September of 2012, the Board
    alleged Ms. Huffman made numerous phone calls to Ryan’s office but her
    messages went unanswered.       According to the Board, Ms. Huffman
    learned from the City of Holstein that Ryan had left town.
    On July 24, 2012, the district court issued a dismissal notice
    under Iowa Rule of Civil Procedure 1.944. In May of 2013, the district
    court issued an order allowing counsel for the opposing party to contact
    Ms. Huffman directly and further ordered that “Ms. Ryan shall be
    considered to have withdrawn from this case.” The Board stated that in
    July 2013, Ms. Huffman hired a new attorney for the custody matter.
    The Board asserted Ms. Huffman received two statements from
    Ryan dated January 27, 2011, and April 8, 2011, for her services totaling
    $598.44.   According to the Board, Ryan’s statements did not state an
    5
    amount of time spent on any task performed or the hourly rate charged.
    The Board charged that Ms. Huffman did not receive from Ryan an
    accounting or any reimbursement of unearned fees.       According to the
    Board, Ms. Huffman received a partial reimbursement of her retainer
    from the client security trust fund.
    Based upon the above allegations, the Board charged Ryan with
    violating the following Iowa Rules of Professional Conduct: 32:1.3
    (reasonable diligence), 32:1:4(a)(3) and (4) (keeping clients reasonably
    informed), 32:1.16(d) (protecting client’s interests in declining or
    terminating representation), and 32:1.15(f) (safekeeping client property
    and adhering to rules regarding trust accounts).     The Board filed an
    amended complaint alleging a violation of rule 32:1.5(b) (communicating
    scope of representation and basis for fees and expenses).
    On November 21, the commission held a hearing on the matter.
    Although the Board in its briefing before the commission stated that
    Ryan participated in a prior scheduling conference and that dates for the
    proceeding were arranged around Ryan’s appointments at Mayo Clinic,
    Ryan did not appear at the hearing. Because Ryan failed to answer the
    original complaint, the facts in the original complaint were deemed
    admitted under Iowa Court Rule 36.7.       As a result, the commission
    hearing was limited to the issue of sanction.       At the hearing, the
    commission heard testimony from Ms. Huffman and received a handful
    of exhibits.
    In her testimony, Ms. Huffman confirmed many of the allegations
    in the complaint.       She also elaborated on the nature of the
    representation. Ms. Huffman testified that at the time she first contacted
    Ryan, the father of her daughter was incarcerated in federal prison out of
    state, but she had heard rumors he could be released for good behavior.
    6
    If released, Ms. Huffman feared the father would be able to simply pick
    their daughter up and leave.       Ms. Huffman thus wanted a court order
    clarifying the custody situation regarding her daughter. At the time she
    hired Ryan, Ms. Huffman testified she was “scared,” “extremely worried,”
    and “freaking out.”       Among other things, Ms. Huffman stated she
    restricted contact between her daughter and her daughter’s paternal
    grandmother as a result of her fears of what might happen if her
    daughter’s father were released.
    Ms. Huffman further testified she made more than twenty-five
    phone calls to Ryan’s office over a period of several months, first leaving
    messages with staff, then on voicemail, but Ryan did not return her calls.
    Eventually, Ms. Huffman testified she could not even leave a message, as
    Ryan’s voicemail box was full. She then stated she visited Ryan’s law
    office, only to find it locked.
    Documentary evidence introduced at the hearing provides further
    details. The documents show the billing statements and trust account
    balances in Ms. Huffman’s matter were inconsistent and that while the
    balance of the retainer was stated as $431.06, the balance, assuming the
    billed amounts were earned, should have been $401.56. The documents
    also showed the client security trust fund paid $431.06 to Ms. Huffman,
    the amount Ryan’s documents stated remained in her trust account.
    The commission found the facts as alleged in the complaint.        It
    further found Ms. Huffman’s testimony credible and found additional
    facts as supported by her testimony and admitted exhibits.
    The commission recommended a one-year suspension of Ryan’s
    license to practice law. The commission also recommended that Ryan
    “provide the reason(s) for her failure to complete the client matter at
    issue here, and her failure to participate in the disciplinary process, and
    7
    provide proof that any conditions contributing to such failure have been
    ameliorated” as a condition of reinstatement of her license. Finally, the
    commission recommended that Ryan reimburse the client security trust
    fund and complete two hours of in-person trust account CLE and two
    hours of in-person ethics CLE.
    II. Standard of Review.
    “We review factual findings of the commission de novo.”          Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Moothart, 
    860 N.W.2d 598
    , 602
    (Iowa 2015).   “We give respectful consideration to the findings of the
    commission, especially when considering credibility of witnesses, but are
    not bound by them.” Id.; Iowa Supreme Ct. Att’y Disciplinary Bd. v. Van
    Ginkel, 
    809 N.W.2d 96
    , 101 (Iowa 2012).
    The Board’s burden for each charge is proof by a convincing
    preponderance of the evidence. Iowa Supreme Ct. Bd. of Prof’l Ethics &
    Conduct v. Evans, 
    537 N.W.2d 783
    , 784 (Iowa 1995). “This burden is
    higher than the burden in most civil cases, but lower than in a criminal
    prosecution.” Van 
    Ginkel, 809 N.W.2d at 102
    . It is also less stringent
    than the clear and convincing evidence standard, which is the highest
    standard of civil proof. Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v.
