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FihED
IN THE SUPRENIE COURT OF TENNESSEE AUG 0 9 20B
AT KNOXVILLE
May 1, 2013 Session Mfume
H. OWEN MADDUX V. BOARD OF PROFESSIONAL RESPONSIBILITY
OF THE SUPREME COURT OF TENNESSEE
Direct Appeal from the Chancery Court for Hamilton County
No. 11-0206 Donald P. Harris, Special Judge
No. E2012-01809râSCâR3-BP
This direct appeal involves a disciplinary proceeding against at Chattanooga lawyer arising
out ofhis representationof two clients. With one member dissenting, a hearing panel of the
Board ofProfessional Responsibility determined that the lawyer should be suspended from
the practice of law for nine months. The lawyer appealed to the Chancery Court for
Hamilton County, and the trial court upheld the nine-month suspension, concluding that the
evidence supported the ï¬nding of the hearing panelâs majority that the lawyerâs misconduct
caused potential injury to one of his clients. In this appeal, the lawyer argues that (1) the
hearing panel erred by reï¬tsing to set aside the default judgment entered against him based
on his failure to respond to the petition for discipline; (2) the record contains no evidence of
potential injury resulting from his misconduct; and (3) the hearing panel ascribed too much
weight to his prior history of discipline when considering aggraVating and mitigating
circumstances. Based on our review ofthe record, We, like the trial court, affirm the hearing
panelâs decision to suSpend the lawyerâs license to practice law for nine months.
' Tenn. Sup. Ct. R. 9, § 1.3; Judgment of the Chancery Court Afï¬rmed
CORNELIA A. CLARK, 1., deliVered the opinion of the Court, in which GARY R. WADE, C.J.,
AND JANICE M. HOLDER, WILLIAM 0.1{001-1, Ja, AND SHARON G. Lee, JJ., joined.
W. Gerald Tidwell, In, Chattanooga, Tennessee, for the appellant, H. Owen Maddux.
Krisann Hodges and Kevin D. Ballovill, Brentwoocl, Tennessee, for the appellee, Board of
Professional Responsibility of the Supreme Court of Tennessee.
4ââ RECEIVEE
AUG 1 2 2013
BOARD OF PROFESSIONAL
RESPONSIBILITY
OPINION
Factual Background
In 1974, the appellant, H. Owen Maddox, obtained his license to practice law in
Tennessee. This is the third time since his licensure that the Board of Professional
Responsibility (âBoardâ) has instituted disciplinary proceedings against Mr. Maddox. On
each occasion the proceeding has culminated in an appeal to this Court.
At the conclusion of the first appeal in November 2004, this Court suspended Mr.
Maddox item the practice of law for thirty days and placed him on probation for one year
upon ï¬nding evidence in the record that he had converted more than $92,500 in law
partnership funds over a threeâyear period without the knowledge or consent ofhis partners.
Bd, of Prof] Responsibility v. Maddux, 148 S.W.3d 37, 38 (Term. 2004).
At the conclusion of the second appeal in July 2009, this Court suspended Mr. -
Maddux for ï¬ve months for several ethical violations, including mishandling and neglect of
a Florida personal injury lawsuit, allowing the statute of limitations to expire on the personal
injury claim, failing to communicate adequately with his clients, and commingling personal
ï¬mds in his trust account. Maddox v. Bd. ofProfâ 1 Responsibility, 288 S.W.3d 340, 347-49
(Tenn. 2009). '
' The present appeal involves Mr. Madduxâ s condUct while representing Theodore
(âTedâ) W. Hayes and his mother, Nancy Hayes, from October 2008 to March 2009. Ted
Hayes and Mr. G. Scott Bean hadj ointly owned and operated TCE Landscaping, a business
which performed landscaping, steel erection, dryWail, and other similar types ofwork.â Ms.
Hayes was not an owner of the business, but she leased to the business the property that
served as the business ofï¬ce, loaned money to the business, guaranteed credit cards for the
business, allowed the business to use her personal credit cards to purchase needed supplies,
and signed promissory notes for loans to the business and vehicles the business purchased.
The Hayeses sought Mr. Madduxâ 5 legal advice in October 2008 because, according to them,
Mr. Bean had removed all funds from business accounts and had taken all business records,
equipment, and property. Mr. Bean also was advising customers that TOE Landscaping was
operating under a new name, Bean Enterprises, and that Mr. Bean and Mr. Hayes were no
longer associated.
] Mr. Hayes and Mr. Bean used various names to refer to theirjoint business ventures, including The
Cutting Edge, Performance Steel, and Precision Framing and Drywall. For purposes of this appeal we shall
refer to these business ventures collectively as TCE Landscaping.
-2-
After his initial meeting with the Hayeses, Mr. Maddux sent ï¬fteen or more letters,
dated October 31, 2008, to customers of TCE Landscaping, advising as follows:
This letter is a demand that if you owe money to any of the
above named entities that you should pay that money to TOE
Landscaping, LLC, and mail it to me where it will be deposited
in the Chancery Court of Hamilton County, Tennessee, pending
a. ruling by the Court as to the dissolution of the LLC and the
ultimate payment of creditors of the LLC.
This letter is to also serve you with notice that if you fail
to pay TCE Landscaping, LLC, but payBean Enterprise[s], then
my client, as an ofï¬cer and manager chCE Landscaping, LLC,
will be forced to ï¬le a lien against your project for nonpayment.
I hope that will not be necessary.
On November 13, 2008, Mr. Maddux ï¬led a complaint on behalf of the I-Iayeses
against Mr. Bean and TCE Landscaping in the Chancery Court for Hamilton County. On
November 26, 2008, attorney Barry L. Abbott entered a notice of appearance as counsel for
Mr. Bean in the lawsuit. Subsequently, Mr. Maddox and Mr. Abbott exchanged documents
related to the lawsuit and discussed settlement. During this time, Mr. Abbott became aware
of the October 31, 2008 letters Mr. Maddux had sent to customers of ICE Landscaping.
