The State Bar Association of North Dakota Winter 2013 Gavel Magazine | Page 28

ETHICS & DISCIPLINE NOTICE OF DISCIPLINE OF ATTORNEY Disciplinary Board of the Supreme Court of the State of North Dakota, Petitioner v. Loren C. McCray, Respondent No. 20120363 The Court has before it a Stipulation, Consent to Discipline and Recommendations by the Hearing Panel of the Disciplinary Board recommending Loren C. McCray be suspended from the practice of law in North Dakota for six months and he pay costs of the disciplinary proceeding for violations of the North Dakota Rules of Professional Conduct. We accept the stipulation, consent to discipline and recommendations, and we suspend McCray from the practice of law for six months effective upon entry of judgment in this matter. McCray was admitted to practice law in the state of North Dakota on November 7, 1994. McCray’s license to practice law was suspended for six months and one day, effective October 1, 2008. Disciplinary Board v. McCray, 2008 ND 162, 755 N.W.2d 835. McCray has not petitioned for reinstatement under N.D.R. Lawyer Discipl. 4.5 and, therefore, has been suspended from the practice of law since October 1, 2008. While the instant suspension is for a period of six months, because McCray has been suspended since 2008, any reinstatement of his license to practice law is governed by the provisions in N.D.R. Lawyer Discipl. 4.5 applicable to a suspension of more than six months. McCray was served a Summons and Petition for Discipline on February 7, 2011. He filed a response to the Petition for Discipline on February 28, 2011. Disciplinary Counsel and McCray entered into a Stipulation and Consent to Discipline. The Hearing Panel of the Disciplinary Board filed a Stipulation, Consent to Discipline and Recommendations of Hearing Panel with this Court on September 28, 2012. In the Stipulated Facts and Conclusions, McCray admitted the following facts. After his October 1, 2008, suspension, he filed an affidavit with this Court attesting that he had served 106 notices to clients, as required by N.D.R. Lawyer Discipl. 6.3. However, he testified at the hearing resulting in the 2008 suspension, that as of the day before the hearing, his law firm “had like 9,450 [clients] or something along those lines.” By letter dated April 30, 2009, Disciplinary Counsel asked McCray to explain the apparent discrepancy in the number of clients. In a response dated May 20, 2009, McCray revealed that on May 15, 2008, he “sold Bradley Ross Law and its clients to Facemyer and Associates in Utah.” He also revealed that “on or before September 17, 2008, all remaining Bradley Ross Law clients and there [sic] files had been transferred to Facemyer and Associates.” On May 21, 2009, Disciplinary Counsel requested McCray to provide the return receipts required by N.D.R. Prof. Conduct 1.17(c) related to the sale of a law practice, or for those for whom he did not have a return receipt, to tell all reasonable steps taken to see that notice of the sale was received by the client; or if, after all reasonable steps had been exhausted, to tell what, if any, court authorized the transfer of the client file. McCray did not informally or formally provide the requested information until September 10, 2012. The information provided described the steps McCray took to notify clients of the sale of his law firm. McCray admitted that his failure to provide the requested information until September 10, 2012, violated N.D.R. Prof. Conduct 8.1(b), which provides that a lawyer shall not knowingly fail to respond to a lawful demand for information from a disciplinary authority. He also admitted that his failure to provide clients with notice, by certified mail, of the sale of his law firm violated the notice provisions of N.D.R. 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