Document ID: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-ca6-13-03713/USCOURTS-ca6-13-03713-0/pdf.json

Parties Involved:
Rhada M. Smith
Appellant
United States of America
Appellee

Document Text:

NOT RECOMMENDED FOR FULL-TEXT PUBLICATION

File Name: 15a0113n.06

No. 13-3713

UNITED STATES COURT OF APPEALS

FOR THE SIXTH CIRCUIT

UNITED STATES OF AMERICA,

Plaintiff-Appellee,

v.

RHADA M. SMITH,

Defendant-Appellant.

ON APPEAL FROM THE UNITED 

STATES DISTRICT COURT FOR THE

SOUTHERN DISTRICT OF OHIO

BEFORE: DAUGHTREY, CLAY, and COOK, Circuit Judges.

CLAY, Circuit Judge. Defendant Rhada Smith appeals from her conviction and 

sentence for one count of conspiracy to utter or possess counterfeit checks and to commit bank 

fraud, in violation of 18 U.S.C. § 371. Smith argues that her trial counsel provided ineffective 

assistance, the government’s delay in bringing the indictment violated her right to due process, 

and the district court improperly excluded a jury instruction on her good faith defense. For the 

reasons that follow, we AFFIRM.

BACKGROUND

In 2006, investigators from National City Bank (“National City”) detected a suspicious 

pattern of activity in which checks purportedly issued by certain businesses were deposited into 

National City accounts via ATM and the funds withdrawn from those accounts before the checks 

cleared. National City alerted the U.S. Postal Inspection Service and the Secret Service. The 

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federal law enforcement officers investigated the suspicious activity and determined that a group 

of African men were engaged in a scheme in which they produced or obtained counterfeit checks 

and then recruited individuals to provide their bank account information and turn over their debit 

cards to facilitate deposit of the forged instruments. Within a few days of the deposits, the 

account holders were taken to various branch locations to make in-person cash withdrawals. 

Money was also withdrawn from the accounts via ATM, and the debit cards were occasionally 

used to purchase money orders.

Smith’s National City account was among those that came to the attention of federal 

investigators. Examination of the account revealed that two counterfeit checks were deposited 

via ATM in August and September of 2007, and each deposit was shortly followed by several 

withdrawals. When the investigators spoke to Smith about her account activity, she recounted the 

same version of events to which she would later testify at trial.

In August of 2007, Smith gave her National City debit card and personal identification 

number to Lionel Eddington, a classmate at the trade school she attended.1Eddington asked 

Smith if he could use her bank account to cash a check he claimed to have received from an 

insurance company as settlement for a car accident in which he was involved. Eddington walked 

with a cane and Smith knew he had been in a car accident. He asked to use her bank account 

because he did not have one himself. Smith claimed she felt comfortable giving Eddington her 

banking information because they had been attending school together for seven months, and they 

occasionally socialized together, along with other students. 

 

1

Smith identifies Lionel’s last name as “Eddington” for the first time on appeal; she did 

not provide this information to investigators or at trial.

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The following week, two counterfeit checks totaling $14,192.21 were deposited in 

Smith’s account via ATM. Two days after the first check was deposited, Smith picked up 

Eddington and a companion of his in her car. At Eddington’s behest, Smith drove to three 

National City branches. At each branch, Smith went inside, presented her driver’s license as 

identification, and withdrew cash from her account—a $2,800 withdrawal from the Pickerington 

branch at 10:07 a.m., a $2,900 withdrawal from the Main/Davidson branch at 10:25 a.m., and a 

$1,600 withdrawal from the Bexley branch at 10:50 a.m. She gave all the money to Eddington.

After these withdrawals, Eddington and the unidentified man got out of Smith’s car. 

Before departing, Eddington told Smith to look in her glove compartment, wherein she found 

$200 cash. She said she considered the money a “tip” for driving him around and letting him use 

her account. Eddington did not return Smith’s debit card to her, and later that same day, the card 

was used to make a $502 withdrawal from an ATM and to purchase two $500 money orders 

from a post office.

The second check was deposited via ATM days after the three withdrawals were made. 

Within hours of the second check being deposited, $102 was withdrawn from Smith’s account at 

a different ATM. The following day, a $502.50 withdrawal was made at yet another ATM. Smith 

testified that Eddington never returned the debit card to her.

Smith was indicted on August 11, 2011, along with twenty-three codefendants. She was 

charged with one count of conspiracy to utter or possess counterfeit checks and to commit bank 

fraud, in violation of 18 U.S.C. § 371. Smith’s trial began on January 28, 2013, and the jury 

returned a guilty verdict on February 4, 2013. Smith was sentenced to three years of probation 

and ordered to make restitution. She timely appealed.

