Court Opinion

ID: 4377523
Source: CourtListenerOpinion
Date Created: 2019-03-15 15:04:00.349556+00
Date Added: 2024-06-11T07:39:57.610570
License: Public Domain

IN THE SUPREME COURT OF THE STATE OF KANSAS

                                            Nos. 112,897
                                                 119,709

                                 In the Matter of SAM S. KEPFIELD,
                                            Respondent.

                          ORIGINAL PROCEEDING IN DISCIPLINE

        Original proceeding in discipline. Opinion filed March 15, 2019. Probation revoked; one-year
suspension reinstated; additional consecutive three-year suspension imposed, stayed after six months to
begin three years' supervised probation.

        Matthew J. Vogelsberg, Deputy Disciplinary Administrator, argued the cause, and Stanton
A. Hazlett, Disciplinary Administrator, and Penny R. Moylan, Deputy Disciplinary
Administrator, were on the formal complaint for the petitioner.

        John J. Ambrosio, of Ambrosio & Ambrosio, Chtd., of Topeka, argued the cause, and Sam S.
Kepfield, respondent, argued the cause pro se.

        PER CURIAM: This is an original proceeding in discipline filed by the office of the
Disciplinary Administrator against the respondent, Sam S. Kepfield, of Hutchinson, an
attorney admitted to the practice of law in Kansas in 1989.

        On April 3, 2015, the court suspended respondent's license to practice law for a
period of one year for violating Kansas Rules of Professional Conduct (KRPC).
Imposition of that discipline was suspended and respondent was placed on supervised
probation for a period of three years. See In re Kepfield, 301 Kan. 662, 670, 346 P.3d 332
(2015).

                                                    1
       On March 14, 2018, the office of the Disciplinary Administrator filed a formal
complaint against respondent alleging new violations of the KRPC. On March 29, 2018,
the respondent timely filed an answer to the formal complaint. In his answer, the
respondent generally admitted to violations of KRPC.

       On April 11, 2018, the Disciplinary Administrator filed a motion with this court to
revoke respondent's three-year supervised probation. Thereafter, the chairperson of the
Kansas Board for Discipline of Attorneys entered an order consolidating the motion to
revoke respondent's probation with the pending formal complaint. See Rule 211(g)(10)
(2018 Kan. S. Ct. R. 251).

       On May 8, 2018, the hearing panel called the consolidated matters. Respondent
appeared in person and by counsel. Before the hearing began, respondent stipulated to
certain facts and rule violations alleged against him in the formal complaint. Specifically,
respondent stipulated his conduct violated KRPC 1.1 (2018 Kan. S. Ct. R. 289)
(competence); 1.3 (2018 Kan. S. Ct. R. 292) (diligence); 1.4 (2018 S. Ct. R. 293)
(communication); 1.15(a) (2018 Kan. S. Ct. R. 328) (safekeeping property); 1.16(d)
(2018 Kan. S. Ct. R. 333) (terminating representation); and 8.4(c) (2018 Kan. S. Ct. R.
381) (misconduct involving dishonesty, fraud, deceit, or misrepresentation). Because the
respondent admitted to rule violations, the panel heard evidence on the merits of the
formal complaint and motion to revoke probation as well as evidence in aggravation and
mitigation at the same time.

       Although respondent stipulated to violating KRPC 1.1 and 1.4, after hearing
additional evidence, the panel concluded respondent did not violate these rules. Further,
the panel concluded respondent did not violate KRPC 3.1 (2018 Kan. S. Ct. R. 343)
(meritorious claims and contentions) and 3.3 (2018 Kan. S. Ct. R. 344) (candor toward
the tribunal). Accordingly, these four allegations were dismissed.
                                             2
       A majority of the hearing panel determined respondent violated KRPC 1.3 and
1.16(d). The panel unanimously determined that respondent violated KRPC 1.15(a);
8.1(a) (2018 Kan. S. Ct. R. 379) (false statement in connection with disciplinary matter);
and 8.4(c).

       Because the hearing panel concluded the respondent violated certain Kansas Rules
of Professional Conduct as alleged in the formal complaint, the panel determined
respondent violated certain terms and conditions of his current probation plan. See Rule
211(g)(11) (2018 Kan. S. Ct. R. 251).

       After the hearing, the panel made the following detailed findings of fact and
conclusions of law, together with its recommendation to this court:

                          "Findings of Fact and Conclusions of Law

               ....

               "8.     On April 3, 2015, in case number 112,897, the Kansas Supreme Court
       placed the respondent on probation for having violated Rules 1.2 (scope of
       representation), 1.3 (diligence), 1.4(a) (communication), and 1.16(d) (terminating
       representation). In re Kepfield, 301 Kan. 662, [670,] 346 P.3d 332 (2015).

               "9.     In placing the respondent on probation, the court stated:

                       'In this case, we are persuaded that respondent's misconduct was
               largely a product of his depression, which is being successfully
               monitored and treated. We also note his effort to make full restitution of
               the fee paid by J.L., despite financial challenges, and his attendance at
               attorney support group and Twelve Step meetings. We therefore hold
                                                    3
       that the discipline jointly recommended by the Deputy Disciplinary
       Administrator and respondent should be imposed.

                          'CONCLUSION AND DISCIPLINE

               'IT IS THEREFORE ORDERED that Sam S. Kepfield be and is
       hereby disciplined by a one-year suspension from the practice of law,
       imposition of which is suspended immediately, and placement on three
       years' supervised probation, as outlined in his probation plan. See
       Supreme Court Rule 203(a)(2) (2014 Kan. Ct. R. Annot. 306).'

       "10.    The respondent's probation plan, adopted by the Kansas Supreme Court,
provided:

                                      'OVERVIEW

       'Respondent is a fifty (50) year old criminal practitioner. His practice
       consists of appointed and retained criminal work. The Respondent has
       several clients whom he represents on Domestic matters. However, he is
       closing out those files and has decided to eliminate that portion of his
       practice.

