Court Opinion

ID: 4249448
Source: CourtListenerOpinion
Date Created: 2018-02-28 21:18:40.679798+00
Date Added: 2024-06-11T07:48:11.023387
License: Public Domain

IN THE SUPREME COURT OF IOWA
                              No. 13–0506

                         Filed October 18, 2013

IOWA SUPREME COURT ATTORNEY DISCIPLINARY BOARD,

      Complainant,

vs.

JAMES A. CLARITY III,

      Respondent.

      On review of the report of the Grievance Commission of the

Supreme Court of Iowa.

      Grievance commission reports respondent committed ethical

violations and recommends suspension of his license to practice law.

LICENSE SUSPENDED.

      Charles L. Harrington and Nicholas Trè Critelli III, Des Moines, for

complainant.

      Edward W. Bjornstad of Edward W. Bjornstad, LLC, Spirit Lake, for

respondent.
                                    2

WATERMAN, Justice.

      An experienced Iowa attorney, James A. Clarity III, neglected his

clients and mishandled their cases and money while struggling with

alcoholism.   He has been under disability suspension since May 25,

2012. The Iowa Supreme Court Attorney Disciplinary Board brought a

complaint against Clarity, alleging he violated ten rules of professional

conduct during his representation of seven clients in five different

matters. Clarity stipulated to most of the underlying facts, nine of ten

rule violations, and mitigating and aggravating circumstances.          He
contested the Board’s allegation that he charged an unreasonable fee in a

criminal case. A division of the Grievance Commission of the Supreme

Court of Iowa found Clarity violated all ten rules and recommended his

license be suspended for three years from May 25, 2012. Based on our

de novo review, we find Clarity violated all ten rules and impose a one-

year disciplinary suspension from the date of this opinion.

      I. Scope of Review.

      We review attorney disciplinary proceedings de novo.           Iowa

Supreme Ct. Att’y Disciplinary Bd. v. Rhinehart, 827 N.W.2d 169, 171

(Iowa 2013). We give the commission’s findings respectful consideration,

but we are not bound by them.       Id.   The Board must prove attorney

misconduct by a convincing preponderance of the evidence.         Id.   In

determining the appropriate sanction, we can impose a more or less

severe sanction than that recommended by the commission. Id.

      The parties are bound by their stipulations of fact. Iowa Supreme

Ct. Att’y Disciplinary Bd. v. McCarthy, 814 N.W.2d 596, 601 (Iowa 2012).

“However, a stipulation is not binding as to a violation or a sanction. We
will determine whether a violation occurred and the appropriate sanction
                                     3

based upon the facts we find from the stipulation and our review of the

record.” Id. (citations omitted).

      II. Background Facts and Proceedings.

      We find the following facts using the parties’ stipulation and our

own review of the record.

      Clarity was admitted to practice law in Iowa in 1976. At all times

relevant to the Board’s complaint, Clarity resided in Dickinson County,

Iowa. His practice was approximately forty percent criminal matters and

sixty percent civil matters. Before his issues with alcoholism, Clarity had
an unblemished career and enjoyed a reputation as a zealous advocate

for his clients.    He was a member of several prestigious trial lawyer

organizations.

      Clarity, by his own admission, became an alcoholic after his sister

died in 2009.      He received inpatient treatment for alcohol abuse from

July 15 through August 13, 2010, at the Hazelden Treatment Center in

Center City, Minnesota.       After relapsing, Clarity entered inpatient

treatment a second time on February 12, 2011.          During this second

phase of treatment, on March 8, our court temporarily suspended

Clarity’s license to practice law due to his disability and implemented a

trusteeship. He was released from inpatient care on April 14. We held a

hearing on April 26 on whether to lift his disability suspension. Clarity

provided medical evidence of his successful treatment.      He testified as

follows:

      I am asking the court to end this suspension so that I can go
      back to what I love doing. I have taken the necessary steps
      to put my life in order as would a cancer patient, patient
      with MS or any other patient with a treatment of a disease.
      Alcoholism is chronic, progressive, and it’s fatal. To that and
      in that there is no doubt. If I drink again, I will die. Simple.

We lifted his temporary suspension the next day.
                                     4

       Clarity relapsed again a year later. On May 25, 2012, we imposed

another temporary disability suspension on Clarity’s license to practice

law.   Clarity consented to continuing this suspension, and it has

remained in effect since that date. We now describe the matters giving

rise to the Board’s complaint.

       A. Easton Representation.         David and Jane Easton retained

Clarity on January 20, 2010, to represent them in threatened federal

criminal and civil charges relating to Medicare prescription fraud. The

Eastons paid Clarity a $75,000 retainer and agreed to pay his hourly rate
of $300. Clarity had previously handled similar matters. Shortly after

retaining Clarity, David was indicted in federal court on 1080 criminal

counts, and a federal civil suit was filed against the Eastons.

       The Eastons paid Clarity’s retainer in two installments: $50,000 on

January 21 and $25,000 on February 10. Clarity deposited these funds

in his trust account at The State Bank in Spirit Lake, Iowa. At the time

these funds were deposited, the account contained no other client funds

and had a prior balance of $118.93.        Over the next several months,

Clarity transferred $69,317.08 to his general firm account for the

payment of legal fees and costs and paid the balance to a third party for

chartered air travel.    Clarity failed to contemporaneously notify the

Eastons of these withdrawals or provide them with any accounting. By

May 3, their retainer was depleted, leaving $119.93 in the trust account.

