Court Opinion

ID: 4543550
Source: CourtListenerOpinion
Date Created: 2020-06-24 14:00:26.562804+00
Date Added: 2024-06-11T08:49:41.578890
License: Public Domain

Case: 15-12744     Date Filed: 06/24/2020   Page: 1 of 31

                                                                     [PUBLISH]

               IN THE UNITED STATES COURT OF APPEALS

                        FOR THE ELEVENTH CIRCUIT
                          ________________________

                                No. 15-12744
                          ________________________

                  D.C. Docket No. 1:13-cr-00117-DHB-BKE-1

UNITED STATES OF AMERICA,

                                                                  Plaintiff-Appellee,

                                      versus

RICHARD LEE OWEN, II,

                                                              Defendant-Appellant.

                          ________________________

                   Appeal from the United States District Court
                      for the Southern District of Georgia
                         ________________________

                                  (June 24, 2020)

Before WILLIAM PRYOR, Chief Judge, JILL PRYOR and LUCK, Circuit
Judges.

JILL PRYOR, Circuit Judge:

      After representing himself through two days of his criminal trial, appellant

Richard Owen II pled guilty to one charge of bank fraud, in violation of 18 U.S.C.
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§ 1344, and one charge of money laundering, in violation of 18 U.S.C.

§ 1956(a)(1)(B)(i), and was sentenced to 236 months’ imprisonment. On appeal,

Owen challenges his convictions on the ground that his Sixth Amendment right to

counsel was violated when the district court allowed him to represent himself at

trial because he did not knowingly waive his right to counsel. The record

establishes, however, that Owen’s waiver of his right to counsel was knowing,

intelligent, and voluntary; we therefore affirm his convictions.

      Owen also challenges a series of orders in which the district court directed

the payment of $6,500 from Owen’s jail account into the court’s registry and then

ordered that the money be paid to reimburse the United States Treasury to cover

the fees and expenses of Owen’s appointed counsel. See 18 U.S.C. § 3006A(f)

(authorizing a district court, when a defendant who is furnished court-appointed

representation has funds available, to order that the money be paid to the Treasury

to reimburse fees and expenses of his court-appointed counsel). Owen raises two

challenges to the district court’s orders: (1) § 3006A(f) did not authorize the

district court to seize money from his jail account because the district court failed

to follow the procedures set forth in the statute, and (2) because the funds in his jail

account came from Social Security benefits, the court could not use this money to

reimburse the Treasury for his counsel’s fees and expenses. We reject the first

argument because the district court followed the proper procedures under § 3006A

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before directing that Owen’s money be paid from the court registry to the

Treasury, and we lack jurisdiction to consider the second argument. Accordingly,

we affirm in part and dismiss in part this portion of the appeal.

                       I.      FACTUAL BACKGROUND

      In this case, the government alleged that Owen exploited his role as a

paralegal for the Victor Hawk Law Firm to steal money from the firm’s trust

account. One of Owen’s job responsibilities was to sign checks from the firm’s

trust account, using a signature stamp with the name of the firm’s principal, to pay

settlement funds to clients. In a number of instances, Owen prepared checks that

purported to be disbursements of settlement funds to clients. But rather than send

the checks to the clients, Owen forged the clients’ signatures on the checks and

deposited them into his own bank account. To keep the attorneys at the firm from

uncovering his fraud, Owen created a false set of books and records to make it

appear that the transactions were legitimate. By the time the fraud was uncovered,

Owen had stolen more than $500,000. He was charged with 184 counts of bank

fraud, in violation of 18 U.S.C. § 1344; 15 charges of aggravated identify theft, in

violation of 18 U.S.C. § 1028A; and 54 counts of money laundering, in violation of

18 U.S.C. § 1956(a)(1)(B)(i) or § 1957.

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A.     Unhappy with His Appointed Counsel, Owen Sought to Represent
       Himself.

       After Owen was arrested, the district court appointed attorney Beau

Worthington 1 to represent Owen because Owen was financially unable to obtain

adequate representation. See 18 U.S.C. § 3006A(b). Owen initially decided to

plead guilty. Worthington negotiated a plea agreement with the government,

which Owen signed. But Owen changed his mind, withdrew his guilty plea, and

decided to proceed to trial.

       After withdrawing his guilty plea, Owen began to complain about

Worthington’s representation. He accused Worthington of having pressured him to

sign the plea agreement. Owen also claimed that Worthington was not assisting

him in preparing the defense that he intended to raise, which was that Victor

Hawk, the law firm’s principal partner, was aware of Owen’s actions and directed

him to forge clients’ signatures on checks and deposit them into Owen’s own

account.2 To develop this defense, Owen sought banking records for every

transaction in the law firm’s trust account. Worthington advised Owen that the

       1
          At first, the court appointed a different attorney to represent Owen. But after
representing Owen for just one day, the attorney realized that he had a potential conflict of
interest, and the court appointed Worthington.
       2
         We note that Owen presented no evidence to support his claim that Hawk knew about
and directed his criminal activities. Before trial, Owen told the government that a Wells Fargo
teller would corroborate his story because Hawk told the teller that Owen could deposit the
checks into his personal account. But when the government tracked down the teller, he denied
that any such conversation occurred.