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DISCUSSION

I. Smith’s Ineffective Assistance of Counsel Claim

We evaluate ineffective assistance of counsel claims using the two-pronged Strickland 

standard: the defendant must show “(1) that defense counsel’s performance was constitutionally 

deficient and (2) that the deficient performance prejudiced the defense sufficiently to undermine 

the reliability of the trial.” Ramonez v. Berghuis, 490 F.3d 482, 486 (6th Cir. 2007) (citing 

Strickland v. Washington, 466 U.S. 668, 687 (1984)). However, “we generally do not address 

ineffective assistance claims on direct appeal.” United States v. Hunter, 558 F.3d 495, 508 (6th 

Cir. 2009) (citation omitted). We take this course when, as is often the case, the record is 

insufficient to assess the merits of the claim. See United States v. Warman, 578 F.3d 320, 348 

(6th Cir. 2009); cf. United States v. Franklin, 415 F.3d 537, 555–56 (6th Cir. 2005) (noting that 

this Court will consider an ineffective assistance claim on direct appeal when the existing record 

is adequate to evaluate the merits of the claim). In the instant case, Smith claims that her trial 

counsel failed to adequately investigate her case inasmuch as counsel did not seek out witnesses 

or records to corroborate Smith’s claim that Lionel Eddington was her classmate. 

It is well-established that “a lawyer’s Strickland duty ‘includes the obligation to 

investigate all witnesses who may have information concerning his or her client’s guilt or 

innocence.’” Ramonez, 490 F.3d at 487 (quoting Towns v. Smith, 395 F.3d 251, 258 (6th Cir. 

2005)). Although “[s]trategic choices made after thorough investigation of law and facts relevant 

to plausible options are virtually unchallengeable . . . a failure to investigate, especially as to key 

evidence, must be supported by a reasoned and deliberate determination that investigation was 

not warranted.” O’Hara v. Wigginton, 24 F.3d 823, 828 (6th Cir. 1994) (internal quotation marks 

omitted).

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Smith asserts that her trial attorney’s decision “was not a strategic choice based on a 

thorough investigation of law and facts.” [Docket No. 43, Appellant’s Br., § I.] However, there is 

nothing in the record that supports this contention. Indeed, the record is devoid of any evidence 

that Smith’s trial counsel actually failed to conduct an investigation. We cannot evaluate whether 

Smith’s counsel provided constitutionally deficient performance—the first prong of the 

Strickland test—because the record is silent on the reasons trial counsel did or did not ascertain 

the existence of the classmate Smith described. 

Because the record is insufficient for the Court to adequately assess the merits of Smith’s 

ineffective assistance of counsel claim, we dismiss it without prejudice. Smith is free to raise the 

claim in a post-conviction proceeding if she should so choose.2See Warman, 578 F.3d at 348.

II. Smith’s Due Process Claim Concerning Pre-indictment Delay

Due process claims concerning pre-indictment delay are reviewed de novo. United States 

v. Brown, 498 F.3d 523, 527 (6th Cir. 2007). 

The indictment, filed on August 11, 2011, charged Smith and her twenty-three 

codefendants with a conspiracy that began “on or about July 1, 2006 and continu[ed] to the 

present, the exact dates being unknown to the Grand Jury.” [R. 11, Indictment, PGID 32.] Smith 

claims that the five years it took for the government to indict her violated her Fifth Amendment 

right to due process. The government criticizes Smith’s description as inaccurate, and points out 

that the fraudulent activity in connection with Smith’s bank account did not occur until August 

and September 2007. Less than four years passed between those acts and the 2011 indictment. 

 

2

Smith raises her ineffective assistance claim for the first time on appeal. Her request 

that we remand the case for a hearing on whether counsel acted reasonably is inappropriate since 

the claim was not initially raised before the district court. See United States v. McHayle, 1991 

WL 105758, at *2 (6th Cir. 1991) (unpublished) (per curiam). 

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The government also notes that Smith does not claim that the indictment was filed outside of the 

applicable statute of limitations.

“Federal Rules of Criminal Procedure 12(b)(3)(A) & (B) provide that motions alleging a 

defect in instituting the prosecution or in the indictment ‘must be raised before trial.’” Brown, 

498 F.3d at 527–28. Failure to timely raise such issues results in a waiver of those objections. 

Fed. R. Crim. P. 12(e) (2013) (amended 2014).

3

“This Court ‘strictly applies Rule 12(b), and has 

repeatedly held that failure to raise 12(b) motions in a timely fashion precludes appellate 

review.’” Brown, 498 F.3d at 528 (quoting United States v. Oldfield, 859 F.2d 392, 396 (6th Cir. 

1988)). There is nothing in the record demonstrating that Smith ever moved to dismiss the 

prosecution based on pre-indictment delay. Accordingly, the issue is waived, and the claim is

dismissed.