    Ronwin, 
    557 N.W.2d 515
    , 517 (Iowa 1996) (per curiam).
    III. Discussion of Merits.
    A. Factual Findings. Because of Ryan’s failure to respond to the
    allegations in the complaint, the allegations were deemed admitted under
    Iowa Court Rule 36.7. In addition, the Board found the unchallenged
    testimony of Ms. Huffman to be credible. We find it credible as well. We
    thus find the facts as alleged by the Board in its complaint and as
    elaborated upon in the testimony of Ms. Huffman before the commission
    and supported by the exhibits admitted into evidence at the hearing.
    8
    B. Rule 32:1.3 (Reasonable Diligence).           Rule 32:1.3 states, “A
    lawyer   shall   act   with   reasonable   diligence   and   promptness     in
    representing a client.” Iowa R. Prof’l Conduct 32:1.3. Additionally, one
    comment to the rule notes that “[u]nless the [attorney–client] relationship
    is terminated as provided [under our rules], a lawyer should carry
    through to conclusion all matters undertaken for a client.” 
    Id. cmt. 4.
    In the present case, Ryan received a $1000 retainer from the client,
    filed a petition for the client, provided a copy of the petition to the client,
    and informed the client that she would be following up with opposing
    counsel in the near future. Ryan then left town and failed to withdraw or
    even contact Ms. Huffman.       Ultimately, Ms. Huffman was required to
    obtain the assistance of other counsel.
    This case resembles Iowa Supreme Court Board of Professional
    Ethics & Conduct v. Ramey, 
    639 N.W.2d 243
    , 244 (Iowa 2002).                 In
    Ramey, an attorney, after receiving a $1000 retainer and stating that he
    would take appropriate action, seems to have left his practice. 
    Id. We found
    the attorney violated the precursor of rule 32:1.3 by failing to carry
    out his responsibilities as an attorney to his client. 
    Id. at 244–45;
    see
    also Iowa Supreme Ct. Att’y Disciplinary Bd. v. Ireland, 
    748 N.W.2d 498
    ,
    502 (Iowa 2008) (per curiam) (finding attorney violated precursor to rule
    32:1.3 by failing to perform the legal work he had contracted to do).
    Both Ryan and the attorney in Ramey failed to contact their client
    after receiving funds and taking initial steps to protect the client’s
    interest. See 
    Ramey, 639 N.W.2d at 244
    . Like in Ramey, Ryan failed to
    carry out the client’s matter to conclusion. See 
    id. By failing
    to conclude
    the matter or appropriately terminate the attorney–client relationship,
    the Board has proven by a convincing preponderance of the evidence that
    Ryan violated rule 32:1.3.
    9
    C. Rule 32:1.4(a)(3) and (4) (Attorney–Client Communication).
    Rule 32:1.4(a) states, “A lawyer shall . . . keep the client reasonably
    informed about the status of the matter.”          Iowa R. Prof’l Conduct
    32:1.4(a)(3); see also 
    id. r. 32:1.4
    cmt. 4 (noting “[c]lient telephone calls
    should be promptly returned or acknowledged”).           Further, the rule
    requires a lawyer to “promptly comply with reasonable requests for
    information.” 
    Id. r. 32:1.4(a)(4).
    An attorney violates rule 32:1.4 “when an attorney neglects to keep
    a client informed about the status of the case or does not respond to a
    client’s attempts to contact the attorney about the case.” Iowa Supreme
    Ct. Att’y Disciplinary Bd. v. Nelson, 
    838 N.W.2d 528
    , 537 (Iowa 2013); see
    also Iowa Supreme Ct. Att’y Disciplinary Bd. v. McCarthy, 
    814 N.W.2d 596
    , 606 (Iowa 2012) (finding attorney violated rule 32:1.4 when he
    disappeared during his representation of a client after sending a draft
    pleading); Iowa Supreme Ct. Att’y Disciplinary Bd. v. Johnson, 
    792 N.W.2d 674
    , 678 (Iowa 2010) (finding a lawyer who failed to return his
    client’s telephone calls and requests for information violated rule 32:1.4
    by failing to keep his client reasonably informed).
    We explored the contours of rule 32:1.4(a)(3) and (4) in Nelson. In
    Nelson, the attorney received a retainer from one client but subsequently
    failed to respond to emails and phone calls from both clients and
    prosecutors, resulting in a full voicemail 
    box. 838 N.W.2d at 537
    –38.
    The attorney in Nelson further failed to notify his clients about pending
    court dates and the attorney ultimately abandoned his office. 
    Id. at 538.
    The court held the attorney violated rule 32:1.4 numerous times in
    representations of multiple clients. 
    Id. The facts
    of the present case are similar to Nelson. After receiving
    a retainer from the client, Ryan, in a November 9, 2011 letter, led the
    10
    client to believe she would be following up with opposing counsel. Ryan,
    however, did not follow up with opposing counsel and ultimately
    disappeared from the client’s matter without informing the client. Ryan
    did not attempt to inform her client about the status of the client’s case
    or Ryan’s representation.
