[Cite as Disciplinary Counsel v. Simon, 128 Ohio St.3d 359, 2011-Ohio-627.]




                         DISCIPLINARY COUNSEL v. SIMON.
 [Cite as Disciplinary Counsel v. Simon, 128 Ohio St.3d 359, 2011-Ohio-627.]
Attorneys at law — Misconduct — Failure to cooperate in disciplinary
        investigation — Conduct adversely reflecting on fitness to practice law —
        Conduct prejudicial to the administration of justice — Commingling —
        One-year stayed suspension.
 (No. 2010-1763 — Submitted January 4, 2011 — Decided February 16, 2011.)
    ON CERTIFIED REPORT by the Board of Commissioners on Grievances and
                    Discipline of the Supreme Court, No. 10-012.
                                 __________________
        Per Curiam.
        {¶ 1} Respondent, Thomas John Simon of Ashtabula, Ohio, Attorney
Registration No. 0009725, was admitted to the practice of law in Ohio in 1981.
        {¶ 2} On February 8, 2010, relator, Disciplinary Counsel, filed a
complaint charging respondent with violations of the Code of Professional
Responsibility, Rules of Professional Conduct, and Rules for the Government of
the Bar of Ohio arising from the misuse of his client trust account and failure to
respond to relator’s request for information during the ensuing investigation.
        {¶ 3} The parties entered into a consent-to-discipline agreement pursuant
to Section 11 of the Rules and Regulations Governing Procedure on Complaints
and Hearings Before the Board of Commissioners on Grievances and Discipline
(“BCGD Proc.Reg.”) and agreed that a one-year stayed suspension is the
appropriate sanction for this misconduct.           The Board of Commissioners on
Grievances and Discipline adopted the agreement of the parties in its entirety.
Because it is an appropriate sanction in this case, we accept the board’s
recommendation and impose a one-year stayed suspension.
                                SUPREME COURT OF OHIO




                                        Misconduct
        {¶ 4} The stipulated facts of this case show that from March 2007
through December 2008, respondent deposited into his client trust account both
client and personal funds, including attorney fees and retainers, and money from
his Public Employees Retirement System account. From June 2005 through
March 2009, respondent wrote checks to himself, his wife, and his creditors, using
his client trust account as though it were a personal bank account and law-office
operating account.
        {¶ 5} Respondent submitted a timely response to relator’s initial letter of
inquiry. But when relator requested copies of his 2005 to 2008 income tax
returns, respondent assured him that he would provide them and then failed to do
so in a timely fashion. He did, however, provide those documents to relator prior
to the execution of the consent-to-discipline agreement, and relator states that
there is no evidence suggesting that respondent used his client trust account in an
effort to shield funds from creditors or the Internal Revenue Service.
        {¶ 6} The parties have stipulated that respondent’s conduct prior to
February 1, 2007,1 violated DR 1-102(A)(6) (prohibiting a lawyer from engaging
in conduct that adversely reflects on the lawyer’s fitness to practice law) and 9-
102(A) (requiring the preservation of the identity of client funds), that his conduct
after that date violated Prof.Cond.R. 1.15(a) (requiring a lawyer to hold property
of clients separate from the lawyer’s own property) and 8.4(h) (prohibiting a
lawyer from engaging in conduct that adversely reflects on the lawyer's fitness to
practice law), and that his failure to provide information requested by relator
violated Prof.Cond.R. 8.1(b) (prohibiting a lawyer from knowingly failing to
respond to a demand for information by a disciplinary authority during an
investigation), 8.4(d) (prohibiting a lawyer from engaging in conduct that is

1. February 1, 2007, is the effective date of the Rules of Professional Conduct, which supersede
the Code of Professional Responsibility.




                                               2
                                January Term, 2011




prejudicial to the administration of justice), and 8.4(h) and Gov.Bar R. V(4)(G)
(requiring a lawyer to cooperate with a disciplinary investigation).
                                     Sanction
       {¶ 7} When imposing sanctions for attorney misconduct, we consider
relevant factors, including the ethical duties that the lawyer violated and the
sanctions imposed in similar cases. Stark Cty. Bar Assn. v. Buttacavoli, 96 Ohio
St.3d 424, 2002-Ohio-4743, 775 N.E.2d 818, ¶ 16.               In making a final
determination, we also weigh evidence of the aggravating and mitigating factors
listed in BCGD Proc.Reg. 10(B). Disciplinary Counsel v. Broeren, 115 Ohio
St.3d 473, 2007-Ohio-5251, 875 N.E.2d 935, ¶ 21.
       {¶ 8} Neither the parties nor the board has identified any aggravating
factors weighing in favor of a greater sanction, but we find that the respondent has
engaged in a pattern of misconduct. See BCGD Proc.Reg. 10(B)(1)(c). The
parties have stipulated and the board agrees that respondent’s lack of a prior
disciplinary record, the absence of a dishonest or selfish motive, and his character
and reputation are mitigating factors weighing in favor of a lesser sanction. See
BCGD Proc.Reg. 10(B)(2)(a), (b), and (e).
       {¶ 9} In Disciplinary Counsel v. Johnston, 121 Ohio St.3d 403, 2009-
Ohio-1432, 904 N.E.2d 892, ¶ 16, we imposed a one-year suspension stayed on
the conditions that the attorney complete one year of monitored probation and six
hours of continuing legal education in law-office management and accounting.
Like the respondent in this case, Johnston had impermissibly commingled his
personal and client funds and used his client trust account to pay his personal and
business expenses. Id. at ¶7. But Johnston’s conduct was more serious than
respondent’s because he had overdrawn his client trust account 22 times in a two-
year period. Id. at ¶ 8. In contrast, there is no evidence that respondent’s trust
account was ever overdrawn or that any client was harmed as a result of his




                                         3
                            SUPREME COURT OF OHIO




conduct. Thus, we agree that a one-year stayed suspension is an appropriate
sanction for respondent’s misconduct.
       {¶ 10} Therefore, on the board’s recommendation, we accept the consent-
to-discipline agreement.    For violations of DR 1-102(A)(6) and 9-102(A),
Prof.Cond.R. 1.15(a), 8.1(b), 8.4(d), and 8.4(h), and Gov.Bar R. V(4)(G), we
hereby suspend Thomas John Simon from the practice of law for one year but stay
that suspension on the condition that he commit no further misconduct.       If
respondent fails to comply with this condition, the stay will be lifted and
respondent will serve the entire one-year suspension.      Costs are taxed to
respondent.
                                                         Judgment accordingly.
       O’CONNOR, C.J., and PFEIFER, LUNDBERG STRATTON, O’DONNELL,
LANZINGER, CUPP, and MCGEE BROWN, JJ., concur.
                             __________________
        Jonathan E. Coughlan, Disciplinary Counsel, and Stacy Solochek
Beckman, Assistant Disciplinary Counsel, for relator.
       Thomas J. Simon, pro se.
                           ______________________




                                        4