       Clarity contacted David on July 14 to notify him for the first time

that the $75,000 was depleted. Clarity asked for an additional $15,000

to continue his work on the case. Clarity told David he needed the funds

to travel to Washington, D.C. so that he could negotiate a settlement with
the United States Department of Justice. At Clarity’s request, David met

him in a grocery store parking lot and gave him a check for the requested
                                          5

amount.     The next day, July 15, David went to Clarity’s law office to

obtain a receipt, but was informed by Clarity’s secretary that he was

home sick and that she knew nothing about the $15,000. David heard

rumors the next day that Clarity had been committed for alcohol

addiction and stopped payment on his check.                No one from Clarity’s

office notified the Eastons that Clarity would be unavailable for weeks.

The Eastons retained new counsel, who required them to pay another

retainer. Clarity’s office did not respond to multiple requests to transfer

his file to the new attorney until mid-August. Clarity, despite repeated
requests for a refund or explanation, also failed to provide any

accounting of how the $75,000 was spent until after the Eastons filed a

complaint with the Board on November 5. On November 12, Clarity sent

to the Eastons his first and only statement describing his services

rendered from January through June.

       According to Clarity, due to record-keeping problems, he had to re-

create his November statement by perusing his file. He said he originally

handwrote his time entries during his representation of the Eastons and

his legal assistant entered the information into the billing system. She

destroyed the handwritten time entries after entering the data.1 Clarity

testified a computer virus compromised the electronic time records.

Clarity hired a computer technician to address the problem, but the data

could not be recovered. His reconstructed statement dated November 12

included five pages of entries listing services performed without the date

or time spent on any specific entry.             At the end of the statement,

       1Claritylater learned this legal assistant embezzled approximately $100,000
from the firm, money that was allocated to pay Clarity’s malpractice insurance
premiums. Clarity testified he does not believe she took any client funds. Clarity did
not pursue any legal action against her.
                                     6

aggregate figures were provided: “TOTAL TIME: 225 HOURS x $300.00 =

$72,000[sic]” followed by “TOTAL COSTS ADVANCED: $3,299.32” and a

final line stating, “TOTAL TIME AND COSTS ADVANCED: $75,299.32.”

      Clarity never refunded any of the Eastons’ $75,000. David Easton,

represented by another attorney, ultimately was sentenced to prison.

      B. Buettner, Clark, and Leiss OWI Matters. Clarity represented

three clients—Kenley Martin Buettner, Nichole Marie Clark, and

Anthony Peter Leiss—in criminal and administrative proceedings arising

from charges of operating while intoxicated (OWI).      Buettner retained
Clarity to represent him on May 12, 2010, after he was arrested for a

third offense OWI and driving while barred.      Buettner paid Clarity a

$15,000 retainer by three credit card payments in March and June.

These payments went into the firm’s general account and were not

transferred into Clarity’s client trust account. Clark and Leiss, who were

each charged with first offense OWI, also retained Clarity.        Clark’s

grandmother and Leiss each paid Clarity a retainer of $2500 in

September and October, respectively.       Clarity did not transfer these

retainers into his client trust account.

      On his 2011 “Client Security Commission Combined Statement

and Questionnaire,” Clarity responded “yes” to a question that asked

whether all retainers, regardless of their size, had been deposited into a

client trust account.   Although Clarity later asked how to correct his

misstatement, he never filed an amended questionnaire with the Office of

Professional Regulation.

      Clarity advised all three clients at the outset of his representation

they did not need to attend any hearing unless he specifically told them
to do so. Arraignments were held for Clark and Leiss on November 4,

2010, but Clarity failed to appear or notify his clients of the need to
                                      7

appear.    The court continued the arraignments until November 18.

Clarity again failed to inform Clark or Leiss of the new date and failed to

attend or continue their arraignments.       As a result, the court issued

bench warrants for Clark and Leiss, who were arrested and jailed. Clark

and Leiss each had to post bond to secure their release.         Clarity also

failed to notify Buettner he needed to attend his pretrial conference

scheduled for January 24, 2011. Because neither Clarity nor Buettner

attended the pretrial conference, the court issued a bench warrant for

Buettner’s arrest.    Buettner too was jailed and had to post bond to
secure his release.

      Clarity entered his second inpatient treatment on February 12,

again without notifying these clients, the court, or the county attorney he

would not be practicing during that period. Buettner, Clark, and Leiss

each retained new counsel. Clark sued Clarity in small claims court and

obtained a default judgment for her $2500 retainer with interest and

$110 in court costs. As of the time of the commission’s hearing, Clarity

had not yet satisfied the judgment. Clarity also had not refunded any

part of the Buettner or Leiss retainers.

      C. Rodrick and Jurine Williams Representation.                  Clarity

represented Rodrick and Jurine Williams as plaintiffs in a civil action

filed in the Iowa District Court for Emmet County. The court granted

summary judgment in favor of the defendants on September 13, 2010.

