Court Opinion

ID: 2763445
Source: CourtListenerOpinion
Date Created: 2014-12-22 16:04:39.451323+00
Date Added: 2024-06-11T10:44:12.108168
License: Public Domain

Attorney Grievance Commission v. John M. Green
Misc. Docket AG Nos. 32 & 46, September Term, 2013

ATTORNEY GRIEVANCE – INDEFINITE SUSPENSION

COURT OF APPEALS SUSPENDED INDEFINITELY AN ATTORNEY WHO
VIOLATED MARYLAND LAWYERS’ RULES OF PROFESSIONAL CONDUCT
(“MLRPC”) 1.4(a)(2)-(3), 1.4(b), 1.5(a), 1.15(a), 1.15(c), 1.15(d), 8.1(b), 8.4(a), AND
8.4(d) IN ONE CASE AND MLRPC 8.1(b) AND 8.4(d) IN A SECOND CASE BY
FAILING TO COMMUNICATE THE SCOPE OF HIS REPRESENTATION AND THE
AMOUNT OF TIME BILLED TO A CLIENT, FAILING TO DEPOSIT AN
UNEARNED RETAINER IN A CLIENT TRUST ACCOUNT OR ESCROW, AND
NOT RESPONDING TO THE LAWFUL REQUESTS OF BAR COUNSEL FOR
INFORMATION AND A RESPONSE TO THE COMPLAINTS FILED AGAINST
HIM.
Circuit Court for Montgomery County

Case Misc. Docket AG Nos. 29034 & 29262
Argued: 12 November 2014
                                           IN THE COURT OF APPEALS OF
                                                   MARYLAND

                                             Misc. Docket AG Nos. 32 & 46

                                                 September Term, 2013

                                              ATTORNEY GRIEVANCE
                                            COMMISSION OF MARYLAND

                                                             v.

                                                   JOHN M. GREEN

                                                Barbera, C.J.,
                                                Harrell,
                                                Battaglia,
                                                Greene,
                                                Adkins,
                                                McDonald,
                                                Watts,

                                                       JJ.

                                                  Opinion by Harrell, J.

                                          Filed: December 22, 2014
       The Attorney Grievance Commission of Maryland (“Petitioner”), acting through

Bar Counsel, filed two petitions for disciplinary or remedial action (“PDRA”) against

John Melvin Green (“Green” or “Respondent”), pursuant to Maryland Rule 16-751, for

alleged violations of the Maryland Lawyers’ Rules of Professional Conduct (“MLRPC”).

We referred both cases to the Honorable Cynthia Callahan of the Circuit Court for

Montgomery County to conduct a consolidated evidentiary hearing and file findings of

fact and conclusions of law, according to Md. Rule 16-752.

       Neither party filed exceptions to Judge Callahan’s findings or conclusions.

Moreover, Green did not file any opposition to Petitioner’s written recommendation for

sanction or take the opportunity to argue before us as to sanction.

       I.     Judge Callahan’s Findings of Fact and Conclusions of Law

Judge Callahan made the following factual findings:

            Procedural History

            Pursuant to an Order of the Court of Appeals dated July 24,
            2013, the disciplinary matter docketed in that court as Misc.
            Docket No. 32, September Term 2013 was transmitted to the
            Circuit Court for Montgomery County to be heard in accordance
            with Maryland Rule 16-757. The Clerk of the Circuit Court for
            Montgomery County docketed the Circuit Court as Case No.
            29034-M (hereinafter “the first case”).

            On August 28, 2013, John M. Green (hereinafter “Respondent”)
            was personally served in the first case. Along with the summons,
            Respondent was served with the Petition for Disciplinary or
            Remedial Action (“the first Petition”) filed by the Attorney
            Grievance Commission of Maryland (hereinafter “Petitioner” or
            “the Commission”).

            A Status Hearing and Scheduling Conference were set for
            September 23, 2013. Petitioner’s counsel, Raymond A. Hein,
Esq., and Respondent appeared for the September 23rd hearing.
By that time, a second disciplinary action had been filed against
Respondent in the Court of Appeals (hereinafter “the second
case”). Petitioner’s counsel and Respondent agreed on the record
to consolidate the two disciplinary actions for trial, and a two-
day hearing was scheduled for December 16-17, 2013. Pursuant
to a Scheduling Order docketed by the Circuit Court on October
10, 2013, the consolidation of the two matters for trial was
confirmed.

The joint Scheduling Order pertaining to both cases also
included a discovery deadline of November 18, 2013 and set a
Settlement Pre-Trial Hearing date of December 2, 2013 at 1:30
p.m. Copies of the Scheduling Order were mailed to Petitioner’s
counsel and to Respondent. Respondent did not file an Answer
with the Circuit Court to either Petition. He also failed to appear
for the pretrial hearing on December 2, 2013.

At the Pretrial Hearing, Petitioner’s counsel proffered a response
from Respondent relating to the first case. The court accepted a
copy of that response as an Answer for docketing, which
occurred on December 5, 2013. The document accepted is
entitled “Defendant’s Answer’s to Orders.” It was received on
September 24, 2013 at the Attorney Grievance Commission,
although the Certificate of Service (on the second page) says
that a copy was “served on [the] 14th day of January 2013” on
Glenn M. Grossman, Esquire (Bar Counsel), more than six
months before the first case was docketed.

