2003 WI 5
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Supreme
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Case No.: |
02-3268-D |
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Complete Title: |
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In the
Matter of Disciplinary Proceedings Against
James G. Wiard, Attorney at Law: Office
of Lawyer Regulation, Complainant, v. James
G. Wiard, Respondent. |
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DISCIPLINARY PROCEEDINGS AGAINST WIARD |
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Opinion Filed: |
February 19, 2003 |
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Source of Appeal: |
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Justices: |
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Concurred: |
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Dissented: |
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Not Participating: |
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Supreme
Court of Wisconsin |
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Notice This order is subject to further editing and modification. The final version will appear in the bound volume of the official reports. |
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The Court entered the following order on this date:
The Office of
Lawyer Regulation and Attorney James G. Wiard have stipulated, pursuant to SCR
22.12, for reciprocal discipline under SCR 22.22.
Attorney Wiard
has been licensed to practice law in Illinois since 1978 and was admitted in
Wisconsin in 1987. His Wisconsin
license was suspended in 1998 for noncompliance with CLE reporting requirements
and remains suspended at present.
Pursuant
to a March 26, 2002 order of the Illinois Supreme Court, Attorney Wiard’s
license in that state has been suspended for two years. He was found to have violated Illinois Rule
of Professional Conduct (IRPC) 1.4--failure to keep a client reasonably
informed about the status of a matter; IRPC 1.15(a)--failure to deposit client
funds in a separate and identifiable trust account; IRPC 8.4(a)4--conduct
involving dishonesty, fraud, deceit or misrepresentation; IRPC
8.4(a)5--engaging in conduct that is prejudicial to the administration of
justice; and, Illinois Supreme Court Rule 771--engaging in conduct which tends
to defeat the administration of justice or to bring the courts or the legal
profession in disrepute.
These violations
arose out of an incident that began in 1994 when Attorney Wiard prepared a
trust and property power of attorney for a client naming himself as successor
trustee and agent should the client die or eventually be unable to act as
trustee or should the designated agent be unable to act. In 1997, without notifying the client or the
property power of attorney, he requested that a bank close two of the client’s
accounts and issue the proceeds to him as successor trustee for the trust. He received almost $11,000 from the bank and
used virtually all of it for his own personal purposes. He later misrepresented to the client what
had occurred.
SCR 22.22(3)
provides that this court shall impose the identical discipline or license suspension
unless the procedure in the other jurisdiction was so lacking in notice or
opportunity to be heard as to constitute a due process violation; there was
such an infirmity of proof establishing the misconduct that this court should
not accept as final the misconduct finding; or the misconduct justifies
substantially different discipline here.
Neither OLR nor Attorney Wiard contend, nor does this court find, that
any of these three exceptions exist.
Accordingly,
IT IS ORDERED
that the license of Attorney James G. Wiard to practice law in the state of
Wisconsin be suspended for two years from the date of this order.
IT IS FURTHER
ORDERED that this suspension does not affect the existing 1998 suspension for
noncompliance with CLE reporting requirements which would also have to be
satisfied in order for his license to practice law in Wisconsin to be
reinstated.
IT IS FURTHER
ORDERED that he shall comply, if he has not already done so, with the
requirements of SCR 22.26 pertaining to activities following suspension.