Johnson v. Office of Professional Conduct , 775 Utah Adv. Rep. 15 ( 2014 )


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  •                 This opinion is subject to revision before final
    publication in the Pacific Reporter
    
    2014 UT 57
    IN THE
    S UPREME C OURT OF THE S TATE OF U TAH
    STACEY AUSTIN JOHNSON ,
    Petitioner Pro Se,
    v.
    OFFICE OF PROFESSIONAL CONDUCT , UTAH STATE BAR,
    Respondent.
    No. 20120538
    Filed December 12, 2014
    Original Proceeding in this Court
    Attorneys:
    Stacey A. Johnson, Salt Lake City, petitioner pro se
    Billy L. Walker, Adam C. Bevis, Salt Lake City, for respondent
    JUSTICE PARRISH authored the opinion of the Court, in which
    CHIEF JUSTICE DURRANT, ASSOCIATE CHIEF JUSTICE NEHRING ,
    JUSTICE DURHAM , and JUSTICE LEE joined.
    .
    JUSTICE PARRISH , opinion of the Court:
    INTRODUCTION
    ¶1 This case comes before us on appeal from a final order of
    the Ethics and Discipline Committee of the Utah Supreme Court
    (Committee). The Committee determined that appellant S. Austin
    Johnson violated rules 1.2, 1.4(a), and 8.4(a) of the Utah Rules of
    Professional Conduct. On appeal, Mr. Johnson argues that the
    Committee’s findings were not supported by substantial evidence.
    We reverse the Committee’s determination that Mr. Johnson
    violated the Utah Rules of Professional Conduct. And we refer to
    our rules committee the question of the proper procedure to be
    followed when a screening panel raises new charges against an
    attorney following the screening panel hearing.
    BACKGROUND
    ¶2 Since 2008, Mr. Johnson has represented Neri Alejandro
    Lopez in various criminal and immigration matters. Mr. Johnson
    JOHNSON v. OPC
    Opinion of the Court
    was hired by Mirta Parker, Mr. Lopez’s mother, to represent Mr.
    Lopez in obtaining permanent resident status in the United States.
    To that end, Mr. Johnson prepared and filed an Application to
    Register Permanent Residence or Adjust Status (Form I-485).
    Thereafter, Mr. Lopez was interviewed by an officer of the United
    States Citizenship and Immigration Services (USCIS). During that
    interview, Mr. Lopez admitted to having pled guilty to possession
    of drug paraphernalia in 2009.
    ¶3 Under section 212 of the Immigration and Nationality Act,
    an “alien convicted of . . . acts which constitute the essential elements
    of . . . a violation of . . . any law or regulation of a State . . . relating
    to a controlled substance . . . is inadmissible.” 8 U.S.C.
    § 1182(a)(2)(A)(i). Because Mr. Lopez had pled guilty to possession
    of drug paraphernalia, he was ineligible for permanent resident
    status under section 212.            However, section 212(h) of the
    Immigration and Nationality Act permits waiver of previous
    convictions in the case of applicants who are married to a United
    States citizen and whose “denial of admission would result in
    extreme hardship to the United States citizen.” 
    Id. § 1182(h)(1)(B).
        ¶4 Mr. Lopez’s wife, Christy Lopez, is a United States citizen.
    When Mr. Lopez’s Form I-485 application was denied because of his
    prior conviction, Mr. Johnson prepared and submitted an
    Application for Waiver of Grounds of Inadmissibility (Form I-601).
    In support of Mr. Lopez’s Form I-601 application, Mr. Johnson
    submitted a declaration from Ms. Lopez and documents detailing
    some of her medical expenses from 2004 and 2007. The declaration
    was not notarized. In her declaration, Ms. Lopez stated that Mr.
    Lopez was the only source of financial support for her and the
    couple’s three children.1 Ms. Lopez also stated that one of the
    children had health issues, but provided no supporting
    documentation. USCIS ultimately denied Mr. Lopez’s Form I-601
    application because it found that he had “failed to provide sufficient
    evidence that [his] removal would result in extreme hardship to [his]
    U.S. citizen spouse and children.”