       'Respondent has been sanctioned on two prior occasions, both were
       informal admonitions.

       'Respondent's major challenge, as with many sole practitioners, is that he
       does not have anyone to turn to for advice nor does he have support staff
       to handle the administrative portion of his practice.

                               'PROPOSED SUPERVISOR

       'Sarah McKinnon of Hutchinson, Kansas has agreed to act as supervisor
       for the Respondent. Proposed supervising attorney is a practicing lawyer

                                            4
handling similar types of cases as Respondent. She is the chief public
defender of Reno County. Ms. McKinnon knows the Respondent and has
worked on a number of cases with him over the years.

'Further, Ms. McKinnon is Respondent's KLAP monitor.

                   'PROPOSED PROBATION PLAN

'1.     The Respondent's practice will be supervised by Sarah
        McKinnon, a licensed attorney in good standing in Hutchinson,
        Kansas.

'2.     The Respondent shall allow Ms. McKinnon access to his files,
        calendar, operating account and trust account records.

'3.     Respondent shall comply with any requests made by the
        supervising attorney.

'4.     During the first year and a half of supervision, the Respondent
        shall meet with the supervising attorney once a week. Said
        meeting shall be face-to-face.

'5.     During the final six months of the probation period, the
        Respondent shall meet with Ms. McKinnon per her direction.

'6.     Ms. McKinnon shall prepare and submit a detailed monthly
        report to the Disciplinary Administrator regarding Respondent's
        status on probation.

'7.     Ms. McKinnon shall conduct an immediate and detailed audit of
        the Respondent's files.

                                    5
'8.    Six months after the completion of the first audit, Ms. McKinnon
       shall conduct a second audit of the Respondent's files.

'9.    At the completion of the supervised probation, Ms. McKinnon
       shall conduct a final audit.

'10.   After each audit, Ms. McKinnon shall prepare and submit a
       report regarding same to the Disciplinary Administrator's Office.

'11.   Should Ms. McKinnon discover any violations of the Kansas
       Rules of Professional Conduct, she shall include such
       information in her report to the Disciplinary Administrator's
       Office to facilitate investigation of the same.

'12.   Ms. McKinnon shall provide the Respondent with a copy of each
       report referenced above.

'13.   Respondent shall follow all recommendations of his supervisor
       and shall immediately correct all deficiencies noted in Ms.
       McKinnon's periodic reports and audit reports.

'14.   The supervisor shall determine whether Respondent's office
       procedures are appropriate and effective. The supervising
       attorney shall confirm that Respondent has an appropriate
       calendaring system, method of notifying clients for hearings and
       scheduled meetings, billing procedures, as well as appropriate
       methods for tracking client and opposing counsel contact,
       including documenting all phone messages and phone contacts.

'15.   At the weekly meetings, Respondent and supervisor shall review
       all new cases and discuss the course of action to be taken as to
       each. Further Respondent shall discuss all potential problems he
       has noted in each of his cases.

                                      6
'16.   Respondent and supervisor shall review the following week's
       schedule in order to assure that notices have been sent to all
       appropriate parties, that appropriate preparation has been carried
       out, and that all updates to the files have been completed.

'17.   Ms. McKinnon shall be acting as an officer and agent of the
       Court while supervising the Respondent in monitoring his legal
       practice. The supervisor shall be afforded all immunities by
       Supreme Court Rule 223 (2003 [sic] Kan. Ct. R. Annot. 306),
       during the course of this activity and pursuant to this Order.

'18.   Respondent shall follow the voluntary monitoring agreement
       entered into with KLAP on June 24, 2014. (attached)

'19.   The Respondent shall continue to cooperate with the
       Disciplinary Administrator's Office. If the Disciplinary
       Administrator requires any further information, the Respondent
       shall timely provide said information.

'20.   The Respondent shall not violate the provisions of his probation
       or the Kansas Rules of Professional Conduct. In the event the
       Respondent violates any of the terms of his probation or any of
       the Kansas Rules of Professional Conduct during the
       probationary period, the Respondent shall immediately report
       such violations to his supervisor and the Disciplinary
       Administrator.

'21.   Respondent shall follow the dictates of Supreme Court Rule
       211(g).

'22.   Respondent shall pay the costs in an amount to be certified by
       the Disciplinary Administrator's Office.'

                                    7
        "11.    On April 11, 2018, the disciplinary administrator filed a motion with the
Kansas Supreme Court to revoke the respondent's probation. In support of the motion, the
disciplinary administrator alleged:

        '1.     On April 3, 2015, this court ordered that Respondent be
        disciplined by a one-year suspension from the practice of law. The court
        further ordered that the one-year suspension be suspended immediately,
        and the Respondent be placed on three years' supervised probation, as
        outlined in the Respondent's probation plan.

        '2.     The Respondent's probation plan provided, in relevant part, that
        "Respondent shall not violate the provisions of his probation or the
        Kansas Rules of Professional Conduct."

        '3.     On December 7, 2017, the Kansas Board for Discipline of
        Attorney's Review Committee determined probable cause existed to find
        that Respondent had violated one or more provisions of the Kansas Rules
        of Professional Conduct (KRPC), and directed that a Formal Complaint
        be filed.

        '4.     On March 14, 2018, a Formal Complaint, in Case Nos. DA
        12,657 and DA 12,710, was filed against Respondent, alleging violations
        of KRPC 1.1, 1.3, 1.4, 1.15, 1.16, 3.1, 3.3, 8.1, and 8.4.

        '5.     On March 29, 2018, the Respondent filed an answer to the
        Formal Complaint, admitting most of the facts pled within, and admitting
        to unspecified violations of the KRPC.

        '6.     Kansas Supreme Court Rule 211(g)(9) provides that "upon
        receiving other credible evidence that the Respondent has violated one or
        more probation conditions, the Disciplinary Administrator may file a
        motion to revoke probation with the Supreme Court and the Chairman of

                                             8
        the Board for Discipline of Attorneys. The filing of such a motion shall
        automatically suspend the running of probation time and continue the
        supervision until the motion is resolved.'

