State v. Campbell , 2021 Ohio 2482 ( 2021 )


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  • [Cite as State v. Campbell, 
    2021-Ohio-2482
    .]
    IN THE COURT OF APPEALS OF OHIO
    FOURTH APPELLATE DISTRICT
    VINTON COUNTY
    STATE OF OHIO,                                      :
    Plaintiff-Appellee,                         :   Case No.   20CA723
    vs.                                         :
    AUSTIN B. CAMPBELL,                                 :   DECISION AND JUDGMENT ENTRY
    Defendant-Appellant.                        :
    ________________________________________________________________
    APPEARANCES:
    Dennis W. McNamara, Columbus, Ohio, for appellant.
    Dave Yost, Ohio Attorney General, and Andrea K. Boyd, Assistant
    Attorney General, Columbus, Ohio, for appellee.
    ________________________________________________________________
    CRIMINAL APPEAL FROM COMMON PLEAS COURT
    DATE JOURNALIZED:7-13-21
    PER CURIAM.
    {¶1}     This is an appeal from a Vinton County Common Pleas
    Court judgment of conviction and sentence.                         Austin B. Campbell,
    defendant below and appellant herein, assigns the following
    errors for review:
    FIRST ASSIGNMENT OF ERROR:
    “THE TRIAL COURT ERRED WHEN IT OVERRULED MR.
    CAMPBELL’S MOTION TO DISMISS THE
    INDICTMENT.”
    2
    VINTON, 20CA723
    SECOND ASSIGNMENT OF ERROR:
    “THE TRIAL COURT’S VERDICTS FINDING MR.
    CAMPBELL GUILTY OF THE OFFENSES OF TAMPERING
    WITH RECORDS AND FORGERY WERE NOT SUPPORTED
    BY SUFFICIENT EVIDENCE.”
    {¶2}    Between January 2009 and January 2013, appellant
    served as the Vinton County Prosecutor.    In 2015, the state
    filed a bill of information that charged appellant with eight
    counts of falsification based upon conduct that occurred between
    2009 and 2012, while appellant served as the Vinton County
    Prosecutor.    On August 27, 2018, the trial court dismissed the
    case with prejudice due to a violation of appellant’s speedy
    trial rights.
    {¶3}    On December 26, 2018, a Vinton County Grand Jury
    returned an indictment that charged appellant with (1) tampering
    with records, in violation of R.C. 2913.42, and (2) forgery, in
    violation of R.C. 2913.31(A)(2).
    {¶4}   Appellant subsequently filed a motion to dismiss the
    indictment based upon a violation of his speedy trial rights.
    Appellant noted that the current indictment is based upon his
    failure to list the prosecutor’s office’s Furtherance of Justice
    (FOJ) fund as a creditor on his 2012 financial disclosure form
    that he filed in 2013, facts that the state knew when it filed
    the 2015 indictment.    Appellant contended that the current
    3
    VINTON, 20CA723
    indictment does not set forth any facts that differ from the
    previous bill of information.    Instead, appellant claimed that
    the facts alleged in the 2015 bill of information and the
    current indictment constitute a continuing course of conduct.
    Appellant thus argued that the state was required to try him
    within the time frame of the 2015 bill of information.
    {¶5}   The state’s memorandum contra asserted that the
    speedy-trial time frame of the 2015 bill of information should
    not apply to the current indictment because the current
    indictment arises from a different set of facts than those
    alleged in the initial bill of information.    The state contended
    that the 2015 bill of information and the current indictment are
    based upon “different events that took place on different
    dates.”    The 2015 bill of information alleged that appellant
    committed eight counts of falsification between January 1, 2009
    and January 1, 2012, but the current indictment charges
    appellant with different offenses–tampering with records and
    forgery–that occurred at a different time–May 14, 2013.
    {¶6}   On November 13, 2019, the trial court overruled
    appellant’s motion to dismiss the indictment.
    Before trial, the parties entered into several
    stipulations.     They agreed, in part, that appellant made five
    purchases for personal use with the FOJ debit card that totaled
    4
    VINTON, 20CA723
    $1,920.67, and that on January 3, 2013, appellant repaid the
    amount and listed the expenses on the annual report that he
    filed with the Vinton County Auditor.
    {¶7}   On December 16, 2019, the court held a bench trial.
    At trial, the state asserted that it did not plan to call any
    witnesses and, instead, intended to rely upon the parties’
    stipulations and the exhibits it sought to admit into evidence.
    After the court admitted the state’s exhibits, the state rested.
    {¶8}   At that juncture, appellant filed a Crim.R. 29 motion
    for judgment of acquittal and asserted that the state did not
    present any evidence to show that he acted with a purpose to
    defraud or that appellant falsified any document.    The state
    argued that the failure to list the FOJ fund as a creditor
    established that the form was false.1   The state contended that
    1
    R.C. 102.02(A)(2)(e) requires a financial disclosure
    statement to include, inter alia:
    The names of all persons residing or
    transacting business in the state to whom
    the person filing the statement owes, in the
    person’s own name or in the name of any
    other person, more than one thousand
    dollars. Division (A)(2)(e) of this section
    shall not be construed to require the
    disclosure of debts owed by the person
    resulting from the ordinary conduct of a
    business or profession or debts on the
    person’s residence or real property used
    primarily for personal recreation, except
    that the superintendent of financial
    5
    VINTON, 20CA723
    the circumstances indicate that appellant had the intent to
    defraud because the failure to list the FOJ fund as a creditor
    permitted appellant to obtain an interest-free loan and he could
    avoid an ethics or criminal investigation.
    {¶9}   The trial court took the matter under advisement and
    allowed the parties to submit post-trial briefs.   In its post-
    trial brief, the state asserted:
    By failing to disclose the FOJ Fund as a creditor
    on his [financial disclosure] form, [appellant] was
    deceiving the Ohio Ethics Commission, and anyone else
    who viewed the [financial disclosure form]. He did so
    to conceal the fact that he was using the FOJ Fund for
    personal use throughout calendar year 2012.
    The state argued that appellant knew that his disclosure of
    personal use of the FOJ fund “might lead to questions about how
    he was using the FOJ Fund.”
    {¶10} In his post-trial brief, appellant asserted that the
    state failed to present any evidence to show that he acted with
    purpose to defraud or an intent to deceive.   Appellant alleged
    that he disclosed his personal use of the fund when, on January
    3, 2013, he filed a written report with the Vinton County
    institutions and any deputy superintendent
    of banks shall disclose the names of all
    state-chartered banks and all bank
    subsidiary corporations subject to
    regulation under section 1109.44 of the
    Revised Code to whom the superintendent or
    deputy superintendent owes any money.
    6
    VINTON, 20CA723
    Auditor that listed all expenditures made from the FOJ fund
    during 2012.   Appellant argued that this disclosure negates a
    finding that he had a purpose to defraud or that he had an
    intent to deceive.