Thus, when Mr. Maddux moved to withdraw from representing the Hayeses, on February 9,
2009, Mr. Abbott responded by moving the trial court to order Mr. Maddux to pay to the
Clerk and Master any funds received in response to the October 31, 2008 letters upon his
Withdrawal.2
Following a March 2, 2009 hearing on both motions, the trial court granted Mr.
Maddoxâ s motion to withdraw. Although the trial court denied Mr. Abbottâs motion, the trial
court ordered Mr. Maddox to tile an afï¬davit explaining the disposition of any monies he
received in response to the October 31, 2008 letters and to attach to the afï¬davit copies of
any checks he had received.
Mr. Madduxâs afï¬davit, submitted March 5, 2009, stated his belief that six checks
were received in response to the October 31, 2008 letters. However, Mr. Maddux explained
that he had located copies of only ï¬ve checks and could. not locate the sixth check or a copy
2 Mr. Madduxâs motion to withdraw alleged that Mr. Hayes had failed to return his telephone calls
or otherwise communicate with him.
.3-
of it. The ï¬vechecks, each ofwhich was payable to a business entity, totaled over $35,000.3
Mr. Maddox stated that he gave these ï¬ve checks to Mr. Hayes.
On March 30, 2009, Mr. Abbott filed a complaint with the Board based on Mr.
Madduxâs failure to pay the "funds collected to the Clerk and Master as the October 31, 2008
letters represented and Mr. Madduxâs failure to notify either the trial court or opposing
counsel that he had received and given the funds to Mr. Hayes. By a letter dated April 2,
2009, Disciplinary Counsel for the Board sent Mr. Maddux a copy of the complaint, along
with notice that failure to respond timely would result in the ï¬ling of a notice of petition for
temporary suspension. Tenn. Sup. Ct. R. 9, § 4.3. When Mr. Maddox failed to respond,
Disciplinary Counsel notiï¬ed him, by a letter dated April 17, 2009, that a petition for
temporary suspension would be ï¬led should he fail to respond within ten days. Five days
later, Mr. Maddox filed a response.
The investigation proceeded, with Disciplinary Counsel requesting additional
information from Mr. Maddox and Mr. Abbott. On February 8, 2010, Disciplinary Counsel
ï¬led a formal petition for discipline alleging that Mr. Madduxâs acts and omissions in
representing Ted and Nancy Hayes violated Tennessee Rules of Professional Conduct
(âRFCâ) 1.15(b),4 4.1,5 and 84(3) and (c).â" Tenn. Sup. Ct. R. 8, RFC 1.150)), 4.1,
3 0fthe ï¬ve checks Mr. Maddox receiVed, two were payable to The Cutting Edge, while three were
payable to TCE Landscaping.
4 In 2008, the time of the events at issue in this appeal, RPC 1.15 (b) provided:
(b) Upon receiving funds or other property in which a client or third person
has an interest, a lawyer shall promptly notify the client or third person.
Except as stated in this Rule or otherwise permitted by law or by agreement
with the client, a lawyer shall promptly deliver to the client or third person
any funds or other property that the client or third person is entitled to
receive and, upon request by the client or third person, shall promptly
render a full accounting regarding such funds or other property. [fa dispute
arises between the client and a third person with respect to their respective
interests in the funds or property held by the lawyer, the portion in dispute
shall he kept separate and safeguarded by the lawyer until the dispute is
resolved.
Tenn. Sup. Ct. R. 8, RFC 1.15(b) (2008). Amendments to RPC 1.15(b) since 2008 transferred the
ï¬rst two sentences ofthe 2008 version ofRPC 1 . 15(b) to RPC 1.15(d). See Tenn. Sup. Ct. R. 8, RFC 1.15(d)
(2012). Additionally, subsequent amendments deleted the third sentence ofthe 200 8 version ofRPC 1.1 503),
but substantially similar language now appears in RFC 1.15(e). I_d. atRPC 1.15(e) (âWhen in the course of
representation a lawyer is in possession of property or funds in which two or more persons (one of whom
may be the lawyer) claim interests, the property shall be kept separate by the lawyer until the dispute is
(continued . . .)
-4-
4(...ecntinued)
resolved. The lawyer shall promptly distribute all portions of the property or funds as to which the interests
are not in diapute.â).
5 RFC 4.1 has not been amended since 2008. The text of the rule then and now provides:
(a) In the course of representing a client, a lawyer shall not knowingly
make a false statement of material fact or law to a third person.
(b) If, in the course of representing a client in a nonadjudicative matter, a
lawyer lmows that the client intends to perpetrate a crime or fraud, the
lawyer shall promptly advise the client to refrain from doing so and shall
discuss with the client the consequences of the clientâs conduct. Ifafter
such discussion, the lawyer knows that the client still intends to engage in
the wrongful conduct, the lawyer shall:
(1) withdraw from the representation of the client in the
matter; and
(2) give notice of the withdrawal to any person who the
lawyer knows is aware of the lawyerâs representation of
the client in the matter and whose ï¬nancial or property
interests are likely to be injured by the clientâs criminal or
fraudulent conduct. The lawyer shall also give notice to
any such person of the lawyerâ s disafï¬rmance of any
written statements, opinions, or other material prepared by
the lawyer on behalf of the client and which the lawyer
reasonably believes may he used by the client in
furtherance of the crime or fraud.
(c) If a lawyer who is representing or has represented a client in a non-
adjudicative matter comes to {crown prior to the conclusion of the matter,
that the client has, during the course of the lawyerâs representation of the
client, perpetrated a crime or fraud, the lawyer shall promptly advise the
client to rectify the crime or fraud and consult with the client about the
consequences of the clientâs failure to do so. If the client refuses or is
unable to rectify the crime or fraud, the lawyer shall:
(1) if currently representing the client in the matter,
Withdraw from the representation and give notice of the
withdrawal to any person Whom the lawyer knows is
aware of the lawyerâs representation of the client in the
matter and whose ï¬nancial or property interests are likely
to be injured by the clientâs criminal or fraudulent
conduct; and
(2} give notice to any such person of the lawyerâs
disafï¬rmance ofany written statements, opinions, or other
material prepared by the lawyer on behalfofthe client and
(continued...)