Clarity filed a timely notice of appeal on October 11.         But, because

Clarity failed to file the combined certificate and to pay the filing fee, the

clerk of this court sent Clarity a “Notice of Default and Assessment of

Penalty” on November 2. Clarity failed to cure the default. As a result,
we entered an order dismissing the appeal on December 8.              Clarity

moved to reinstate the appeal, alleging he had not received the notice of
                                    8

default because the post office would not deliver mail addressed to his

street address. We denied the motion to reinstate on January 11, 2011,

stating:

      The order dismissing the appeal and the default notice were
      sent to the exact same address.           Despite his earlier
      contentions that no mail will be delivered using that address,
      attorney Clarity states he received the order dismissing the
      appeal on December 8, 2010. The court also notes the
      notice and the order dismissing the appeal were sent to the
      same address used by Clarity on his letterhead and previous
      documents filed with the district court and the appellate
      court. Finally, Clarity offers no explanation for why he failed
      to comply with Iowa Rules of Appellate Procedure 6.702(1)(a)
      (the filing fee for the notice of appeal shall be paid within
      seven days after filing the notice of appeal) and 6.804(1) (the
      combined certificate shall be filed within seven days of the
      filing of the notice of appeal).

Consequently, Clarity’s inaction resulted in dismissal of his clients’

appeal.

      D. Procedural History.      On March 1, 2012, the Board filed a

complaint alleging Clarity violated ten rules of professional conduct in

connection with the above-described matters.      Clarity’s answer to the

complaint, filed April 5, admitted some of the factual allegations, but

denied he violated any of the rules identified by the Board. Pursuant to

Iowa Court Rule 35.17, our court temporarily suspended Clarity’s license
to practice law on May 25.     On May 29, at the Board’s request, the

commission stayed the proceedings because Clarity was incapacitated

and hospitalized.   On August 10, the Board applied to lift the stay to

allow the ethics complaint to proceed to hearing. We granted the Board’s

application.   The commission held a one-day hearing on December 5.

The parties submitted a twelve-page stipulation in which Clarity

admitted to the underlying facts supporting violations of nine of the ten
rules identified by the Board.      Clarity stipulated that his conduct
                                     9

supports the following violations of the Iowa Court Rules and the Iowa

Rules of Professional Conduct:

            a. Rules 45.7(3) and 32:1.15(c) for not depositing
      Clark’s, Leiss’s and Buettner’s advanced fees into his
      attorney trust account;
             b. Rule 32:8.4(c) for making misrepresentations to the
      Iowa Supreme Court Client Security Commission in his
      certified responses to the 2011 Questionnaire on whether or
      not retainers were deposited into his trust account;
            c. Rule 45.2(2) for not providing his clients with
      proper accounting at the time services were rendered;
            d. Rule 32:1.15(a) for not maintaining           complete
      records of his clients’ account funds;
            e. Rule 45.7(4) for not giving the Eastons proper
      notice of the withdrawal of fees and expenses from his
      attorney trust account;
             f. Rule 32:1.4(3) for not keeping his clients
      reasonabl[y] informed of the status of their legal matters and
      his own inability to adequately represent their interests due
      to his inpatient treatments;
             g. Rule 32:1.4(4) for not promptly complying with his
      clients’ reasonable requests for information about their legal
      matters; and
            h. Rule 32:1.3 for neglecting his clients’ matters
      which resulted in three of his clients being arrested and the
      Williams’ appeal being dismissed.

Clarity denied he violated “Rule 32:1.5(a) for charging an unreasonable

fee in the Easton matter.”

      The   parties   also   stipulated   to   aggravating   and    mitigating

circumstances, which we discuss below in determining the appropriate

sanction.   The parties did not agree to the proposed discipline to be

recommended.     At the hearing, the commission heard testimony from

Clarity and received twenty-three exhibits into evidence.          The parties

submitted posthearing briefs. The commission filed its “Findings of Fact,

Conclusions of Law, and Recommendation” on April 1, 2013.                 The
commission determined Clarity violated all ten of the rules alleged by the
                                      10

Board,   including   the   contested   rule   violation   for   charging   an

unreasonable fee. The commission made the following recommendations

regarding the appropriate sanction:

            1. Suspension of [Clarity]’s license to practice law for
      three (3) years commencing May 25, 2012, the date
      suspension was ordered by the Iowa Supreme Court under
      Rule 35.1[7].
            2. Prior to reinstatement, [Clarity must] provide
      documentation showing he has maintained sobriety and
      continuously complied with in-patient and/or outpatient
      treatment for alcoholism.
           3. [Clarity must] contact and cooperate with the Iowa
      Lawyers Assistance Program.
           4. [Clarity must] satisfy the Judgment in Dickinson
      County, Iowa case number SCCV019610.
            5. [Clarity must] pay all costs in this matter.

      III. Ethical Violations.

      As noted, the commission found Clarity violated all ten of the rules

the Board alleged in its complaint, including the contested violation that

Clarity had charged the Eastons an unreasonable fee.            We make the

following determinations on our de novo review.

      A. Trust Account Violations. The Board alleged Clarity violated

Iowa Court Rules 45.7(3), 45.7(4), and 45.2(2) and Iowa Rules of
Professional Conduct 32:1.15(a) and (c). These rules govern attorneys’

responsibilities with regard to client trust accounts.