    {¶11} On June 10, 2020, the trial court found appellant
    guilty of both offenses.   The court determined that appellant
    knowingly obtained a benefit for himself by borrowing
    government money from the Furtherance of Justice Fund
    when he was prohibited from doing so and not paying
    any interest on the loan. Defendant knowingly
    obtained this money by deception by purposely not
    disclosing that he had taken the money on his 2012
    Financial Disclosure Statement, a required
    governmental writing or record, prior to filing it.
    The court additionally determined that the state established
    that appellant had a purpose to defraud.   The court explained
    that the evidence showed that appellant did not list “his
    appropriation of the FOJ funds on the Financial Disclosure
    Statement despite the warnings on the Statement.”   The court
    further disagreed with appellant that his repayment of the
    amounts improperly spent negates any purpose to defraud.     Thus,
    the court thus found appellant guilty of tampering with records
    and forgery.
    {¶12} At sentencing, the trial court merged the two
    offenses.   The state elected to proceed to sentencing on the
    tampering-with-records offense.   The court placed appellant on
    7
    VINTON, 20CA723
    community control for two years and ordered him to pay a $2,000
    fine.   This appeal followed.
    I
    {¶13} In his first assignment of error, appellant asserts
    that the trial court erred when it overruled his motion to
    dismiss the indictment.   Appellant contends that (1) the trial
    court incorrectly determined that the 2015 bill-of-information
    speedy-trial deadline did not apply to the subsequent
    indictment, and (2) the speedy-trial statutes required the state
    to bring all possible charges that the state had knowledge about
    at the time that it filed the 2015 indictment.   Appellant
    additionally argues that the speedy-trial statutes required the
    state to include the current charges in the 2015 bill of
    information, because the current charges arise out of the same
    acts or transaction alleged in the 2015 bill of information.
    Appellant states that even though the charges alleged in the
    current indictment occurred at a different time from the charges
    set forth in the 2015 bill of information, the present charges
    are “factually related to the charges in the prior case.”
    {¶14} Appellee counters that even if it knew of the 2012
    financial disclosure statement when it filed the 2015
    indictment, the second indictment is subject to a new speedy-
    8
    VINTON, 20CA723
    trial time frame because it contains additional crimes based on
    different facts.
    {¶15} “Review of a speedy-trial claim involves a mixed
    question of law and fact.   Therefore, we defer to the trial
    court’s factual findings if they are supported by competent,
    credible evidence, but we review the application of the law to
    those facts de novo.”   State v. Long, — Ohio St.3d —, 2020-Ohio-
    5363, — N.E.3d —, ¶ 15; accord State v. Howerton, 4th Dist.
    Lawrence No. 20CA2, 
    2021-Ohio-913
    , 
    2021 WL 1101839
    , ¶ 11; State
    v. Spencer, 
    2017-Ohio-456
    , 
    84 N.E.3d 106
    , ¶ 16 (4th Dist.);
    State v. Brooks, 
    2018-Ohio-2210
    , 
    114 N.E.3d 220
    , ¶ 21 (4th
    Dist.).
    {¶16} The United States and the Ohio Constitutions guarantee
    an accused the right to a speedy trial.   The Sixth Amendment to
    the United States Constitution states that an “accused shall
    enjoy the right to a speedy and public trial.”   Section 10,
    Article I of the Ohio Constitution guarantees to the party
    accused in any court “a speedy public trial by an impartial
    jury.”
    The availability of a speedy trial to a person
    accused of a crime is a fundamental right made
    obligatory on the states by the Fourteenth Amendment.
    See Klopfer v. North Carolina (1967), 
    386 U.S. 213
    ,
    222-223, 
    87 S.Ct. 988
    , 993-994, 
    18 L.Ed.2d 1
    ; State v.
    Singer (1977), 
    50 Ohio St.2d 103
    , 106, 
    4 O.O.3d 237
    ,
    238, 
    362 N.E.2d 1216
    , 1218, at fn. 2. The speedy-
    9
    VINTON, 20CA723
    trial provision is “‘an important safeguard to prevent
    undue and oppressive incarceration prior to trial, to
    minimize anxiety and concern accompanying public
    accusation and to limit the possibilities that long
    delay will impair the ability of an accused to defend
    himself.’ United States v. Ewell, 
    383 U.S. 116
    , 120,
    
    86 S.Ct. 773
    , 776, 
    15 L.Ed.2d 627
    , (1966) * * *.”
    United States v. Marion (1971), 
    404 U.S. 307
    , 320, 
    92 S.Ct. 455
    , 463, 
    30 L.Ed.2d 468
    .
    State v. Adams, 
    43 Ohio St.3d 67
    , 68, 
    538 N.E.2d 1025
     (1989).
    {¶17} Ohio’s speedy trial provisions, R.C. 2945.71 to
    2945.73, “constitute a rational effort to enforce the
    constitutional right to a public speedy trial of an accused
    charged with the commission of a felony or a misdemeanor.”
    State v. Pachay, 
    64 Ohio St.2d 218
    , 
    416 N.E.2d 589
     (1980),
    syllabus; accord State v. Martin, 
    156 Ohio St.3d 503
    , 2019-Ohio-
    2010, 
    129 N.E.3d 437
    , ¶ 15; State v. Parker, 
    113 Ohio St.3d 207
    ,
    
    2007-Ohio-1534
    , 
    863 N.E.2d 1032
    , ¶ 11; Brecksville v. Cook, 
    75 Ohio St.3d 53
    , 55, 
    661 N.E.2d 706
     (1996).   To that end, R.C.
    2945.71 designates specific time requirements for the state to
    try an accused.   State v. Hughes, 
    86 Ohio St.3d 424
    , 425, 
    715 N.E.2d 540
     (1999).
    {¶18} R.C. 2945.71(C)(2) requires a person accused of a
    felony to be brought to trial within 270 days of the
    individual’s arrest.   Additionally, R.C. 2945.71(D) states:
    A person against whom one or more charges of
    different degrees, whether felonies, misdemeanors, or
    combinations of felonies and misdemeanors, all of
    10
    VINTON, 20CA723
    which arose out of the same act or transaction, are
    pending shall be brought to trial on all of the
    charges within the time period required for the
    highest degree of offense charged, as determined under
    divisions (A), (B), and (C) of this section.
    {¶19} Courts must “strictly construe the speedy trial
    statutes against the state,” Brecksville v. Cook, 
    75 Ohio St.3d 53
    , 57, 
    661 N.E.2d 706
     (1996), and must “strictly enforce the
    legislative mandates evident in these statutes.”    Pachay, 64
    Ohio St.2d at 221; e.g., State v. Parker, 
    113 Ohio St.3d 207
    ,
    
    2007-Ohio-1534
    , 
    863 N.E.2d 1032
    , ¶ 15.    Consequently, “[t]he
    prosecution and the trial courts have a mandatory duty to try an
    accused within the time frame provided by the statute.”      State
    v. Ramey, 
    132 Ohio St.3d 309
    , 
    2012-Ohio-2904
    , 
    971 N.E.2d 937
    , ¶
    14.   If an accused is not brought to trial within the time
    limits set forth in the speedy trial statutes, and if an
    exception does not apply, R.C. 2945.73(B) requires the court,
    upon motion at or before trial, to discharge the accused.