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court probably would not allow him to pursue this defense at trial, presumably

because even if Hawk knew about Owen’s actions, forging a client’s signature on a

check still would be bank fraud. Worthington nonetheless followed Owen’s

direction and sought all the banking records. But the court limited the scope of the

subpoena to banking records related to transactions involving the clients of the

firm who were victims of the fraud, concluding that Owen’s broader request sought

“irrelevant” information and amounted to a “fishing expedition.” Doc. 67 at 1.3

          Frustrated with the progress of his case, Owen accused Worthington of

providing ineffective assistance of counsel and asked the court to appoint

replacement counsel. After holding multiple hearings concerning Worthington’s

representation of Owen, the court refused to appoint replacement counsel.

          Just two business days before trial, Owen filed with the court a document

entitled “Waiver of Counsel And Election to Proceed Pro Se,” stating that he

wanted to waive his right to the assistance of counsel and conduct his own defense

at trial. Doc. 162 at 1. In the filing, Owen represented that he was “competent,”

“suffer[ed] from no mental disabilities,” and was of “sound mind and discretion.”

Id. He certified that he “freely, voluntarily, knowingly[,] and intelligently

          3
              Citations in the form “Doc. #” refer to the numbered entries on the district court’s
docket.

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waive[d]” his right to counsel. Id. at 2. He requested a continuance so that he

could “promptly prepare” the case and “secure additional documents.” Id.

        On the morning the trial was set to begin, the district court held an ex parte

hearing to consider Owen’s request to represent himself. The court questioned

Owen about the waiver of counsel filing. In response, Owen stated that he had

read the document, it expressed his true intentions, and all the statements in it were

true.

        The district court then asked Owen questions to establish the extent of his

preparation and knowledge about the case. Owen stated that he had received a

copy of the most recent indictment, read it many times, and understood its charges

and allegations. He also indicated that he was familiar with the maximum

penalties for the charges in the indictment. When the court asked him about his

familiarity with the law, Owen professed some skill in the law, telling the court

that he knew how to perform legal research from his work as a paralegal and had

represented himself in several prior criminal jury trials. The district court asked

Owen whether anyone forced, threatened, or pressured him to waive counsel.

Owen responded, “Other than the fact that I don’t think this case can be tried the

way it is being tried, no.” Doc. 242 at 10.

        Owen told the court that he wanted to represent himself because

Worthington had failed to obtain documents and records necessary to show that

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Hawk knew about and directed Owen’s actions. He argued that evidence showing

Hawk knew about his actions would establish that he lacked an intent to defraud,

stating “I don’t know if you can steal your own money.” Id. at 15. The court

rejected his argument, explaining, “[y]ou can certainly defraud your own bank.”

Id.

      After hearing from Owen, the court decided to allow him to represent

himself at trial. The court offered to have Worthington assist Owen as standby

counsel during jury selection, but Owen declined the assistance.

      When the government’s attorneys returned to the courtroom, the court

considered Owen’s request for a continuance. The government opposed the

request, explaining that it was ready to proceed with trial and had brought

approximately 50 witnesses to testify. The district court denied the continuance,

and the case proceeded to trial.

B.    Owen Represented Himself Through Two Days of Trial.

      Owen’s criminal trial lasted for two days before he again decided to plead

guilty. During these two days, the government presented testimony from a number

of witnesses, mainly clients of the law firm whose signatures had been forged on

checks deposited into Owen’s account. Each of the clients was shown a check or

series of checks from the law firm’s trust account that had been made out to the

witness and signed on the back. Each witness testified that he or she had never

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received the check(s), signed the check(s), or given anyone else permission to sign

the check(s).

      Besides the testimony from the firm’s clients, the jury also heard testimony

from Melissa Detchemendy, a lawyer who had worked at the Victor Hawk Law

Firm for more than ten years. Detchemendy explained that Owen’s responsibilities

at the law firm included writing checks from the firm’s trust account and keeping

records to track payments made from the trust account. She explained that Owen

stole money from the trust account by writing checks from the firm’s trust account

to clients, forging endorsements from the clients, and depositing the money into his

own bank account. She described how Owen covered up his theft by forging

bookkeeping records to make it appear that the clients had received the payments.

Detchemendy testified that Owen never was given permission to sign a client’s

name on a check or to deposit a check made out to a client into his personal bank

account.

      During the trial, Owen actively participated in his defense. In jury selection,

he followed proper procedures, asking potential jurors questions to identify

whether they had any bias or improper influences, and succeeded in persuading the

court to excuse three jurors for cause. Before the trial began, Owen requested that

the court give a preliminary instruction that his self-representation should not be

held against him, and the court agreed to give the instruction. During trial, he

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cross-examined many, though not all, of the government’s witnesses. And he

successfully persuaded the court to exclude at least one exhibit that the government

sought to introduce into evidence.