        "12.      On April 13, 2018, John D. Gatz, Chairman of the Kansas Board for
Discipline of Attorneys, entered an order of consolidation under Rule 211(g)(10). The
order provided:

        'On this 13th day of April, 2018, the Disciplinary Administrator's
        Amended Motion to Revoke Probation and consolidate the hearing on
        the Motion to Revoke Probation with the formal complaint filed in
        DA12,657 and DA12,710 comes before the Chairman of the Kansas
        Board for Discipline of Attorneys.

        'The Chair finds as follows:

        '1.       After a Motion to Revoke Probation is filed, the Chairman of the
        Kansas Board for Discipline of Attorneys is required to "immediately
        appoint one Board Member of the Kansas Board for Discipline of
        Attorneys to conduct an expedited hearing, or consolidate with a pending
        matter to determine whether the Respondent has failed to comply with
        one or more probation conditions." Kansas Supreme Court Rule
        211(g)(10).

        '2.       A hearing on the formal complaint filed In the Matter of Sam S.
        Kepfield, DA12,657 and DA12,710 is currently scheduled for May 8,
        2018.

        '3.       The Motion of the Disciplinary Administrator to Revoke
        Probation and determine whether Respondent has failed to comply with
        one or more probation conditions should be and is hereby consolidated
        with the formal complaint filed in DA12,657 and DA12,710 now set for
        hearing on May 8, 2018.

                                             9
        'IT IS SO ORDERED.'

        "13.    Because Mr. Gatz consolidated the allegation that the respondent
violated the terms and conditions of his probation with the two pending disciplinary
complaints, the hearing panel considers all three of these matters.

                                         "DA12657

        "14.    In the written stipulation entered on May 8, 2018, the parties stipulated to
the following facts:

        '5.     On or about January 7, 2016, Respondent was appointed by
        Reno County District Court Judge Timothy Chambers, to represent
        [E.S.], in the appeal of District Court Case No. 2008-CR-492 (Appeal
        Case No. 114,55), wherein the district court summarily dismissed [E.S.]'s
        post-conviction motion.

        '6.     Respondent filed an appellate brief on March 1, 2016.

        '7.     On August 26, 2016, the Court of Appeals affirmed the district
        court's dismissal of [E.S.]'s post-conviction motion.

        '8.     On or about August 29, 2016, Respondent forwarded the Court
        of Appeals' decision to [E.S.] and informed him that a petition for Kansas
        Supreme Court review had to be filed within 30 days of the August 26,
        2016 Court of Appeals' decision. Respondent did not tell [E.S.]: (1) that
        he would file the petition for [E.S.]; (2) that [E.S.] needed to let him
        know if [E.S.] wanted to petition for review; or (3) what would happen if
        [E.S.] did not let him know one way or another.

        '9.     On September 19, 2016, [E.S.] sent a "Notice of Intent [to]
        Petition for Review" ("notice") to the Kansas Appellate Court Clerk's

                                             10
office. The notice stated that [E.S.] wanted to pursue review. The notice
also contained allegations critical to respondent and [E.S.]'s prior
attorney.

'10.    Respondent received [E.S.]'s notice on September 23, 2016,
three days before the deadline for filing a petition for review.

'11.    On September 23, 2016, Respondent sent [E.S.] a letter stating,
"I take it that by filing a notice pro se, combined with your motion to
have me removed as appellate counsel for your latest post-conviction
motion, you do not wish me to file a petition for review. Therefore, I will
not do so, and will consider my involvement in this matter at an end."

'12.    On September 26, 2016, the Kansas Appellate Court Clerk's
office sent [E.S.] a letter informing him that his notice "could not be filed
. . . because you are represented by counsel."

'13.    No petition for review was filed, and a mandate was
subsequently issued on October 6, 2016.

'14.    On October 14, 2016, Kansas Appellate Court Clerk's office
received an undated letter from [E.S.] stating that he no longer had a
lawyer, due to his lawyer "quitting," and attached a copy of Respondent's
September 23, 2016, letter.

'15.    On October 14, 2016, the Kansas Appellate Court Clerk's office
wrote to [E.S.] and informed him that the office still considered him
represented by Respondent and therefore, the office could not file his pro
se pleading. The letter further informed [E.S.] that the Court of Appeals
no longer had jurisdiction over the matter because it had been over 30
days since the Court of Appeals issued its decision and the mandate was
issued on October 6, 2016.

                                     11
        '16.    That same day, Jennifer Bates, the Chief Deputy Clerk of the
        Kansas Court of Appeals, filed a complaint against Respondent.

        '17.    On October 19, 2016, Deputy Disciplinary Administrator Kate
        Baird provided Respondent with a copy of the complaint and requested
        he provide a written response within 20 days.

        '18.    On October 31, 2016, Respondent sent a responsive letter
        wherein he stated that prior to sending [E.S.] the September 23, 2016
        letter, he met with Sarah McKinnon, his probation supervisor.
        Respondent further alleged: "She read [E.S.'s notice] and agreed that it
        appeared that Mr. [E.S.] wished to proceed pro se. She advised me to
        write him a letter, and inform Mr. [E.S.] that since he wished to proceed
        pro se, my involvement was apparently at an end." Respondent further
        alleged that McKinnon strongly suggested that he write such a letter.

        '19.    McKinnon was subsequently contacted by the Disciplinary
        Administrator's Office. McKinnon confirmed that she met with
        Respondent, reviewed [E.S.]'s notice and discussed writing a responsive
        letter to [E.S.]'s. However, she emphasized that she was not aware at the
        time of her discussion with Respondent, that the deadline for filing the
        petition for review was just three days away. McKinnon stated that had
        she known of the deadline, she would not have approved of the letter; but
        would have instead informed Respondent that he needed to file the
        petition for review.'