-5-
8 .4(a), (c). The petition was served upon Mr. Maddux by certiï¬ed mail, and he received and
accepted service on February 16, 2010, as evidenced by his signature on a certiï¬ed mail
receipt. However, he failed to answer the petition within twenty days of service. See Tenn.
Sup. Ct. R. 9, § 8.2.
On April 28, 2010, seventy-one days after the petition was served, Disciplinary
Counsel moved for default judgment based on Mr. Madduxâs failure to ï¬le an answer to the
petition. The motion was based on Tennessee Supreme Court Rule 9, section 8.2, which
provides that when a lawyer fails to answer a petition within twenty days of service, âthe
charges shall be deemed admitted; provided, however, that a [lawyer] who fails to answer
Within the time provided may obtain permission ofthe Chair to file an answer if such failure
to file an answer was attributable to mistake, inadvertence, surprise or excusable neglect.â
Tenn. Sup. Ct. R. 9, § 8.2. Disciplinary Counsel mailed the motion for default judgment to
the same address Where Mr. Maddox had received and signed for the petition for discipline.
Mr. Maddux did not respond to the motion.
On June 2, 2010, the Chair of the Board appointed a hearing panel to adjudicate the
petition for discipline against Mr. Maddux. By order signed on Jone 9 and ï¬led on June 10,
2010, the hearing panel granted the motion for default judgment and deemed the facts
contained in the petition admitted pursuant to Rule 9, section 8.2. The hearing panel pointed
out that Mr. Maddux had ï¬led neither an answer, nor any other responsive pleading, to the
petition and had not sought or obtained permission from the Board Chair to file an answer
beyond the twenty days provided in Rule 9, section 8.2. The hearing panel explained that it
5( . . .continued)
that the lawyer reasonably believes may be used by the
client in furtherance of the crime or fraud.
Tenn. Sup. Ct. R. 8, RFC 4.1 (2012).
6 RPC 8.4(a) and (0) also have not been amended since 2008 and provide:
It is professional misconduct for a lawyer to:
(a) violate or attempt to violate the Rules of Professional Conduct,
knowingly assist or induce another to do so, or do so through the acts of
another; '
(c) engage in conduct involving dishonesty, fraud, deceit, or
misrepresentation.
Tenn. Sup. Ct. R. 8, RFC 8.4 (a), (e) (2012).
lacked authority to permit the ï¬ling of an answer beyond the time provided in Rule 9, section
8.2, absent permission of the Board Chair.
Thereafter, Mr. Maddux ï¬led, pro se, a motion seeking to set aside the default
judgment and to ï¬le an answer to the petition for discipline based on excusable neglect. Mr.
Maddux alleged that he had not received the motion for default judgment and had no
knowledge of the motion or the appointment of a hearing panel until June 6, 2010. Mr.
Maddox admitted that he had received the petition for discipline on February 16, 2010, but
neglected to answer it, explaining that he had just been sued for over $300,000, had ï¬nancial
and marital problems as well as personal obligations, and his âmind was not where it should
have been.â Mr. Madduxâs motion was referred to the Board Chair, who denied it on July
15, 2010. On August 9, 2010, Mr. Maddox tiled, through counsel, a motion to reconsider.
The Board Chair denied this motion on August 23, 2010.
When the hearing panel convened on January 14, 2011, Mr. Maddux stipulated that
he had mailed the October 31, 2008 letters, failed to deposit with the Clerk and Master the
more than $3 5,000 he received in response, given the checks payable to the business entities
to Ted Hayes, and failed to advise the trial court or opposing counsel ofhis intention to give
the checks to Ted Hayes rather than deposit them with the Clerk and Master. Mr. Maddux
further stipulated that the facts alleged in the petition were deemed admitted due to his failure
to answer the petition and that the stipulated acts and omissions constituted âethical
misconductâ in violation ofRPC 1.15(b), 4.1, and 8.4(a) and (c).
Testifying at the hearing, Mr. Maddox stated that, when he sent the letters on
October 31, 2008, he had originally intended to deposit any funds received with the Clerk
and Master. Mr. Maddux explained that he later decided to give the money to Mr. Hayes
because Mr. Hayes was ï¬nancially âdestituteâ and needed money to support his wife and six
children. According to Mr. Maddux, Mr. Hayes essentially demanded the money, explaining
that Mr. Bean âwas out collecting money too and had collected a bunch of money.â Mr.
Maddux stated that he did not believe turning over the money to Mr. Hayes would harm
anyone and emphasized that he told Mr. Hayes the trial court would. require an accounting
ofthe funds before the conclusion of the lawsuit against Mr. Bean. Mr. Maddox conï¬rmed
that the checks were released to Mr. Hayes alone, and none was given to Ms. Hayes. Mr.
Maddox emphasized that the checks were not released until Mr. Hayes executed
unconditional waivers of liens on behalf of the business entities and in favor of the paying
customers.
Mr. Maddux admitted that his actions were not consistent with the October 31, 2008
demand letters and acknowledged. that he did not inform customers, opposing counsel, or the
trial court when he opted to give the checks to Mr. Hayes rather than deposit them with the
-7-
Clerk and Master. Mr. Maddox testiï¬ed that, when he decided to give the checks to Mr.
Hayes, he did not realize his conduct violated RPC 1.15(b) but now understands his conduct
violated this rule. Mr. Maddux testiï¬ed that he received approximately $7,200 for the legal
services he provided the Hayeses, but his fee was not paid from monies received in response
to the October 31, 2008 letters.
In the remainder of his testimony, Mr. Maddux described his personal and
professional background. Mr. Maddux and his wife had been married forty years and had
four grown children. After Mr. Maddox served in the military and received an honorable
discharge, he worked for a year at the YulZ facility in Oak Ridge, Tennessee, before
enrolling in and completing law school at the University ofTennessee. After law school, Mr.