    ¶5 After his Form I-601 application was denied, Mr. Lopez
    retained another attorney, Gloria Cardenas, to represent him in
    appealing the denial. Thereafter, Mr. Lopez, Ms. Lopez, and Ms.
    1
    Two of the children were from Mr. Lopez’s previous marriage.
    But Ms. Lopez stated that she was the children’s guardian and
    considered them her own.
    2
    Cite as: 
    2014 UT 57
                            Opinion of the Court
    Lopez’s father, Craig Franco, attended a meeting in which Mr. Lopez
    terminated Mr. Johnson as his counsel.2 As a result of the Form I-601
    denial, Mr. Lopez was incarcerated in the Salt Lake County Jail
    pending deportation. Though Mr. Lopez had previously terminated
    Mr. Johnson as his counsel, Mr. Lopez’s mother met separately with
    Mr. Johnson and rehired him to obtain Mr. Lopez’s release from jail.
    ¶6 Mr. Johnson visited Mr. Lopez in jail to discuss what
    needed to be done to obtain Mr. Lopez’s release. Mr. Johnson filed
    a petition for review with the Tenth Circuit Court of Appeals,
    seeking Mr. Lopez’s immediate release from jail pending resolution
    of the Form I-601 appeal. Mr. Johnson was successful in obtaining
    a temporary stay, leading to Mr. Lopez’s release. Subsequently, Ms.
    Cardenas was successful in appealing the Form I-601 denial, and Mr.
    Lopez received permanent resident status.
    ¶7 Mr. Franco submitted a complaint to the Office of
    Professional Conduct (OPC), alleging that Mr. Johnson engaged in
    professional misconduct in his representation of Mr. Lopez. The
    OPC investigated and determined that Mr. Johnson may have
    violated a number of the rules of professional conduct. The OPC
    sent a notice of informal complaint (NOIC) to Mr. Johnson notifying
    him of the rules that the OPC believed may have been violated.
    ¶8 First, the OPC indicated that Mr. Johnson may have
    violated rule 1.1. Rule 1.1 (competence) requires that a lawyer
    provide competent representation, including legal knowledge, skill,
    thoroughness, and preparation. The OPC indicated that Mr.
    Johnson may have violated this rule if he failed to provide the
    required documentation to support Mr. Lopez’s Form I-601
    application. Second, the OPC indicated that Mr. Johnson may have
    violated rule 1.4(a). Rule 1.4(a) (communication) enumerates
    circumstances when a lawyer must communicate with the client.
    The OPC indicated that Mr. Johnson may have violated this rule if
    he failed to adequately communicate with Mr. Lopez regarding the
    status of Mr. Lopez’s Form I-485 application or the need for more
    information in the Form I-601 application. Third, the OPC indicated
    that Mr. Johnson may have violated rule 1.16(d). Rule 1.16(d)
    (termination) requires that upon termination, a lawyer must return
    the client’s property, and specifically the client’s file, if requested.
    2
    The record is unclear whether Mr. Lopez or Mr. Franco actually
    terminated Mr. Johnson. At a minimum, Mr. Lopez assented to Mr.
    Johnson’s termination.
    3
    JOHNSON v. OPC
    Opinion of the Court
    Mr. Johnson may have violated this rule if he refused to provide Mr.
    Lopez with a copy of his client file following Mr. Johnson’s
    termination.3 Finally, the OPC indicated that Mr. Johnson may have
    violated rule 8.4(a) (misconduct), which specifies that it is
    professional misconduct to violate any of the Utah Rules of
    Professional Conduct.4
    ¶9 A screening panel of the Committee held a hearing on the
    possible violations on March 8, 2012. Based on information that
    emerged during the hearing, the OPC suggested that the screening
    panel also consider whether Mr. Johnson violated rule 1.2
    (representation), which requires lawyers to adequately explain to
    their clients the scope of their representation. Ultimately, the
    screening panel found that Mr. Johnson violated rules 1.2
    (representation), 1.4(a) (communication), and 8.4(a) (misconduct) of
    the Utah Rules of Professional Conduct and recommended that he
    receive a public reprimand. The screening panel found no basis to
    conclude that Mr. Johnson had violated rule 1.1 (competence) or rule
    1.16(d) (termination).