        "15.    In addition to the facts contained in the stipulation, it is also relevant that
on August 16, 2016, E.S. filed a motion to remove the respondent as counsel of record.
The Court of Appeals denied E.S.'s motion on August 26, 2016, the same day the court
issued its opinion affirming E.S.'s convictions.

                                             12
        "16.    On September 19, 2016, E.S. forwarded a pro se petition for review to
the Clerk of the Appellate Courts. The pro se filing was not accepted pursuant to Rule
5.01(d). That rule provides:

        'Motion by Represented Party. A party represented by counsel may file a
        motion on the party's own behalf only to remove counsel or to file a
        supplemental brief. A motion filed under this subsection must be served
        on the party's counsel and all other parties to the appeal. This subsection
        does not apply to a party appearing pro se.'

Thus, under Rule 5.01(d), the only pro se filing that would be accepted by the Clerk of
the Appellate Courts when a party is represented by counsel is a motion to remove
counsel or a motion to file a supplemental brief. Because the respondent remained as
attorney of record in E.S.'s appellate case, the Clerk of the Appellate courts could not
accept E.S.'s pro se petition for review, forwarded on September 19, 2016. The
respondent was not familiar with Rule 5.01(d).

        "17.    In order to extract himself as attorney of record for E.S., the respondent
was required to comply with Rule 1.09, which provides:

        '[b] . . . When withdrawal of an attorney who has appeared of record in
        an appellate proceeding will leave the client without counsel, the
        attorney may withdraw only when:

                (1)      the attorney has served a motion for withdrawal
                         on the client—and on all parties—that:

                (A)      states the reasons for the withdrawal, unless
                         doing so would violate an applicable standard of
                         professional conduct;

                (B)      provides evidence that the withdrawing attorney
                         provided the client:

                                             13
                (i)      an admonition that the client is personally
                         responsible for complying with all orders of the
                         court and time limitations established by the
                         rules of procedure or by court order; and

                (ii)     notice of the date of any pending hearing,
                         conference, or deadline; and

                (C)      provides the court with a current mailing address
                         and telephone number for the client, if known;

                (2)      the attorney has filed the motion with the clerk
                         of the appellate courts under Rule 5.01; and

                (3)      a justice or judge of the appellate courts issues
                         an order approving the withdrawal.'

The respondent did not file a motion to withdraw from his representation of E.S.
Accordingly, the respondent remained as attorney of record for E.S.

        "18.    At the hearing on the formal complaint, the respondent explained that
because the respondent's client made it clear that he did not wish to have the respondent
continue to represent him, the respondent believed he should not file anything on behalf
of his client. While the hearing panel is sympathetic to the respondent's position, a
majority of the hearing panel concludes that the rules required that the respondent file a
motion to withdraw from the representation and take action to protect E.S.'s interests. The
respondent did not do so.

        "19.    Based on the stipulation and the evidence presented at the hearing on the
formal complaint, a majority of the hearing panel concludes as a matter of law that the
respondent violated Rules 1.3 (diligence) and 1.16 (termination of representation) in
representing E.S.

                                             14
                                           "Rule 1.3

        "20.     Attorneys must act with reasonable diligence and promptness in
representing their clients. See Rule 1.3. The respondent failed to diligently represent E.S.
in one limited way. On August 16, 2016, by filing a motion to have the respondent
removed as counsel of record, E.S. made it clear to the respondent that he no longer
desired the respondent's representation. At that point, diligent representation required the
respondent to file a motion to withdraw. Because E.S.'s motion was denied and because
the respondent failed to file a motion to withdraw as counsel, the respondent remained as
attorney of record for E.S. As such, the Clerk of the Appellate Courts could not accept
E.S.'s pro se petition for review filed on September 19, 2016. See Rule 5.09(1)(d).
Finally, the respondent's lack of diligence caused E.S. to lose his chance to have the
Kansas Supreme Court review the Kansas Court of Appeals' decision. At the hearing on
this matter, the respondent argued that there was little likelihood that E.S. would have
received any relief from the petition for review. The respondent's misconduct is not
diminished by the respondent's belief that the petition for review had little likelihood of
success. What E.S. lost was his opportunity to present his case to the Kansas Supreme
Court for review. Because the respondent failed to act with reasonable diligence and
promptness in representing his client, a majority of the hearing panel concludes that the
respondent violated Rule 1.3.

                                         "Rule 1.16

        "21.     Rule 1.16 requires lawyers to take certain steps to protect clients after the
representation has been terminated. First, when an attorney is discharged, the attorney
must withdraw from the representation. See Rule 1.16(a)(3). Clearly, E.S. did not want
the respondent to continue to represent him. After E.S. filed his August 16, 2016, motion
to remove the respondent as counsel of record, the respondent should have filed a motion
to withdraw from the representation. The respondent failed to do so. The respondent's
failure to file a motion to withdraw from the representation precluded E.S.'s ability to file
pleadings on his own behalf. Accordingly, a majority of the hearing panel concludes that
the respondent violated Rule 1.16(a)(3).

                                              15
        "22.     Additionally, Rule 1.16(d) provides:

        'Upon termination of representation, a lawyer shall take steps to the
        extent reasonably practicable to protect a client's interests, such as giving
        reasonable notice to the client, allowing time for employment of other
        counsel, . . .'

In this case, in order to take steps to the extent reasonably practicable to protect E.S.'s
interests, the respondent should have timely filed a motion to withdraw from the
representation as required by Rule 1.09. Because the respondent failed to withdraw from
the representation, the respondent should have taken other action to preserve E.S.'s
interest in filing a petition for review. Because the respondent failed to take any action to
preserve E.S.'s interests in filing a petition for review, a majority of the hearing panel
concludes that the respondent violated Rule 1.16(d).

                                          "DA12710

        "23.     In the written stipulation entered on May 8, 2018, the parties stipulated to
the following facts:

        '20.     On August 29, 2014, [E.M.] was arrested for driving under the
        influence of alcohol and was served with a notice of suspension of his
        driver's license after refusing to submit to alcohol testing.