    {¶20} In the case sub judice, appellant does not claim that
    the state failed to bring him to trial within 270 days after his
    arrest or indictment for the current charges.     Instead,
    appellant asserts that the current charges arise out of the same
    set of facts as the 2015 indictment.     Appellant therefore
    contends that the speedy-trial provisions required the state to
    11
    VINTON, 20CA723
    bring him to trial within the time frame that applied to his
    2015 indictment, which expired long ago.
    {¶21} When the state files an initial indictment against an
    accused and then files a subsequent indictment, the subsequent
    indictment is not subject to the speedy-trial deadline of the
    initial indictment if either of the following apply: (1) the
    subsequent indictment charges additional offenses that “arise
    from facts distinct from those supporting an original charge”;
    or (2) “the state was unaware of such facts” at the time it
    filed the initial indictment.   State v. Baker, 
    78 Ohio St.3d 108
    , 112, 
    676 N.E.2d 883
     (1997); see also Parker at ¶ 20
    (stating that “speedy-trial time is not tolled for the filing of
    later charges that arose from the facts of the criminal incident
    that led to the first charge”).   Accordingly, “the speedy-trial
    clock resets when the state brings new charges based on either
    (1) facts different from those supporting the original charges
    or (2) lack of knowledge, at the time the original indictment is
    filed, of the facts supporting the new charges.”   State v.
    Parker, 6th Dist. Lucas No. L-18-1238, 
    2020-Ohio-4607
    , 
    2020 WL 5743300
    , ¶ 69.
    {¶22} Courts that determine whether “offenses in multiple
    indictments are truly different” generally review whether the
    offenses “arise from different circumstances, require different
    12
    VINTON, 20CA723
    evidence, and are otherwise distinguishable in a significant
    way.”   State v. Jones, 2nd Dist. Montgomery No. 21974, 2008-
    Ohio-1603, 
    2008 WL 867732
    , ¶ 10.    “The ‘key question’ to ask * *
    * is ‘whether all of the offenses at issue arose out of the same
    set of facts.”    Parker, 
    2020-Ohio-4607
    , at ¶ 77, quoting State
    v. Mohamed, 10th Dist. Franklin No. 08AP-960, 
    2009-Ohio-6658
    , ¶
    32.   “If they did not, the state is able to take advantage of a
    new speedy-trial timetable regardless of when it learned of the
    facts it needed to indict the defendant on the new charges.”
    
    Id.
    {¶23} The Ohio Supreme Court’s decisions in Adams and Baker
    help to illustrate the foregoing rules.    In Adams, the court
    determined that the subsequent indictment arose out of the same
    set of facts as the initial indictment.    In that case, the state
    first charged the defendant with operating a motor vehicle while
    under the influence of alcohol in violation of R.C.
    4511.19(A)(3).    The defendant waived the speedy-trial time for a
    total of 35 days.    The state later asked the court to enter a
    nolle prosequi, and the trial court dismissed the charge.    A day
    after the court dismissed the charge, the state filed a second
    complaint against defendant that charged him with operating a
    motor vehicle while under the influence of alcohol in violation
    of R.C. 4511.19(A)(1).    The defendant filed a motion to dismiss
    13
    VINTON, 20CA723
    and alleged that the state had failed to bring him to trial
    within the prescribed time period.   The trial court overruled
    the defendant’s motion.
    {¶24} On appeal to the Ohio Supreme Court, the defendant
    argued that the state failed to bring him to trial within the
    90-day period applicable to misdemeanors.   The defendant alleged
    that the waiver that he entered in the first case did not apply
    to the second case so as to extend the time within which to
    bring him to trial.
    {¶25} The supreme court first determined that the speedy-
    trial time that applied to the first charge also applied to the
    second charge, because the second charge “stemmed from the
    original set of facts which gave rise to the [initial] charge.”
    Id. at 68.   The court explained:
    “[W]hen new and additional charges arise from the
    same facts as did the original charge and the state
    knew of such facts at the time of the initial
    indictment, the time within which trial is to begin on
    the additional charge is subject to the same statutory
    limitations period that is applied to the original
    charge.”
    Id. at 68, quoting State v. Clay, 
    9 Ohio App.3d 216
    , 218, 
    459 N.E.2d 609
     (1983).
    {¶26} The court next concluded that the defendant’s waiver
    in the first case did not apply to the second case.   The court
    stated: “when an accused waives the right to a speedy trial as
    14
    VINTON, 20CA723
    to an initial charge, this waiver is not applicable to
    additional charges arising from the same set of circumstances
    that are brought subsequent to the execution of the waiver.”
    Id. at 70.    The court thus determined that the trial court
    should have granted the defendant’s motion to dismiss.
    {¶27} In Baker, the Ohio Supreme Court concluded that a
    subsequent indictment was not subject to the same speedy-trial
    deadline as the original indictment when, at the time that it
    filed the first indictment, the state was unaware of the facts
    alleged in the subsequent indictment.    In Baker, law enforcement
    officers arrested the defendant, a pharmacist, after the
    defendant made several illegal sales of drugs to police
    informants.    The officers also executed search warrants for the
    defendant’s pharmacies.    During the search, the officers
    obtained numerous business and financial records.    The state
    subsequently reviewed the records to determine whether any
    additional criminal offenses had occurred.
    {¶28} One week after the defendant’s arrest, the state
    charged the defendant with two counts of drug trafficking and
    five counts of aggravated drug trafficking.    These charges
    related to the controlled buys that had occurred before the
    defendant’s arrest and the search of his pharmacies.
    15
    VINTON, 20CA723
    {¶29} After the defendant’s indictment, the state audited
    the defendant’s business and financial records.    Nine months
    after the state completed the audit, the state filed an
    additional indictment that charged the defendant with eight
    counts of drug trafficking, one count of aggravated drug
    trafficking, and one count of Medicaid fraud.
    {¶30} The defendant filed a motion to dismiss the second
    indictment on speedy-trial grounds and argued that the speedy-
    trial statutes required the state to bring him to trial for the
    subsequent charges within the 270-day period that applied to the
    charges contained in the first indictment.    The trial court
    overruled the defendant’s motion to dismiss.
    {¶31} On appeal, the appellate court reversed and determined
    that the speedy-trial clock for the second indictment had begun
    on the date of the defendant’s arrest for the first indictment.
    The state then appealed to the Ohio Supreme Court.    The supreme
    court considered “whether Ohio’s Constitution or speedy-trial
    statute requires additional criminal charges filed in a
    subsequent indictment to run from the date of defendant’s
    original arrest, with time tolled during the state’s audits of
    seized evidence, or whether the statute allows the state a new
    time period from the date of the subsequent indictment.”    Id. at
    110.    The court acknowledged its Adams holding that “subsequent
    16
    VINTON, 20CA723
    charges made against an accused would be subject to the same
    speedy-trial constraints as the original charges, if additional
    charges arose from the same facts as the first indictment.”    Id.