    ¶10 The screening panel found that Mr. Johnson violated rule
    1.2 (representation) by failing “to adequately explain to [Mr.] Lopez
    the scope of representation regarding Mr. Lopez’s appeal” following
    Mr. Johnson’s initial termination on September 16, 2011. The
    screening panel stated that “Mr. Lopez seemed confused regarding
    what work Mr. Johnson was going to continue to perform”
    following Mr. Johnson’s rehiring by Mr. Lopez’s mother. The
    screening panel also found that Mr. Johnson violated rule 1.4(a)
    (communication) by failing “to adequately communicate with [Mr.
    Lopez] regarding the status of his immigration application [and] the
    need for additional information” to complete the Form I-601
    3
    Mr. Franco alleged in his initial complaint that Mr. Johnson
    refused to provide Mr. Lopez with a copy of his client file. But Mr.
    Lopez testified that he received his client file within two days of
    requesting it. Because the screening panel did not find that Mr.
    Johnson withheld Mr. Lopez’s client file, this issue is not before us
    on appeal.
    4
    A violation of rule 8.4(a) based solely on an attorney’s violation
    of another rule will not be considered a separate violation. UTAH R.
    PROF’L CONDUCT 8.4 cmt. 1a. Rule 8.4(a) is more properly thought
    of as a bridge to the Standards for Imposing Lawyer Sanctions and
    allowing imposition of the appropriate discipline pursuant to rule
    14-605 of the Supreme Court Rules of Professional Practice. 
    Id. 4 Cite
    as: 
    2014 UT 57
                            Opinion of the Court
    application. The screening panel further found that Mr. Johnson
    violated rule 8.4(a) (misconduct) by violating rules 1.2
    (representation) and 1.4(a) (communication).
    ¶11 The screening panel determined that Mr. Johnson was
    negligent when he violated the specified rules but that his behavior
    caused “no injury or harm to the client.” Nevertheless, the screening
    panel recommended that Mr. Johnson receive a public reprimand
    because of his “repeated misconduct and lack of communication,
    thoroughness and diligence in his representation of clients
    demonstrated by his repeated offenses.” Finally, the screening panel
    expressly found that Mr. Johnson’s prior record of discipline
    constituted an aggravating factor.
    ¶12 Mr. Johnson filed an exception to the screening panel’s
    findings in accordance with rule 14-510 of the Supreme Court Rules
    of Professional Practice (Rules). In his exception filing, Mr. Johnson
    introduced, for the first time, documents detailing the scope of his
    representation of Mr. Lopez. These documents included a signed
    retainer agreement between Mr. Lopez and Mr. Johnson; a signed
    letter from Mr. Lopez to Ms. Cardenas, which limited Ms.
    Cardenas’s representation solely to the Form I-601 appeal; and
    copies of handwritten notes from a meeting between Mr. Johnson
    and Mr. Lopez, wherein they discussed the representation.
    ¶13 The Chair of the Ethics and Discipline Committee of the
    Utah Supreme Court (Chair) is responsible for ruling on any
    exception to the screening panel’s determinations. After reviewing
    Mr. Johnson’s case, the Chair issued a ruling on the exception on
    May 21, 2012. The Chair affirmed the screening panel’s findings,
    concluding that Mr. Johnson failed to carry his burden of showing
    that the screening panel’s findings were not supported by
    substantial evidence, or were arbitrary or capricious, legally
    insufficient, or otherwise clearly erroneous. See SUP . CT . R. PROF’L
    PRACTICE 14-510(d)(3). Mr. Johnson appeals from the Chair’s ruling.
    We have jurisdiction pursuant to section 78A-3-102(3)(c) of the Utah
    Code.