Respondent did not file an Answer to the second Petition.

When the case was called for trial at approximately 9:55 a.m. on
December 16, 2013, Respondent was not present, nor did he
appear at any time that morning as the matter proceeded. The
court received evidence presented by Petitioner in support of the
professional misconduct charges set forth below in both
petitions. The hearing was concluded on December 16, 2013.

Upon consideration of the averments of the two petitions, the
evidence offered by Petitioner on December 16, 2013 and
Petitioner’s post-hearing submission of proposed findings of fact
and conclusions of law, the court makes the following findings

                                2
of fact and conclusions of law in accordance with Rule 16-
757(c).

Findings of Fact

Respondent was admitted to the Maryland Bar on September 7,
1999. His is also licensed to practice law in the District of
Columbia. Respondent does not presently maintain a separate
law office but practices out of his home in Montgomery County.
His home address is 6905 Muncaster Mill Road, Derwood,
Maryland 20855 (hereinafter “the Muncaster Mill Road
address”).

The First Case (Circuit Court Case No. 29034-M)

The court received Petitioner’s Request for Admission of Facts
and Genuineness of Documents, to which Respondent failed to
respond. Pursuant to Md. Rule 2-424(b), the factual matters set
forth therein are deemed admitted, and the eleven (11)
documents attached thereto are accepted as genuine.
Additionally, the court heard testimony from V’Etta C. Ward,
the complainant in the first case, and received several additional
documentary exhibits in support of the following factual
findings.

V’Etta Ward (“Mrs. Ward”) was married to James S. Ward
(“Mr. Ward”) from May, 2006 until Mr. Ward passed away on
June 22, 2009. Following her husband’s death, Mrs. Ward
petitioned to open an estate and obtained letters of
administration as personal representative from the Register of
Wills for Prince George’s County. Mrs. Ward thereafter hired an
attorney (Christopher Brown) to assist her with the
administration of her husband’s estate.

Mrs. Ward testified that owing to problems over personal
property between her and Mr. Ward’s adult daughter, Angela,
she hired Respondent as a second attorney, for the purpose of
“keep[ing] the daughter [Angela] from coming in the house and
taking things.”

Mrs. Ward testified that she met Respondent in November, 2009
through one of her pastors. By check dated November 7, 2009,
she paid Respondent $125.00 as a legal consultation fee. On

                                3
November 12, 2009, Mrs. Ward and Respondent signed a
Retainer Agreement for Respondent to provide legal services in
connection with “The Recovery of Assets for the Estate of
James S. Ward, The Distribution of Requested Property and All
Matters related Thereto.” The agreement provided for payment
of an initial retainer in the amount of $3,500, to be applied
toward legal services to be billed by Respondent at a rate of
$250.00 per hour. The agreement also provided that Respondent
would provide Mrs. Ward with monthly interim invoices on a
timely basis and that she would be invoiced a replenishing
retainer of $1,250.00 once the advanced sum of $3,500.00 was
expended.

On February 4, 2010, Mrs. Ward paid Respondent’s initial
retainer of $3,500.00 by check. Respondent did not deposit Mrs.
Ward’s $3,500.00 check into an attorney trust or escrow
account. The retainer amount had not yet been fully earned as of
the date Respondent received Ms. Ward’s payment.

Prior to his receipt of Mrs. Ward’s retainer payment, Respondent
provided assistance in arranging a date for Angela Ward to come
and pick up personal property from the home titled in the name
of the late James S. Ward, where Mrs. Ward was still residing.
Angela Ward came to the house on January 23, 2010 for that
purpose. Respondent was also present.

After January 23, 2010, Respondent continued to visit Mrs.
Ward at her home, and they occasionally socialized. Meanwhile,
Mrs. Ward sought Respondent’s additional legal guidance with
regard to abandoning the Fort Washington residential property
titled in her late husband’s name. The property was encumbered
by two mortgages which in total exceeded the market value of
the home. Mrs. Ward had no legal ownership interest in the
property.

Respondent eventually began looking into the possibility of
having Mrs. Ward abandon the real property. In December,
2010, Respondent, who was unfamiliar with the subject matter,
arranged a meeting with an estates and trusts lawyer.
Respondent’s billing statements reveal that he also spent
substantial time researching Maryland statutes and case law, as
well as “case law in DC and Virginia,” before drafting and
finalizing a document titled “Petition for Authority to Abandon

                               4
Real Property Asset.” Petitioner introduced evidence
establishing that the petition to abandon was filed on February 1,
2011 with the Register of Wills for Prince George’s County in
the Estate of James S. Ward. On February 17, 2011, the
Orphans’ Court for Prince George’s County approved an Order
granting Mrs. Ward’s request to abandon the property.

From the time of Mrs. Ward’s $3,500.00 retainer payment on
February 4, 2010 until August 11, 2011, Respondent did not
send Mrs. Ward monthly or other periodic invoices showing
services performed on her legal matter. He did not inform Mrs.
Ward that her initial retainer was depleted, nor did he request a
replenishing retainer from her, in that period. After the filing and
granting of the petition to abandon property in February 2011,
Respondent provided no additional legal services to Mrs. Ward.

