[Cite as Cincinnati Bar Assn. v. Grote, 127 Ohio St.3d 1, 2010-Ohio-4833.]




                      CINCINNATI BAR ASSOCIATION v. GROTE.
  [Cite as Cincinnati Bar Assn. v. Grote, 127 Ohio St.3d 1, 2010-Ohio-4833.]
Attorney misconduct, including failing to provide competent representation,
        failing to act with reasonable diligence in representing a client, and
        failing to keep client informed — Indefinite suspension.
     (No. 2010-0737 ⎯ Submitted July 6, 2010 ⎯ Decided October 7, 2010.)
    ON CERTIFIED REPORT by the Board of Commissioners on Grievances and
                    Discipline of the Supreme Court, No. 09-054.
                                  __________________
        Per Curiam.
        {¶ 1} Respondent, Jane M. Grote, Attorney Registration No. 0000745,
was admitted to the practice of law in Ohio in 1976.
        {¶ 2} Relator, Cincinnati Bar Association, filed a complaint against
respondent charging her with violations of the Rules of Professional Conduct for
her behavior after she was hired by a client to handle a divorce.
        {¶ 3} A panel of the Board of Commissioners on Grievances and
Discipline heard the case and found clear and convincing evidence that
respondent violated seven Rules of Professional Conduct.                     The panel also
dismissed one charge, finding that it was not proven by clear and convincing
evidence. The panel recommended that respondent be suspended indefinitely
from the practice of law in Ohio. The board adopted the panel’s findings of fact,
conclusions of law, and recommended sanction.                   We adopt the findings,
conclusions, and recommendation of the board and impose an indefinite
suspension from the practice of law in Ohio.
                                       Misconduct
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        {¶ 4} This case arises out of respondent’s behavior after she was hired
by a client to handle a divorce in July 2007. The client paid respondent an initial
$500, and respondent informed the client that the total fees would not exceed
$1,500. There was no written fee contract and no discussion about court costs and
filing fees.
        {¶ 5} The client promptly gave respondent the personal and financial
information necessary to initiate the divorce proceedings. Respondent took that
information and prepared a draft separation agreement and a shared-parenting
plan, mailed them to the client, and requested that the client review the documents
and indicate any suggested changes. The client did so and returned the documents
in January 2008.
        {¶ 6} After the client returned the documents, respondent did not
respond to the client; in fact, she admits that she did not communicate with the
client for the rest of 2008. During that time, the client called and left messages
with respondent’s secretary and on respondent’s voicemail. In January 2009, the
client sent respondent a letter by certified mail asking about the status of the
divorce. The letter also informed respondent that the client’s husband had been
selling off their assets and keeping the money and that soon there would be no
assets left. Respondent admits that she received the certified letter but that she
still did not communicate with the client.
        {¶ 7} Receiving no response from respondent, the client contacted the
Better Business Bureau in early 2009 regarding respondent’s behavior.             The
Better Business Bureau referred her to the Cincinnati Bar Association to file a
grievance. The Better Business Bureau did write respondent a letter about the
client’s complaint, but respondent still did not contact the client. Finally, after the
Cincinnati Bar Association began investigating the grievance filed against her,
respondent sent the client a letter apologizing for her inaction and refunded the
$500 retainer.




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       {¶ 8} At the hearing before the panel, respondent admitted that she had
not deposited the $500 retainer into an attorney trust account. She admitted that
she did not have professional-liability insurance when she undertook
representation of the client and did not notify the client that she did not have
insurance. See Prof.Cond.R. 1.4(c). Respondent further admitted at the hearing
that she still had not obtained professional-liability insurance or notified her
clients that she lacked insurance.
       {¶ 9} Respondent does not dispute most of the allegations in this case.
She admits that she did not do what she was hired to do and did not advise her
clients of her lack of insurance.       Respondent explained that her failure to
communicate with the client began after she accidentally placed the client’s file
into a pile of closed files. She explained that the neglect continued even after she
realized her mistake, because at that point in her life, she was busy with other
matters and personal issues. When respondent received the client’s certified
letter, she realized that she had let the situation get out of hand and did not know
what to do, so she did nothing.
       {¶ 10} Respondent does dispute the allegation that she should have put the
$500 in her trust account, arguing to the panel that she felt that it was not
necessary to put the money into her trust account because she had earned the fee.
But that argument is incorrect. She received the money before she did any work
for the client, and therefore, it was unearned and should have been deposited into
a trust account.
       {¶ 11} Respondent explained that she did not purchase professional-
liability insurance and did not notify her clients that she lacked insurance, because
it “was something [she] hadn’t paid that much attention to.” She explained that
she continued this misconduct, even after the investigation into her conduct
began, because she was not sure how much longer she would be allowed to
practice law and did not have many new clients.