    STANDARD OF REVIEW
    ¶14 A party seeking review of the Committee’s decision bears
    the burden of establishing that the Committee’s action was (1) based
    on a factual determination not supported by substantial evidence,
    (2) an abuse of discretion, (3) arbitrary or capricious, or (4) contrary
    to the Rules. SUP. CT . R. PROF’L PRACTICE 14-510(f)(5). We presume
    that the Committee’s findings of fact are correct, unless we
    5
    JOHNSON v. OPC
    Opinion of the Court
    determine that such findings are arbitrary, capricious, or in plain
    error. In re Discipline of Babilis, 
    951 P.2d 207
    , 213 (Utah 1997).
    Nevertheless, in light of our constitutional mandate and “the unique
    nature of disciplinary actions and our knowledge of the nature of the
    practice of law,” “we reserve the right to draw inferences from basic
    facts which may differ from the inferences drawn by the
    [Committee].” In re Knowlton, 
    800 P.2d 806
    , 808 (Utah 1990). As
    such, our “review of attorney discipline proceedings is
    fundamentally different from judicial review of administrative
    proceedings or of other district court cases.” 
    Id. “We need
    not,
    therefore, defer to the [Committee] in deciding what may constitute
    appropriate discipline.” 
    Id. ANALYSIS ¶15
    On appeal, Mr. Johnson asks that we reverse the
    Committee’s finding that he violated rules 1.2 (representation), 1.4(a)
    (communication), and 8.4(a) (misconduct) of the Utah Rules of
    Professional Conduct. Specifically, Mr. Johnson argues that the
    Committee’s findings were not supported by substantial evidence.5
    Upon reviewing the entire record, we agree with Mr. Johnson and
    therefore reverse. We also refer the question of the procedure to be
    followed when an attorney is confronted with charges at a screening
    panel hearing of which he or she had no prior notice to our rules
    committee.
    I. THE COMMITTEE’S FINDING THAT MR. JOHNSON
    VIOLATED RULE 1.4(a) (COMMUNICATION) IS NOT
    SUPPORTED BY SUBSTANTIAL EVIDENCE
    ¶16 The screening panel concluded that Mr. Johnson violated
    rule 1.4(a) (communication) by “failing to adequately communicate
    with [Mr. Lopez] regarding the status of his immigration application
    or the need for additional information.” The Chair concluded that
    the screening panel’s finding was supported by substantial evidence
    because it found that the record contained evidence that Mr. Johnson
    “failed to supply various necessary information” in Mr. Lopez’s
    immigration application.
    5
    Mr. Johnson also argues that the Committee’s findings were an
    abuse of discretion, arbitrary and capricious, and contrary to our
    rules of professional practice.     Because we agree that the
    Committee’s findings were not supported by substantial evidence,
    we need not address Mr. Johnson’s other arguments.
    6
    Cite as: 
    2014 UT 57
                            Opinion of the Court
    ¶17 At the screening panel hearing, Mr. Lopez testified that
    there were times that Mr. Johnson did not promptly return phone
    calls, but he could not recall how many calls were not returned.6 Mr.
    Lopez also testified that Mr. Johnson failed to deliver his client file
    in a timely manner. But the screening panel did not make any
    findings of fact as to whether Mr. Johnson did or did not return
    phone calls or whether he promptly returned Mr. Lopez’s client file.
    Rather, the screening panel’s only factual determination supporting
    its finding that Mr. Johnson had violated rule 1.4 (communication)
    was that “Mr. Johnson failed to adequately communicate with his
    client regarding the status of his immigration application or the need
    for additional information.” Similarly, the Chair’s determination
    that Mr. Johnson had violated rule 1.4(a) (communication) was
    based solely on the fact that Mr. Johnson had failed to properly
    communicate with his client “so as to obtain the information and
    documents that are necessary properly to process the client’s request
    for relief from an agency.” And in its briefing in this court, the OPC
    similarly focused on Mr. Johnson’s alleged failure to communicate
    with Mr. Lopez “to make sure that [Mr.] Johnson had all the
    information and supporting documents that would have given the
    [I-601 waiver] application a chance at success.” Though a failure to
    adequately investigate a client’s claim and to collect the
    documentation necessary to support that claim are serious matters,
    rule 1.4 (communication) is not the appropriate vehicle for
    addressing such behavior.