    The court did not, however, find that Adams applied when “the
    subsequent charges [are] based on new and additional facts which
    the state had no knowledge of at the time of the original
    indictment.”   Id.   The court explained:
    “[I]n issuing a second indictment against the
    defendant, the state was not subject to the speedy-
    trial time limits of the original indictment, since
    the subsequent charges were based on new and
    additional facts which the state had no knowledge of
    at the time of the original indictment. Additional
    crimes based on different facts should not be
    considered as arising from the same sequence of events
    for the purposes of speedy-trial computation. See,
    e.g., State v. Singleton (C.P.1987), 
    38 Ohio Misc.2d 13
    , 
    526 N.E.2d 121
    .
    Id. at 111.
    {¶32} The court observed that the original indictment was
    based upon facts learned during controlled buys that occurred
    before the defendant’s arrest and before the search of his
    pharmacies, and that the second indictment was based upon
    evidence discovered after the search of the defendant’s
    pharmacies.    The court determined that requiring “the state to
    bring additional charges within the time period of the original
    indictment, when the state could not have had any knowledge of
    the additional charges until investigating later-seized
    17
    VINTON, 20CA723
    evidence, would undermine the state’s ability to prosecute
    elaborate or complex crimes.”    Id.   The court concluded that
    because “the charges in the second indictment stem from
    additional facts which the state did not know of before the
    audits, the state should be accorded a new 270–day period
    beginning from the time when the second indictment was
    returned.”    Id. at 111-112.   The court ultimately held:
    When additional criminal charges arise from facts
    distinct from those supporting an original charge, or
    the state was unaware of such facts at that time, the
    state is not required to bring the accused to trial
    within the same statutory period as the original
    charge under R.C. 2945.71 et seq.
    Id. at 112.
    {¶33} In the case at bar, the state did not allege that it
    was unaware of the facts when it filed the initial indictment.
    Instead, the state argues that the second indictment involves
    criminal charges that arise from facts that are distinct from
    those that supported the charges contained in the first
    indictment.
    {¶34} Appellant, on the other hand, argues that the charges
    set forth in the second indictment are not factually distinct
    from the charges contained in the first indictment.     Appellant
    contends that both indictments arose from the same investigation
    and involve a similar course of conduct that occurred over a
    18
    VINTON, 20CA723
    five-year period.   Appellant thus asserts that the speedy-trial
    deadline that applied to the first indictment also applies to
    the second indictment.
    {¶35} The weight of Ohio authority appears to disagree with
    appellant’s proposition that all criminal charges discovered
    during an ongoing investigation must be brought at the same
    time, or the state risks having the later charges dismissed on
    speedy-trial grounds.    For example, in State v. Skorvanek, 9th
    Dist. No. 05CA008743, 
    2006-Ohio-69
    , 
    2006 WL 52256
    , the court
    rejected the defendant’s argument that when the state obtains
    initial and subsequent indictments as result of a single
    investigation, the speedy-trial clock begins to run on the date
    applicable to the first indictment.    In Skorvanek, the grand
    jury returned two indictments, almost one year apart, that
    charged the defendant with various drug offenses that occurred
    on different dates in March and April 2004.    The defendant
    asserted that the state knew all of the facts that gave rise to
    both indictments before it filed the first indictment and had
    gathered all of the facts during a single investigation.    The
    defendant thus alleged that the speedy-trial time that applied
    to the first indictment also applied to the second indictment.
    The state, on the other hand, argued that the same speedy-trial
    19
    VINTON, 20CA723
    time did not apply because the two indictments involved
    different facts, different offenses, and different animus.
    {¶36} The Skorvanek appellate court agreed with the state
    and explained that, even though “both indictments stem from the
    same investigation, the offenses [the defendant] is charged with
    are the direct result of different events on different dates.”
    Id. at ¶ 14.   The court noted that one drug offense arose from a
    March 10, 2004 controlled drug buy and that another offense
    arose from a March 13, 2004 attempted drug buy.    Additional
    counts arose from conduct that occurred on other dates.    The
    court stated that “while the investigation of [the defendant]
    may have been ongoing, the offenses with which he is charged
    were separate and distinct from one another.”   Id. at ¶ 15.     The
    court thus agreed with the state that the defendant “was charged
    with different offenses, on different dates stemming from
    different events.”   Id. at ¶ 16.   The court therefore determined
    that the second indictment was not subject to the same speedy-
    trial deadline as the first indictment.
    {¶37} The Eleventh District Court of Appeals rejected an
    argument that multiple indictments based upon an ongoing
    investigation are subject to the same speedy-trial deadline when
    the state knew about the facts that gave rise to the criminal
    charges at the time it filed the first indictment.   State v.
    20
    VINTON, 20CA723
    Smith, 11th Dist. Ashtabula No. 2004-A-0089, 
    2006-Ohio-5187
    ,
    
    2006 WL 2797617
    .   In Smith, the state first charged the
    defendant based upon evidence that task force officers
    discovered during a search of the defendant’s residence.      About
    six months later, the state charged the defendant for additional
    drug-related offenses that occurred during controlled drug buys
    on various dates between September and November 2002.      The
    defendant filed a motion to dismiss the second indictment on
    speedy-trial grounds, but the trial court overruled it.      On
    appeal, the appellate court did not agree with the defendant
    that the second indictment was subject to the same speedy-trial
    deadline as the first indictment, but instead determined that
    the facts set forth in the indictments were separate and
    distinct.   Moreover, the court noted that “[e]ven though all the
    charges in question were a function of an ‘ongoing
    investigation,’ the multiple prosecutions did not arise from the
    ‘same facts’ or ‘same set of circumstances.’”   Id. at ¶ 27.       The
    court thus concluded that the second indictment did not violate
    the defendant’s right to a speedy trial.
    {¶38} In the case sub judice, we conclude that the second
    indictment, even though it arises from facts discovered during
    the same investigation, is based upon facts separate and
    distinct from the facts alleged in the first indictment.         The
    21
    VINTON, 20CA723
    first indictment charged appellant with eight counts of
    falsification, and alleged that the conduct occurred between
    January 1, 2009 and January 1, 2012.      The second indictment
    charged appellant with different offenses–tampering with records
    and forgery–and alleged that the conduct occurred on a different
    date–May 14, 2013.   Moreover, the second indictment is based
    upon a 2012 financial disclosure statement that had not been
    included in the original charges.   The subsequent and original
    indictments, although arising from the same investigation,
    involved “different offenses, on different dates stemming from
    different events.”   Skorvanek at ¶ 16.    We, therefore, agree
    with the trial court’s conclusion that the speedy-trial time
    that applied to the first indictment does not apply to the
    second indictment.   See Parker, 
    113 Ohio St.3d 207
    , at ¶ 19
    (noting that “Baker involved subsequent indictments, all of
    which were the result of the same investigation, but the charges
    were the direct result of different events on different dates”);
    Parker, 
    2020-Ohio-4607
    , at ¶ 77 (concluding that subsequent
    indictment not subject to speedy-trial time of initial
    indictment when the offenses occurred on different dates and
    involved separate sets of facts); State v. Graham, 10th Dist.