    Ryan’s actions demonstrate she failed to keep her client informed
    about the status of the matter and failed to respond to the client’s
    multiple phone calls and visits. Therefore, the Board has proven by a
    convincing preponderance of the evidence that Ryan violated rule
    32:1.4(a)(3) and (4).
    D. Rule 32:1.16(d) (Declining or Terminating Representation).
    Rule 32:1.16(d) states that
    [u]pon 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 or
    expense that has not been earned or incurred.
    Iowa R. Prof’l Conduct 32:1.16(d).
    We have previously disciplined attorneys who failed to properly
    terminate their attorney–client relationships. See, e.g., Iowa Supreme Ct.
    Att’y Disciplinary Bd. v. Cunningham, 
    812 N.W.2d 541
    , 547–48 (Iowa
    2012); 
    Johnson, 792 N.W.2d at 678
    .          In Cunningham, an attorney
    representing a client in a divorce action failed to respond to discovery
    requests or notify the client of a scheduled 
    hearing. 812 N.W.2d at 547
    –
    48. As a result, the court granted the opposing party’s motion to compel
    and ordered a $500 sanction. 
    Id. at 545.
    The client also attempted to
    contact the attorney multiple times but the attorney never responded to
    the client’s calls. 
    Id. at 547.
    Eventually, the attorney’s law partner filed
    11
    a motion to withdraw on the attorney’s behalf. 
    Id. However, the
    attorney
    did not take any steps to safeguard the client’s interests or return the
    client’s file. 
    Id. at 547–48.
    The court held these actions violated rule
    32:1.16(d).     
    Id. at 548;
    see also 
    Johnson, 792 N.W.2d at 678
    (noting
    attorney’s failure to provide notice of termination, contact information, or
    return paperwork to client upon termination of the attorney–client
    relationship violated rule 32:1.16(d)).
    In the present case, Ryan informed the client—in a November 9,
    2011 letter—of her intent to follow up with opposing counsel.                      Ryan
    failed to follow up and discontinued the representation without informing
    the client.     Ryan also did not return the client’s file or refund any
    unearned fees. Like in Cunningham, Ryan failed to withdraw from the
    case, safeguard the client’s interests, or return the client’s files.                See
    
    Cunningham, 812 N.W.2d at 547
    –48. Therefore, the Board has proven by
    a convincing preponderance of the evidence that Ryan violated rule
    32:1.16(d).
    E. Rule 32:1.15(f) (Safekeeping Property).                     Rule 32:1.15(f)
    states, “All client trust accounts shall be governed by chapter 45 of the
    Iowa Court Rules.” Iowa R. Prof’l Conduct 32:1.15(f). Iowa Court Rule
    45.7(4) requires that
    [a] lawyer accepting advance fee or expense payments must
    notify the client in writing of the time, amount, and purpose
    of any withdrawal of the fee or expense, together with a
    complete accounting. The attorney must transmit such
    notice no later than the date of the withdrawal.
    Correspondingly, rule 45.7(5) requires the refunding of unearned
    advance fees. 1
    1In her closing argument, the Board’s attorney noted that regarding the
    safekeeping-of-property charge (rule 32:1.15(f)), the only chapter 45 rule that applied in
    12
    In Iowa Supreme Court Attorney Disciplinary Board v. Baldwin, the
    attorney “prematurely withdrew funds from the trust account that he
    had not yet earned” in a criminal case.               
    857 N.W.2d 195
    , 211 (Iowa
    2014). The attorney also withdrew $218 in unearned fees from a client’s
    trust account in a separate action.             
    Id. The court
    held the attorney
    violated rule 32:1.15(f), and Iowa Court Rule 45.7(4), among other rules,
    explaining:
    [These rules] generally set forth the details a lawyer needs to
    know and follow when administering his or her trust
    accounts. These rules generally require a lawyer to place
    client funds into a separate subaccount, withdraw payment
    from the trust account only once the fee is earned, notify the
    client when the attorney anticipates making a fee
    withdrawal, and provide the client a complete accounting of
    any such withdrawal. The attorney must also transmit the
    notice of such withdrawal and accounting no later than the
    date of withdrawal.
    
    Id. at 210–11
    (internal quotation marks omitted).
    In the present case, Ryan’s billing statements did not provide any
    information regarding the amount of time spent on any task performed
    or Ryan’s hourly rate.         Furthermore, the accountings provided in the
    statements were inaccurate, and the interim statements listed incorrect
    amounts as to the balance of the retainer. Finally, Ryan failed to refund
    $401.56 of unearned remaining money in the client’s trust account, and
    as a result, the client was reimbursed with funds from the client security
    trust fund. 2 See Iowa Supreme Ct. Att’y Disciplinary Bd. v. McCuskey,
    ______________________
    this case was rule 45.7(5) (“Notwithstanding any contrary agreement between the
    lawyer and client, advance fee and expense payments are refundable to the client if the
    fee is not earned or the expense is not incurred.”). She further noted that this rule, and
    rule 32:1.16(d) involving declining or terminating representation, “are pretty much one
    in the same. The fact pattern is the same in this situation.”