Maddox returned to the Chattanooga area, where he had grown up, and began practicing law
in 1974. Mr. Maddox explained that he had practiced law as a partner in Various ï¬rms for
several years, but had eventually transitioned. from a partnership practice to a space~sharing
arrangement only. Twentywone months before the hearing, Mr. Maddox ended the spaceâ
sharing arrangement and set up his office as a solo practitioner. Mr. Maddtor, two months
shy of his sixtyâsixth birthday at the time of the hearing, expressed his intention to continue
practicing law in Tennessee for âanother four or ï¬ve years.â
As for law-related organizations, Mr. Maddox explained that he had been a member
of the Trial Lawyers Association, as well as the Lookout Mountain, Chattanooga, and
Georgia Bar Associations. He also had served a two»year term as a director of the
Chattanooga Bar Association. As for civic activities, Mr. Maddox described the various
positions he had held in his church and the various youth sports teams he had coached when
his own children were young. I-Ie recounted, as well, his elevenuyear tenure as a Scout
master, during which time he assisted his own three sons and more than ï¬fteen other Scouts
attain the rank of Eagle Scout.
Nancy Hayes also testiï¬ed before the hearing panel. She confirmed that her son and
Mr. Bean had been business partners for a couple of years. She described her own role as
that of âoffice manager, project manager,â explaining that she made the travel arrangements,
rented the equipment needed for projects, served as bookkeeper, until approximately six
Weeks before Mr. Bean emptied the business accounts, and owned and leased to the business
the property in which the business ofï¬ce was located. Ms. Hayes also provided the business
financial assistance, consisting of loaning the business approximately $95,000 by taking out
a home equity loan on her home, signing a $50,000 promissory note, signing promissory
notes for three business vehicles, guaranteeing business credit cards, and allowing the
business to use her personal credit cards for business expenses. Ms. Hayes felt that, as'
compared to her son and Mr. Bean, she had âcontributed the greater part of the moniesâ to
keep the business aï¬oat. Ms. Hayes estimated her own ï¬nancial losses from the business as
-8-
âconseryatively, $275,000,â and she had received no money from Mr. Hayes, Mr. Bean, or
Mr. Maddox as repayment of her ï¬nancial contributions. Ms. Hayes had been required to
ï¬le for Chapter 13 bankruptcy protection to save the home in which she lived, and
foreclosure proceedings were undemay against the property she owned and had leased to the
business for use as an ofï¬ce.
Ms. Hayes testiï¬ed that she paid Mr. Madduxâs fee, recalling that she signed a
promissory note initially because she needed time to raise the money. A. couple of weeks
after their ï¬rst meeting, she had raised enough money to pay the first of three installments.
Ms. Hayes confirmed that Mr. Madduxâs fee was not paid from the monies received in
response to the October 31, 2008 letters.
At the conclusion of the proof, the three-member hearing panel unanimously found,
â[b]y Virtue ofthe default judgment, as well as [s]tipulation 267 agreed to by the parties,â that
Mr. Maddox violated RPC 1.150)), 4.1, and 8.4(a) and (c) and that he was subject to
discipline for these violations. The hearing panel unanimously rejected Disciplinary
Counselâs request for a suspension of one year or greater. However, after considering the
ABA Standards for Imposing Lawyer Sanctions,8 the hearing panel was not unanimous as
to the appropriate sanction. A majority of the hearing panel concluded that a ninenmonth
suspension was'appropriate. Although ï¬nding no evidence to show that Mr. Madduxâs
conduct caused actual injury, the hearing panel majority found evidence to show that Mr.
Madduxâs conduct caused potential injury to debtors of the business. As for Ms. Hayes
speciï¬cally, the hearing panel majority found that she âlost an opportunity to recover at least
a portion ofher capital investmentâ when Mr. Maddux gave the $3 5,000 to Mr. Hayes alone.
As for aggravating circumstances, the majority gave great weight to Mr. Madduxâs
disciplinary history, which they found involved similar types ofmisconduct and included two
prior suspensions of thirty days and five months, respectively. The hearing panel also
afforded signiï¬cant weightto Mr. Madduxâ s substantial experience in the practice oflaw and
gave some weight, albeit not substantial, to Mr. Madduxâs failure to respond timely to the
petition for discipline and requests for information in this matter and in his prior disciplinary
7 The text of stipulation 26 is as follows:
The acts and omissions by [Mr. Maddox] as set forth in [the] paragraphs
above related to the complaint ï¬led by [M12 Abbott] constitute ethical
misconduct in violation of the following Rules of Professional Conduct:
1.150)), Safelreep 111g Property; 4. l , Truthfulness And Candor In Statements
To Others; and 8.4(a)(c), Misconduct.
3 American Bar Association, Standards for Imposing Lawyer Sanctions, {1982) {amendedl992}
(hereinafter âABA Standardsâ).
_9,
proceedings. As for mitigating factors, the hearing panel gave some weight to Mr. Madduxâs
expressions of remorse, but noted that this fact did not weigh heavily in mitigation. The
hearing panel also gave some mitigating weight, but less than determinative, to the fact that
Mr. Maddux âdid not act out of dishonest or selï¬sh motives . . . [and] apparently acted to
help a client who he believed was in âdesperateâ need.â The hearing pane] pointed out,
however, that Mr. Maddox did nothing to conï¬rm any facts related by Mr. Hayes before
turning âover some $3 5,000 in which others had interes .â
The dissenting hearing panel member would have imposed a less serious sanction
because he found no proof that Mr. Madduxâs conduct caused actual or potential injury and
characterized the proof ofpotential injury to Ms. Hayes as âtoo speculative.â The dissenting
hearing panel member otherwise agreed with the majorityâs analysis of aggravating and
mitigating factors, but concluded that the appropriate sanction was a thirty-day suspension.
On March 21 , 20 1 1, Mr. Maddox filed a petition for writ of certiorari in the Chancery
Court for Hamilton County. By order entered July 24, 2012, the Chancery Court afï¬rmed
the hearing panel maj orityâs judgment, finding substantial and material evidence to support
the hearing panelâs finding ofpotential injury to Ms. Hayes and determining that the nine»
month suspension was not arbitrary or capricious. Thereafter, Mr. Maddox appealed to this.