    ¶18 Rule 1.4 of the Utah Rules of Professional Conduct states:
    (a) A lawyer shall:
    (a)(1) promptly inform the client of any decision or
    circumstance with respect to which the client’s
    informed consent . . . is required by these Rules;
    (a)(2) reasonably consult with the client about the
    means by which the client’s objectives are to be
    accomplished;
    6
    Ms. Lopez also testified at the screening panel hearing that Mr.
    Johnson did not return her phone calls. However, she was not Mr.
    Johnson’s client. For the purposes of rule 1.4 (communication), we
    are only concerned with an attorney’s communications with a client.
    Any communication breakdown between Ms. Lopez and Mr.
    Johnson, while regrettable, is irrelevant to whether Mr. Johnson
    violated rule 1.4 (communication).
    7
    JOHNSON v. OPC
    Opinion of the Court
    (a)(3) keep the client reasonably informed about the
    status of the matter;
    (a)(4) promptly comply with reasonable requests for
    information; and
    (a)(5) consult with the client about any relevant
    limitation on the lawyer’s conduct when the lawyer
    knows that the client expects assistance not permitted
    by the Rules of Professional Conduct or other law.
    (b) A lawyer shall explain a matter to the extent
    reasonably necessary to permit the client to make
    informed decisions regarding the representation.
    Thus, the rule’s focus is on ensuring that clients are adequately
    informed about the status of their case and are included in the
    decision-making process. Both the language of the rule and our
    caselaw focus on the flow of information from the attorney to the
    client. See Utah State Bar v. Jardine (In re Discipline of Jardine), 
    2012 UT 67
    , ¶ 60, 
    289 P.3d 516
    . There is nothing in the language of the rule
    to suggest that it is violated when an attorney fails to investigate a
    client’s claim, even if that failed investigation was due to some
    failure of communication between the lawyer and the client.
    ¶19 The appropriate rule under which to reprimand an attorney
    for failure to adequately investigate a client’s claim is rule 1.1
    (competence), which requires an attorney to employ the “legal
    knowledge, skill, thoroughness and preparation reasonably necessary
    for the representation.” UTAH R. PROF’L CONDUCT 1.1 (emphases
    added). But in this case, the screening panel was expressly asked to
    consider whether Mr. Johnson violated rule 1.1 (competence) and
    declined to find that he did so. Rule 1.4 (communication) cannot be
    used to punish conduct covered by rule 1.1 (competence), especially
    when the screening panel did not find a violation of rule 1.1. We
    conclude the Committee’s determination that Mr. Johnson violated
    rule 1.4 (communication) is not supported by substantial evidence.
    We therefore vacate the Committee’s ruling and accompanying
    sanction.
    II. THE COMMITTEE’S FINDING THAT MR. JOHNSON
    VIOLATED RULE 1.2 (REPRESENTATION) WAS NOT
    SUPPORTED BY SUBSTANTIAL EVIDENCE
    ¶20 The Committee found that Mr. Johnson violated rule 1.2
    (representation) of the Utah Rules of Professional Conduct by failing
    8
    Cite as: 
    2014 UT 57
                            Opinion of the Court
    to adequately explain the scope and objectives of his representation
    to Mr. Lopez. In relevant part, rule 1.2 states:
    (a) . . . [A] lawyer shall abide by a client’s decisions
    concerning the objectives of representation and, as
    required by Rule 1.4, shall consult with the client as to
    the means by which they are to be pursued. . . .
    ....
    (c) A lawyer may limit the scope of representation if
    the limitation is reasonable under the circumstances
    and the client gives informed consent.
    The screening panel found that Mr. Johnson failed to properly
    explain the scope of his representation to Mr. Lopez after Mr.
    Johnson was rehired. The screening panel stated, “Mr. Lopez
    seemed confused regarding what work Mr. Johnson was going to
    continue to perform.” The screening panel relied on documentary
    evidence and testimony from Mr. Lopez, Ms. Lopez, Mr. Franco, and
    Mr. Johnson in reaching its conclusion.
    ¶21 But the original NOIC sent by the OPC did not indicate that
    it believed Mr. Johnson had violated rule 1.2 (representation).