Mrs. Ward testified that she asked Respondent “[a]bout every
other month,” whether he was going to issue an invoice for legal
services. He would tell her not to worry about it, and Mrs. Ward
assumed Respondent’s billing “never made it to the 3500.”
Despite her requests, it was not until August 11, 2011 that
Respondent presented Mrs. Ward an invoice, titled “Pre-bill
Worksheet.” Respondent’s accompanying letter claimed a
balance was due of $7,845.98 for legal fees and expenses, after
crediting Mrs. Ward’s $3500.00 retainer against the total billed
charges of $11,345.98. The August 11, 2011 Pre-bill Worksheet
was the first and only bill for services Mrs. Ward received from
Respondent.

The August 11, 2011 Pre-bill Worksheet generated by
Respondent contained itemized listings of services over a period
from November 11, 2009 through March 19, 2011. The final two
entries purport to summarize cell phone calls between
Respondent and Mrs. Ward from December 26, 2009 until
March 19, 2011. Respondent utilized an “[a]ssumption that 50%
of the [total minutes] was for legal services” and stated that
“50% of the 50% or 25% of the total time” was billable.
Respondent cumulatively thus billed 6.25 hours (an amount of
$1,562.50) for phone calls occurring over a 15-month period.

On August 19, 2011, Mrs. Ward sent a letter to Respondent
dated August 19, 2011 in which she disputed his charges and
recited Respondent’s failure to provide monthly interim invoices

                                 5
in violation of this Retainer Agreement. Mrs. Ward requested a
response to her letter “within 7 business days.” Respondent did
not respond within seven business days or at any time prior to
May 29, 2012.

On May 29, 2012, Respondent sent Mrs. Ward a letter
acknowledging her letter dated August 19, 2011 and responding
to the same. He expressed disagreement with her “conclusions”
and demanded payment “in the amount of $7,845 no later than
the close of business June 5, 2012.” Respondent’s letter raised
the possibility of a collection action by his attorney if Mrs. Ward
failed to comply.

After receiving Respondent’s May 29, 2012 payment demand
letter, Mrs. Ward filed a grievance against Respondent with the
Commission. Bar Counsel received Mrs. Ward’s complaint on
June 4, 2012.

As of June 2011, Respondent’s listed address with the Client
Protection Fund of the Bar of Maryland was 9704 Thorncrest
Drive, Fort Washington, Maryland 20744 (hereinafter “the
Thorncrest Drive address.”). Although he had moved from the
Thorncrest Drive address more than 30 days prior to June 21,
2012, Respondent failed to notify the Client Protection Fund of
his change of address until January 31, 2013.

On January 31, 2013, Respondent provided the Client Protection
Fund with a new mailing address of P.O. Box 1444, Rockville,
Maryland 20844 (hereinafter the “P.O. Box”). At all times after
May 29, 2012, Respondent has maintained the P.O. Box as a
valid mailing address he utilizes to receive mail delivered by the
United States Postal Service.

On July 3, 2012, August 3, 2012, and October 12, 2012, the
office of Bar Counsel re-sent an initial letter requesting a written
response to Mrs. Ward’s enclosed complaint to Respondent at
the P.O. Box. Respondent received Bar Counsel’s
correspondence but he did not respond.

On November 13, 2012, Commission Investigator Michael
Peregoy contacted Respondent by telephone. Respondent
provided Mr. Peregoy with the Muncaster Mill Road address as
his current residential address. On November 14, 2012, the

                                 6
office of Bar Counsel sent Respondent a letter addressed to the
Muncaster Mill Road address, enclosing copies of all previous
correspondence that had been sent to Respondent concerning
Mrs. Ward’s complaint. The November 14, 2012 letter directed
a response by November 30, 2012. Respondent received Bar
Counsel’s November 14, 2012 correspondence but not respond.

Mrs. Ward has not had any further communication with
Respondent since she filed her grievance on June 4, 2012. She
has not been sued or contacted by a lawyer acting on
Respondent’s behalf regarding the balance due claimed by
Respondent in his August 11, 2011 letter and bill and in his May
29, 2012 letter.

The Second Case (Circuit Court Case No. 2926-M)

The court received Petitioner’s Request for Admission of Facts
and Genuineness of Documents, to which Respondent failed to
respond. Pursuant to Md. Rule 2-424(b), the factual matters set
forth therein are deemed admitted, and the documents attached
thereto are accepted as genuine. The Court also received
additional documents from the family law matter in which
Respondent represented Allen Young, Jr., husband of Nicole
Jackson-Young, the individual who filed the complaint at issue
in the second case. Upon review of said evidence, the court
makes the following factual findings.

In November 2012, Nicole Jackson-Young’s complaint
presented issues relating to Respondent’s conduct as counsel for
her husband, Allen Young, Jr., at a “Protective Order hearing”
on September 13, 2012 and in subsequent “proceedings for an
Absolute Divorce and Child Custody” in the Circuit Court for
Prince George’s County.

On November 27, 2012, the Office of Bar Counsel wrote to
Respondent to request his response to Ms. Jackson-Young’s
complaint. The letter requesting Respondent’s written request
was mailed separately to both the P.O. Box and the Muncaster
Mill Road address. Respondent did not respond.