C.    After Two Days of Trial, Owen Pled Guilty.

      At the end of the second day of trial, before the government completed its

case-in-chief, Owen agreed to plead guilty to one count of bank fraud and one

count of money laundering in exchange for the dismissal of the remaining charges,

including the aggravated identity theft charges. In a written plea agreement, Owen

admitted that he had engaged in conduct that met the essential elements of the

offenses to which he was pleading guilty and waived his right to appeal his

convictions or sentence. Owen certified that he had read and understood the

agreement and voluntarily agreed to it.

      Later that evening, the district court held a change-of-plea hearing. The

court placed Owen under oath and advised him of his right to be represented by

counsel. Owen indicated that he had waived his right to counsel and wished to

continue to represent himself. The court then announced that, having observed

Owen over two days of trial, it had “no hesitation” in finding Owen competent to

enter a plea. Doc. 217 at 3. After noting that Owen was 68 years old, the court

found that he had a “great deal of practical, if not formal, education” and was

“skilled and proficient in the English language.” Id. at 4. The court further found

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that Owen had been lucid, rational, and “very attentive” during trial. Id. at 5. But

because the change-of-plea hearing was taking place after a full day of trial, the

court offered to continue the hearing until the following morning. Owen declined,

insisting that he was prepared to go forward. After the court reviewed the terms of

the plea agreement with him, Owen admitted that he was guilty of the charged

offenses. The court accepted Owen’s plea and found him guilty.

      By the time of his sentencing, Owen had admitted in an affidavit that he had

stolen from the law firm’s trust account. He conceded in the affidavit that none of

the attorneys at the firm knew he was stealing from the trust account. At the

sentencing hearing, where Owen was represented by counsel, the district court

sentenced Owen to 236 months’ imprisonment, a sentence in the middle of the

range calculated under the Sentencing Guidelines.

D.    During Owen’s Criminal Proceedings, the District Court Ordered that
      $6,500 Belonging to Owen Be Paid to the Treasury to Cover the Fees
      and Expenses of Owen’s Appointed Counsel.

      Before and after Owen’s trial, the district court issued a series of orders

directing that funds in Owen’s jail account be paid into the court’s registry and

later used to reimburse the Treasury for the fees and expenses of his appointed

counsel. After he was arrested, Owen was detained in a local jail pending trial.

Before trial, the district court learned that approximately $7,000 had been

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deposited into Owen’s jail account and that deposits of $500 or more were being

made to the account each month.

      The district court entered an order directing the sheriff of the county where

the jail was located to pay $6,500 from Owen’s jail account into the court’s

registry. The court explained that Owen’s jail account balance far exceeded what

was required to satisfy his needs while in custody and the court was not inclined to

pay Owen’s appointed counsel entirely from public funds when Owen had a large

amount of money at his disposal. The next day, the county sheriff deposited the

funds into the court’s registry. The court directed that the funds would remain in

the court’s registry and would not be paid out “without notice and hearing to the

defendant.” Doc. 265 at 13.

      After Owen pled guilty, he filed a motion seeking the return of the money

held in the court’s registry. He argued that the money should be returned to him

because it came from Social Security benefit payments. To support his contention

that the money represented Social Security benefit payments, he submitted two

affidavits—one from himself and one from Joel Asher, his adopted son. Asher’s

affidavit explained that he had opened a Bank of America account where Owen’s

Social Security benefit payments were deposited each month and that no other

money was deposited into that account. Asher’s affidavit also said that he sent

money from the Bank of America account to Owen’s jail account each month. In

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his affidavit, Owen represented that all the money in his jail account came from his

Social Security benefits.

      After a hearing, the court made provisional findings regarding the funds held

in the court’s registry. The court acknowledged that Social Security benefits

generally were exempt from most forms of attachment, garnishment, and levy but

explained that these protections did not apply when the benefit payments were

commingled with other funds. The court concluded that Owen failed to establish

that the funds in the court’s registry came solely from his Social Security benefit

payments and had not been commingled with other funds. The court rejected the

affidavits as “self-serving,” noting that Owen failed to produce any bank

statements or other records showing that the money in his jail account came from

the Bank of America account Asher had opened. Doc. 266 at 24. The court then

explained that it would continue to hold the money in the court’s registry until

Owen was sentenced. At his sentencing hearing, Owen provided the court with

copies of monthly statements from the Bank of America account.

      After considering the new evidence, the court ordered that the funds in the

court’s registry be paid to the court’s Criminal Justice Act (“CJA”) 4 account to

reimburse the fees and expenses of Owen’s appointed counsel. Doc. 205 at 6. The

court found, after reviewing the records from Owen’s jail account and the Bank of

      4
          See Criminal Justice Act of 1964, 18 U.S.C. § 3006A.
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America account, that the money in Owen’s jail account could not be traced

exclusively to his Social Security benefit payments. The court accepted that the

bank statements showed that Social Security benefit payments were deposited into

the Bank of America account. But after comparing the bank statements to the

records from Owen’s jail account, the court found that Owen had not established

that Social Security benefits were the “original source of all funds” deposited in

the jail account. Doc. 205 at 3 (emphasis added). For example, the jail account

records showed a single deposit of $5,643.11, and there was no correlation

between this large deposit and the sporadic ATM withdrawals from the Bank of

America account shown in the bank records. In another example, the records

showed a deposit of $500 into Owen’s jail account. The bank statement showed

that shortly before making this deposit, Asher had withdrawn $200 from the Bank

of America account, but there was no evidence that the remaining $300 came from

the bank account. Thus, the remaining funds had to have come from another

source.