    Instead, the NOIC only mentioned rules 1.1 (competence), 1.4
    (communication), and 1.16 (termination). Based on evidence that
    emerged during the screening panel hearing, the OPC suggested
    that the screening panel also consider whether Mr. Johnson may
    have violated rule 1.2 (representation). Thus, Mr. Johnson did not
    have advance notice that the screening panel would be considering
    a rule 1.2 (representation) violation.
    ¶22 At the exception stage, Mr. Johnson submitted new
    documentary evidence demonstrating that Mr. Lopez was fully
    informed as to the scope of representation. First, Mr. Johnson
    submitted a client retainer agreement. In this agreement, Mr. Lopez
    retained Mr. Johnson “for representation with regard to . . . 10th Cir.
    Petition for Review of Order of Deportation and Temporary Stay of
    Removal.” Second, Mr. Johnson submitted a letter from Mr. Lopez
    to Ms. Cardenas.7 The letter stated:
    Dear Gloria:
    I am writing to inform you that I am limiting you as
    7
    Portions of the letter were typewritten. Other parts were
    handwritten, and it was signed by Mr. Lopez.
    9
    JOHNSON v. OPC
    Opinion of the Court
    my attorney of representation on my immigration
    matter. Mr. S. Austin Johnson will from now on
    handle my immigration case. Thank you for your
    service. I expect you to continue to represent me in
    my appeal of the denial of the [Form] I-601 to the
    AAO. But Mr. Johnson will represent me in all other
    immigration matters.
    Mr. Johnson also submitted copies of his hand-written notes taken
    when he visited Mr. Lopez in jail and discussed what was needed to
    get Mr. Lopez released.
    ¶23 Because Mr. Johnson did not request a hearing at the
    exception stage, the Chair reviewed the screening panel’s findings
    only in light of the evidence before the screening panel. While the
    Chair acknowledged the new evidence presented by Mr. Johnson at
    the exception stage, he did not consider that evidence in reaching his
    conclusion. Instead, the Chair simply considered whether the
    screening panel had sufficient evidence to make its findings at the
    time it made them. The Chair concluded that the screening panel
    did have sufficient evidence before it and therefore affirmed the
    screening panel’s findings that Mr. Johnson violated rule 1.2
    (representation). But the new documentary evidence submitted by
    Mr. Johnson demonstrates that Mr. Lopez was fully informed as to
    the scope of the representation. Had that evidence been before the
    screening panel—or had the Chair considered it—it is difficult to
    believe that they would have found a violation of rule 1.2
    (representation).
    ¶24 The difficulty in this case stems from the preliminary nature
    of the NOIC and the investigatory nature of the screening panel
    hearing, combined with the procedures for appeal outlined in rule
    14-510. Screening panel findings can be appealed to the Chair; this
    appeal is known as an exception. Rule 14-510(d)(2) allows a
    respondent to augment the record before the screening panel if he or
    she requests a hearing at the exception stage. However, rule 14-
    510(d)(1) provides, “If no hearing is requested, the committee chair
    will review the record compiled before the screening panel.” Read
    together, subsections (d)(1) and (d)(2) imply that a respondent may
    supplement the screening panel record only if he first requests a
    hearing at the exception stage. And if the respondent does not
    request a hearing, the Chair appears to have no discretion to
    consider newly submitted evidence.
    ¶25 This procedure is troubling in cases like Mr. Johnson’s,
    where the screening panel considers possible rule violations of
    10
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                            Opinion of the Court
    which the attorney had no notice. In such cases, the screening panel
    may make factual findings adverse to an attorney without the
    attorney having been given the opportunity to prepare and gather
    relevant evidence. In short, the preliminary nature of the NOIC and
    the screening panel’s dual role as both investigator and fact finder
    raise both due process and efficiency concerns.