    Franklin No. 18AP-636, 
    2019-Ohio-2020
    , 
    2019 WL 2237030
    , ¶ 30
    (determining that speedy-trial time of first indictment did not
    22
    VINTON, 20CA723
    apply to second indictment when charges involved break-ins at
    different locations on different dates); State v. Hyde, 2nd Dist.
    Clark No. 2013CA41, 
    2014-Ohio-1278
    , 
    2014 WL 1338790
    , ¶ 18
    (concluding that speedy-trial time of first indictment did not
    apply to second indictment when charges involved robberies that
    occurred “at separate locations on different dates”); but see
    State v. Jones, 2nd Dist. Montgomery No. 21974, 
    2008-Ohio-1603
    ,
    
    2008 WL 867732
    , ¶ 10 (declining to read Baker to mean that when
    “the State knew additional facts and circumstances warranting
    additional charges when the initial indictment was filed, it may
    nonetheless hold back on those charges simply because the
    offenses occurred on different dates, and then pursue multiple
    prosecutions, with the speedy trial time to run anew each
    time”).2
    {¶39} Moreover, we do not agree with appellant that the case
    at bar is similar to the facts in State v. Horsley, 4th Dist.
    Ross No. 10CA3152, 
    2011-Ohio-1355
    , 
    2011 WL 1025113
    .   In Horsley,
    2
    We observe that Jones appears to be distinguishable from
    the case at bar. In Jones, the state first charged the
    defendant for one count of rape involving a 13-year-old child.
    Several months later, the state charged the defendant with four
    additional counts of rape that involved the same child. The
    appellate court noted that, even though the rape offenses
    allegedly occurred on different dates, the record did not
    clearly indicate whether “‘the facts and evidence underlying the
    first charge and the second indictment differed in any material
    23
    VINTON, 20CA723
    this court considered whether a subsequent indictment was
    subject to the same speedy-trial time as an earlier indictment.
    In Horsley, the defendant crashed his vehicle into an outside
    wall at a hotel.    Law enforcement arrested the defendant for
    operating a motor vehicle while under the influence (OMVI) and
    the violation of a protective order.    He remained jailed for
    about nine days.
    {¶40} Approximately four months after the defendant’s
    arrest, the state filed an indictment that charged appellant
    with vandalism for the property damage caused when he crashed
    his vehicle into the hotel.    The defendant filed a motion to
    dismiss the charges on speedy-trial grounds and asserted that
    the speedy-trial clock for the vandalism charge started at the
    time of his arrest for OMVI and violating a protective order.
    The trial court overruled the defendant’s motion.
    {¶41} This court reversed the trial court’s decision that
    overruled the defendant’s motion to dismiss the indictment and
    noted that the vandalism indictment arose from the same set of
    facts as the defendant’s earlier arrest for OMVI and violating a
    protection order.    We also determined “that the state knew, or
    should have known, of the facts constituting the vandalism
    way.’” Id. at ¶ 14, quoting State v. Jones, 2nd Dist. Montgomery
    No. 20862, 
    2006-Ohio-2630
    , ¶ 30.
    24
    VINTON, 20CA723
    offense at the time of appellant’s [earlier] arrest.”      Id. at ¶
    18.   We recognized that unlike the situation in Baker, the state
    was not required to extensively investigate so as to uncover
    “the operative facts constituting the vandalism offense.”     Id.
    at ¶ 21.    Instead, we noted that at the time of the defendant’s
    arrest, the law enforcement officer observed the property damage
    to the hotel and had valued the property involved at $5,000.        We
    thus rejected the state’s argument that, in order to correctly
    charge the vandalism offense, the state had to know the precise
    amount of damage that the defendant caused.     We explained that
    even if the officer “did not know the exact amount of the
    property involved or the exact amount of the damage, the
    vandalism statute does not require such knowledge in order to
    indict a defendant.”    Id.
    {¶42} In the case sub judice, we believe that appellant’s
    second indictment does not arise out of the same set of facts
    that are alleged in the first indictment.     Unlike Horsley when
    the second indictment was based upon the series of events that
    occurred on the same date as the offenses first charged, the
    second indictment in the case sub judice is based upon different
    offenses that occurred on different dates more than one year
    apart.     We therefore do not find Horsley controlling.
    25
    VINTON, 20CA723
    {¶43} Consequently, because we do not agree with appellant
    that the second indictment is subject to the same speedy-trial
    deadline as the first indictment, we overrule appellant’s first
    assignment of error.
    II
    {¶44} In his second assignment of error, appellant asserts
    that the record does not contain sufficient evidence to support
    his convictions for tampering with records and forgery.   In
    particular, appellant contends that the state failed to present
    sufficient evidence to show that he falsified the financial
    disclosure statement “with purpose to defraud or knowing that
    the person is facilitating a fraud.”   Appellant argues that
    evidence that he repaid the funds four months before he filed
    the financial disclosure statement and, that when he repaid the
    funds he listed the amounts on a form filed with the Vinton
    County Auditor, negates the state’s allegation that appellant
    acted with a purpose to defraud or knew that he was facilitating
    a fraud when he filed the financial disclosure statement.
    {¶45} The state argues that, when appellant submitted his
    financial disclosure statement, he had a “specific intention to
    deceive the Ohio Ethics Commission by falsely representing his
    creditors.”   The state thus asserts that appellant knew that
    disclosing the information might lead to an investigation into
    26
    VINTON, 20CA723
    his use of the FOJ fund and might “have exposed him to criminal
    sanction, civil liability, a grievance with Disciplinary
    Counsel, or simply the embarrassment of his financial situation
    being made public.”   The state further contends that appellant
    received a benefit by using the funds–he was able to pay for
    services that he otherwise was unable to afford, and that he
    obtained an interest-free loan while the amounts remained
    unpaid.
    {¶46} Initially, we observe that, although the trial court
    found appellant guilty of tampering with records and forgery,
    the trial court merged the forgery offense with the tampering
    with records offense.   Thus, if sufficient evidence supports
    appellant’s tampering with records conviction, an erroneous
    verdict on the merged count would be harmless.   State v. Powell,
    
    49 Ohio St.3d 255
    , 263, 
    552 N.E.2d 191
     (1990) (“Since the trial
    court merged the kidnapping convictions with one another, [the
    defendant] received only one sentence for kidnapping and an
    erroneous verdict on Count Three would be harmless beyond a
    reasonable doubt.”); State v. Wolff, 7th Dist. Mahoning No.
    07MA166, 2009–Ohio–2897, ¶ 70 (“When a trial court dispatched
    with a count through merger, any error in the jury’s verdict on
    the merged count is rendered harmless beyond a reasonable
    doubt.”); see State v. Williams, 4th Dist. Scioto No. 11CA3408,
    27
    VINTON, 20CA723
    2012–Ohio–4693, ¶ 54 (concluding that because a trial court does
    not impose a sentence for merged offenses, a defendant is not
    “convicted” of merged offenses and thus there is no “conviction”
    on merged offenses for appellate court to vacate).