      But even assuming the money in Owen’s jail account could be traced

entirely to his Social Security benefits, the district court explained, the court would

not return the money to Owen because he had “no need of a stipend provided by

the taxpayers of the United States of America while he is incarcerated.” Id. at 4.

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Since Owen had been arrested, he had been held in jail where he received “ample

food, clothing, shelter, and abundant medical care.” Id. at 5.

                               II.   LEGAL ANALYSIS

       On appeal, Owen, represented by new appointed counsel, raises two distinct

arguments. First, he claims the district court erred in allowing him to represent

himself at trial because, under Faretta v. California, 422 U.S. 806 (1975), he never

validly waived his Sixth Amendment right to counsel. Second, he challenges the

district court’s orders seizing funds from his jail account and using them to pay a

portion of his appointed counsel’s fees and expenses. We address each argument

in turn.

A.     The Challenge to the District Court’s Order Permitting Owen to
       Represent Himself

       Owen argues that his convictions are invalid because the court failed to

conduct a thorough inquiry to determine whether he waived his right to counsel

knowingly, intelligently, and voluntarily. Because the record shows that Owen’s

waiver was knowing, intelligent, and voluntary, we see no error.

       The Sixth Amendment to the United States Constitution gives criminal

defendants both the right to counsel and the right to represent themselves. See

Faretta, 422 U.S. at 819-20. To waive his Sixth Amendment right to counsel, a

defendant “must clearly and unequivocally assert the right of self-representation.”

Fitzpatrick v. Wainwright, 800 F.2d 1057, 1064 (11th Cir. 1986). In addition, the
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waiver must be “knowing, intelligent, and voluntary.” United States v. Fant,

890 F.2d 408, 409 (11th Cir. 1989). The government bears the burden of proving

the waiver’s validity. See Greene v. United States, 880 F.2d 1299, 1303 n.6 (11th

Cir. 1989).5

       The “ideal method of assuring that a waiver is valid is for the trial court to

conduct a pretrial hearing at which the accused is informed of the charges, basic

trial procedures, and hazards of self-representation.” United States v. Cash,

47 F.3d 1083, 1088 (11th Cir. 1995). The purpose of this hearing, known as a

Faretta inquiry, is to afford the judge an opportunity to determine whether “the

defendant understands the risks of self-representation.” United States v. Kimball,

291 F.3d 726, 730 (11th Cir. 2002). We have warned that the “closer such a

waiver hearing is to trial, the more rigorous, searching, and formal the questioning

of the trial judge should be.” Strozier v. Newsome, 926 F.2d 1100, 1105 (11th Cir.

1991).

       5
           Whether a defendant validly waived his right to counsel is a mixed question of law and
fact that we ordinarily review de novo. United States v. Garey, 540 F.3d 1253, 1268 (11th Cir.
2008) (en banc). But we have not decided whether, when a defendant raises a Faretta claim for
the first time on appeal, we review the claim under a de novo or plain error standard. See United
States v. Stanley, 739 F.3d 633, 644-45 (11th Cir. 2014). In Stanley, after acknowledging that
the question of the proper standard of review was “unsettled,” we declined to resolve the issue
because the defendant’s Faretta claim failed under even a de novo standard. Id. at 645.
Likewise, here we need not decide which standard of review applies because Owen’s Faretta
claim fails even on de novo review.

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      But “[t]he ultimate test is not the trial court’s express advice, but rather the

defendant’s understanding.” Id. (internal quotation marks omitted). “As long as

the record establishes that the defendant understood the risks of self-representation

and freely chose to face them, the waiver may be valid.” Id.; see also Jones v.

Walker, 540 F.3d 1277, 1293 (11th Cir. 2008) (en banc) (explaining that “it is

irrelevant for constitutional purposes whether [a defendant’s] understanding comes

from a colloquy with the trial court, a conversation with his counsel, or his own

research or experience”). We therefore may look to what occurred at trial to

establish what would have been true at the time the defendant waived his rights.

United States v. Stanley, 739 F.3d 633, 646 (11th Cir. 2014).

      To determine whether a defendant’s waiver of his right to counsel was

knowing and voluntary, we consider eight factors: (1) the defendant’s age,

educational background, and physical and mental health; (2) the extent of the

defendant’s contact with lawyers prior to trial; (3) the defendant’s knowledge of

the nature of the charges, possible defenses, and penalties; (4) the defendant’s

understanding of rules of procedure, evidence, and courtroom decorum; (5) the

defendant’s experience in criminal trials; (6) whether standby counsel was

appointed, and the extent to which that counsel aided the defendant;

(7) mistreatment or coercion of the defendant; and (8) whether the defendant was

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trying to manipulate the events of the trial. Id. at 645-46. A defendant’s waiver

may be valid even when some of these factors weigh in his favor. See id. at 648.