    ¶26 Attorneys are entitled to due process in disciplinary
    proceedings, including “adequate notice of the charges and an
    opportunity to be heard in a meaningful way.” Long v. Ethics &
    Discipline Comm. of the Utah Supreme Court, 
    2011 UT 32
    , ¶ 29, 
    256 P.3d 206
    (internal quotation marks omitted). “[T]he procedures listed in
    the [Rules] are sufficient to afford due process,” 
    id., because the
    Rules allow an attorney to present new evidence at an exception
    hearing or on appeal to this court. SUP. CT . R. PROF’L PRACTICE 14-
    510(d)(2), (f)(5)(A). Nonetheless, procedural fairness dictates that an
    attorney charged with misconduct have an opportunity to rebut
    charges at the screening panel stage before the heightened standard
    of review upon appeal is imposed. We are troubled by the fact that
    in cases like this, an attorney does not have the opportunity to
    present evidence in his favor until after the screening panel has
    already made its determination. And although the attorney may file
    an exception or appeal to this court, he or she is then laboring under
    the burden of showing that the “determination or recommendation
    of the screening panel is unsupported by substantial evidence or is
    arbitrary, capricious, legally insufficient, or otherwise clearly
    erroneous.” 
    Id. 14-510(d)(3). ¶27
    The possibility of new charges arising during a screening
    panel hearing raises doubts as to the structure of the appeal
    procedures within our Rules. Requiring an accused lawyer to either
    request a hearing at the exception stage or pursue an appeal to this
    court in order to present evidence responsive to charges raised
    during a screening panel hearing is wholly inefficient. See Long, 
    2011 UT 32
    , ¶ 36 (recognizing that the informal screening panel system
    was “designed to promote speed and efficiency in low-level attorney
    discipline cases”).
    ¶28 Mr. Johnson’s case demonstrates this problem precisely.
    Mr. Johnson received a NOIC informing him that the OPC thought
    he might have violated rules 1.1 (competence), 1.4 (communication),
    and 1.16(d) (termination). There was no mention of rule 1.2
    (representation) as a possible violation until during the screening
    panel hearing. As a result, Mr. Johnson was unprepared during the
    hearing to defend himself against the charge that he failed to explain
    11
    JOHNSON v. OPC
    Opinion of the Court
    the scope of his representation to Mr. Lopez. And Mr. Johnson’s
    lack of preparation was completely predictable, given his lack of
    notice that the screening panel had any concerns related to his
    compliance with rule 1.2 (representation). Mr. Johnson then
    submitted responsive evidence at the exception stage, but the Chair
    was unable to consider it. Thus, Mr. Johnson was required to appeal
    to this court in order to obtain the opportunity to have us consider
    evidence for the first time that should have been considered by the
    screening panel before it found that Mr. Johnson had committed
    professional misconduct.
    ¶29 After reviewing the entire record, we conclude that Mr.
    Johnson fully informed Mr. Lopez as to the scope of his
    representation. Accordingly, we hold that the Committee’s finding
    that Mr. Johnson violated rule 1.2 (representation) was not
    supported by substantial evidence. And because of our concerns
    about procedural fairness and efficiency, we refer the issue of how
    to handle new charges arising out of screening panel hearing to our
    rules committee and instruct it to propose changes to the Rules to
    address these concerns.
    CONCLUSION
    ¶30 The Committee’s findings that Mr. Johnson violated rules
    1.2 (representation), 1.4(a) (communication), and 8.4(a) (misconduct)
    were not supported by substantial evidence.                Rule 1.4(a)
    (communication) cannot be used to reprimand an attorney for
    behavior properly covered by other rules. And Mr. Johnson’s
    evidence demonstrates that he did not violate rule 1.2
    (representation) because he explained the scope of representation to
    his client. Finally, Mr. Johnson did not violate rule 8.4 (misconduct)
    because that violation was based solely on his violation of the other
    two rules. We therefore reverse the Committee’s determination that
    Mr. Johnson violated the Utah Rules of Professional Conduct.
    12
    

Document Info

Docket Number: No 20120538

Citation Numbers: 2014 UT 57, 342 P.3d 280, 775 Utah Adv. Rep. 15, 2014 Utah LEXIS 211, 2014 WL 7010043

Judges: Parrish, Durrant, Nehring, Durham, Lee

Filed Date: 12/12/2014

Precedential Status: Precedential

Modified Date: 11/13/2024