      1. Failure to deposit advanced fees into trust account. The Board

alleged Clarity violated rules 45.7(3) and 32:1.15(c) when he failed to

deposit the advance fees he received from clients Buettner, Clark, and

Leiss into a client trust account.     Rule 45.7(3) requires attorneys to

“deposit advance fee and expense payments from a client into the trust
account.” Iowa Ct. R. 45.7(3). Rule 32:1.15(c) provides that “[a] lawyer

shall deposit into a client trust account legal fees and expenses that have
                                    11

been paid in advance, to be withdrawn by the lawyer only as fees are

earned or expenses incurred.” Iowa R. Prof’l Conduct 32:1.15(c); see also

Iowa R. Prof’l Conduct 32:1.15(a) (“Funds shall be kept in a separate

account.”).     “Rule 32:1.15 incorporates Iowa Court Rule 45.7, which

directs a lawyer as to how to handle a retainer.” McCarthy, 814 N.W.2d

at 607.       Taken together, these rules strictly prohibit lawyers from

commingling unearned client funds with their own property. See Iowa

Supreme Ct. Att’y Disciplinary Bd. v. Dolezal, 796 N.W.2d 910, 918–19

(Iowa 2011) (finding a violation of rules 32:1.15 and 45.7 when the
attorney failed to deposit a $500 retainer into a client trust account).

Because Clarity admitted he did not deposit Buettner’s $15,000 retainer

or the $2500 retainers he received from Clark and Leiss into his client

trust account, we conclude the Board established Clarity violated these

rules. See Iowa Supreme Ct. Att’y Disciplinary Bd. v. Kersenbrock, 821
N.W.2d 415, 419 (Iowa 2012) (concluding attorney violated rule

32:1.15(c) by placing a retainer “in her ‘sock drawer’ for ‘a number of

weeks’ ”).

      2. Failure to provide accounting. The Board alleges Clarity violated

Iowa Court Rules 45.2(2) and 45.7(4) regarding his failure to promptly

provide accounting statements. Iowa Court Rule 45.2(2) requires lawyers

to “promptly deliver to the client or third person any funds or other

property that the client or third person is entitled to receive and [to]

promptly render a full accounting regarding such property.” Iowa Court

Rule 45.7(4) requires “[a] lawyer accepting advance fee or expense

payments [to] notify the client in writing of the time, amount, and

purpose of any withdrawal of the fee or expense, together with a complete
accounting.”     Rule 45.7(4) further provides that this notice must be

provided “no later than the date of the withdrawal.” Iowa Ct. R. 45.7(4);
                                       12

see also Iowa R. of Prof’l Conduct 32:1.15(d) (“[U]pon request by the

client or third person, [a lawyer] shall promptly render a full accounting

regarding [the] property.”).

      Not only did Clarity fail to provide an accounting to the Eastons

when he withdrew funds from his client trust account, he also neglected

for months to provide a billing statement to the Eastons after they

repeatedly requested one. Clarity stipulated that from February to May

2010, he made twenty withdrawals for the payment of legal fees and

advanced expenses from his client trust account that fully exhausted the
Eastons’ $75,000 retainer. Clarity admits he did not provide the Eastons

with contemporaneous notice of the withdrawals. It was only after the

Eastons filed a complaint with the Board in November that he created a

statement and provided it to the Eastons. Accordingly, we find Clarity

failed to provide the notice required under Iowa Court Rules 45.2(2) and

45.7(4) and thereby violated those rules.         See Iowa Supreme Ct. Att’y

Disciplinary Bd. v. Parrish, 801 N.W.2d 580, 586–88 (Iowa 2011)

(sanctioning attorney for failing to render an appropriate accounting);

Iowa Supreme Ct. Att’y Disciplinary Bd. v. McCann, 712 N.W.2d 89, 94–95

(Iowa 2006) (finding violation when attorney did not respond to client’s

request for an accounting).

      B. Misrepresentation in 2011 Questionnaire. The commission

found Clarity violated Iowa Rule of Professional Conduct 32:8.4(c)

because he “ma[de] misrepresentations to the Iowa Supreme Court Client

Security Commission in his certified responses to the 2011 questionnaire

regarding the deposit of retainers into his [client] trust account.” Rule

32:8.4(c) states that “[i]t is professional misconduct for a lawyer to . . .
engage    in   conduct     involving        dishonesty,   fraud,   deceit,   or

misrepresentation.”    Iowa R. Prof’l Conduct 32:8.4(c).       To establish a
                                     13

violation of this rule, “[t]he Board must prove the attorney acted with

some level of scienter greater than negligence.” Kersenbrock, 821 N.W.2d

at 421. “[A] ‘casual, reckless disregard for the truth’ warrants discipline.”

Iowa Supreme Ct. Att’y Disciplinary Bd. v. Isaacson, 750 N.W.2d 104, 109

(Iowa 2008) (quoting Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v.

Daggett, 653 N.W.2d 377, 380 (Iowa 2002)).

      Clarity’s conduct rises to the level of reckless disregard for the

truth. Clarity stipulated that Buettner’s $15,000 retainer, Leiss’s $2500

retainer, and Clark’s $2500 retainer were deposited into his general fund
and never transferred to his client trust account. After falsely certifying

all of his retainers had been deposited into a trust account, Clarity

inquired about how to file a corrected certification.     This suggests he

knew the one he initially filed was incorrect.      Yet, he never followed

through to correct his false certification. Clarity states in his posttrial

brief that his “paralegal failed to deposit [the retainers] without his

knowledge due to oversight on [his] part, [and] he was not aware that

they were not deposited until long after the events had taken place.” We

find Clarity’s excuse unconvincing. See Iowa Supreme Ct. Bd. of Prof’l

Ethics & Conduct v. Herrera, 560 N.W.2d 592, 595 (Iowa 1997) (“[W]e

have a strong negative reaction to a lawyer’s attempt to blame

professional shortcomings on an employee.”); Comm. on Prof’l Ethics &

Conduct v. Postma, 430 N.W.2d 387, 389 (Iowa 1988) (noting that

blaming legal staff for failings is a “timeworn” excuse that is viewed with

“unbounded skepticism, and never with admiration”).         We find Clarity

violated rule 32:8.4(c).   See Iowa Supreme Ct. Att’y Disciplinary Bd. v.