      Owen argues that most of the factors weigh in his favor. After considering

the record—including the transcripts of earlier hearings, the hearing in which the

district court permitted Owen to represent himself, and the trial—we disagree. To

the contrary, application of the factors leads to the conclusion that Owen’s waiver

was knowing, intelligent, and voluntary.

      We begin with the first factor, Owen’s age, health, and education. At the

time of trial, Owen was 68 years old, had worked for many years as a paralegal,

and professed a level of skill in the law. Owen admitted to the district court—and

does not now dispute—that he suffered from no mental disabilities at the time of

trial. He points out that he suffered some physical limitations due to illness. But

the record shows that the court accommodated these limitations by giving Owen

frequent breaks and allowing him to sit down when he addressed the court.

      Owen argues that this factor weighs in his favor even so, because he was

elderly at the time of trial. But he cites no authority suggesting that a 68-year-old

defendant is so elderly that his age alone makes it unlikely that his waiver was

knowing, voluntary, or intelligent. We previously rejected a similar argument by a

defendant who was 60 years old when he decided to represent himself. See

Kimball, 291 F.3d at 731. Owen was slightly older than the defendant in Kimball,

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true, but we cannot say he was so old that this factor counts against the validity of

his waiver.

      We now turn to the second factor, Owen’s contact with his lawyer before

trial. Although Owen was detained before trial, the record shows that he had

regular contact with his appointed lawyer. During the 12-month period when

Worthington represented him, they met in person more than 15 times and spoke on

the phone another 15 to 20 times. Owen’s lengthy pre-trial relationship and

frequent contact with his court-appointed attorney supports finding a valid waiver.

      The third factor—Owen’s knowledge of the nature of the charges, possible

defenses, and penalties—also points toward his waiver’s validity. During the

district court’s Faretta inquiry, Owen admitted that he had reviewed the most

recent indictment, read it many times, and understood its charges and allegations.

His responses to the district court’s questions further established that he was aware

of the maximum penalties for the charges in the indictment.

      Owen nonetheless argues that this factor weighs in his favor because he

misunderstood the lack-of-intent defense, believing that if he acted at Hawk’s

direction, he lacked the necessary intent. But the record contradicts his argument:

Owen was warned repeatedly before trial that this defense was not viable.

Worthington advised Owen about the problem with this defense, and when Owen

raised the theory to the district court, the court explained that the defense would

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not succeed because forging client signatures on checks constituted bank fraud

even if Hawk knew and approved of Owen’s actions.

       Not only was Owen repeatedly warned that his legal theory offered no

defense, but it appears that he knew there was no factual basis for it, either. After

he pled guilty, Owen admitted that no one at the firm knew he was taking money

from the trust account. Because Hawk never knew of, much less directed, Owen’s

criminal actions, Owen had to have known that he had no meritorious lack-of-

intent defense.

       The fourth and fifth factors—Owen’s understanding of the rules of

procedure, evidence, and courtroom decorum and his experience in criminal

trials—also support that his waiver was knowing, intelligent, and voluntary. Owen

was familiar with the procedures governing criminal trials based on his experience

working as a paralegal and representing himself in five prior criminal cases, at

least two of which went to trial.6 Further, the trial record confirms that Owen

understood the rules of criminal procedure, evidence, and courtroom decorum.

During voir dire, he successfully struck several jurors for cause. He also persuaded

the district court to give a preliminary instruction to the jury that his self-

       6
         Owen argues that we should not consider his experience from the prior cases where he
represented himself because they were in state, rather than federal, court. But he has identified
no authority indicating that we must limit our inquiry to a defendant’s prior experience
representing himself in federal court.

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representation should not be held against him. He cross-examined the

government’s witnesses and sufficiently understood the rules of evidence to

persuade the court to exclude a government exhibit.

       Owen argues that the trial transcript reveals that he lacked sufficient

experience and did not understand the rules of procedure, evidence, and courtroom

decorum because after two days of trial he gave up and pled guilty. But we fail to

see how Owen’s decision to admit guilt after two days of trial shows that he lacked

the requisite understanding of trial rules and procedures. 7 See Kimball, 291 F.3d at

731 (explaining that our inquiry is limited to whether the defendant “understood

that rules do exist to govern the procedure of a trial, the introduction of evidence[,]

and the behavior of advocates and to determine whether [he] understood that he

would be bound by those rules”).

       7
          Owen contends that he received no “actual benefit” from pleading guilty because he
ultimately received a substantial sentence for his crimes. Appellant’s Br. at 26. But he
overlooks that in exchange for the plea the government agreed to drop the 15 aggravated identify
theft counts charged in the indictment, each of which carried a potential two-year consecutive
term. See 18 U.S.C. § 1028A(b); United States v. Taylor, 818 F.3d 671, 675 (11th Cir. 2016)
(“[A] defendant convicted under § 1028A automatically receives an additional two-year increase
to his or her sentence . . . .”). If Owen had been found guilty of each aggravated identify theft
count, the district court would have been required to sentence him to an additional consecutive
term, between two and 30 years, depending on whether the district court decided to run the
sentences for all the aggravated identify theft offenses concurrently or consecutively with one
another. See 18 U.S.C. § 1028A(b)(4) (giving district court discretion in cases involving
multiple aggravated identity theft convictions to impose concurrent or consecutive two-year
sentences for each such conviction).