On January 17, 2013, the Office of Bar Counsel wrote to
Respondent at the Muncaster Mill Road address and again

                               7
            requested a response to Ms. Jackson-Young’s complaint.
            Respondent did not respond.

            Respondent continued to represent Allen Young, Jr. in the case
            of Allen Young v. Nicole Young (hereinafter “the Young case”),
            Case No. CAD12-31079, in the Circuit Court for Prince
            George’s County. Following a scheduling conference on
            December 11, 2012, the court issued a Scheduling Order in the
            Young Case that included, inter alia, scheduling of a settlement
            conference on March 20, 2013 and a two day trial on the merits
            for May 20 and 21, 2013. As counsel for Mr. Young,
            Respondent received a copy of the Scheduling Order.

            At the settlement conference on March 20, 2013, the parties
            agreed in principle to terms of a settlement, but the case
            remained scheduled for a disposition hearing on May 20, 2013.
            On May 20, 2013, Ms. Jackson-Young and her attorney
            appeared in court as required. Respondent failed to appear with
            his client. Respondent’s failure to appear in court on May 20,
            2013 necessitated continuance of the disposition hearing until
            June 3, 2013. Respondent did appear with his client on that date,
            following which a Consent Order was entered by the court.

(Minor alterations added.) (Footnotes omitted.)

      Based on these findings, Judge Callahan concluded as follows:

            Conclusions of Law

            A. The first Case

            Petitioner charges Respondent with violating rules 1.1, 1.4(a)
            (2)-(3) & (b), 1.5(a), 1.15(a), (c) & (d), 8.1(b) and 8.4(a) & (d)
            of the Maryland Lawyers’ Rules of Professional Conduct
            (“RPC”).

            Rule 1.1 Competence

                    A lawyer shall provide competent representation to a
                    client. Competent representation requires the legal
                    knowledge, skill, thoroughness and preparation
                    reasonably necessary for the representation.

                                            8
The Court concludes that Respondent did not provide Mrs. Ward
with competent legal representation. Respondent did not possess
the requisite legal knowledge and skill to handle the legal matter
involving Mrs. Ward’s abandonment of the residential real
property titled in the name of her late husband. Although
Comment 2 to Rule 1.1 contemplates that “[a] lawyer can
provide adequate representation in a wholly novel filed through
necessary study[,]” Respondent’s lack of knowledge in the
subject area of the law, coupled with his failure to notify the
client on a timely basis that he was charging her a substantial
amount in an effort to become familiar with the law, establish a
violation of Rule 1.1.

Rule 1.4 Communication

        (a) A lawyer shall:

        ***
        (2) keep the client reasonably informed about the
        status of the matter.

        (3) promptly comply with reasonable requests for
        information; and

        ***
        (b) A lawyer shall explain a matter to the extent
        reasonably necessary to permit he client to make
        informed decisions regarding the representation.

The court concludes that Respondent did not keep Mrs. Ward
reasonably informed about the status of the matter he was
handling and did not promptly comply with her reasonable
requests for the information regarding the status of her retainer
and his legal fees. He failed to explain the extent of his services
periodically to Mrs. Ward in order to permit her to make
informed decisions regarding the representation. In fact, he
misled her. In particular, Respondent failed to provide timely
monthly invoices and to request a replenishing retainer when the
client’s initial $3,500.00 retainer had been exhausted. This left
Mrs. Ward in the dark about the status of the representation. She
was understandably surprised and upset when she received
Respondent’s bill in August 2011, some six months after the
conclusion of the representation, demanding payment of twice

                                9
what she had already been billed. Based upon these facts, the
court concludes that Respondent violated Rule 1.4, subsections
(a)(2), (a)(3) and (b).

Rule 1.5 Fees

       (a) A lawyer shall not make an agreement for, charge,
       or collect an unreasonable fee or an unreasonable
       amount of expenses. The factors to be considered in
       determining the reasonableness of a fee include the
       following:

       (1) the time and labor required, the novelty and
       difficulty of the questions involved, and the skill
       requisite to perform the legal service properly;

       (2) the likelihood, if apparent to the client, that the
       acceptance of the particular employment will preclude
       other employment of the lawyer;

       (3) the fee customarily charged in the locality for
       similar legal services;

       (4) the amount involved and the results obtained;

       (5) the time limitations imposed by the client or by the
       circumstances;

       (6) the nature and length of the professional
       relationship with the client;

       (7) the experience, reputation, and ability of the lawyer
       or lawyers performing the services; and

       (8) whether the fee is fixed or contingent.

Under the circumstances discussed above in connection with
Rules 1.1 and 1.4, the court concludes that Respondent charged
Mrs. Ward an unreasonable amount. Respondent failed to
provide the client with timely monthly invoices, and never
sought a replenishing retainer throughout the duration of the
actual representation despite the terms of his own retainer
agreement. Instead, he waited until six months after the

                              10
conclusion of the representation to charge Mrs. Ward an
additional amount that was more than double her initial retainer.
Furthermore, his billing of research time to gain familiarity with
the law, and his single billing entry for cumulative cell phone
call time over a 15 month period represent excessive charge
times under the circumstances. The court concludes that
Respondent violated Rule 1.5(a) by charging Mrs. Ward an
unreasonable fee.