III. Smith’s Proposed “Good Faith Defense” Jury Instruction

We review a district court’s decision to deny a proposed jury instruction for an abuse of 

discretion. Ventas, Inc. v. HCP, Inc., 647 F.3d 291, 305 (6th Cir. 2011) (citation omitted). In that 

examination, we look at the jury charge as a whole to determine whether the district court fairly 

and adequately submitted the issues and law to the jury. United States v. Tarwater, 308 F.3d 494, 

510 (6th Cir. 2002) (citation omitted). While a defendant is generally entitled to an instruction on 

any colorable defense, id., “[a] refusal to give requested instructions is reversible error only if 

(1) the instructions are correct statements of the law; (2) the instructions are not substantially 

 

3 On April 25, 2014, the Supreme Court adopted amendments to Federal Rule of Criminal 

Procedure 12. The amended rule became effective on December 1, 2014, and “govern[s] in all 

proceedings in criminal cases thereafter commenced and, insofar as just and practicable, all 

proceedings then pending.” H. Doc. 113-162 (2014). Although the Rule 12 provisions applicable 

to this case remain substantively unchanged, the amended Rule does not govern Smith’s case in 

any event because the district court’s final judgment was entered on June 13, 2013—well before 

the effective date of the Rule 12 amendments.

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covered by other delivered charges; and (3) the failure to give the instruction impairs the 

defendant’s theory of the case.” United States v. Algee, 599 F.3d 506, 514 (6th Cir. 2010) 

(internal quotation marks omitted). We will not reverse a verdict because of an erroneous jury 

instruction if the error was harmless. Barnes v. Owens-Corning Fiberglas Corp., 201 F.3d 815, 

822 (6th Cir. 2000) (citation omitted).

Smith claims that the district court erred in failing to issue her proposed jury instruction 

on a good faith defense. The district court denied the proposed instruction because it was the 

“model instruction to the substantive offense of fraud, and [the government did not] have to 

prove the elements of the substantive offenses underlying [the charged] conspiracy.” [R. 692, Tr. 

of Jury Trial Proceedings Day 5, PGID 2687.] The court reasoned that its explanation of the 

mens rea requirement for conspiracy incorporated the good faith defense and that “it would 

confuse the jury to [instruct that] good faith negates [an] intent to defraud when [intent to 

defraud is not really] an element of the conspiracy itself.” [Id.]

The district court did not abuse its discretion in denying the requested good faith 

instruction because the substance of the instruction was covered by other elements of the charge, 

and its absence did not impair Smith’s theory of the case. Smith’s proposed instruction is a 

correct statement of law—indeed, it is this Circuit’s pattern good faith instruction verbatim—but 

the district court concluded that good faith is actually a defense to the substantive fraud offense, 

which was not charged, and therefore the instruction would confuse the jury. This conclusion is 

not erroneous, and therefore the district court did not abuse its discretion is reaching it.

Moreover, the instructions the court did give incorporated the substance of a good faith 

defense. The district court instructed the jury, “To convict a defendant, the government must 

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prove that she knew the conspiracy’s main purpose, and that she knowingly and voluntarily 

joined it intending to help advance or achieve its goals.” [Id. at 2778.] Here, the government 

alleged that the goal of the conspiracy was utterance and possession of counterfeit checks and 

bank fraud—offenses which the court instructed require an “inten[t] to deceive” and “intent to 

defraud,” respectively. [Id. at 2776–77.] In the charge, the district court also cautioned the jury 

that “proof that a defendant simply knew about a conspiracy or was present at times or associated 

with members of the group is not enough even if she approved of what was happening or did not 

object to it.” [Id. at 2778.] Similarly, the court made clear that “just because a defendant may 

have done something that happened to help a conspiracy does not necessarily make her a 

conspirator.” [Id.] Reviewing the jury charge as a whole, the district court’s instructions on the 

mens rea requirement for conspiracy substantially encompassed Smith’s good faith defense. See 

United States v. Stephens-Miller, 582 F. App’x 626, 637 (6th Cir. 2014) (citing United States v. 

Pomponio, 429 U.S. 10, 12–13 (1976)) (“[A] trial court need not instruct on good faith if it 

provides proper instructions to the jury regarding the intent required for commission of 

the . . . offense[].”); see also United States v. McGuire, 744 F.2d 1197, 1201 (6th Cir. 1984) 

(holding that “[t]he issue of good faith was clearly placed before the jury, even if those precise 

words were not used” because the “instructions with regard to specific intent adequately 

informed the jury of the defendants’ theory of the case, and properly placed the burden of proof 

of intent on the government”).

Finally, the absence of the good faith instruction did not impair Smith’s theory of the 

case. Smith and her trial counsel took every opportunity to tell the jury that Smith was unaware 

of any conspiracy, did not knowingly defraud anyone, and thought she was simply doing a favor 

for a classmate. Smith testified that she had no reason to distrust her classmate or to suspect that 

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something was amiss when he asked to deposit a check in her bank account. Smith’s trial counsel 

argued during summation that the government failed to establish that Smith “knowingly did 

anything” aside from agree to do an innocuous favor for a friend. In light of all of this, Smith 

cannot credibly claim that the missing instruction impaired her ability to present her defense.

CONCLUSION

For the foregoing reasons, we AFFIRM Smith’s conviction and sentence.

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