        '21.     [E.M.] was charged, in Hutchinson Municipal Court, with
        Driving Under the Influence (DUI).

        '22.     Consequently, [E.M.] retained Respondent to represent him in
        the administrative driver's license suspension hearing with the Kansas
        Department of Revenue (KDOR hearing), as well as the DUI municipal
        court case.

                                              16
'23.    [E.M.] and Respondent signed a retainer agreement on
September 25, 2014. The agreement required [E.M.] to pay Respondent a
$1,000 retainer, which encompassed $750 for the DUI case and $250 for
the KDOR hearing. The Agreement further provided:

        "The initial retainer may be deposited in Attorney's
        operating account to pay for immediate expenses, such
        as filing fees, obtaining copies of complaints,
        videotapes, and other evidence, and any outside
        consultation Attorney believes necessary."

'24.    [E.M.'s] records indicate that on or about September 25, 2014, he
paid Respondent $200.00; and on or about October 6, 2014, he paid
Respondent $550.00. Thereafter, according to [E.M.'s] records, he made
additional payments to Respondent, totaling $550.00 from July 2016,
through November 2016.

'25.    Respondent did not provide [E.M.] a statement or accounting of
fees and expenses until November 17, 2016. At that time, Respondent
provided [E.M.] with a "Statement of Account," which documented he
had billed 23.4 hours at an hourly rate of $150.00. The statement
provided an incorrect total of $4,510, but documented that the client had
paid $1,700.

'26.    The KDOR hearing was held on November 6, 2014.

'27.    On December 19, 2014, the KDOR hearing office issued a
written order affirming [E.M.'s] driver's license suspension. The order
indicates it was mailed to [E.M.] and Respondent.

'28.    Pursuant to relevant statutory authority, [E.M.] had until January
8, 2015, in which to file a petition for review of the KDOR order.

                                    17
'29.    [E.M.] received a copy of the order prior to Christmas 2014.
[E.M.] noted that a copy had been mailed to Respondent and assumed
Respondent would contact him about what further action could be taken.

'30.    When he had not heard from Respondent by December 31, 2014,
[E.M.] sent an email to Respondent, titled "Hearing," which read as
follows:

        "Since the state disapproved my request, I guess we need
        to appeal to district court, have you had time to look at
        the video tape yet or have access to it. Please let me
        know, I feel we need to go after the officer if he was
        properly trained, after me talking to other officers, they
        said he should have been able to show me the record of
        the testing machine with no problem, they also said he
        didn't know what he was doing."

Respondent did not reply to [E.M.'s] December 31, 2014, email.

'31.    [E.M.] and Respondent had a meeting in January 2015, in which
[E.M.] provided Respondent with a copy of the KDOR order.

'32.    Respondent acknowledged that he received [E.M.'s] December
31, 2014, email; but alleged that he did not realize it was referring to the
KDOR order. In addition, Respondent alleged that he did not receive a
copy of the order from KDOR.

'33.    [E.M.] left the January 2015 meeting believing Respondent
would file the necessary appeal, or petition for judicial review, of the
KDOR order.

'34.    On January 27, 2015, KDOR notified [E.M.] that his driving
privileges had been suspended.

                                     18
'35.    Respondent filed an untimely petition for judicial review of the
KDOR order on February 24, 2015. Respondent initially told the
investigator that he did not file the petition for judicial review until
February 24, 2015, because [E.M.] had not submitted the filing fee.
However, Respondent's file revealed that [E.M.] paid the filing fee to
Respondent on January 30, 2015.

'36.    Respondent alleged, in the petition for judicial review, that it was
untimely filed because the Respondent did not receive a copy of the
order from KDOR, and he only learned of its existence on January 15,
2015. Respondent argued that KDOR's failure to provide him with a
copy of the order excused the late filing.

'37.    KDOR filed a motion to dismiss, arguing the petition was filed
out of time. Respondent did not file a written response to the motion to
dismiss, which was heard on August 7, 2015. The respondent did not
present any evidence at the hearing, even though [E.M.] was present at
the hearing and available to testify.

'38.    On August 12, 2015, the district court granted the motion to
dismiss, finding that [E.M.] had failed to satisfy his burden to show
excusable neglect in filing the petition for judicial review out of time.

'39.    Respondent filed a motion to reconsider on August 21, 2015.
The district court denied the motion on September 9, 2015, finding that
[E.M.] did not offer or proffer any evidence at the hearing.

'40.    Respondent filed an initial notice of appeal on August 27, 2015,
and an amended notice of appeal on September 15, 2015, following the
order denying his motion to reconsider.

                                        19
'41.       Respondent failed to timely docket the appeal; consequently, on
October 7, 2015, KDOR filed a motion to dismiss the appeal.
Respondent did not respond to KDOR's motion; and the motion was
thereafter granted on October 13, 2015, and the appeal was dismissed.

'42.       On December 31, 2015, the respondent filed a motion to
reinstate the appeal. The motion was ultimately granted by the Court of
Appeals on January 8, 2016.

'43.       Respondent's appellate brief alleged that the petition for judicial
review should have been granted because Respondent did not receive a
copy of the order from KDOR. Respondent did not address the fact that
his client had received the KDOR order prior to the deadline for filing
the petition for judicial review, or that he had received a copy of the
KDOR order as of January 15, 2015, at the latest.

'44.       On November 4, 2016, the Kansas Court of Appeals affirmed the
district court's dismissal of the case.

'45.       On November 22, 2016, the Respondent filed a petition for
review with the Kansas Supreme Court, which was denied on November
9, 2017.

'46.       On November 23, 2016, [E.M.] sent a letter to KDOR, alleging
that Respondent misrepresented facts contained within the pleadings
filed with the courts. KDOR forwarded the complaint to this office. On
December 8, 2016, [E.M.] filed a complaint with this office regarding
Respondent's representation of him in the KDOR and criminal
proceedings. The complaint was docketed for investigation.