Rule 1.15 Safekeeping of Property

        (a) A lawyer shall hold property of clients or third
        persons that is in a lawyer's possession in connection
        with a representation separate from the lawyer's own
        property. Funds shall be kept in a separate account
        maintained pursuant to Title 16, Chapter 600 of the
        Maryland Rules, and records shall be created and
        maintained in accordance with the Rules in that
        Chapter. Other property shall be identified specifically
        as such and appropriately safeguarded, and records of
        its receipt and distribution shall be created and
        maintained. Complete records of the account funds and
        of other property shall be kept by the lawyer and shall
        be preserved for a period of at least five years after the
        date the record was created.

        ***
        (c) Unless the client gives informed consent,
        confirmed in writing, to a different arrangement, a
        lawyer shall deposit legal fees and expenses that have
        been paid in advance into a client trust account and
        may withdraw those funds for the lawyer's own benefit
        only as fees are earned or expenses incurred.

        (d) 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 deliver
        promptly 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

                                11
        person, shall render promptly a full accounting
        regarding such property.

Respondent did not have Mrs. Ward’s informed consent,
confirmed in writing, to deposit her initial retainer of $3,500.00
in an account that was not a client trust account maintained
pursuant to Title 16, Chapter 600 of the Maryland Rules. Indeed,
his own Retainer Agreement, at paragraph 8, specified that the
initial retainer “will be placed in an escrow account to be drawn
from as fees, and costs and expenses are incurred.” Therefore
Respondent violated Rule 1.15, subsections (a) and (c), when he
failed to deposit Mrs. Ward’s initial retainer in a trust or escrow
account for safekeeping upon receiving that payment on
February 4, 2010. Attorney Grievance Commission v. Guida,
391 Md. 33, 53, 891 A.2d 1085, 1097 (2006) (“[f]unds given in
anticipation of future legal services qualify as trust money and,
accordingly, are to be deposited in trust accounts separate from
the attorney’s property, to be removed promptly by the attorney
as earned”).

Respondent violated Rule 1.15(d) based upon his failure to
render promptly a full accounting regarding Mrs. Ward’s
$3,500.00 retainer in response to her multiple requests for such
an accounting during the course of the representation. He also
used, or misused, the personal relationship he developed with
Mrs. Ward to avoid providing her the information she requested.

Rule 8.1 Bar Admission and Disciplinary Matters

        An applicant for admission or reinstatement to the bar,
        or a lawyer in connection with a bar admission
        application or in connection with a disciplinary matter,
        shall not:

        ***
        (b) Fail to disclose a fact necessary to correct a
        misapprehension known by the person to have arisen
        in that matter, or knowingly fail to respond to a lawful
        demand for information from an admissions or
        disciplinary authority, except that this rule does not
        require disclosure of information protected by Rule
        1.6.

                                12
 As evidenced by his repeated failures to respond to multiple
letters from the Office of Bar Counsel seeking a response to
Mrs. Ward’s complaint, Respondent violated Rule 8.1(b). See
Attorney Grievance Commission v. Fezell, 361 Md. 234, 760
A.2d 1108, 1116 (2000) and cases cited therein (“an attorney
violates Rule 8.1(b) by failing to respond to letters from
disciplinary authorities requesting information”).

 Rule 8.4 Misconduct

        It is professional misconduct for a lawyer to:

        (a) violate or attempt to violate the Maryland Lawyers’
        Rules of Professional Conduct, knowingly assist or
        induce another to do so, or do so through the actions of
        another;

        ***
        (d) engage in conduct that is prejudicial to the
        administration of justice;

By violating the Maryland Lawyers’ Rules of Professional
conduct as otherwise concluded herein, Respondent engaged in
professional misconduct in violation of Rule 8.4(a).

The court concludes that Respondent’s treatment of his client,
Mrs. Ward, by threatening her with legal proceedings in his May
29, 2012 letter, was conduct prejudicial to the administration of
justice in violation of Rule 8.4(d). Respondent failed to provide
Mrs. Ward with timely monthly invoices, and then waited until
August 11, 2011 to place her on notice of his claimed balance
due of almost $8,000.00. He failed to respond to her August 19,
2011 letter disputing his charges until he sent his May 29, 2012
letter, in which he indicated his attorney would pursue collection
action if Mrs. Ward did not pay the amount claimed. Such
conduct, in its totality, was prejudicial to the administration of
justice.

Respondent’s failure to respect the lawful authority of the Bar
Counsel to request a response to Mrs. Ward’s complaint also
violated Rule 8.4(d). Respondent ignored all of Bar Counsel’s
letters and never provided any information to assist Bar Counsel

                               13
            in reviewing Mrs. Ward’s grievance. The court concludes that
            this conduct also was prejudicial to the administration of justice.

            B. The Second Case (Circuit Court Case No. 29262-M)

            In the second case, Petitioner charges Respondent with violating
            Rules 8.1(b) and 8.4(d) of the RPC. The texts of those rules are
            included in the court’s Conclusions of Law section regarding the
            first case.

            As in the first case, the court concludes that Respondent’s failure
            to respond to Bar Counsel’s letters concerning the complaint of
            Nicole Jackson-Young violated Rule 8.1(b), and was prejudicial
            to the administration of justice, therefore also violating Rule
            8.4(d).

(Minor alterations added.) (Footnotes omitted.)