    Consequently, if we determine that sufficient evidence supports
    appellant’s tampering with records conviction, we need not
    address appellant’s sufficiency of the evidence argument
    regarding the merged offense.    Therefore, we first address
    appellant’s arguments regarding the tampering with records
    conviction.
    {¶47} A claim of insufficient evidence invokes a due process
    concern and raises the question whether the evidence is legally
    sufficient to support the verdict as a matter of law.   State v.
    Thompkins, 
    78 Ohio St.3d 380
    , 386, 
    678 N.E.2d 541
     (1997).
    “Whether the evidence is legally sufficient to sustain a verdict
    is a question of law.”   
    Id.
       “Therefore, our review is de novo.”
    State v. Groce, – Ohio St.3d —, 
    2020-Ohio-6671
    , — N.E.3d —, ¶ 7,
    citing In re J.V., 
    134 Ohio St.3d 1
    , 
    2012-Ohio-4961
    , 
    979 N.E.2d 1203
    , ¶ 3.
    {¶48} When reviewing the sufficiency of the evidence, our
    inquiry focuses primarily upon the adequacy of the evidence;
    that is, whether the evidence, if believed, reasonably could
    support a finding of guilt beyond a reasonable doubt.
    28
    VINTON, 20CA723
    Thompkins, syllabus. The standard of review is whether, after
    viewing the probative evidence and inferences reasonably drawn
    therefrom in the light most favorable to the prosecution, any
    rational trier of fact could have found all the essential
    elements of the offense beyond a reasonable doubt.   Jackson v.
    Virginia, 
    443 U.S. 307
    , 319, 
    99 S.Ct. 2781
    , 
    61 L.Ed.2d 560
    (1979); State v. Jenks, 
    61 Ohio St.3d 259
    , 273, 
    574 N.E.2d 492
    (1991).   Furthermore, a reviewing court is not to assess
    “whether the state’s evidence is to be believed, but whether, if
    believed, the evidence against a defendant would support a
    conviction.”   Thompkins, 78 Ohio St.3d at 390 (Cook, J.,
    concurring).
    {¶49} Thus, when reviewing a sufficiency-of-the-evidence
    claim, an appellate court must construe the evidence in a light
    most favorable to the prosecution.   State v. Hill, 
    75 Ohio St.3d 195
    , 205, 
    661 N.E.2d 1068
     (1996); State v. Grant, 
    67 Ohio St.3d 465
    , 477, 
    620 N.E.2d 50
     (1993).   A reviewing court will not
    overturn a conviction on a sufficiency-of-the-evidence claim
    unless reasonable minds could not reach the conclusion that the
    trier of fact did.   State v. Tibbetts, 
    92 Ohio St.3d 146
    , 162,
    
    749 N.E.2d 226
     (2001); State v. Treesh, 
    90 Ohio St.3d 460
    , 484,
    
    739 N.E.2d 749
     (2001).
    29
    VINTON, 20CA723
    {¶50} In the case at bar, R.C. 2913.42(A)(1) sets forth the
    essential elements of a tampering-with-records offense:
    No person, knowing the person has no privilege to
    do so, and with purpose to defraud or knowing that the
    person is facilitating a fraud, shall * * *
    (1) Falsify, destroy, remove, conceal, alter,
    deface, or mutilate any writing, computer software,
    data, or record.
    {¶51} R.C. 2913.01(B) defines “defraud” as “to knowingly
    obtain, by deception, some benefit for oneself or another, or to
    knowingly cause, by deception, some detriment to another.”
    “‘Deception’ means knowingly deceiving another or causing
    another to be deceived by any false or misleading
    representation, by withholding information, by preventing
    another from acquiring information, or by any other conduct,
    act, or omission that creates, confirms, or perpetuates a false
    impression in another.”   R.C. 2913.01(A).
    {¶52} R.C. 2901.22(A) and (B) define when a person acts
    purposely and when a person acts knowingly:
    (A) A person acts purposely when it is the
    person’s specific intention to cause a certain result,
    or, when the gist of the offense is a prohibition
    against conduct of a certain nature, regardless of
    what the offender intends to accomplish thereby, it is
    the offender’s specific intention to engage in conduct
    of that nature.
    (B) A person acts knowingly, regardless of
    purpose, when the person is aware that the person’s
    conduct will probably cause a certain result or will
    30
    VINTON, 20CA723
    probably be of a certain nature. A person has
    knowledge of circumstances when a person is aware that
    such circumstances probably exist. When knowledge of
    the existence of a particular fact is an element of an
    offense, such knowledge is established if a person
    subjectively believes that there is a high probability
    of its existence and fails to make inquiry or acts
    with a conscious purpose to avoid learning the fact.
    {¶53} We observe that “‘[t]he intent of an accused person
    dwells in his mind’” and that intent “‘can never be proved by
    the direct testimony of a third person.”   State v. Johnson, 
    56 Ohio St.2d 35
    , 38, 
    381 N.E.2d 637
     (1978), quoting State v.
    Huffman, 
    131 Ohio St. 27
    , 
    1 N.E.2d 313
     (1936), paragraph four of
    the syllabus. Instead, intent “‘must be gathered from the
    surrounding facts and circumstances under proper instructions
    from the court.’” 
    Id.,
     quoting Huffman, paragraph four of the
    syllabus; e.g., State v. Conway, 
    108 Ohio St.3d 214
    , 2006-Ohio-
    791, 
    842 N.E.2d 996
    , ¶ 143; State v. Garner, 
    74 Ohio St.3d 49
    ,
    60, 
    656 N.E.2d 623
    , 634, 
    1995 WL 664323
     (1995).   We further
    observe that “[i]ntention is a question of fact, and not one of
    law.”   Koenig v. State, 
    121 Ohio St. 147
    , 151, 
    167 N.E. 385
    (1929); State v. Wamsley, 6th Dist. Butler No. CA2002–05–109,
    2003–Ohio–1872, ¶ 18.
    {¶54} In the case sub judice, appellant relies upon three
    cases to support his argument that the state did not present
    sufficient evidence to establish that he acted with purpose to
    31
    VINTON, 20CA723
    defraud or knew that he was facilitating a fraud.    State v.
    Truckey, 
    2019-Ohio-407
    , 
    130 N.E.3d 990
     (11th Dist.); State v.
    Agee, 
    2017-Ohio-8164
    , 
    98 N.E.3d 1272
     (8th Dist.); State v.
    Baumgarden, 
    49 Ohio App.3d 24
    , 25, 
    550 N.E.2d 206
    , 207, 
    1988 WL 170567
     (12th Dist.1988).   Appellant contends that all three
    cases show that when a defendant does not take steps to hide the
    facts underlying the basis of the criminal charge, the evidence
    is insufficient to establish an intent to defraud.
    {¶55} In Baumgarden, the court concluded that the evidence
    failed to show that the defendant committed theft by deception.