    2We  note the Client Security Commission only pays “claims resulting from the
    dishonest conduct of a member of the bar of this state acting either as an attorney or
    fiduciary.” Iowa Ct. R. 39.9(1); see also 
    id. r. 40.1
    (defining “dishonest conduct” as
    13
    
    814 N.W.2d 250
    , 256 (Iowa 2012) (finding attorney violated rule 45.7(4)
    and rule 45.7(5) by accepting funds from the client on three different
    occasions and failing to provide the client “with an accounting or . . .
    return unearned fees”). Both in Baldwin and in the present case, the
    attorney withdrew unearned funds from the client’s trust account and
    failed to provide appropriate accounting.
    Although we find Ryan failed to notify Ms. Huffman regarding
    withdrawals from her client trust account, failed to provide an accurate
    and complete accounting regarding the balance of her retainer, and failed
    to refund unearned money, we do not believe there is a basis for
    concluding      that     Ryan’s      conduct      amounts       to    conversion       or
    misappropriation. In its complaint, the Board alleged a violation of rule
    32:1.15(f). The Board never expressly alleged Ryan stole or intentionally
    misappropriated funds.            Complaints filed by the Board must be
    “sufficiently clear and specific in their charges to reasonably inform the
    attorney against whom the complaint is made of the misconduct alleged
    to have been committed.”              Iowa Ct. R. 35.5.           “Because attorney
    disciplinary actions are ‘quasi-criminal’ in nature, ‘the charge[s] must be
    known before the proceedings commence.’ ”                  Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Kelsen, 
    855 N.W.2d 175
    , 183 n.3 (Iowa 2014)
    (alteration in original) (quoting In re Ruffalo, 
    390 U.S. 544
    , 551, 
    88 S. Ct. 1222
    , 1226, 
    20 L. Ed. 2d 117
    , 122 (1968)); see Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Cepican, ___ N.W.2d ___, ___ (Iowa 2015) (noting the
    ______________________
    “wrongful acts committed by a lawyer against a person in the manner of defalcation or
    embezzlement of money, or the wrongful taking or conversion of money, property, or
    other things of value”). However, our rules make clear that payment to a claimant
    under this provision does not amount to a finding of misappropriation or conversion in
    a disciplinary proceeding. See 
    id. r. 39.9(8)
    (“The payment . . . of any claim filed under
    [the rule] shall be inadmissible as evidence in any disciplinary . . . proceeding.”).
    Additionally, we note we have never revoked an attorney’s license based solely on a
    payment to a claimant from the client security trust fund.
    14
    “charges must be known to the attorney before the hearing begins[,] [as]
    [t]he notice requirement is a basic component of procedural due
    process”).
    We find this case is more like Iowa Supreme Court Attorney
    Disciplinary Board v. Cross, than Kelsen.          Compare Cross, ___ N.W.2d
    ___, ___ (Iowa 2015), with 
    Kelsen, 855 N.W.2d at 175
    .          In Kelsen, we
    revoked an attorney’s license for converting $7500 worth of client funds
    without a colorable future claim to those funds despite the Board’s
    failure to allege that specific misconduct in its 
    complaint. 855 N.W.2d at 183
    n.3, 185. Specifically, we noted that “the Board’s complaint did not
    expressly allege [the attorney] had misappropriated client funds.” 
    Id. at 183
    n.3.     However, it did “clearly cover [the attorney’s] handling and
    misuse of [a specific client’s] $7500.”      
    Id. The complaint
    in Kelsen
    alleged the attorney failed to deposit the client’s $7500 check in his trust
    account, had spent the money before the client asked for it back
    approximately a week later, and therefore had violated rule 32:1.15. 
    Id. In determining
    revocation was the appropriate sanction, instead of the
    public reprimand that was recommended by the commission, we
    concluded “[the Board’s] allegations were sufficient to put [the attorney]
    on notice that the Board believed [he] had not safeguarded his client’s
    $7500 as required by rule 32:1.15.”         
    Id. We further
    noted that the
    attorney clearly “understood the centrality of the colorable claim
    question” because “[m]uch of his testimony . . . was devoted to trying to
    establish a colorable claim defense.” 
    Id. In Cross,
    although the Board alleged a violation of rule 32:1.15, it
    never alleged Cross stole or otherwise misappropriated money from his
    client. ___ N.W.2d at ___ & n.3. Additionally, we noted “no clients [were]
    known to have filed a complaint against Cross[,]” “the Board did not
    15
    suggest that Cross misappropriated any client funds at the hearing
    before the commission[,]” and “the commission ha[d] not suggested that
    revocation [was] the appropriate sanction.”            Id. at ___ n.3.    We found
    “Cross    was   never    put    on   notice   that     he   faced    sanctions   for
    misappropriating any client funds” and therefore we did “not consider
    whether Cross misappropriated client funds.” Id.; see also Cepican, ___
    N.W.2d at ___ (declining to determine if attorney committed theft, as the
    complaint failed to “provide adequate notice to [the attorney] of the
    charge of theft, and this lack of notice denied him a reasonable
    opportunity to defend against the claim and the sanction of revocation”).