Wengert, 790 N.W.2d 94, 100 (Iowa 2010) (finding the attorney’s false
certification that her trust account was properly reconciled violated rule

32:8.4(c)).
                                    14

      C. Failure to Keep Clients Reasonably Informed of the Status

of Their Legal Matters. The Board alleged, and the commission found,

Clarity violated rule 32:1.4(a)(3), which requires a lawyer to “keep the

client reasonably informed about the status of the matter.” Iowa R. Prof’l

Conduct 32:1.4(a)(3). Clarity stipulated to facts that establish the rule

violation. Specifically, Clarity failed to inform Clark and Leiss of their

arraignments, which resulted in the issuance of bench warrants for

failure to appear and their arrest and incarceration. He failed to inform

Buettner of his pretrial conference, resulting in Buettner’s arrest and
incarceration for failure to appear.     Clarity failed to inform these OWI

clients and the Eastons of his inability to represent them during his

inpatient treatment.      We conclude Clarity thereby violated rule

32:1.4(a)(3).    See McCarthy, 814 N.W.2d at 606 (finding erroneous

communications      regarding   dates   of   court   hearings   violated   rule

32:1.4(a)(3)).

      D. Failure to Respond to Clients’ Reasonable Requests for

Information.     The Board alleged, and the commission found, Clarity

violated rule 32:1.4(a)(4) by not complying with his clients’ reasonable

requests for information about their legal matters. This rule requires a

lawyer to “promptly comply with reasonable requests for information.”

Iowa R. Prof’l Conduct 32:1.4(a)(4).     Clarity first told David Easton on

July 14, 2010, shortly before entering inpatient treatment at Hazelden,

that he had spent the entire $75,000 retainer. Easton sought to transfer

his file to a new attorney, but was kept waiting until mid-August. Easton

also repeatedly sought an explanation from Clarity for how the retainer

was spent.       Clarity failed to respond with any explanation until
November 12, after Easton filed an ethics complaint on November 5. We

conclude Clarity violated rule 32:1.4(a)(4). See Iowa Supreme Ct. Att’y
                                      15

Disciplinary Bd. v. Earley, 774 N.W.2d 301, 307–08 (Iowa 2009) (failure

to respond to repeated requests for information and to account for

retainer fees violated rule 32:1.4(a)(4)).

      E. Neglect of Client Matters.               The Board alleged, and the

commission found, Clarity violated rule 32:1.3 by neglecting client

matters.    Clarity stipulated to the facts underlying this rule violation.

Rule 32:1.3 states, “A lawyer shall act with reasonable diligence and

promptness in representing a client.”        Iowa R. Prof’l Conduct 32:1.3.

This rule is violated when a lawyer fails to attend scheduled court
proceedings. See Iowa Supreme Ct. Att’y Disciplinary Bd. v. Hauser, 782
N.W.2d 147, 150, 152–53 (Iowa 2010). Clarity missed the arraignments

for Clark and Leiss, resulting in their arrests and incarcerations. Clarity

missed Buettner’s pretrial conference, resulting in his arrest and

incarceration.   Rule 32:1.3 is also violated when an attorney’s neglect

results in the client’s loss of a right to appeal. See Dolezal, 796 N.W.2d

at 917.     Clarity failed to cure his defaults in the Williams appeal,

resulting in its dismissal with prejudice. We conclude Clarity’s neglect of

each of these matters violated rule 32:1.3.

      F. Charging an Unreasonable Fee.              The Board alleged, and the

commission found, Clarity’s $75,000 fee collected from the Eastons

violated Iowa Rule of Professional Conduct 32:1.5(a), which prohibits

attorneys from “mak[ing] an agreement for, charg[ing], or collect[ing] an

unreasonable fee or an unreasonable amount for expenses.”                Clarity

contested this rule violation.

      The    Board    has   the   burden     of    proving   by   a   convincing

preponderance of the evidence that Clarity charged or collected an
unreasonable fee.     Iowa Supreme Ct. Att’y Disciplinary Bd. v. Cannon,

789 N.W.2d 756, 759–60 (Iowa 2010); see also Rhinehart, 827 N.W.2d at
                                      16

171, 181.     We consider the following factors in determining the

reasonableness of the fee:

             (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 by 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.

Iowa R. Prof’l Conduct 32:1.5(a).

      No expert testimony was offered on the reasonableness of Clarity’s

hourly rate or fee. We find his $300 hourly rate to be reasonable for an

Iowa attorney of his experience. He had practiced law since 1976. About

forty percent of his practice was criminal law.            The Eastons faced
complex felony criminal charges.      They agreed to pay his hourly rate.

Clarity had handled similar cases.         Other experienced Iowa criminal

defense lawyers charge a $300 hourly rate.