Court. Sega Tenn. Sup. Ct. R. 9, §1.3.
Standard of Review
As part of our inherent duty to regulate the practice of law in Tennessee, this Court
bears the ultimate responsibility for sanctioning attorneys who violate ethical rules. Bd, of
Protâl Responsibility V. Cowan, 388 S.W.3d 264, 267 (Tenn. 2012). To fulï¬ll this
responsibility, we have established a system where attorneys formally charged with
disciplinary Violations have a right to an evidentiary hearing before a hearing panel, which
must determine the disciplinary penalty. Cowan, 388 S.W.3d at 267 (citing Tenn. Sup. Ct.
R. 9, § 8.2). A lawyer dissatisfied with a hearing panelâs decision may prosecute an appeal
to the circuit or chancery court and then directly to this Court, where our review is upon the
transcript of the record from the trial court, including the record of the evidence presented
to the hearing panel. Tenn. Sup. Ct. R. 9, § 1.3. We apply the same standard of review as
that applied by a trial court and will not disturb the hearing panelâs decision unless I
the rights of the petitioner have been prejudiced because the
panelâs ï¬ndings, inferences, conclusions or decisions are: (1) in
Violation of constitutional or statutory provisions; (2) in excess
of the panelâs jurisdiction; (3) made upon unlawful procedure;
(4) arbitrary or capricious or characterized by abuse of
-10-
discretion or clearly unwarranted exercise of discretion; or (5)
unsupported by evidence which is both substantial and material
in the light of the entire record.
Tenn. Sup. Ct. R. 9, § 1.3; see also Cowan, 3 88 S.W.3d at 267. We review questions of law
de novo but do not substitute our judgment for that of the hearing panel as to the weight of
the evidence on questions of fact. Cowan, 388 S.W.3d at 267. These principles guide our
review of the issues Mr. Maddox has raised in this appeal.
Analysis
Default Judgment
Tennessee Supreme Court Rule 9, section 8.2. delineates the procedures applicable in
formal disciplinary proceedings. First, Disciplinary Counsel must file with the Board and
serve upon the lawyer a formal petition for discipline which is âsufficiently clear and speciï¬c
to inform the [lawyer] of the alleged misconduct.â Tenn. Sup. Ct. R. 9, § 8.2. Within twenty
days after service, the lawyer must serve an answer on Disciplinary Counsel, unless the time
is extended by the Chair of the Board. I_d, If a lawyer fails to answer a formal petition for
discipline, the charges âshall be deemed admitted.â it}, However, a lawyer who fails to
answer within the time provided âmay obtain permission item the Board Chair to ï¬le an
answer if such failure to ï¬le an answer was attributable to mistake, inadvertence, surprise or
excusable neglec .â I_d.
In this case, Mr. Maddox failed to file an answer within the time provided in Rule 9,
section 8.2 or request an extension ofthat time. When Disciplinary Counsel ï¬led the motion
for defaultjudgment seventy-one days after the petition was served, Mr. Maddux again failed
to respond to the motion. Although Mr. Maddox ï¬led a motion to set aside the default
judgment and a motion to reconsider the denial of his motion to set aside, he never
submitted a proposed answer to the formal petition for discipline. Despite Mr. Madduxâs
assertion that he did not receive the motion for default judgment, he has consistently
acknowledged receiving the formal petition for discipline. As he did before the hearing
panel, Mr. Maddux maintains that he neglected to answer the petition because he had just
been sued for over $3 00,000, was experiencing ï¬nancial and marital difï¬culties, was focused
on maintaining a close relationship with his four grown children, and was attending to the
obligations of his personal life, which âwas not uneventful.â Mr. Maddox recognizes that
he should have promptly ï¬led an answer but states that his âmind was not where it should
have beenâ because of the foregoing âdistractions which are significant.â Mr. Maddux
contends that, had he received a copy of the motion for default judgment, he would have
promptly filed an answer to the petition.
Before addressing the merits of his argument regarding the default judgment, it is
appropriate to point out that, prior to the hearing, Mr. Maddux stipulated to the truth of the
key facts alleged in the petition for discipline and also stipulated that his stipulated acts and.
omissions constituted ethical misconduct in violation 'ofRPC 1.] 5(b), 4. 1, and 8.4(a) and (0).
During his testimony before the hearing panel, Mr. Maddux admitted that his handling ofthe
funds received in response to the October 31, 2008 letters violated Rule 1.15(b).
Furthermore, despite the defaultjudgment and the stipulations, the hearing panel afforded
Mr. Maddux great leeway by allowing him to testify and to present any proof he wished
concerning his conduct. At the conclusion of the proof, Disciplinary Counsel stated, in
response to questioning from hearing panel members, that the default judgment established
only the truth ofthe facts alleged in the petition and did not remove from the hearing panelâ B
purview the question ofwhether Mr. Madduxâs conduct violated ethical rules. Based on the
pro-hearing stipulations and the proof and testimony Mr. Madden presented to the hearing
panel, a strong argument can be made that Mr. Madden waived his right to challenge the
denial of his motion to set aside the default judgment. Nonetheless, we will address this
issue on the merits. See Tenn. R. App. P. 1303).
In determining whether to set aside a default judgment based on excusable neglect,
a court must first determine âwhether the conduct precipitating the default was willful. Ifthe
court finds that the defaulting party has acted willfully, the judgment cannot be set aside on
âexcusable neglectâ grounds. . . .â Discover Bank v. Morgan. 363 S.W.3d 479, 494 (Tenn.
2012). This is true because willfulness and excusable neglect are inherently incompatible.
m at 493. Willï¬ll conduct includes deliberate choices, as well as ï¬agrant and Imexplained
violations of procedural rules. ,l'_c_l, at 493â95. If the court determines that the defaulting
partyâs conduct was careless, _ inattentive, or negligent, but not willful, then the court must
next consider âWhether the defaulting party has a meritorious defense and Whether the
non-defaulting party would be prejudiced by the granting ofrelief.â Ll, at 494. A court may
also consider any other factor deemed relevant. 1d.