    Here, like in Cross, the Board never alleged Ryan stole or
    misappropriated client funds in its complaint.               Additionally, at the
    hearing, the Board never stated the misconduct involved conversion or
    misappropriation.       Cf. 
    Kelsen, 855 N.W.2d at 182
    –83 (noting at the
    hearing the Board took the position that the matter “involved ‘conversion’
    and ‘misappropriation’ and ‘should be treated quite seriously’ ” and
    additionally, in its statement regarding sanction, recommended a
    harsher    sanction     than     reprimand     (that     recommended        by   the
    commission),    as    “the     actions   of   [the   attorney]      are   considered
    misappropriation and conversion under the decisions of this Court”). We
    therefore find Ryan, like the attorney in Cross, was never put on notice
    that she faced sanctions for misappropriating client funds. See Cross,
    ___ N.W.2d at ___ n.3. Further, the commission has not suggested that
    revocation is the appropriate sanction in this case. See 
    id. (noting same).
    Additionally, the record shows the balance of the retainer in Ryan’s
    trust account regarding Ms. Huffman’s matter is $431.06, based on both
    the January and April 2011 interim statements. There was no allegation
    that Ryan removed these funds or otherwise used the remainder for
    16
    personal or other unauthorized uses. Cf. 
    Kelsen, 855 N.W.2d at 185
    –86
    (holding revocation was appropriate sanction when record showed
    attorney converted $7500 of client funds to personal use without a
    colorable future claim to the funds); Iowa Supreme Ct. Bd. of Prof’l Ethics
    & Conduct v. Leon, 
    602 N.W.2d 336
    , 338–39 (Iowa 1999) (holding
    repeated misappropriation of trust funds to cover-up neglect in several
    clients’ cases warranted revocation); Comm. on Prof’l Ethics & Conduct v.
    Ottesen, 
    525 N.W.2d 865
    , 866 (Iowa 1994) (imposing revocation when
    routine audit revealed attorney’s conversion of at least $7334 in client
    funds to his own use).      In sum, we will not consider whether Ryan
    misappropriated client funds on the record before us.
    Therefore, based on a de novo review of the record before us, we
    find the Board has alleged and proven by a convincing preponderance of
    the evidence that Ryan violated rule 32:1.15(f) and Iowa Court Rules
    45.7(4) and 45.7(5).
    F. Rule 32:1.5(b) (Scope of Representation and Fees).           Rule
    32:1.5(b) states,
    The scope of the representation and the basis or rate of the
    fee and expenses for which the client will be responsible
    shall be communicated to the client, preferably in writing,
    before or within a reasonable time after commencing the
    representation.
    Iowa R. Prof’l Conduct 32:1.5(b).
    In Nelson, the attorney failed to enter into fee agreements with two
    clients and failed to communicate the fee arrangements with the 
    clients. 838 N.W.2d at 538
    . The attorney also claimed that even though he did
    not enter into an agreement or respond to the clients, he “did inform the
    clients prior to retention of how the funds would be disbursed.” 
    Id. The court
    held the attorney’s actions violated rule 32:1.5(b). 
    Id. 17 In
    the present case, Ryan did not provide the client with a written
    fee agreement or contract. Ms. Huffman also did not know how much
    Ryan would charge per hour nor did she have a clear understanding of
    how Ryan’s fees would be determined. Ryan’s interim statements also
    illustrate the confusion. The interim statements do not account for the
    specific time spent on the case nor do they state an hourly fee. Even
    when Ms. Huffman sought an explanation of the fees, Ryan did not
    provide any clarification regarding the fees or statements.
    Like in Nelson, Ryan failed to enter into an agreement and failed to
    explain the fee arrangement to her client.       See 
    Nelson, 838 N.W.2d at 538
    . Ryan also failed to respond to the client’s fee inquiries. Because
    Ryan failed to communicate the scope of representation and the rate or
    basis of the fees to her client, she violated rule 32:1.5(b).
    IV. Sanctions.
    A. General Framework.         “There is no standard sanction for a
    particular type of misconduct, and though prior cases can be instructive,
    we ultimately determine an appropriate sanction based on the particular
    circumstances of each case.” Iowa Supreme Ct. Att’y Disciplinary Bd. v.
    Earley, 
    729 N.W.2d 437
    , 443 (Iowa 2007); see also Iowa Supreme Ct.
    Att’y Disciplinary Bd. v. Morrison, 
    727 N.W.2d 115
    , 119 (Iowa 2007) (“We
    give the discipline recommended by the Grievance Commission its due
    respect although the matter of sanction is solely within the authority of
    this court.” (Internal quotation marks omitted.)).       In determining the
    appropriate sanction, we consider:
    “[T]he nature of the violations, the attorney’s fitness to
    continue in the practice of law, the protection of society from
    those unfit to practice law, the need to uphold public
    confidence in the justice system, deterrence, maintenance of
    the reputation of the bar as a whole, and any aggravating or
    mitigating circumstances.”
    18
    Van 
    Ginkel, 809 N.W.2d at 108
    (quoting 
    Ireland, 748 N.W.2d at 502
    ). We
    have noted the “primary goal of attorney discipline is to protect the
    public, not to punish the attorney.” Iowa Supreme Ct. Att’y Disciplinary
    Bd. v. Barnhill, 
    847 N.W.2d 466
    , 487 (Iowa 2014).