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      With respect to the sixth factor, we look to whether standby counsel was

appointed. Here, the district court appointed no standby counsel. The court

offered to have Worthington assist Owen for at least a portion of the trial, but

Owen refused the assistance. It does not appear that we have previously addressed

how to apply this factor when the court offers a defendant the assistance of standby

counsel and he refuses. In the absence of such authority, we give Owen the benefit

of the doubt and assume that this factor weighs in his favor.

      On the seventh factor, we consider whether Owen was mistreated or coerced

into waiving his right to counsel. Owen repeatedly affirmed to the court that he

was not mistreated or coerced. In his waiver of counsel form, Owen certified to

the court that he “freely, voluntarily, knowingly[,] and intelligently” waived his

right to counsel. Doc. 162 at 2. And at the hearing on the morning of trial, the

court asked Owen whether he was being forced, threatened, or pressured into

waiving his right to counsel. Owen indicated that he was not, except he did not

think the case could be tried in the way that his attorney planned to try it.

      Owen repeats this argument on appeal, asserting that he never wanted to

represent himself but was forced to do so because his attorney wanted him to plead

guilty and the court refused to appoint him another attorney. But we have

previously rejected the argument that a defendant’s decision to represent himself

was involuntary simply because the court denied his request for replacement

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counsel. See United States v. Garey, 540 F.3d 1253, 1269 (11th Cir. 2008) (en

banc). Worthington stood ready to defend Owen at trial; Owen was not coerced

into representing himself when the district court refused to appoint replacement

counsel.

      The final factor is whether the defendant was trying to manipulate the

proceedings. We have observed that “[e]vidence of manipulation or intentional

delay implies a greater understanding of the proceedings and an understanding of

the risks and complexities of a criminal trial.” Fitzpatrick, 800 F.2d at 1067. The

record reflects that Owen sought to intentionally delay the proceedings by claiming

that he needed a continuance to gather more records to support his defense that he

lacked the requisite intent because Hawk directed his actions. Given Owen’s later

admission that Hawk never knew about his actions, however, he would have

known that there were no records that would establish Hawk’s knowledge. A

reasonable inference to be drawn from these facts is that Owen sought to delay the

proceedings, meaning this factor weighs against him.

      In summary, at best only one Stanley factor—the availability of standby

counsel—potentially counts in Owen’s favor. Even assuming that this factor

weighs in Owen’s favor, we cannot say that the district court erred in permitting

him to represent himself. See Stanley, 739 F.3d at 648 (explaining that a

defendant’s waiver of counsel may be knowing and voluntary even when some of

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the factors weigh in his favor). Because the record reflects that Owen understood

the risks of self-representation and freely chose to face them, we conclude that his

waiver of counsel was knowing and voluntary.

B.    The Challenge to the District Court’s Orders Directing that Owen’s
      Funds Be Paid to Reimburse His Appointed Counsel’s Fees and
      Expenses

      On appeal, Owen also challenges the series of orders in which the district

court directed a county sheriff to pay money from Owen’s jail account into the

court’s registry and later ordered that the funds held in the registry not be returned

to Owen but instead paid to the Treasury to cover some of the fees of Owen’s

appointed counsel. First, Owen argues that the district court erred when it initially

seized his money because the court failed to make the appropriate inquiry required

by the CJA, 18 U.S.C. § 3006A, before seizing the money. Because the district

court gave Owen notice and an opportunity to be heard before directing that the

funds be paid to the Treasury, however, any error that the district court made was

harmless. Second, Owen argues that the district court erred when it later refused to

return the funds to him and instead directed that the money be paid to the Treasury

because he received the money as Social Security benefit payments. But we lack

jurisdiction to consider Owen’s challenge to the district court’s administrative

determination that he failed to establish that the money deposited in his jail

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accounts originated as Social Security benefits and had not been commingled with

other funds.

      Before addressing Owen’s arguments, we review the law governing the

appointment of counsel under the CJA and, specifically, when a court may order

that a defendant’s funds be used to reimburse appointed counsel. The CJA

establishes procedures for the appointment of counsel for criminal defendants. See

18 U.S.C. § 3006A. When the court is “satisfied after appropriate inquiry” that a

defendant “is financially unable to obtain counsel,” the CJA requires the court to

appoint counsel to represent her. Id. § 3006A(b). The statute also addresses how

appointed attorneys are compensated for their work, explaining that the attorney

must submit a claim for compensation and reimbursement to the court, which then

determines the amount the attorney will be paid. Id. § 3006A(d)(5).