Applying these principles, we conclude that Mr. Madduxâs deliberate choice not to
answer the petition constituted a flagrant violation of Rule 9, section 8.2 and amounted to
willful conduct. We do not minimize the legal, financial, and marital difï¬culties or the
family and personal obligations which may have been facing Mr. Maddux at the time he
received the petition. Nonetheless, when faced with such difficulties and obligations,
attorneys may not simply choose to ignore procedural requirements and later seek relieffrom
the inevitable consequences of their deliberate choices based on excusable neglect. Mr.
Maddux, who had already been disciplinedâ~in part for failing to respond timely to a petition
for disciplineâcertainly was not ignorant of the detrimental consequences that can result
from choosing not to respond. See Maddux, 288 S.W.3d at 347, 349. Such willful conduct
is incompatible with the concept of excusable neglect. Discover Bank, 363 S.W.3d at 493.
-12..
Thus, we need not address whether Mr. Maddox had ameritorious defense or whether
the Board would have been prejudiced had Mr. Madduxâs motion been granted. The
willfulness of Mr. Madduxâs conduct is alone a sufï¬cient basis for our decision afï¬rming
the denial of his motion to set aside the default judgment.9
Appropriate Sanction
Mr. Maddox next argues that his nineâmonth suspension is excessive because there
is no evidence to support the hearing panelâs ï¬nding, afï¬rmed. by the trial court, that his
conduct caused potential injury to Ms. Hayes. The Board responds that substantial and
material evidence supports the hearing panelâs ï¬nding of potential injury to Ms. Hayes.
We begin our analysis with the ABA Standards, which are the guideposts hearing
panels and courts in Tennessee use when determining appropriate, consistent sanctions for
attorney misconduct. Tenn. Sup. Ct. R. 9, § 8.4; Cowan, 388 S.W.3d at 268; Lockett v. Bd.
of Profâl Responsibility, 380 S.W.3d 19, 26 (Term. 2012). The ABA Standards provide a
framework designed to give âcourts the ï¬exibility to select the appropriate sanction in each
particular case of lawyer misconduct.â ABA Standards, Theoretical Framework. The ABA
Standards âare not designed to propose a speciï¬c sanction for each of the myriad of fact
patterns in cases of lawyer misconduct,â and they are ânot analogous to criminal determinate
sentences.â Li.
When using the ABA Standards to determine an appropriate sanction for lawyer
misconduct, courts must consider four factors: (1) the duty violated; (2) the lawyerâ 5 mental
state; (3) the potential or actual injury caused by the lawyerâs misconduct; and (4) the
existence of aggravating or mitigating factors. ABA Standard 3.0; Cowan, 388 S.W.3d at
268. Consideration of these factors may be accomplished by answering the following four
questions:
(1) What ethical duty did the lawyer violate? (A duty to a client,
the public, the legal system, or the profession?);
(2) What was the lawyerâs mental state? (Did the lawyer act
intentionally, knowingly, or negligently?);
9 In afï¬rming the hearing panel and trial court decisions, we do not retreat from the general rule that
defaultjudglnents run counter to thej udicial systemâs preferred objective ofdisposing ofcases on the merits.
Discover Bank, 363 S.W.3d at 490 11.20; Henry v. Goins, 104 S.W.3d 475, 481 (Tenn. 2003). We simply
hold that Mr. Maddux failed to establish grounds for setting aside the default judgment.
-13-
{3) What was the extent of the actual or potential injury caused
by the lawyerâs misconduct? (Was there a serious or potentially
serious injury?); and
(4) Are there any aggravating or mitigating circumstances?
ABA Standards, Theoretical Framework. The ï¬rst question is critical because the
presumptive sanctions set out in the ABA Standards are organized by the type of duty the
lawyer has violated. ABA Standards 4, 5, and 6 delineate the presumptive sanctions for a
lawyerâs violation of(a duty owed to a client, the public, or the legal system, respectively,
while ABA Standard 7 describes the presumptive sanctions for a lawyerâs violation ofa duty
owed to the legal profession. & ABA Standards 4-7; see also Cowan, 388 S.W.3d at 268
(discussing the organization of the ABA Standards). ABA Standard 8 describes the
presumptive sanctions for lawyers who have been previously disciplined. ABA Standard 8.
After identifying the duty or duties violated and, in turn, the relevant ABA
Standard(s), the disciplinary authority must next determine which presumptive sanction, from
among the range provided in each ABA Standard, applies in the particular case before it.
This determination requires a careful consideration of the facts because the severity of the
presumptive sanction varies depending upon the lawyerâs mental stateâwhether the lawyer
acted intentionally, knowingly, or negligentlyâand the seriousness ofthe actual or potential
injury caused by the lawyerâs misconduct. ABA Standards, Theoretical Framework (âTo
assign a sanction, however, it is necessary to go fin-ï¬ier, and to examine each lawyerâ 5 mental
state and the extent of the injuries caused by the lawyerâs actionsâ). To aid in this
determination, the ABA Standards deï¬ne âintentf? âknowledge,â ânegligence,â âinjury,â and
fâpotential injury.â10
'0 The ABA Standards defines these terms as fOHOWS:
âinjuryâ is harm to a client, the public, the legal system, or the profession
which results from a lawyerâs misconduct. The level of injury can range
from âseriousâ injury to âlittle or noâ injury; a reference to âinjuryâ alone
indicates any level of injury greater than âlittle or noâ injury.
âIntentâ is the conscious objective or purpose to accomplish a particular
result.
âKnowledgeâ is the conscious awareness of the nature or attendant
circumstances of the conduct but without the conscious objective or
purpose to accomplish a particular result.
(continued. . .j
After identifying the presumptive sanction applicable in a particular case, the
disciplinary authority must next, and ï¬nally, determine whether any aggravating or mitigating
circumstances warrant increasing or decreasing the presumptive sanction. ABA Standard
9.1; Cowan, 388 S.W.3d at 268. To aid in this determination, the ABA Standards include
a non-exhaustive listing of circumstances that may be considered in aggravation and
mitigation, as well as a listing of circumstances that should not be considered as either
aggravating or mitigating. Sï¬ ABA. Standards 9.21, 9.22, 9.32, 9.34; Lockett, 380 S.W.3d
at 28 (describing the aggravating circumstances in the ABA Standards as âillustrative rather
than exclusiveâ).