      As noted earlier, no exceptions were filed to Judge Callahan’s findings of facts or

conclusions of law. Petitioner recommends that Green be suspended indefinitely.

      II.    Analysis

      “The Court of Appeals has ‘original and complete jurisdiction over attorney

discipline proceedings in Maryland.’” Attorney Grievance Comm’n v. Harmon, 433 Md.
612, 623, 72 A.3d 555, 562 (2013) (quoting Attorney Grievance Comm’n v. Penn, 431
Md. 320, 333-34, 65 A.3d 125, 133 (2013)). “‘[W]e generally will accept the hearing

judge’s findings of fact, unless those findings are clearly erroneous.’” Harmon, 433 Md.

at 612, 72 A.3d at 562 (quoting Attorney Grievance Comm’n v. Tanko, 408 Md. 404, 418,

969 A.2d 1010, 1019 (2009)). When no exceptions are filed (as was the case here), we

may treat the hearing judge’s findings of fact as established for purposes of our

independent review of the judge’s conclusions of law and, where appropriate,

determination of the appropriate sanction. Md. Rule 16-759(b)(2)(a). We accept the facts

                                            14
as found by Judge Callahan as they were not clearly erroneous based on our review of the

record.

      We do not afford the hearing judge’s conclusions of law the deference that we do

her fact-finding. Pursuant to Md. Rule 16-759(b)(1), we review her legal conclusions

without deference. Harmon, 433 Md. at 612, 72 A.3d at 562.

          A. Respondent’s Violations of the MLRPC in the Ward Case

      Petitioner accused Green of violating MLRPC 1.1, 1.4(a)(2)-(3), 1.4(b), 1.5(a),

1.15(a), 1.15(c), 1.15(d), 8.1(b), 8.4(a), 8.4(d), and Maryland Rule 16-607 in its PDRA

related to Green’s representation of Mrs. Ward. Judge Callahan concluded that Green

violated all of the MLRPC sections charged by Petitioner. Petitioner withdrew the Rule

16-607 charge at the hearing. We agree with Judge Callahan’s conclusions, except with

regard to MLRPC 1.1.

             1. MLRPC 1.1

      Although MLRPC 1.1 requires a lawyer to represent competently his or her

clients, the lawyer need not have relevant experience or the requisite competence at the

outset of representation if competence is obtained subsequently through research and

preparation. See MLRPC 1.1 cmts. 2, 4. With this understanding, we perceive Green’s

representation of Mrs. Ward to have been competent.

      Green represented Mrs. Ward on two distinct matters: 1) arranging for the

distribution of personal property over which Mrs. Ward and her late husband’s adult

daughter were in dispute; and, 2) abandoning the Fort Washington property owned

individually by her late husband. In the first matter, we can find no indication in the

                                          15
record that Green lacked the requisite legal knowledge or skill for that undertaking.

Moreover, the outcome was satisfactory to the client. With regard to the abandonment of

Mrs. Ward’s late husband’s residential property, although Green was unfamiliar with the

specific legal principles and process at the outset, after consultation with a trusts and

estates attorney and some legal research, he was able to file a petition to abandon that

was accepted and acted upon favorably by the Orphans’ Court for Prince George’s

County. Thus, the representation was competent and effective.

       The hearing judge pointed to the lack of communication with the client about the

substantial amount of time that Respondent billed Mrs. Ward in an effort to become

familiar with the abandonment process as demonstrating the incompetence of

Respondent’s representation. Although a lack of communication by an attorney with his

or her client in violation of MLRPC 1.4 is sometimes also a violation of MLRPC 1.1, it is

not so in every case. Attorney Grievance Comm'n v. Kreamer, 387 Md. 503, 532, 876
A.2d 79, 96 (2005). In this case, Green’s lack of proper client communication violated

MLRPC 1.4 and 1.5 (as described below), but such misconduct did not affect the quality

or effectiveness of his representation and attainment of his client’s goals.

       Similarly, mismanagement of client trust funds, under certain circumstances, may

amount also to a violation of MLRPC 1.1. We have found client trust account

mismanagement to violate MLRPC 1.1 primarily when payments made to clients or on

their behalf are delayed unduly. See Attorney Grievance Comm'n v. Mungin, 439 Md.
290, 306, 96 A.3d 122, 130-31 (2014) (holding that failure to disburse funds to third

party medical providers and maintain adequate balances in his client trust account

                                             16
violated MLRPC 1.1); Attorney Grievance Comm'n v. Moeller, 427 Md. 66, 73, 46 A.3d
407, 411 (2012) (holding that “failure to collect and maintain sufficient monies in his

trust account to pay the recordation tax associated with a property settlement” violated

MLRPC 1.1); Attorney Grievance Comm'n v. Agiliga, 422 Md. 613, 616-17, 622, 31
A.3d 103, 105, 108 (2011) (holding that failure to maintain records, pay third party

medical providers with settlement proceeds, and maintain an escrow account to shield

client funds from garnishment from personal financial difficulties is a violation of

MLRPC 1.1); Attorney Grievance Comm’n v. Maignan, 390 Md. 287, 296-97, 888 A.2d
344, 349 (2005) (holding that “failure to maintain settlement proceeds in a proper client

trust account   demonstrates    incompetence under      [MLRPC]      1.1”). Not every

mismanagement of client trust monies, however, violates MLRPC 1.1. See, e.g., Attorney

Grievance Comm'n v. Weiers, __ Md. __ (2014) (No. 10, September Term, 2013 (filed 22

October 2014) (slip op. at 9-11) (holding that commingling client funds with earned fees

did not violate MLRPC 1.1, under the circumstances of that case).