      The fighting issue is the number of hours charged by Clarity in

light of the result obtained.    As discussed above, he was unable to

provide his original handwritten billing records or the computer records

of the time entered by his legal assistant. Months later, he re-created a

six-page statement listing tasks performed, without dates or the time
spent on each task, but with a stated total time of 225 hours, which,

multiplied by his $300 hourly rate plus expenses, conveniently reaches
                                     17

the entire $75,000 retainer.    The statement indicates he sent twenty-

three letters, reviewed nineteen letters he received, conducted twenty-six

conferences by phone or at his office, and performed legal research on six

occasions. The rest of the time was reportedly spent reviewing the claims

identified by patient name.    He claims no time for any trial, hearing,

depositions, motions, or briefs. He never showed that his many hours of

research or claims review were summarized or memorialized to capture

his analysis. Presumably, the time he spent researching and reviewing

claims had to be redone by the attorney who took over the case.
      We have no doubt a lawyer defending a felony Medicare billing

fraud case may spend significant time reviewing patient records. But, in

a case like this in which the client never received a bill until months after

the lawyer paid himself the retainer, and the belated, re-created billing

statement is cryptic, the credibility of the billing attorney is of central

importance. The commission found Clarity’s testimony was not credible.

In finding the Board proved by a convincing preponderance of the

evidence that Clarity had charged an excessive fee in violation of rule

32:1.5(a), the commission stated:

      The trust account records, general account records of the
      law firm, along with the party’s Stipulations regarding when
      and how retainers were received support the Board’s
      allegation. [Clarity] testified regarding the special nature of
      the litigation, its complexity, volume of discovery, and the
      serious consequences both the criminal and civil cases
      brought against the Eastons. [Clarity] testified generally
      about time spent on the case and how time slips and time
      notes were kept. [Clarity] did not present any other evidence
      supporting the hourly rate charged, accounting of time or
      expenses, or the reasonableness of the retainer. Although
      the Eastons faced serious consequences both criminally and
      civilly, [Clarity]’s testimony about the reasonableness of the
      fees is not credible. The failure of [Clarity] to offer any
      corroborating evidence; the contrast of his testimony to the
      trust account records and general account records of the law
      firm; his extremely vague . . . generalizations of the work
                                      18
        performed; his admitted neglect of his practice during this time
        frame; and, in light of the other evidence stipulated to by
        [Clarity] erodes completely the credibility of the testimony.

(Emphasis added.)

        We give deference to the commission’s credibility determination

because the commission heard Clarity’s live testimony and observed his

demeanor.      See Iowa Supreme Ct. Att’y Disciplinary Bd. v Bowles, 794
N.W.2d 1, 3 (Iowa 2011) (“This court gives special weight to the

commission’s findings concerning the credibility of witnesses.”); Iowa

Supreme Ct. Att’y Disciplinary Bd. v. Plumb, 766 N.W.2d 626, 632 (Iowa
2009) (“Granting appropriate deference to the commission’s credibility

findings, we adopt the commission’s findings as our own.”); Iowa

Supreme Ct. Att’y Disciplinary Bd. v. McGrath, 713 N.W.2d 682, 702 (Iowa

2006)     (“[T]his   court   does   not    often   disregard   the   credibility

determinations of the commission . . . .”); see also In re Marriage of

Vrban, 359 N.W.2d 420, 423 (Iowa 1984) (discussing the importance in

credibility determinations of hearing live testimony to observe demeanor).

        We reach the same conclusion as the commission, relying on our

own review of the record and the commission’s determination that

Clarity’s testimony was not credible.        The bank records show Clarity

made twenty separate withdrawals from February 3 through May 3,

2010, which collectively exhausted the $75,000 retainer.             He made

withdrawals on four consecutive days in February.              He made three

separate withdrawals on March 16 and two more on April 5, followed by

matching $3000 withdrawals on April 15 and 16 and a $7000 withdrawal

on April 20.     Clarity’s pattern of withdrawals differs from the single

monthly or quarterly withdrawal typical for a lawyer who periodically
collects earned fees. The frequency and odd amounts of his withdrawals

look more like a lawyer using his client trust account as a personal ATM.
                                      19

Another red flag is the urgency with which Clarity sought an additional

$15,000 from the Eastons on the eve of his departure for inpatient

treatment.

       We consider the $75,000 Clarity collected from the Eastons in light

of “the results obtained.”     Iowa R. Prof’l Conduct 32:1.5(a)(4).    Clarity

claims credit for avoiding criminal charges against Jane Easton.

Otherwise, he cannot show he accomplished anything for David Easton,

who ultimately was sentenced to prison after his case was concluded by

another lawyer.     Clarity failed to show that any of his time spent
researching the law or reviewing claims was memorialized in a form that

assisted Easton’s new lawyer or avoided the need to replicate those

efforts.

       We conclude the Board proved by a convincing preponderance of

the evidence that Clarity charged the Eastons an unreasonable fee in

violation of rule 32:1.5(a).

       IV. Sanction.

       There is no standard sanction for particular types of misconduct.

Iowa Supreme Ct. Att’y Disciplinary Bd. v. Boles, 808 N.W.2d 431, 441

(Iowa 2012).    “Although prior cases are instructive, we determine the

appropriate sanctions in light of the unique circumstances of the case

before us.” Rhinehart, 827 N.W.2d at 182.

       When crafting a sanction, we consider the nature of the
       violations, the attorney’s fitness to continue in the practice of
       law, the protection of society from those unfit to practice law,
       the need to uphold public confidence in the justice system,
       deterrence, maintenance of the reputation of the bar as a
       whole, and any aggravating or mitigating circumstances.