Applying the foregoing framework, we affirm the trial courtâs ï¬nding that Mr.
Madduxâs misconduct involved the violation of a duty owed to his clients, Mr. and Ms.
Hayes. & RFC l.15(b). We also afï¬rm the trial courtâs and hearing panelâs ï¬nding that
Mr. Madduxâs misconduct involved the violation of duties owed to third persons and the
legal profession. _S__e_e RPC 4.1, 8.4(a) and (c). As a result, we conclude, as did the hearing
panel and the trial court, that ABA Standards 4 and 7 describe the range of presumptive
sanctions applicable in this case.
Determining the speciï¬c presumptive sanction Within the range provided in ABA
Standards 4 and 7 is the issue on which the hearing panel disagreed. The hearing panel
majority concluded, based on its assessment of the proof, that ABA Standards 4.12 and 7.2
supply the presumptive sanctionâsuspensionâapplicable to Mr. Madduxâs misconduct.
The dissenting hearing panel member assessed the proof differently, and as a result, viewed
ABA Standards 4.14 and 7.4 as describing the appropriate presumptive
sanctionm-admonitionâfor Mr. Madduxâs misconduct. The trial court agreed with the
hearing panel majority. The relevant ABA Standards state as follows:
10(...continued)
âNegligenceâ is the failure of a lawyer to heed a substantial risk that
circumstances exist or that a result will follow, which failure is a deviation
from the standard of care that a reasonable lawyer would exercise in the
situation.
âPotential injuryâ is the harm to a client, the public, the legal system or the
profession that is reasonably foreseeable at the time of the lawyerâs
misconduct, and which, but for some intervening factor or event, would
probably have resulted from the lawyerâs misconduct.
ABA Standards, Definitions.
-15.
"4.1 Failure to Preserve the Clientâs Property
Absent aggravating or mitigating circumstances, upon
application of the factors set out in 3 .0, the following sanctions
are generally appropriate in cases involving the failure to
preserve client property:
4.12 Suspension is generally appropriate when a lawyer knows
or should know that he is dealing improperly with client
property and causes injury or potential injury to a client.
that
4.14 Admonition is generally appropriate when a lawyer is
negligent in dealing with client property and causes little or no
actual or potential injury to a client.
7.0 Violations of Other Duties Owed As A Profession
Absent aggravating or mitigating circumstances, upon
application of the factors set out in Standard 3.0, the following
sanctions are generally appropriate in cases involving false or
misleading communication about the lawyer or the lawyerâs
Services, improper communication of ï¬elds of practice,
improper solicitation of professional employment from a
prospective client, unreasonable or improper fees, unauthorized
practice of law, improper withdrawal from representation, or
failure to report professional misconduct.
7.2 Suspension is generally appropriate when a lawyer
knowingly engages in conduct that is a violation of a duty owed
as a. professional and causes injury or potential injury to a client,
the public, or the legal system.
-16-
7.4 Admonition is generally appropriate when a lawyer engages
in an isolated instance of negligence that is-a violation of a duty
owed as aprofessional, and causes little or no actual or potential
injury to a client, the public, or the legal system.
ABA Standards 4.1, 4.12, 4.14, 7.0, 7.2, and 7.4.
The hearing panel unanimously found that Mr. Maddox acted knowingly, and Mr.
Maddux has not challenged this ï¬nding. The disagreement among the hearing panel
members as to the relevant ABA Standards turns on Whether Mr. Madduxâs conduct caused
potential injury. The hearing panel majority concluded that Mr. Madduxâs conduct created
potential injury to Ms. Hayes, and the trial court affirmed this ï¬nding.â The dissenting
hearing panel member concluded that Mr. Madduxâs conduct created little or no potential
injury to anyone. Adopting the decision of the dissenting hearing panel member, Mr.
Maddux asserts that the proof does not show potential injury to Ms. Hayes.
We disagree and conclude that substantial and material evidence supports the hearing
panelâs finding, afï¬rmed by the trial court, that Mr. Madduxâs conduct, at the very least,
created potential injury to Ms. Hayes. As already noted, the ABA Standards deï¬ne âpotential
injuryâ as âthe harm to a client, the public, the legal system or the profession that is
reasonably foreseeable at the time of the lawyerâs misconduct, and which, but for some
intervening factor or event, Would probably have resulted from the lawyerâs misconduct.â
ABA Standards, Deï¬nitions. The proof in this record established that Ms. Hayes used a
home equity loan to lend the business approximately $95,000, guaranteed business credit
cards, allowed the business to use her personal credit cards to purchase needed materials,
signed notes for the business, and leased a house she owned to the business for use as an
ofï¬ce. Ms. Hayes testiï¬ed that, as compared to Mr. Hayes and Mr. Bean, she âcontributed
the greater part ofthe moniesâ necessary to keep the business aï¬oat. Mr. Maddux Was well
aware of Ms. Hayesâs ï¬nancial contributions to the business. Indeed, he ï¬led a complaint
on her behalf against Mr. Bean and TCE Landscaping, speciï¬cally itemizing the amounts
owed to Ms. Hayes and seeking an award of damages.12 The purpose of the October 31,
n The trial court affirmed based solely on its ï¬nding that Mr. Madduxâs conduct caused potential
injury to Ms. Hayes as a client. The trial court found little or no potential injury to owners, debtors, and
creditors of the business.
12 Paragraphs nine and ten of the complaint Mr. Maddux ï¬led on behalf ofthe I-Iayeses alleged that
Ms. Hayes had used her home equity line of credit to lend the business $94,973.09, that she had guaranteed
(continued...)