      There is no indication that Green’s failure to deposit Mrs. Ward’s retainer into a

client trust account or his inadequate communication with her affected the quality of his

representation or frustrated attainment of his client’s goals in the present case. Green

acted adequately and competently on Mrs. Ward’s behalf despite his other failures.

Therefore, we are not persuaded, by clear and convincing evidence, that Green violated

MLRPC 1.1.

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              2. MLRPC 1.4(a)(2)-(3) and (b)

       MLRPC 1.4 requires that lawyers communicate adequately with their clients and

keep their clients informed about the progress of the representation. Reasonable

communication is necessary to allow the client to participate in decision-making over the

course of the representation.

       Green communicated frequently with Mrs. Ward. In his so-called bill, Green

claims to have spent twenty-five hours on the telephone with her.1 It appears, however,

that these attempts at communication were largely noise without much signal. Despite the

time spent together on the telephone, Mrs. Ward was not made aware timely that her

initial $3,500.00 retainer had been depleted until she was billed finally for it six months

after the representation was concluded, despite her requests for agreed upon monthly

invoices. Mrs. Ward did not know the significant amount of time that Green was

spending on her matters. Green’s failure to provide the invoices, request timely the

agreed upon replenishing retainer, or inform her of the amount of time he was expending

on her representation did not provide Mrs. Ward with the information required to make

informed decisions regarding continuance of the representation. We agree with Judge

Callahan’s conclusion that Respondent violated MLRPC 1.4(a)(2)-(3) and (b).

1
  In his “Pre-bill Worksheet,” Green claims to have billed Mrs. Ward only for a quarter of
the time he spent on the telephone, i.e., 6.25 hours.

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             3. MLRPC 1.5(a)

       MLRPC 1.5 prohibits lawyers from charging unreasonable fees. The Rule

provides a list of non-exclusive factors to consider when determining the reasonableness

of fees.

       Although the total fee of $11,345.98 seems to us high relative to the complexity of

the matters for which Green was engaged and the results obtained, we need not conclude

that the total fee sought to be collected was unreasonable in order to conclude that Green

violated MLRPC 1.5. Green’s failure to provide the agreed monthly invoices (as he was

reminded to do by Mrs. Ward), his failure to request the replenishing retainer, and his

“bill” sent more than six months after the conclusion of the representation were

unreasonable. It was also unreasonable, under the circumstances, for Green to bill the

total amount of time he spent allegedly researching the law regarding how to abandon the

residential property of Mrs. Ward’s late husband. Finally, the single billing entry for

telephone calls over a fifteen month period was unreasonable. We agree with Judge

Callahan that Green violated MLRPC 1.5(a).

             4. MLRPC 1.15(a), (c), and (d)

       MLRPC 1.15 concerns the safekeeping of client property. “Funds given in

anticipation of future legal services qualify as trust money and, accordingly, are to be

deposited in trust accounts separate from the attorney’s property, to be removed promptly

by the attorney as earned.” Attorney Grievance Comm'n v. Guida, 391 Md. 33, 53, 891
A.2d 1085, 1097 (2006).

                                           19
      Green violated subsections (a) and (c) of MLRPC 1.15 when he failed to deposit

Mrs. Ward’s retainer into a client trust or escrow account. Green violated subsection (d)

of MLRPC 1.15 by failing to provide the monthly invoices that Mrs. Ward requested

repeatedly. Thus, we agree with Judge Callahan’s conclusions that Green violated

MLRPC 1.15(a), (c), and (d).

             5. MLRPC 8.1(b)

      MLRPC 8.1(b) prohibits, among other things, lawyers from failing knowingly to

respond to the lawful demand for information from a disciplinary authority, i.e., Bar

Counsel. Green failed to respond to multiple letters from the Office of Bar Counsel

seeking a response to Mrs. Ward’s complaint. “This court has a long history of holding

that an attorney violates [MLRPC] 8.1(b) by failing to respond to the letters from

disciplinary authorities requesting information.” Fezell, 361 Md. at 249, 760 A.2d at

1116 (citing several of our cases in support). We agree with Judge Callahan’s conclusion

that Green violated MLRPC 8.1(b).

             6. MLRPC 8.4 (a) and (d)

      MLRPC 8.4(a) provides that violations of the MLRPC constitute misconduct.

MLRPC 8.4(d) states that it is professional misconduct to engage in conduct that

prejudices the administration of justice. Green violated both subsections of the Rule. By

violating the other MLRPC provisions discussed previously in this opinion, Green

violated also MLRPC 8.4(a). His failure to respond to Petitioner’s lawful requests for

information and a response to Mrs. Ward’s complaint was prejudicial to the

administration of justice. Failure to comply with the requests of Bar Counsel in a prompt

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and complete manner violates MLRPC 8.4(d). Attorney Grievance Comm'n v. Rose, 383
Md. 385, 392, 859 A.2d 659, 663 (2004). We agree therefore with Judge Callahan’s

conclusions that Green violated MLRPC 8.4(a) and (d).