'47.       During an August 10, 2017 interview, the investigator asked
Respondent to account for the retainer paid by [E.M.] on September
2014. Respondent informed the investigator that he believed he placed

                                       20
        the retainer in his trust account. Consequently, the investigator requested
        that the Respondent provide him with trust account records to document
        the deposit.

        '48.    The investigator also requested Respondent to provide him with
        evidence to document what Respondent did with the filing fee paid by
        [E.M.] on January 30, 2015, as well as any evidence to establish that
        Respondent sent billing statements to [E.M.], other than the one provided
        on November 17, 2016.

        '49.    On August 14, 2017, Respondent wrote to the investigator,
        alleging that he believed [E.M.] paid the filing fee in cash, that he placed
        the cash into a bank bag in his office, and later used it to pay the filing
        fee. The August 14, 2017, correspondence did not contain any trust
        account records.

        '50.    That same day, the investigator sent Respondent an email to
        inquire about the trust account records and billing statements. The
        Respondent replied on August 15, 2017, stating that he could locate no
        other billing statements. The Respondent did not answer the
        investigator's inquiry regarding the trust account records.

        '51.    Consequently, on August 17, 2017, Deputy Disciplinary
        Administrator Deborah Hughes requested Respondent to provide her
        with all trust account and operating account records from September 1,
        2014 to June 30, 2016.

        '52.    On September 12, 2017, the Respondent replied, admitting that
        he hadn't had a trust account since 2011. The Respondent further alleged
        that he deposited his clients' money into a safe deposit box.'

        "24.    In addition, the hearing panel finds that the respondent did not receive a
copy of the written order affirming the suspension of E.M.'s driver's license from the

                                             21
KDOR, despite the notation on the written order that KDOR sent the written order to the
respondent.

        "25.     During the hearing on the formal complaint, E.M. testified that on
January 5, 2017, he met with the respondent and provided him with a copy of the written
order affirming the suspension of E.M.'s driver's license. The respondent testified that he
did not meet with E.M. until January 15, 2015. Based on all the evidence presented to the
hearing panel, the hearing panel accepts the respondent's testimony that the meeting with
E.M., where E.M. provided the respondent with a copy of the written order affirming the
suspension of E.M.'s driver's license, occurred on January 15, 2015.

        "26.     Based on the stipulation and the evidence presented at the hearing on the
formal complaint, the hearing panel unanimously concludes that the respondent violated
Rules 1.15 (safeguarding property), 8.1 (disciplinary matters), and 8.4 (professional
misconduct) in representing E.M.

                                         "Rule 1.15

        "27.     Lawyers must properly safeguard their clients' property. Rule 1.15(a)
specifically provides that:

        '(a)     A lawyer shall hold property of clients or third persons that is in
        a lawyer's possession in connection with a representation separate from
        the lawyer's own property. Funds shall be kept in a separate account
        maintained in the state of Kansas. Other property shall be identified as
        such and appropriately safeguarded. Complete records of such account
        funds and other property shall be kept by the lawyer and shall be
        preserved for a period of five years after termination of the
        representation.'

In this case, the respondent deposited E.M.'s unearned fees and filing fees into an
operating account with the respondent's own money. By commingling funds belonging to
E.M. with funds belonging to the respondent and by failing to deposit E.M.'s unearned

                                             22
fees and filing fees into an attorney trust account, the hearing panel unanimously
concludes that the respondent violated Rule 1.15(a).

                                          "Rule 8.1

        "28.     Rule 8.1 provides:

        'a lawyer . . . in connection with a disciplinary matter, shall not:

                 (a)     knowingly make a false statement of material
                         fact; or

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

In this case, during the disciplinary investigation, the respondent falsely told the attorney
appointed to investigate the disciplinary complaint that he deposited the unearned fees
paid by E.M. into his attorney trust account. The respondent knew that at the time he
received the funds from E.M. he did not have an attorney trust account. Thus, the hearing
panel concludes that the respondent knowingly made a false statement of material fact to
the disciplinary investigator in connection with a disciplinary matter, in violation of
KRPC 8.1(a).

                                        "Rule 8.4(c)

        "29.     'It is professional misconduct for a lawyer to . . . engage in conduct
involving dishonesty, fraud, deceit or misrepresentation.' Rule 8.4(c). The respondent
stipulated that during the disciplinary investigation, the respondent falsely told the

                                             23
investigator that he believed he deposited the fees paid by E.M. into his attorney trust
account. The respondent knew that he did not have a trust account at the time he received
the fees from E.M. Accordingly, the hearing panel unanimously concludes that the
respondent violated Rule 8.4(c).

                                      "Probation Violation

           "30.   Because the hearing panel concludes that the respondent violated the
Kansas Rules of Professional Conduct in DA12657 and DA12710, the hearing panel also
concludes that the respondent violated the term numbered 20 of the probation plan
adopted by the Kansas Supreme Court in case number 112,897. See Rule 211(g)(11).

                                   "American Bar Association
                          Standards for Imposing Lawyer Sanctions

           "31.   In making this recommendation for discipline, the hearing panel
considered the factors outlined by the American Bar Association in its Standards for
Imposing Lawyer Sanctions (hereinafter 'Standards'). Pursuant to Standard 3, the factors
to be considered are the duty violated, the lawyer's mental state, the potential or actual
injury caused by the lawyer's misconduct, and the existence of aggravating or mitigating
factors.

           "32.   Duty Violated. The respondent violated his duty to his client to provide
diligent representation. The respondent violated his duty to his client to properly deal
with his client's fees. The respondent also violated his duty to his client to properly
terminate the representation. Finally, the respondent violated his duty to the legal
profession to properly cooperate during the disciplinary investigation.

           "33.   Mental State. The respondent negligently and knowingly violated his
duties.

           "34.   Injury. As a result of the respondent's misconduct, the respondent caused
potential injury to his clients.