      If the court later finds that the defendant “is financially able to obtain

counsel or to make partial payment for the representation,” the CJA provides that

the court “may terminate the appointment of counsel or authorize payment as

provided in subsection (f), as the interests of justice may dictate.” Id. § 3006A(c).

Subsection (f) in turn provides that if the court finds that “funds are available for

payment from or on behalf of a person furnished representation, it may authorize

or direct” that the funds be paid “to the court for deposit in the Treasury as a

reimbursement.” Id. § 3006A(f).

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       Under the CJA, we have limited jurisdiction to review a district court’s

payment order directing that funds available to a defendant be paid to the Treasury

to reimburse the fees and expenses of an appointed attorney. See United States v.

Griggs, 240 F.3d 974, 974 (11th Cir. 2001). In Griggs, a criminal defendant who

had been represented by a court-appointed lawyer retained an attorney to represent

him in his criminal proceedings. Id. The district court later ordered, under

§ 3006A(f), that the retained attorney pay the fee she received from the client into

the court’s CJA fund. Id. When the attorney appealed the district court’s order,

we determined that we lacked jurisdiction to review the merits of her appeal. Id.

       We held that the district court’s determination under § 3006A(f) that money

should be paid into the court’s registry to cover the cost of the defendant’s

appointed counsel was administrative in nature and not subject to appeal as a final

decision. Id. We explained that (1) the CJA did not provide for appeals of

payment orders under § 3006A(f); (2) district courts are vested with discretion to

issue a payment order; (3) payment order determinations are made in an

administrative setting rather than an adversarial posture; (4) payment orders are

unrelated to the outcome of the case; and (5) a district court does not have to hold

an adversarial hearing before entering a payment order.8 Id.

       8
          In Griggs, we relied heavily on the reasoning in an earlier decision holding that a
district court’s § 3006A(d) fee determination is administrative in nature and not subject to appeal

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       Although Griggs established that we generally lack jurisdiction to review a

district court’s § 3006A(f) payment order, a narrow exception to this rule allows us

to consider whether a district court complied with the procedural requirements of

§ 3006A before entering an order directing that the defendant’s money be paid

over to the Treasury to reimburse the fees and expenses of appointed counsel. See

United States v. Bursey, 515 F.2d 1228 (5th Cir. 1975). 9 In Bursey, when a

criminal defendant who was represented by appointed counsel appealed his drug

conviction, he posted a bond to secure his release pending appeal. Id. at 1231. To

secure the bond, he deposited $1,000 into the court’s registry with the instruction

that upon disposition of the case the deposit should be repaid to his parents. Id.

After the defendant prevailed on appeal, the district court—without providing

notice to the defendant or his parents—transmitted the deposited funds to the

Administrative Office for the United States Courts so that the money could be used

to reimburse the Treasury for the fees and expenses of the defendant’s appointed

counsel. Id.

       On appeal, our predecessor court considered whether § 3006A authorized

the district court to direct that the funds paid to secure the defendant’s bond be

as a final decision. See Griggs, 240 F.3d at 974 (citing United States v. Rodriguez, 833 F.2d
1536, 1537 (11th Cir. 1987)).
       9
        In Bonner v. City of Prichard, 661 F.2d 1206, 1209 (11th Cir. 1981) (en banc), we
adopted as binding precedent all decisions of the former Fifth Circuit handed down before
October 1, 1981.

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used to reimburse his appointed counsel. Id. at 1235. Looking to the text of

§ 3006A, the court explained that a finding that “funds are available from or on

behalf of” a defendant under subsection (f) “must be predicated upon an

appropriate inquiry.” Id. at 1236 (internal quotation marks omitted). Because the

district court failed to provide the defendant or his parents with “notice . . . of the

anticipated disbursement and an opportunity . . . to present their objections thereto”

before paying the money to the Treasury, the court concluded that the district court

erred. Id. at 1238.

      With this background in mind, we consider Owen’s first argument, that

“§ 3006A and Bursey require[d] an appropriate inquiry before the funds [were]

disbursed to the registry of the [c]ourt.” Appellant’s Br. at 29. Owen’s argument

rests on § 3006A and Bursey. Bursey never addressed whether § 3006A requires a

district court to give a defendant notice and an opportunity to be heard before

ordering the defendant’s funds to be paid into the court’s registry. Because the

funds were already in the court’s registry, Bursey simply held that the court erred

in directing the money to the Treasury to cover the cost of appointed counsel

without providing notice and opportunity to be heard. See 515 F.2d at 1231, 1238-

39. The text of § 3006A(f), which states that the district court may direct the

payment of funds “to the court for deposit in the Treasury” “[w]henever [it] finds

that funds are available for payment,” suggests that the procedural protections must

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occur before the court directs the payment of funds to the court. But we need not

decide whether the district court erred in failing to provide Owen with notice and

an opportunity to be heard before seizing his funds because there is no question

that the district court satisfied this requirement before the money was disbursed to

the Treasury. The district court informed Owen of its intention to pay the money

to the Treasury, allowed him to present argument against the payment, and gave

him several opportunities to submit evidence to support his arguments. And Owen

has not identified any harm he suffered because of the timing of the hearing. By

giving Owen notice and an opportunity to be heard before paying the money out of

the court’s registry, any error that the district court made was harmless.10

       We turn to Owen’s second argument, that the district court erred in denying

his motion to return his money paid into the court’s registry because it represented

his Social Security benefits. Owen’s challenge goes to the merits of the district

court’s decision under § 3006A(f) that the registry funds, which were seized from