    B. Sanctions in Similar Cases.         In Cunningham, an attorney
    representing a client in a divorce action failed to respond to discovery
    requests or notify the client of a scheduled 
    hearing. 812 N.W.2d at 547
    .
    As a result, the court granted the opposing party’s motion to compel and
    ordered a $500 sanction. 
    Id. The client
    also attempted to contact the
    attorney multiple times but the attorney never responded to the client’s
    calls.     
    Id. Eventually, the
    attorney’s law partner filed a motion to
    withdraw on the attorney’s behalf.         
    Id. However, the
    attorney did not
    take any steps to safeguard the client’s interests or return the client’s
    file.    
    Id. In determining
    rule violations, the court held the attorney
    violated multiple rules, including failing to keep a client reasonably
    informed, failing to promptly and diligently represent a client, and failing
    to safeguard a client’s interest upon his withdrawal.          
    Id. at 547–49.
    Regarding a second client, the court found the attorney, among other
    violations, failed to take steps to safeguard a client’s interest when he
    stopped representing a client and failed to return a client’s filing fee. 
    Id. at 549.
           In determining sanctions, the court held an eighteen-month
    suspension was appropriate when the attorney failed to turn over his
    clients’ files, neglected clients’ requests, and made misrepresentations to
    his clients.       
    Id. at 553.
      The court also held the attorney’s failure to
    cooperate with the board, multiple instances of neglect, and previous
    ethical violations were aggravating factors. 
    Id. In Iowa
    Supreme Court Attorney Disciplinary Board v. Hauser, the
    attorney received a $1000 retainer to represent a client in a dissolution-
    19
    of-marriage action.    
    782 N.W.2d 147
    , 150 (Iowa 2010).         While the
    attorney did file a competent answer and attended a mediation session
    with the client, the attorney disappeared thereafter and failed to return
    numerous phone calls from the client. 
    Id. As a
    result, the client was
    forced to employ another attorney. 
    Id. The court
    held the attorney
    neglected his client’s dissolution case, failed to keep his
    client informed, failed to properly safeguard and
    appropriately withdraw his client’s funds, failed to
    appropriately withdraw from representation, failed to
    properly maintain trust account records, failed to provide an
    accurate accounting to his client and to return unearned
    fees to his client, and failed to respond to the board’s
    inquires.
    
    Id. at 152–53.
    Furthermore, the court held that a six-month suspension
    was appropriate noting, “abandonment of his client, his prior extensive
    history of ethical infractions, and his failure to timely and appropriately
    respond to the board’s inquiries, combined with his trust account
    violations, warrants the imposition of a more serious sanction.” 
    Id. at 154.
       Finally, the court noted the attorney’s steps to address his
    alcoholism were a mitigating factor. 
    Id. C. Mitigating
    and Aggravating Factors in this Case.        We now
    turn to consider aggravating and mitigating factors in this case. There
    are aggravating features. Ryan failed to cooperate with the proceedings
    of the judicial branch commissions on two occasions. See Iowa Supreme
    Ct. Att’y Disciplinary Bd. v. Hearity, 
    812 N.W.2d 614
    , 622 (Iowa 2012)
    (finding failure to cooperate “a significant aggravating factor”); see also
    
    Cunningham, 812 N.W.2d at 551
    (noting “[f]ailure to respond to and
    cooperate with the Board’s investigation is . . . an aggravating factor”).
    She failed to respond to the inquiries of the Client Security Commission
    in 2012, leading to a temporary suspension of her license.       She then
    failed to respond to Ms. Huffman’s complaint filed with the Board.
    20
    Ryan’s double-barreled lack of cooperation is an aggravating factor in
    this case.
    Another aggravating factor is the extreme vulnerability of the client
    in the representation undertaken by Ryan. See 
    Moothart, 860 N.W.2d at 617
    (noting vulnerability of victims as aggravating factor).   The matter
    involved child custody.   Ms. Huffman was emotionally distraught over
    the possibility her daughter’s father might be released from prison and
    assert custodial rights. She sought a lawyer’s help during an extremely
    emotional time. She was not a person of means, but scraped together
    the $1000 retainer to protect, what was for her, the most important
    relationship in her life. She was entitled to the steady, guiding hand of
    competent counsel to help her navigate through unfamiliar legal waters
    on this most important matter. Instead, Ryan, after initially undertaking
    the representation and apparently performing some work, simply quit
    working for her and, for all intents and purposes, disappeared.        The
    client’s anxiety arising from being abandoned by her lawyer is reflected in
    a telephone log that shows she called Ryan’s office no less than twenty-
    five times in an attempt to reach Ryan. No client should be put through
    this kind of emotional ringer.    Ryan’s abandonment of her client is
    simply inexcusable.
    The record is devoid of any evidence regarding mitigating factors.
    Although Ryan apparently participated in a scheduling conference, in
    which there was some reference to appointments at Mayo Clinic and an
    illness affecting her brain, Ryan did not appear at the hearing. There is
    no doubt a story of some kind behind her unacceptable behavior. Given
    the lack of record, however, one can only speculate regarding what was
    going through her mind and whether there were health issues or other
    extenuating circumstances. Cf. Iowa Supreme Ct. Att’y Disciplinary Bd.