                                              24
        "35.    Aggravating and Mitigating Factors. Aggravating circumstances are any
considerations or factors that may justify an increase in the degree of discipline to be
imposed. In reaching its recommendation for discipline, the hearing panel, in this case,
found the following aggravating factors present:

        a.      Prior Disciplinary Offenses. The respondent has been previously
        disciplined on three occasions.

                On December 8, 2010, the disciplinary administrator informally
                admonished the respondent for violating Rules 3.3 (candor to the
                tribunal), 8.2 (statements regarding judges) and 8.4 (professional
                misconduct).

                On April 3, 2015, the Kansas Supreme Court placed the respondent on
                probation for three years for violating Rules 1.2 (scope of
                representation), 1.3 (diligence), 1.4 (communication), and 1.16
                (terminating representation).

                On May 10, 2016, the disciplinary administrator informally admonished
                the respondent for violating Rule 1.1 (competence).

        b.      Dishonest or Selfish Motive. The respondent misled the attorney
        assigned to investigate the respondent's conduct by indicating that he believed he
        deposited E.M.'s unearned fees into the respondent's trust account knowing that
        at the time he received E.M.'s unearned fees, the respondent did not have a trust
        account. Accordingly, the hearing panel concludes that the respondent's
        misconduct included conduct that was motivated by dishonesty.

        c.      Multiple Offenses. The respondent committed multiple rule violations.
        The respondent violated 1.3 (diligence), 1.4 (communications); 1.15 (safekeeping
        property), 1.16 (terminating representation), 8.1 (disciplinary matters), and 8.4

                                             25
        (professional misconduct). Accordingly, the hearing panel concludes that the
        respondent committed multiple offenses.

        d.       Bad Faith Obstruction of the Disciplinary Proceeding by Intentionally
        Failing to Comply with Rules or Orders of the Disciplinary Process. The
        respondent provided false information to the attorney appointed to investigate
        E.M.'s complaint when he told the investigating attorney that he believed he
        deposited E.M.'s unearned fees into the respondent's trust account. The
        respondent's false statement to the attorney appointed to investigate the
        disciplinary complaint amounts to bad faith obstruction of the disciplinary
        proceeding.

        e.       Vulnerability of Victim. E.S. and E.M. were vulnerable to the
        respondent's misconduct.

        f.       Substantial Experience in the Practice of Law. The Kansas Supreme
        Court admitted the respondent to practice law in the State of Kansas in 1989. At
        the time of the misconduct, the respondent has been practicing law for more than
        25 years.

        "36.     Mitigating circumstances are any considerations or factors that may
justify a reduction in the degree of discipline to be imposed. In reaching its
recommendation for discipline, the hearing panel, in this case, found the following
mitigating circumstances present:

        a.       Personal or Emotional Problems if Such Misfortunes Have Contributed
        to Violation of the Kansas Rules of Professional Conduct. As was pointed out in
        the earlier disciplinary case, the respondent suffers from depression and the
        respondent's depression appears to have contributed to his misconduct.

        b.       The Present and Past Attitude of the Attorney as Shown by His
        Cooperation During the Hearing and His Full and Free Acknowledgment of the
        Transgressions. Other than providing false information to the disciplinary

                                             26
       investigator, the respondent fully cooperated with the disciplinary process. The
       respondent entered into a stipulation and admitted violating multiple rules.

       c.      Previous Good Character and Reputation in the Community Including
       Any Letters from Clients, Friends and Lawyers in Support of the Character and
       General Reputation of the Attorney. The respondent is an active and productive
       member of the bar of Hutchinson, Kansas. The respondent enjoys a reputation for
       providing good representation to an underserved population.

       "37.    In addition to the above-cited factors, the hearing panel has thoroughly
examined and considered the following Standards:

       '4.42   Suspension is generally appropriate when:

               (a)     a lawyer knowingly fails to perform services for
                       a client and causes injury or potential injury to a
                       client; or

               (b)     a lawyer engages in a pattern of neglect and
                       causes injury or potential injury to a client.

       '7.2    Suspension is generally appropriate when a lawyer knowingly
               engages in conduct that is a violation of a duty owed as a
               professional, and causes injury or potential injury to a client, the
               public, or the legal system.

       '8.2    Suspension is generally appropriate when a lawyer has been
               reprimanded for the same or similar misconduct and engages in
               further acts of misconduct that cause injury or potential injury to
               a client, the public, the legal system, or the profession.'

                                              27
                                       "Recommendation

         "38.    The disciplinary administrator argued that disbarment is the appropriate
discipline, relying on ABA Standard 8.1(a), which provides that '[d]isbarment is
generally appropriate when a lawyer . . . knowingly violates the terms of a prior
disciplinary order and . . . causes injury or potential injury to a client.'

         "39.    The respondent recommended that he be allowed to continue to practice
law, subject to the same plan of supervised probation approved by the Kansas Supreme
Court in case number 112,897.

         "40.    The hearing panel struggled with making a recommendation for
discipline in this case. As argued by the disciplinary administrator, the respondent
violated the terms of a prior disciplinary order when he violated the terms of probation.
However, the misconduct which violated the terms of probation, standing alone, does not
warrant disbarment.

         "41.    Additionally, clearly, the respondent does good work for an underserved
population in Reno County, Kansas. The results that he obtained for E.S. and E.M. were
good results. However, the respondent's failure to timely establish a trust account and the
respondent's false statement to the attorney investigating E.M.'s complaint coupled with
the respondent's failure to withdraw from his representation of E.S. troubles the hearing
panel.

         "42.    Unfortunately, the hearing panel concludes that placing the respondent
on probation has not served to be a sufficient deterrent to the respondent. Accordingly,
the hearing panel concludes that a short suspension is appropriate in this case.