Id. (internal quotation marks omitted).
       The commission recommended we suspend Clarity’s license to

practice law for three years from the date his second disability
                                      20

suspension began, May 25, 2012.        We give respectful consideration to

the commission’s recommendation. The commission accurately recited

Clarity’s   rule   violations   and   the   mitigating    and    aggravating

circumstances as follows:

             [Clarity’s] conduct resulted in multiple instances
      where he neglected client matters, neglected management of
      client funds and trust account records, and neglected client
      requests. [Clarity] cites his alcoholism as the primary cause
      of his violations and a mitigating factor. He also cites his 37
      years of practice, admission to practice in various federal
      courts, certifications held with several professional
      organizations, and prior military service.            [Clarity’s]
      compliance with in-patient treatment for alcoholism and
      continued outpatient treatment are also commendable.
             A number of aggravating factors must be considered as
      well.    [Clarity] has been privately admonished by the
      Attorney Disciplinary Board on three prior occasions. His 37
      years of experience as an attorney aggravates his neglect in
      handling client matters and the handling of client funds.
      The serious harm his clients suffered as a result of his
      misconduct is also aggravating: three clients were arrested
      and jailed, an appeal was dismissed with prejudice, clients
      had to retain other counsel, and retainers were not returned.
      Although [Clarity] repeatedly stated he was the “captain of
      the ship”, he did not acknowledge the harm caused to these
      clients. Instead of expressing any remorse for his clients, he
      cited computer problems, missing documentation, and
      employee theft.

      We first address Clarity’s alcoholism.        In his stipulation, he

“acknowledge[d] and admit[ted] that he is an alcoholic and the difficulties

he has caused his clients were the result of his alcoholism.” Alcoholism,

however, “is not a ‘legal justification, excuse, or defense’ ” for Clarity’s

actions. Iowa Supreme Ct. Att’y Disciplinary Bd. v. Weaver, 812 N.W.2d
4, 11 (Iowa 2012) (quoting Iowa Supreme Ct. Att’y Disciplinary Bd. v.

Schmidt, 796 N.W.2d 33, 41 (Iowa 2011)); see also Florida Bar v. Golub,

550 So. 2d 455, 455 (Fla. 1989) (“While alcoholism explains the
respondent’s conduct, it does not excuse it.”). Nevertheless, “[a]lcoholism

can be a mitigating factor.” Weaver, 812 N.W.2d at 15; see also Iowa
                                     21

Supreme Ct. Att’y Disciplinary Bd. v. Roush, 827 N.W.2d 711, 718–20

(Iowa   2013) (considering    the   attorney’s   rehabilitative   efforts   and

surveying cases imposing sanctions ranging from thirty days to one year

for disciplinary violations related to alcoholism and substance abuse);

Iowa Supreme Ct. Att’y Disciplinary Bd. v. Axt, 791 N.W.2d 98, 103 (Iowa

2010) (considering as a mitigating factor the attorney’s “rehabilitative

efforts in actively attempting to control his addiction to alcohol”); Hauser,

782 N.W.2d at 154) (noting that to the extent the attorney acknowledged

his alcoholism and takes steps to address the problem, the court will
consider these acts in fashioning an appropriate sanction).

        To be considered in mitigation, the alcoholism must have

contributed to the ethical misconduct, and the lawyer must undertake

rehabilitative efforts to control his addiction. See Iowa Supreme Ct. Att’y

Disciplinary Bd. v. Nelson, ___ N.W.2d ___, ___ (Iowa 2013) (citing Weaver,

812 N.W.2d at 13; Iowa Supreme Ct. Bd. of Prof’l Ethics & Conduct v.

Ruth, 636 N.W.2d 86, 89 (Iowa 2001) (considering a lawyer’s efforts to

remain sober as a mitigating factor)); see also Cleveland Metro. Bar Ass’n

v. Toohig, 979 N.E.2d 332, 341–42 (Ohio 2012) (declining to consider

alcoholism as a mitigating factor without a showing that it “contributed

to cause the misconduct” and noting much of the charged misconduct

occurred after lawyer gained sobriety); Disciplinary Counsel v. Hoppel,

950 N.E.2d 171, 176–77 (Ohio 2011) (mitigating sanction based on

attorney’s successful treatment and cooperation with lawyer-assistance

program); State ex rel. Okla. Bar Ass’n v. Haave, 290 P.3d 747, 757

(Okla. 2012) (Kauger, J., concurring specially) (“[A]lcohol abuse or

alcoholism may serve as a mitigating factor where the offending attorney
recognizes the problem and seeks and cooperates in treatment.”).
                                     22

      “[O]ur primary goal is not to punish the attorney, but ‘to protect

the public from lawyers rendered unfit from any cause.’ ” Weaver, 812

N.W.2d at 15 (quoting Hauser, 782 N.W.2d at 154). We imposed a two-

year suspension in Weaver for an OWI third and third-degree

harassment, noting that Weaver repeatedly refused “to seek the help that

is necessary for him to successfully cope with his depression and

alcoholism.” Id. By contrast, Clarity has repeatedly undergone weeks of

inpatient treatment and ongoing outpatient treatment to cope with his

alcoholism, albeit with mixed success. We consider his efforts to be a
mitigating factor. Yet, Clarity has not demonstrated he has successfully

rehabilitated himself to the point he is able to practice law at this time,

and he remains under disability suspension. See Nelson, ___ N.W.2d at

___ (considering in mitigation the attorney’s successful rehabilitation and

return to the practice of law); Iowa Supreme Ct. Att’y Disciplinary Bd. v.