    21
    v. Wagner, 
    768 N.W.2d 279
    , 288 (Iowa 2009) (per curiam) (noting there
    was nothing for the court to consider as “no mitigating circumstances by
    way of explanation or excuse [were] provided”). We are not clairvoyant,
    however, and Ryan chose not to make any record. We cannot make a
    record for her. We therefore find no mitigating circumstances.
    D. Sanction in this Case.           We now consider the appropriate
    sanction in this case.     In Cunningham, the attorney violated multiple
    ethical rules with multiple 
    clients. 812 N.W.2d at 547
    . Ryan, however,
    only violated ethical rules with one client.      Furthermore, Cunningham
    had a previous record of past disciplinary actions, 
    id. at 551,
    while Ryan
    does not.     Thus, the sanction in this case should be less than the
    eighteen-month suspension imposed in Cunningham. See 
    id. at 553.
    The facts of the present case are in some respects closely aligned
    with the facts of Hauser. In both cases, the attorneys received a $1000
    retainer from their respective clients in a family law context. See 
    Hauser, 782 N.W.2d at 150
    . Furthermore, in both cases, the attorneys initiated
    the action, disappeared while the matter was pending, and failed to fully
    cooperate with the board. See 
    id. While Hauser
    had a lengthy history of
    previous    discipline,   including   three   public   reprimands    and   five
    suspensions, he also admitted his alcoholism and had begun attending
    AA meetings. 
    Id. at 150,
    154.
    Based on our evaluation of the violations and the presence of
    aggravating    factors,   we   conclude    Ryan   must   face   a   significant
    suspension of her license to practice law. Ryan’s license to practice law
    in Iowa should be suspended for an indefinite period of time with no
    possibility of reinstatement for six months as discipline for the ethical
    infractions proved in this case.
    22
    In considering the disciplinary suspension issue, we must further
    consider the impact of Ryan’s previous temporary suspensions.          We
    considered the effect of a temporary suspension of an attorney’s license
    for failure to answer the Board’s inquiry after discipline had been
    imposed in Cunningham. In Cunningham, we held that the conclusion of
    the disciplinary action meant there was no longer a need for a prompt
    response to the Board’s inquiries and, as a result, the temporary
    suspension was 
    dismissed. 812 N.W.2d at 553
    –54. We take the same
    approach here.
    The temporary suspension for failure to respond to auditors from
    the Client Security Commission raises a different issue. The reason for
    the temporary suspension was to prevent further potential client security
    problems and to promote the auditors’ access to Ryan’s books and
    records.   The concerns underlying this temporary suspension remain
    unabated. Under the circumstances, we think the best approach is to
    mirror the terms of the temporary suspension order with the disciplinary
    suspension in this case. In other words, as a condition of reinstatement,
    Ryan must show that the Client Security Commission has been provided
    access to her books and records and any audit desired by the Client
    Security Commission has been completed.       Cf. Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Wright, 
    857 N.W.2d 510
    , 518 (Iowa 2014).           Our
    decision today is without prejudice to any further disciplinary action that
    may arise after the completion of the required audit.
    We also agree with the commission’s recommendation that before
    Ryan’s license is reinstated, she must reimburse the client security trust
    fund the sum of $431.06.       Although there was inconsistency in the
    documentation presented to the commission, there is no dispute that
    23
    this is the amount actually paid by the client security trust fund to
    Ms. Huffman to cover Ryan’s failure to reimburse her for unearned fees. 3
    We decline, however, to require that Ryan provide an explanation
    of her past misconduct. It is too late for that. Ryan did not present a
    defense in this proceeding, and as a result, we have imposed sanctions
    for her proven misconduct based on a record that contains no evidence
    of mitigating factors.      Any explanations at this point would be only
    academic.
    We also decline to require in-person CLE in addition to the normal
    CLE requirements attendant to the practice of law in Iowa. Although we
    have declined to adopt the commission’s recommendation of CLE
    completion as a condition of reinstatement in some cases, see, e.g., Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Hedgecoth, ___ N.W.2d ___, ___ (Iowa
    2015) (declining to require “ten mandatory hours of CLE in the areas of
    ethics and law office management,” as the attorney’s “voluntary
    commitment to refrain from representing client’s on appeal . . . provide[d]
    adequate assurance against recurrence of the [improper conduct]”); Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Lickiss, 
    786 N.W.2d 860
    , 871 (Iowa
    2010) (rejecting commission’s recommendation that an attorney complete
    “appropriate continuing legal education” when attorney testified he did
    not intend to engage in a specific practice area in the future and had, in
    fact, abandoned law practice), we believe proof of completion of two
    3Based    on the January and April 2011 interim statements provided to Ms.
    Huffman and admitted into evidence at the hearing, our calculations reveal the actual
    amount left in Ryan’s client security trust account regarding Ms. Huffman’s matter is
    $401.56 ($1000 - $383.94 (January statement) - $214.50 (April statement)). However,
    it is undisputed that the client security trust fund reimbursed Ms. Huffman $431.06
    and that is the amount we require Ryan to reimburse the client security trust fund
    prior to being reinstated.