         "43.    Based upon the stipulation, the findings of fact, the conclusions of law,
and the ABA Standards for Imposing Lawyer Sanctions listed above, the hearing panel
unanimously recommends that the Kansas Supreme Court suspend the respondent's
license to practice law for a period of three years. The hearing panel further recommends
that after the respondent has served six months of the suspension, the Court place the

                                               28
respondent back on probation subject to the terms and conditions included in the Court's
opinion in case number 112,897, for an additional three years. Finally, in the event the
Court adopts the hearing panel's recommendation, the hearing panel also recommends
that at the time the opinion is released in this case the following terms be added to the
respondent's plan of probation:

        '23.    The respondent will maintain an attorney trust account.

        '24.    The auditor employed by the disciplinary administrator
                will conduct an audit of the respondent's trust account to
                cover the time period from when the account was
                established through the date of the Court's opinion in this
                case. During the period of probation following the
                respondent's suspension, the auditor employed by the
                disciplinary administrator will conduct an annual audit of
                the respondent's trust account. Following each audit, the
                auditor will prepare a report which details (1) whether the
                respondent is properly utilizing the attorney trust account,
                (2) all irregularities with the respondent's trust account,
                and (3) what the respondent needs to do differently to
                properly utilize the attorney trust account and eliminate
                the irregularities. The auditor will provide a copy of the
                report to the respondent, to counsel for the respondent, to
                the respondent's practice supervisor, and the disciplinary
                administrator. If violations of Rule 1.15 are discovered in
                the audits, the disciplinary administrator may file another
                motion to revoke the respondent's probation.'

        "44.    Costs are assessed against the respondent in an amount to be certified by
the Office of the Disciplinary Administrator."

                                             29
                                        DISCUSSION

       In a disciplinary proceeding, this court considers the evidence, the findings of the
disciplinary panel, and the arguments of the parties and determines whether violations of
KRPC exist and, if they do, what discipline should be imposed. Attorney misconduct
must be established by clear and convincing evidence. In re Foster, 292 Kan. 940, 945,
258 P.3d 375 (2011); see Supreme Court Rule 211(f) (2018 Kan. S. Ct. R. 251). Clear
and convincing evidence is "'evidence that causes the factfinder to believe that "the truth
of the facts asserted is highly probable."'" In re Lober, 288 Kan. 498, 505, 204 P.3d 610
(2009) (quoting In re Dennis, 286 Kan. 708, 725, 188 P.3d 1 [2008]).

       Respondent was given adequate notice of the formal complaint to which he filed
an answer. Respondent was also given adequate notice of the hearing before the panel
and the hearing before this court. He filed no exceptions to the hearing panel's final
hearing report. With no exceptions before us, the panel's findings of fact are deemed
admitted. Supreme Court Rule 212(c), (d) (2018 Kan. S. Ct. R. 255). Furthermore, the
evidence before the hearing panel establishes the charged misconduct in violation of
KRPC 1.3 (2018 Kan. S. Ct. R. 292) (diligence); 1.15(a) (2018 Kan. S. Ct. R. 328)
(safekeeping property); 1.16(d) (2018 Kan. S. Ct. R. 333) (terminating representation);
8.1(a) (2018 Kan. S. Ct. R. 379) (false statement in connection with disciplinary matter);
and 8.4(c) (2018 Kan. S. Ct. R. 381) (misconduct involving dishonesty, fraud, deceit, or
misrepresentation) by clear and convincing evidence and supports the panel conclusions
of law.

       We adopt all of the panel's findings and conclusions except for the finding in ¶ 35c
that respondent violated KRPC 1.4 (2018 Kan. S. Ct. R. 293) (communication) as this
allegation had been dismissed by the hearing panel. Accordingly, we find respondent

                                             30
violated his existing probation plan by again violating the KRPC during his probationary
period. See Rule 211(g).

       The only remaining issue before us is the appropriate discipline for respondent's
violations. At the hearing before this court, at which respondent appeared, the office of
the Disciplinary Administrator recommended that respondent be indefinitely suspended
from the practice of law. The hearing panel recommended that respondent be suspended
for three years from the practice of law, that after six months of that suspension,
respondent be placed on a three-year probation subject to the terms and conditions of his
previous probation plan with two additional terms and conditions.

       The panel's recommendation is advisory and does not prevent this court from
imposing a greater or lesser punishment. In re Harrington, 296 Kan. 380, 387, 293 P.3d
686 (2013) (citing Supreme Court Rule 212[f]). In determining the appropriate sanction,
this court considers the facts and circumstances of the case as well as aggravating and
mitigating factors. 296 Kan. at 387.

       After carefully balancing the aggravating factors with the mitigating factors, the
court determines the motion to revoke respondent's probation should be granted and the
original one-year suspension from the practice of law should be reinstated. After
respondent serves this one-year suspension, the court accepts the panel's recommendation
that respondent be suspended from the practice of law for three years, that after six
months of that suspension the respondent be placed on a three-year probation subject to
the terms of his previous probation plan, plus the two new conditions recommended by
the hearing panel. A minority of this court would impose the harsher sanction
recommended by the Disciplinary Administrator of indefinite suspension from the
practice of law.

                                             31
       In summary, respondent's total suspension from the practice of law is for 18
months followed by a three-year supervised probation. During respondent's probationary
period he must comply with the probation terms set forth in the hearing panel's final
report, ¶ 43, including new terms 23 and 24. See Supreme Court Rule 211(g)(6).

                              CONCLUSION AND DISCIPLINE

       IT IS THEREFORE ORDERED that Sam S. Kepfield be and is hereby ordered to serve
his original one-year suspension from the practice of law followed by a three-year
suspension from the practice of law. After serving six months of this second suspension,
respondent will be placed on probation under the stated terms for three years. This order
becomes effective upon the filing of this decision.

       IT IS FURTHER ORDERED that the costs of these proceedings be assessed to the
respondent and that this opinion be published in the official Kansas Reports.

       ROSEN, J., not participating.
       MICHAEL J. MALONE, Senior Judge, assigned.1

1
 REPORTER'S NOTE: Senior Judge Malone was appointed to hear case No. 112,897
and 119,709 vice Justice Rosen under the authority vested in the Supreme Court by
K.S.A. 20-2616.

                                            32