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       {¶ 12} We agree with the board that respondent’s conduct constituted a
violation of the following Rules of Professional Conduct: Prof.Cond.R. 1.1, for
failing to provide competent representation to the client; 1.3, for failing to act
with reasonable diligence and promptness in representing the client; 1.4(a)(2), for
failing to consult with her client regarding the means by which the client’s
objectives would be accomplished; 1.4(a)(3), for failing to keep the client
informed about the status of the divorce; 1.4(a)(4), for failing to respond as soon
as practicable to reasonable requests for information from the client; 1.4(c), for
failing to obtain a signed acknowledgment from the client that he or she had
received notice of respondent’s lack of professional-liability insurance; and
1.15(c), for failing to keep unearned legal fees in a trust account.
                                      Sanction
       {¶ 13} When imposing sanctions for attorney misconduct, we consider all
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 Section 10(B) of the Rules and Regulations Governing Procedure on
Complaints and Hearings Before the Board of Commissioners on Grievances and
Discipline (“BCGD Proc.Reg.”). Disciplinary Counsel v. Broeren, 115 Ohio
St.3d 473, 2007-Ohio-5251, 875 N.E.2d 935, ¶ 21. Because each disciplinary
case is unique, we are not limited to the factors specified in the rule but may take
into account “all relevant factors” in determining what sanction to impose.
BCGD Proc.Reg. 10(B).
       {¶ 14} The primary aggravating factor in this case is that respondent has
been disciplined twice in the past for professional misconduct. The first case
involved a violation of DR 1-102(A)(4), for conduct involving dishonesty, fraud,
deceit, and misrepresentation, and a violation of DR 6-101(A)(3), for neglecting




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legal matters entrusted to her. Cincinnati Bar Assn. v. Grote (1987), Disciplinary
Docket No. 87-5. Respondent was warned that if she were to be found guilty of
misconduct in the future, she would be either suspended from the practice of law
indefinitely or permanently disbarred. Id.
       {¶ 15} Respondent was disciplined again in 1990 for violating DR 1-
102(A)(4) and 6-101(A)(3) after she failed to pursue a client’s claim, failed to
communicate with her client, and failed to advise her client that she had allowed
the applicable statute of limitations to pass. Cincinnati Bar Assn v. Grote (1990),
50 Ohio St.3d 156, 553 N.E.2d 657.
       {¶ 16} The harm to the client caused by respondent’s misconduct in this
case, specifically the fact that the client is not yet divorced and the fact that her
husband was able to sell off marital property while respondent did nothing, is an
additional aggravating factor. BCGD Proc.Reg. 10(B)(1)(h).
       {¶ 17} In mitigation, the board found an absence of a dishonest or selfish
motive. BCGD Proc.Reg. 10(B)(2)(b). Additionally, respondent cooperated fully
with relator and the board throughout the proceedings.            BCGD Proc.Reg.
10(B)(2)(d). Respondent admitted the misconduct and accepts responsibility for
her actions.
       {¶ 18} Although respondent returned the $500 fee to the client, it was not
returned in a timely fashion and was returned only after respondent was contacted
by relator. See BCGD Proc.Reg. 10(B)(2)(c). Therefore, the fact that a refund
was made has little mitigating value.
       {¶ 19} We have stated in the past that an attorney’s failure to render legal
services that he or she has been paid to complete is “tantamount to theft.”
Disciplinary Counsel v. Sigall (1984), 14 Ohio St.3d 15, 17, 14 OBR 320, 470
N.E.2d 886.    We have indefinitely suspended attorneys for misconduct that
demonstrates a pattern of neglect. See Cincinnati Bar Assn. v. Harmon (1985), 17
Ohio St.3d 69, 17 OBR 134, 477 N.E.2d 629; Disciplinary Counsel v. Schiller,



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123 Ohio St.3d 200, 2009-Ohio-4909, 915 N.E.2d 324.                In Harmon, we
indefinitely suspended an attorney for neglecting two legal matters. The attorney
in that case had recently been disciplined for neglecting other legal matters. In
Schiller, although the attorney had no prior disciplinary record, we indefinitely
suspended him for neglecting multiple legal matters and failing to advise clients
that he did not have professional-liability insurance.
       {¶ 20} Even taken alone, respondent’s misconduct in this case is very
serious, but in considering the two previous disciplinary cases involving
respondent, we cannot help but conclude that this misconduct is part of a pattern,
bound to be repeated. The fact that respondent did not either obtain professional-
liability insurance or obtain acknowledgments of her lack of insurance from her
clients after the investigation began, when she was explicitly aware that she must
do so, makes it clear that she is not motivated to stop this pattern of misconduct.
       {¶ 21} For the foregoing reasons, respondent is indefinitely suspended
from the practice of law in Ohio. Costs are taxed to respondent.
                                                              Judgment accordingly.
       BROWN,      C.J.,   and    PFEIFER,       LUNDBERG   STRATTON,   O’CONNOR,
O’DONNELL, LANZINGER, and CUPP, JJ., concur.
                                 __________________
       Schuh & Goldberg, L.L.P., and Richard J. Goldberg; and Clements, Mahin
& Cohen, L.P.A., Co., and William E. Clements, for relator.
       Jane M. Grote, pro se.
                            ______________________




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