    24
    hours of ethics CLE and two hours of trust account CLE before Ryan is
    reinstated is appropriate in this case, cf. Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Parrish, 
    801 N.W.2d 580
    , 590 (Iowa 2011) (suspending
    attorney’s license for sixty days for misconduct in connection with
    attorney’s handing of his trust account for two clients and requiring
    attorney to attend “continuing education with respect to billing,
    timekeeping practices, and client trust accounts, and to submit proof of
    his attendance to the court prior to reinstatement”).
    V. Conclusion.
    For the above reasons, we suspend Ryan’s license to practice law
    in this state for an indefinite period of time with no possibility of
    reinstatement for six months. The suspension shall apply to all facets of
    the practice of law. See Iowa Ct. R. 35.13. Ryan shall provide all of the
    notifications required by Iowa Court Rule 35.23.        On application for
    reinstatement, Ryan shall have the burden of proving she has not
    practiced during the period of suspension and she meets all the
    requirements of Iowa Court Rule 35.14. The costs of this proceeding are
    taxed against Ryan pursuant to Iowa Court Rule 35.27(1).
    LICENSE SUSPENDED.
    All justices concur except Wiggins, J., who dissents.
    25
    #15–0147, Iowa Supreme Ct. Att’y Disciplinary Bd. v. Ryan
    WIGGINS, Justice (dissenting).
    The record clearly establishes the Client Security Commission paid
    $431.06 to Vicki Ryan’s client JoLynn Huffman; which is the amount
    Ryan’s documents stated remained in her trust account after she worked
    on Ms. Huffman’s matter. The commission only pays “claims resulting
    from the dishonest conduct of a member of the bar of this state acting
    either as an attorney or fiduciary.” Iowa Ct. R. 39.9(1). The rules define
    “dishonest conduct” as “wrongful acts committed by a lawyer against a
    person in the manner of defalcation or embezzlement of money, or the
    wrongful taking or conversion of money, property or other things of
    value.” 
    Id. r. 40.1.
    Evidence of the payment by the commission is not admissible in a
    disciplinary proceeding.    
    Id. r. 39.9(8).
       However, the commission
    admitted the evidence of the payment without objection.        When the
    commission admits evidence without objection, the commission can use
    the evidence to establish a material fact. See IBP, Inc. v. Burress, 
    779 N.W.2d 210
    , 220 (Iowa 2010) (holding evidence admitted into the record
    without objection may be used to establish any material fact); Holmquist
    v. Volkswagen of Am., Inc., 
    261 N.W.2d 516
    , 523 (Iowa Ct. App. 1977)
    (same). Thus, the record establishes by a convincing preponderance of
    the evidence Ryan converted Ms. Huffman’s money and did not have a
    colorable future claim to this money.
    The majority claims the Board did not give Ryan sufficient notice
    her license could be revoked.    I disagree.   The complaint raised trust
    account violations and asked the commission to “recommend that the
    Supreme Court of Iowa take the necessary and appropriate disciplinary
    action.” The Code gives attorneys notice that we can revoke or suspend
    26
    the license of an attorney for “[d]oing any other act to which such a
    consequence is by law attached.” Iowa Code § 602.10122(4) (2013). The
    consequence of converting client funds is revocation of the attorney’s
    license regardless of the amount of funds the attorney converts. Iowa
    Supreme Ct. Att’y Disciplinary Bd. v. Thomas, 
    844 N.W.2d 111
    , 117 (Iowa
    2014).
    The United States Supreme Court has stated procedural due
    process in an attorney disciplinary case only requires the attorney to
    have knowledge of the charge before the proceedings commence. In re
    Ruffalo, 
    390 U.S. 544
    , 551, 
    88 S. Ct. 1222
    , 1226, 
    20 L. Ed. 2d 117
    , 122
    (1968). Here, the Board gave Ryan notice of the trust account violations
    and the Code gave her notice of the penalties associated with her alleged
    violations prior to the commencement of the proceedings. Consequently,
    I would revoke Ryan’s license to practice law.
    It appears to me the majority is resorting to unnecessary
    procedural   technicalities   to   protect   attorneys   from   receiving   the
    appropriate discipline. Would the majority reach the same result in a
    criminal case when the trial information gave notice of the charges and
    defendant’s only notice of the punishment was in the Code? I think not.
    In the future, I urge the Board to put in every complaint in which
    the Board alleges a trust account violation that if the court finds the
    trust account violation amounts to conversion, the court can revoke the
    attorney’s license. I would also urge the Board to put in the complaint
    that if the evidence establishes funds are missing from an attorney’s
    trust account, the burden shifts to the attorney to come forward with
    evidence to establish a colorable future claim to those funds to avoid
    revocation of the attorney’s license.         See Iowa Supreme Ct. Att’y
    Disciplinary Bd. v. Carter, 
    847 N.W.2d 228
    , 232–33 (Iowa 2014) (“[A]n
    27
    attorney in a disciplinary proceeding bears the burden of coming forward
    with evidence of a colorable future claim, but the burden to prove
    conversion remains with the Board.”).