Khowassah, ___ N.W.2d ___, ___ (Iowa 2013) (considering as mitigating

factor the attorney’s treatment for his alcoholism and depression).

      Mindful of Clarity’s struggle with alcoholism, we next consider the

sanctions appropriate for his rule violations. Clarity committed multiple

trust account and accounting violations and neglected his clients. We

have imposed suspensions for such violations ranging from thirty days to

four months. See Boles, 808 N.W.2d at 441–42 (collecting cases). His

neglect resulted in the dismissal with prejudice of the Williams appeal

and the jailing of three OWI clients. We have imposed suspensions of

one to six months when the attorney’s neglect caused harm to clients.

See Dolezal, 796 N.W.2d at 921–22 (reviewing cases); see also Iowa

Supreme Ct. Att’y Disciplinary Bd. v. Box, 715 N.W.2d 758, 765 (Iowa
2006) (“We have consistently held that harm to a client or third party is

an aggravating factor with regard to disciplinary violations.”).
                                     23

        In Hauser, we disciplined an experienced attorney who, like

Clarity, struggled with alcoholism.          Hauser failed to appear at a

scheduled dissolution trial and failed to inform his client of the trial,

resulting in entry of a default judgment. Hauser, 782 N.W.2d at 150.

Hauser, like Clarity, also committed multiple trust account violations.

Id. at 151–53. At the commission hearing, Hauser admitted to being an

alcoholic and testified to his current sobriety and involvement with

Alcoholics Anonymous, but failed to show he had received or is seeking

professional treatment for his alcoholism. Id. at 154. We imposed a six-
month suspension for Hauser’s rule violations. Id.

        In addition, Clarity violated the rule against charging unreasonable

fees.   “We have imposed suspensions ranging from sixty days to two

years for violations of the rule prohibiting excessive fees.” Iowa Supreme

Ct. Att’y Disciplinary Bd. v. Laing, 832 N.W.2d 366, 374 (Iowa 2013)

(collecting cases).

        We also consider that      Clarity    recently has   been   privately

admonished by the Board on three occasions. The stipulation describes

those private admonishments as follows:

        The first, in March 29, 2010, was for failure to respond to a
        Board request for information pursuant to Rule 32:8.1. The
        second, April 1, 2011, was for failing to keep his client
        informed pursuant to Rule 32:1.4(a)(3). The third, dated
        September 27, 2011, was for failure to comply with the CLE
        reporting requirements of Rule 32:7.4(e).

Clarity blames those transgressions on his drinking. “[T]his court has

repeatedly considered prior admonitions as aggravating circumstances

that relate directly to an appropriate sanction.” Parrish, 801 N.W.2d at

589.
        Finally, we consider that Clarity has been under disability

suspension for alcoholism since May 25, 2012, and his ethical
                                   24

transgressions at issue now are attributable to that disease. Disability

suspensions and disciplinary suspensions serve overlapping but distinct

purposes. See Iowa Supreme Ct. Att’y Disciplinary Bd. v. Maxwell, 705
N.W.2d 477, 480 (Iowa 2005).      Both types of suspension protect the

public.   But, “a disability suspension is not a sanction and does not

specifically address unethical conduct and the need to deter future

conduct.” Id. Moreover, the standards for reinstatement differ for each

type of suspension.   Id. at 480–81.    Nevertheless, we can consider an

interim suspension arising from the same conduct when calibrating the
disciplinary suspension.   See Nelson, ___ N.W.2d at ___ (taking into

account attorney’s two-year interim suspension); Iowa Supreme Ct. Att’y

Disciplinary Bd. v. Powell, 839 N.W.2d 355, 359–60 (Iowa 2013) (“[T]he

interim seven-month suspension weighs heavily in this case . . . .”). In

Nelson, the attorney was under disability suspension for alcoholism for

two years and eight days before his reinstatement on July 31, 2012.

Nelson, ___ N.W.2d at ___. Nelson had been maintaining sobriety and

practicing law without further incident for over thirteen months when we

determined his disciplinary sanction. His successful rehabilitation was a

significant mitigating factor. Clarity, on the other hand, has remained

under his second disability suspension for more than fifteen months

without seeking reinstatement.         We conclude Clarity warrants a

disciplinary suspension separate and apart from his ongoing disability

suspension to “uphold public confidence in the justice system and

maintain the reputation of the bar.” Powell, 839 N.W.2d at 360. We hold

a one-year disciplinary suspension is appropriate, to run from the date of

this opinion.
                                    25

      V. Disposition.

      For the reasons stated, we suspend Clarity’s license to practice law

with no possibility of reinstatement for one year from the date of this

opinion.    Prior   to   reinstatement,   Clarity   must   provide   medical

documentation from a licensed health care professional regarding his

maintenance of sobriety and his fitness to practice law. Pursuant to rule

35.13(3), this suspension applies to all facets of the practice of law. All

costs are taxed to Clarity pursuant to rule 35.27(1). As a condition of

reinstatement, Clarity must satisfy the judgment obtained against him
by Clark.

      Prior to reinstatement, Clarity must also show that he has not

practiced law during the period of suspension, has notified his clients as

required by rule 35.23, has paid all costs required by rule 35.27(1), and

meets the requirements of rule 35.43.          Following this suspension,

Clarity’s disability suspension will remain in place until he has shown

“by clear and convincing evidence[] that [his] disability has been removed

and [he] is fully qualified to resume the practice of law.”     Iowa Ct. R.

35.17(7).

      LICENSE SUSPENDED.