Owen’s jail account, were funds “available for payment from or on behalf of a

person furnished representation.” 18 U.S.C. § 3006A(f). Under our precedent in

       10
          Owen’s argument that the district court failed to afford him the procedures guaranteed
by § 3006A resembles a constitutional due process argument; however, Owen has conceded that
he raised no argument on appeal that the district court’s orders violated his due process rights.
He therefore has abandoned any constitutional challenge to the district court’s seizure and
disbursement of the funds. See United States v. Jernigan, 341 F.3d 1273, 1283 n.8 (11th Cir.
2003). We caution that we express no opinion about whether the district court violated Owen’s
constitutional right to due process when it seized money from his jail account without providing
him any notice or opportunity to be heard before the seizure.

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Griggs, we lack jurisdiction to review the merits of this decision. We therefore

dismiss this part of the appeal.

      In an apparent attempt to sidestep Griggs, Owen reframes his argument on

appeal, asserting that his motion seeking the return of funds was a “Rule 41(g)

motion,” Appellant’s Br. at 30, even though the motion did not reference the rule.

Federal Rule of Criminal Procedure 41, which addresses searches and seizures,

establishes procedures for law enforcement officers to obtain a warrant when

“there is probable cause to search for and seize a person or property.” Fed. R.

Crim. P. 41(d)(1). Under Rule 41(g), a person “aggrieved by an unlawful search

and seizure of property or by the deprivation of property may move for the

property’s return.” Fed. R. Crim. P. 41(g). When a property owner “invokes Rule

41(g) after the close of all criminal proceedings, the court treats the motion for

return of property as a civil action in equity.” United States v. Howell, 425 F.3d

971, 974 (11th Cir. 2005).

      We are unconvinced that a defendant can use Rule 41(g) as a backdoor to

challenge a district court’s administrative determination, made pursuant to

§ 3006A(f), that funds available to the defendant should be paid over to the

Treasury to reimburse some or all of the fees or expenses of the defendant’s

appointed counsel. After all, Rule 41 addresses searches and seizures by law

enforcement officials in connection with the investigation of a crime. See Fed. R.

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Crim. P. 41(d)(1); see also Okoro v. Callaghan, 324 F.3d 488, 490 (7th Cir. 2003)

(explaining that Rule 41(g) “entitles a person to the return of his property that has

been unlawfully seized by a federal law enforcement officer”). And Owen cites no

authority establishing that a defendant can use Rule 41(g) to secure appellate

review of a district court’s administrative payment order directing that funds

available to a defendant should be paid to the Treasury to reimburse the fees and

expenses of his court-appointed counsel.11 We thus conclude that we lack

jurisdiction to review Owen’s challenge to the district court’s payment order.

                                   III.    CONCLUSION

       For the above reasons, 12 we affirm Owen’s convictions. Regarding Owen’s

challenges to the district court’s orders relating to the use of funds from his jail

       11
           Indeed, all our cases addressing Rule 41(g)—or its predecessor, Rule 41(e)—arose in
circumstances where a defendant sought return of property that had been seized as part of a
criminal investigation. See United States v. Machado, 465 F.3d 1301, 1304, 1307 (11th Cir.
2006) (seeking return of property seized in connection with defendant’s money laundering
scheme), overruled on other grounds by United States v. Lopez, 562 F.3d 1309, 1311 (11th Cir.
2009); United States v. Potes Ramirez, 260 F.3d 1310, 1312 (11th Cir. 2001) (seeking return of
identification and other papers seized when defendant was arrested for importing cocaine);
United States v. Martinez, 241 F.3d 1329, 1329-30 (11th Cir. 2001) (seeking return of car, gun,
and personal effects that were seized when defendant was arrested for a federal drug-related
offense).
       12
           The government argues that we should dismiss Owen’s appeal because in the plea
agreement he waived his right to appeal his convictions and sentence. Owen responds that the
appeal waiver in the plea agreement barred neither his Faretta claim nor his claim that the
district court erred in taking money from his jail account to reimburse the Treasury for the fees
and expenses of his appointed counsel. We need not decide whether the appeal waiver term in
the plea agreement barred either of Owen’s challenges because even if we assume the plea
agreement did not bar the appeal, Owen is entitled to no relief.

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account to reimburse the fees and expenses of his appointed counsel, we affirm in

part and dismiss in part. To the extent that Owen challenges the district court’s

orders on the basis that the district court failed to afford him the procedures set

forth in the CJA, we affirm. But to the extent that Owen challenges the merits of

the district court’s decision to pay the funds in the court’s registry to the Treasury,

we dismiss this portion of the appeal for lack of jurisdiction.

      AFFIRMED IN PART AND DISMISSED IN PART.

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