-17-
2008 letters, demanding payment from the customers of TCE Landscaping and representing
that payments would be deposited with the Clerk and Master pending a ruling in the lawsuit,
was to protect the separate interests of Mr. Hayes and Ms. Hayes. The record contains no
evidence that Ms. Hayes released her interest in the more than $3 5,000 Mr. Maddox received
and turned over to Mr. Hayes. Furthermore, no proofin the record suggests that Mr. Maddux
advised Ms. Hayes of his intent to give Mr. Hayes these monies, despite Mr. Madduxâs
obligation to represent the interests of both his clients. Rather, the record indicates that Ms.
Hayes was not present when Mr. Maddux turned over the checks to Mr. Hayes. Ms. Hayes â s
potential injury was reasonably foreseeable at the time Mr. Maddux gaVe to Mr. Hayes alone
checks payable to the business entities that were indebted to Ms. Hayes. The potential injury
to Ms. I-Iayes was neither speculative nor uncertain.
The lack ofproof of an intervening factor or event whichprevents actual injury from
occurring does not undermine or preclude a ï¬nding ofpotential injury. As already noted, the
ABA Standards are guidelines designed to provide courts ï¬exibility to select appropriate
sanctions in each particular case. Ascribing a technical or rigid meaning to the term
âpotential injuryâ would defeat this important purpose. Furthermore, rather than precluding
a ï¬nding of potential injury, we View the lack of proof of an intervening factor or event as
suggesting, at least in this case, that the potential injury likely evolved into actual injury. Ms.
Hayes testiï¬ed that she lost âconservativelyâ $275,000 from her involvement with the
business, that she has never been repaid any of the monies the business owed her, that she
has been required to file for bankruptcy protection to retain her home, and that the property
she owned which housed the business ofï¬ce, is now in foreclosure. An argument can be
made that, by depriving Ms. Hayes ofany portion ofthe $35,000, money she could have used
to reduce her indebtedness, Mr. Madduxâ s misconduct caused her actual injury. Neither the
hearing panel nor the trial court found actual injury, and we need not do so to resolve this
appeal. Rather, we afï¬rm based solely on our conclusion that substantial and material
evidence supports the finding of potential injury to Ms. Hayes.
l2(...ccntint10d)
an American Express Card for the business which had a balanCe in excess of $20,600, that she had
guaranteed a CitiBank Visa Card for the business, which had a balance in excess of $3,349.30, that she had
allowed the business to charge in excess of $9,900 worth of materials on her personal Sears credit card, and
that she had rented the business a property to use as its office and Was owed $2,390 in rent for September,
October, and November 2008. Not before us in this appeal is the issue of whether Mr. Madduxâs joint
representation ofMr. Hayes and Ms. Hayes in the lawsuit against the business entities in which Mr. Hayes
allegedly owned an interest amounted to a conflict of interest, as defined in RFC 1.7(a), and prohibited the
joint representation, except as provided in RPC 1.7(b).
-13_
Given the material and substantial evidence establishing potential injury to Ms. Hayes,
Mr. Madduxâ 5 client and a creditor ofthe business, we agree with the hearing panel majority
and the trial court that ABA Standards 4.12 and 7.2 apply in this case. Thus, the presumptive
sanction for Mr. Madduxls misconduct was suspension.13 We turn next to consider whether
the nine-month suspension is excessive, as Mr. Maddox claims.
Aggravating and Mitigating Circumstances
In setting Mr. Madduxâ s suspension at nine months, the hearing panel considered as
aggravating circumstances Mr. Madduxâ s disciplinary history, his substantial experience in
the practice of law, and his failure to respond timely in this case and in his prior disciplinary
proceedings. Mr. Maddox does no t take issue with the hearing panelâ 3 consideration ofthese
aggravating circumstances and agrees that his disciplinary history is an aggravating factor.
Mr. Maddox argues, however, that the hearing panel afforded too much weight to his
disciplinary history, failed to judge this case on its own merits, and punished him for his prior
disciplinary actions. Mr. Maddux also asselts that a nine-month suspension of an attorney
his age is, as a practical matter, disbarment; thus, he urges us to reduce the suspension to
thirty days or a public censure.
The hearing panel carefully considered the applicable ABA Standards, reviewed the
record, analyzed the proof to determine which aggravating and mitigating circumstances
were established, and balanced the aggravating and mitigating circumstances. Although
Disciplinary Counsel advocated for a oneâyear suspension, the hearing panel, after
considering both the aggravating and mitigating circumstances, imposed the lesser nineâ
month suspension. The hearing panel appropriately weighed Mr. Madduxâs disciplinary
history heavily in aggravation against him, as Mr. Madduxâs prior disciplinary proceedings
involved. similar misconduct, specifically misconduct involving dishonesty, fraud, deceit, or
misrepresentation and mishandling ofproperty in which others claimed an interest. Based
13 ABA Standard 8.2., describing presumptive sanctious for matters involving prior discipline, also
indicates suspension is an appropriate presumptive sanction in this matter. ABA Standard 8.2 (âSuspension
is generally appropriate when a laWyer has been reprimanded for the same or similar misconduct and engages
in further similar acts of misconduct that cause injury or potential injury to a client, the public, the legal
system, or the professionâ). On the other hand, ABA Standard 8 .1(b) indicates disbarment could have been
viewed as the appropriate presumptiVe sanction for Mr. Madduxâs conduct. ABA Standard 8. 1(1)) (âAbsent
aggravating or mitigating circumstances, . . . [d] isbarment is generally appropriate when a lawyer. . . has
been suspended for the same or similar misconduct, and intentionally or knowingly engages in further similar
acts of misconduct that cause injury or potential injury to a client, the public, the legal system, or the
professionâ).
on our review ofthe record, the hearing panelâs imposition of a nineâmonth suspension is not
arbitraiy or capricious and is supported by substantial and material evidence.
Conclusion
We affirm the judgment of the trial court and the hearing panel suspending Mr.
Maddux from the practice of law for nine months. Costs ofthis appeal are taxed to H. Owen
Maddux, and his surety, for which execution, if necessary, may issue.
aarmmha Cnmn/
CORNELIA A. CLARK, IUSTICE