    In Baumgarden, the defendant served as the general manager for
    his employer, Cedar City Motors, Inc.   During his employment, he
    wrote 35 checks to himself that were recorded on the company’s
    books.    The state later charged the defendant with theft by
    deception.
    {¶56} After a bench trial, the court found the defendant
    guilty.    On appeal, the defendant asserted, in part, that the
    state failed to present sufficient evidence to establish that he
    had committed theft by deception.    The defendant argued that
    because the checks were on the company’s books and open to
    inspection at any time, he could not have intended to deceive
    anyone.
    32
    VINTON, 20CA723
    {¶57} The appellate court agreed with the defendant and
    explained:
    the amount appellant allegedly stole was clearly
    carried on the company balance sheet either as a
    prepaid expense or as an account receivable throughout
    the period in which the deception allegedly occurred.
    These checks as well as the company’s books and
    records created an accounting and auditing trail
    anyone might follow. Melissa Knoop, Cedar City’s
    owner, and the state contend appellant stole the money
    the thirty-five checks represent because Knoop trusted
    appellant to run Cedar City and did not discover the
    checks until appellant was no longer with the company.
    However, the fact that the checks and company records
    showing appellant received the money were always
    available to anyone who wished to examine them,
    including Knoop, convinces us no reasonable trier of
    fact could conclude beyond a reasonable doubt that
    Knoop was deceived by appellant because his check
    writing was evident in Cedar City’s records. Knoop’s
    testimony that she trusted appellant and did not
    closely oversee his management of Cedar City does not
    prove appellant deceived her but merely shows that she
    was unaware of and did not approve his actions.
    Id. at 25.   The court thus reversed the trial court’s judgment
    of conviction for theft by deception.
    {¶58} In Agee, the court determined that the state failed to
    present sufficient evidence to support the defendant’s tampering
    with records conviction.   The state charged the defendant with
    tampering with records based upon her alleged failure to
    properly report her income when filing reports with the Ohio
    Department of Jobs and Family Services in order to receive food
    stamps.   At trial, the state relied upon a single witness, Fred
    33
    VINTON, 20CA723
    Sims, who reviewed the case file that the original investigator
    transferred to him.   Sims stated that he did not have any
    interactions with the defendant and that he did not “conduct any
    components of [the] investigation.”   Id. at ¶ 8.   Instead, Sims
    explained that he relied upon the case file transferred to him.
    {¶59} The defendant testified and stated that she had
    reported her income to the caseworkers and that at least two
    redetermination forms were missing from evidence.
    {¶60} After the trial court found the defendant guilty of
    tampering with records, the defendant appealed.     On appeal, the
    defendant asserted that the state failed to present sufficient
    evidence to support her tampering with records conviction.     The
    appellate court agreed and explained:
    The highly speculative nature of [the state]’s
    evidence also fails to demonstrate that [the
    defendant]’s act of executing the reports was “knowing
    * * * and with a purpose to defraud.” [The defendant]
    testified that she truthfully provided information and
    that she did not know how the case worker arrived at
    the figure inserted in the interim report submitted
    for [the defendant]’s signature.
    Sims could only offer that the tax information
    was averaged to determine a monthly income, and that
    it appeared the investigator did not seek any other
    information from [the defendant] to allow her to
    address the issue. Even where faced with information
    contained in the state’s interim report exhibit
    indicating the submission of at least one prior report
    containing knowledge of a change in income, the
    absence for which could not be explained, the state
    argues that [the defendant] was required to explain
    the absence. The burden of proof is the state’s
    34
    VINTON, 20CA723
    responsibility. As stated previously, Sims was never
    [the defendant]’s case worker. In fact, Sims was
    never a case worker. Sims never personally
    investigated [the defendant]’s case, talked with [the
    defendant], or met [the defendant]. Sims merely
    received [the defendant]’s file, and his testimony
    regarding [the defendant]’s knowledge was purely
    speculative.
    Illustrative here as to the sufficiency of the
    evidence and [the state]’s failure to meet its burden
    of proof, is the statement by Sims regarding the
    various workers whose names appeared on the case
    documents. “[U]sually, as a rule, we usually subpoena
    those people, bring them in.” (Tr. 81.) The failure
    to follow that protocol underlies our decision here
    that, when viewed in a light favorable to the
    prosecution, the evidence in this case was
    insufficient to convict [the defendant] of the
    charges. The state failed to meet its burden of proof
    as to the mens rea element of the charges.
    Id. at ¶¶ 62-64.   The court thus reversed the trial court’s
    judgment convicting the defendant of tampering with records.
    {¶61} In Truckey, the defendant, a former sergeant with the
    Ashtabula County Sheriff’s Department, appealed his conviction
    for tampering with records based upon his failure to return a
    body camera video after taking it home.   On appeal, the court
    noted that the tampering with records statute required the state
    to prove, beyond a reasonable doubt, that the defendant
    falsified, destroyed, removed, concealed, altered, defaced, or
    mutilated a record with purpose to defraud.   Id. at ¶ 16.   The
    court determined that “[t]he only possible conduct by [the
    defendant] that could satisfy the actus element of th[i]s
    35
    VINTON, 20CA723
    statute[] was taking a copy of the body cam video to his home.”
    Id. at ¶ 17.   The court noted that the state did not present any
    evidence to show that the defendant attempted “to conceal the
    fact he possessed a copy of the video.”   Id.   The court stated
    that “[n]o less than four other members of the village police
    department were aware a video existed and what it contained, and
    that [the defendant] had a copy–which information was made known
    to them by [the defendant] himself.”   Id.   The court thus
    concluded that the state failed to present sufficient evidence
    that the defendant had falsified, destroyed, concealed, altered,
    defaced, or mutilated a record.   The court did observe, however,
    that the defendant arguably “removed” the body camera video, but
    nevertheless found that, even if the defendant’s conduct
    satisfied the actus reus element of the statute, the facts and
    circumstances did not show that he had acted with the intent
    necessary to commit tampering with records.     The court observed
    that “[n]ot only was it known that [the defendant] possessed a
    copy [of the video], but nothing he did suggests a purpose to
    impair its value as evidence or defraud.”    Id.   Thus, the court
    concluded that the evidence failed to show that the defendant
    “did anything to alter or conceal or prevent access to the copy
    of the body cam video–or that he ever had such a purpose.”    Id.
    at ¶ 19.
    36
    VINTON, 20CA723
    {¶62} Appellant asserts that, just like the defendants in
    Baumgarden, Agee, and Truckey, he also did not attempt to hide
    his use of the FOJ funds for personal reasons.    Appellant points
    out that he disclosed his use of FOJ funds on January 3, 2013,
    when he submitted his annual report to the Vinton County
    Auditor.   However, we do not agree that appellant’s conduct in
    the case sub judice is similar to the defendants’ conduct in
    Baumgarden, Agee, and Truckey.
    {¶63} First, in Truckey, the state did not allege, and none
    of the evidence indicated, that the defendant falsified a
    record.    Instead, the allegation involved the defendant
    concealing or removing a record.    The court noted that all
    interested parties knew that the defendant had the record, a
    body camera video, in his possession.