          Judge Callahan also concluded that Green’s threat of legal action against Mrs.

Ward to collect the legal fees he claimed she owed was prejudicial to the administration

of justice and a violation of MLRPC 8.4(d). We disagree. Threatening collection action

of legal fees, even potentially unreasonable fees, does not, by itself, violate MLRPC

8.4(d).

             B. Respondent’s Violations of the MLRPC in the Jackson-Young Case

          Petitioner accused Respondent of violating MLRPC 8.1(b) and 8.4(d) in its PDRA

regarding Ms. Jackson-Young’s complaint. Judge Callahan concluded that Green violated

both rules. We agree.

          The basis for Petitioner’s claim arose from Green’s failure to answer Bar

Counsel’s request for a response to Ms. Jackson-Young’s complaint. Several letters were

sent by Petitioner, and received and ignored by Respondent. This conduct is prejudicial to

the administration of justice, a violation of MLRPC 8.4(d), as well as a violation of

MLRPC 8.1(b).

             C. Appropriate Sanction

          Our cases support suspending indefinitely Green for his violation of MLRPC 1.1,

1.4(a)(2)-(3), 1.4(b), 1.5(a), 1.15(a), 1.15(c), 1.15(d), 8.1(b), 8.4(a), and 8.4(d). In

Attorney Grievance Commission v. Stillwell, for example, we suspended indefinitely an

attorney, with the right to apply for reinstatement in no sooner than 60 days, for lack of

                                             21
diligence in pursuing a client’s matter, failing to keep the client reasonably informed

about the status of the representation, and failing to deposit an unearned retainer in a

client trust account (MLRPC 1.3, 1.4, and 1.15 respectively). 434 Md. 248, 274, 74 A.3d
728, 743 (2013). Further, failure to cooperate with Bar Counsel (MLRPC 8.1(b)), when

combined with other disciplinary violations not involving dishonesty, has resulted often

in an indefinite suspension. See, e.g., Harmon, 433 Md. at 623-24, 629, 72 A.3d at 562,

566 (imposing an indefinite suspension with right to apply for reinstatement in no fewer

than six months for violations of MLRPC 1.15 and 8.1(b)); Attorney Grievance Comm'n

v. Alston, 428 Md. 650, 678, 53 A.3d 1142, 1158 (2012) (imposing an indefinite

suspension for violations of MLRPC 1.3, 1.4, 1.15, 1.16, 8.1(b), and 8.4(d)); Attorney

Grievance Comm'n v. Lee, 393 Md. 546, 566, 903 A.2d 895, 907 (2006) (imposing an

indefinite suspension for violations of MLRPC 1.3, 1.4, 1.16, 3.2, 8.1(b), and 8.4(c));

Attorney Grievance Comm'n v. Kovacic, 389 Md. 233, 240, 884 A.2d 673, 677 (2005)

(imposing an indefinite suspension for violations of MLRPC 1.3, 1.4, and 8.1(b)); Rose,
383 Md. at 392, 859 A.2d at 663 (2004) (imposing an indefinite suspension with right to

apply for reinstatement after six months for violations of MLRPC 1.15(a), 8.1(b), and

8.4(d)). Thus, indefinite suspension is appropriate as the starting-point sanction in this

case and, as it turns out, the ending point.

       It is appropriate sometimes to state a minimum period of time that an attorney who

has been suspended indefinitely must wait before he or she may apply for reinstatement

to the Bar. Attorney Grievance Comm’n v. Litman, __ Md. __, __ A.3d __ (2014) (No.

81, September Term, 2013) (filed October 2014) (slip op. at 16). Where there is no

                                               22
evidence in the record bearing on the likelihood that the offending attorney may not

repeat the misconduct, however, we have refrained from specifying a minimum duration

for an indefinite suspension. See Kovacic, 389 Md. at 240, 884 A.2d at 677. Because

there is nothing in the record plumbing the reasons for Green’s misconduct or the

likelihood that recidivism is not a concern, due to his multiple refusals to cooperate with

Bar Counsel, an open-ended indefinite suspension is appropriate. We note also in this

regard that no mitigation was found by Judge Callahan. Thus, there is no basis from

which we could divine an appropriate minimum “sit-out” period.

      III.   Conclusion

      Respondent, John Melvin Green, violated MLRPC 1.4(a)(2)-(3), 1.4(b), 1.5(a),

1.15(a), 1.15(c), 1.15(d), 8.1(b), 8.4(a), and 8.4(d) in Misc. Docket AG No. 32 and

MLRCP 8.1(b) and 8.4(d) in Misc. Docket AG No. 46. For this misconduct, we suspend

indefinitely Respondent from the practice of law in Maryland.

                            IT IS SO ORDERED. RESPONDENT SHALL PAY ALL
                            COSTS AS TAXED BY THE CLERK OF THIS COURT,
                            INCLUDING THE COSTS OF ALL TRANSCRIPTS,
                            PURSUANT TO RULE 16-761, FOR WHICH SUM
                            JUDGMENT IS ENTERED IN FAVOR OF THE
                            ATTORNEY     GRIEVANCE    COMMISSION    OF
                            MARYLAND AGAINST JOHN MELVIN GREEN.

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