    {¶64} In the case at bar, by contrast, the state alleged
    that appellant falsified a record (his 2012 financial disclosure
    statement) by failing to list the FOJ fund as a creditor.      The
    state did not allege that appellant concealed or removed a
    record, but, instead alleged that appellant falsified his 2012
    financial disclosure form by failing to disclose that he owed
    the FOJ fund more than $1,000.     Moreover, the evidence does not
    show that all interested parties knew that appellant used the
    fund for personal expenses.    Appellant listed the expenses on
    37
    VINTON, 20CA723
    the January 2013 form that he filed with the auditor, but did
    not list the FOJ fund as a creditor when he filed his 2012
    financial disclosure statement.   Thus, we find Truckey
    inapposite.
    {¶65} We likewise find Baumgarden unpersuasive.   In
    Baumgarden, the checks always were recorded on the company’s
    books.   None of the evidence established that the defendant kept
    his use of company funds secret for any length of time.    In the
    case sub judice, however, even if appellant eventually listed
    the expenses on his annual report submitted to the county
    auditor, none of the evidence suggests that before that
    disclosure, appellant’s personal use of the FOJ fund was readily
    detectable or recorded as part of an official financial record.
    {¶66} We believe that Agee also is inapposite.    In that
    case, the court determined that the state did not prove that the
    defendant failed to properly report her income.   By contrast, in
    the case at bar, the state presented evidence that appellant’s
    2012 financial disclosure statement did not list the FOJ fund as
    a creditor.   Thus, the case at bar does not involve a complete
    lack of proof.    Instead, this case is about whether the evidence
    that the state submitted demonstrates that appellant had a
    purpose to defraud or knew that he facilitated a fraud.
    38
    VINTON, 20CA723
    {¶67} We agree with the state and the trial court that the
    facts in the case at bar are more closely aligned with State v.
    Burge, 9th Dist. Lorain No. 16CA010936, 
    2017-Ohio-5836
    , 
    2017 WL 3026471
    .    In Burge, the defendant, a judge, filed financial
    disclosure forms that failed to list a bank as a creditor, a
    business that he and his wife owned, and his ownership interest
    in commercial property.    The state presented evidence to show
    that the defendant had approved appointed counsel fees for two
    attorneys who rented office space in the defendant’s commercial
    property.    One attorney testified at trial that the attorney
    would have been unable to pay rent if he did not make money.
    The state later charged appellant with several criminal
    offenses, including tampering with records.    A jury subsequently
    found the defendant guilty of three counts of tampering with
    records and three counts of falsification.
    {¶68} After his conviction, the defendant appealed and
    asserted, in part, that the state failed to present sufficient
    evidence to support his tampering with records conviction.       The
    appellate court did not agree with the defendant.    Instead, the
    court concluded that, viewing the evidence “in a light most
    favorable to the State,” shows “that any rational trier of fact
    could have found beyond a reasonable doubt that [the defendant]
    was guilty of tampering with records in violation of R.C.
    39
    VINTON, 20CA723
    2913.42(A)(1).”   Id. at ¶ 36.   The court continued that if the
    factfinder believed the evidence, the evidence demonstrated that
    the defendant “knowingly obtained a benefit for himself, namely
    a revenue stream for tenants of the commercial building for
    which he was the primary guarantor.”    Id.   The court further
    determined that the evidence also established that the defendant
    “obtained this benefit through deception, namely by purposely
    not disclosing the requisite information on his 2011, 2012, and
    2013 financial disclosure forms which would have placed the
    public on notice that he had a potential conflict of interest
    with certain criminal defense attorneys.”     Id.   The court thus
    affirmed the defendant’s tampering with records conviction.
    {¶69} Similarly, in the case at bar appellant filed a
    financial disclosure statement that failed to list the FOJ fund
    as a creditor.    He obtained a benefit by spending money that he
    otherwise would have been unable to spend (appellant had
    informed investigators that he used the FOJ fund when he did not
    have enough money in his personal accounts) and obtaining an
    interest-free loan from the FOJ fund.    By failing to list the
    FOJ fund as a creditor on his financial disclosure statement,
    appellant avoided Ohio Ethics Commission scrutiny and possible
    criminal or civil liability or disciplinary actions.      Even
    though the record does not contain direct evidence that
    40
    VINTON, 20CA723
    appellant intended to defraud, the facts and circumstances
    allowed the factfinder to determine that appellant possessed an
    intent to defraud.   State v. Bergsmark, 6th Dist. Lucas No. L-
    03-1137, 
    2004-Ohio-5753
    , 
    2004 WL 2426236
    , ¶ 24, quoting State v.
    Lee (Nov. 23, 1983), 4th Dist. No. 82 X 16 (“To have purpose to
    defraud, ‘one must merely knowingly intend to obtain some
    benefit or cause some detriment to another by way of
    deception.’”).
    {¶70} We therefore do not agree with appellant that the
    state failed to present sufficient evidence to support his
    tampering with records conviction.   Additionally, because
    sufficient evidence supports appellant’s tampering-with-records
    conviction, any error the court may have committed by finding
    appellant guilty of the merged offense, forgery, is harmless.
    Thus, we need not consider appellant’s assignment of error as it
    relates to the forgery offense.
    {¶71} Accordingly, based upon the foregoing reasons, we
    overrule appellant’s second assignment of error and affirm the
    trial court’s judgment.
    JUDGMENT AFFIRMED.
    41
    VINTON, 20CA723
    JUDGMENT ENTRY
    It is ordered that the judgment be affirmed and that
    appellee recover of appellant the costs herein taxed.
    The Court finds there were reasonable grounds for this
    appeal.
    It is ordered that a special mandate issue out of this
    Court directing the Vinton County Common Pleas Court to carry
    this judgment into execution.
    If a stay of execution of sentence and release upon bail
    has been previously granted, it is continued for a period of 60
    days upon the bail previously posted. The purpose of said stay
    is to allow appellant to file with the Ohio Supreme Court an
    application for a stay during the pendency of the proceedings in
    that court. The stay as herein continued will terminate at the
    expiration of the 60-day period.
    The stay will also terminate if appellant fails to file a
    notice of appeal with the Ohio Supreme Court in the 45-day
    period pursuant to Rule II, Sec. 2 of the Rules of Practice of
    the Ohio Supreme Court. Additionally, if the Ohio Supreme Court
    dismisses the appeal prior to the expiration of said 60 days,
    the stay will terminate as of the date of such dismissal.
    A certified copy of this entry shall constitute that
    mandate pursuant to Rule 27 of the Rules of Appellate Procedure.
    Smith, P.J., Abele, J. & Hess, J.: Concur in Judgment & Opinion
    For the Court
    BY:_______________________________
    Jason P. Smith, Presiding Judge
    BY:_______________________________
    Peter B. Abele, Judge
    BY:_______________________________
    Michael D. Hess, Judge
    NOTICE TO COUNSEL
    Pursuant to Local Rule No. 14, this document constitutes a
    final judgment entry and the time period for further appeal
    commences from the date of filing with the clerk.