Posted in Disbarred Attorneys, Pend Oreille County

Louis Musso III

Louis Musso III
License Number: 11229
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 10/24/1980
Contact Information
Public/Mailing Address: PO Box 1737
Newport, WA 99156-1737
Phone: (509) 447-3149
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
Professional Liability Insurance
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Committees
Member of these committees/boards/panels:
None
Disciplinary History
Action Effective Date
Disbarment 05/29/1992

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Posted in Disbarred Attorneys, King County

Gerald Robert Moran

Gerald Robert Moran
License Number: 1122
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 2/18/1965
Contact Information
Public/Mailing Address: Not Available
Seattle, WA 98104
Phone: (206) 682-7100
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Posted in Disbarred Attorneys, King County

Sonya K. Scharf

Sonya K. Scharf
License Number: 11171
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 10/24/1980
Contact Information
Public/Mailing Address: 10618 SE 25th St
Bellevue, WA 98004-7241
Phone: (206) 622-5658
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Disciplinary History
Action Effective Date
Disbarment 12/11/1989

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Discipline Notice – Sonya Scharf
License Number: 11171
Member Name: Sonya Scharf
Discipline Detail
Action: Disbarment
Effective Date: 12/11/1989
RPC:
Discipline Notice:
Description: Ms. Scharf was disbarred from the practice of law, effective December 11, 1989.

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Posted in Disbarred Attorneys, Pierce County

Clark T Ransom

Clark T. Ransom
License Number: 10925
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 10/24/1980
Contact Information
Public/Mailing Address: PO Box 870
Rainier, WA 98576-0870
Email: ransomc@spso.net
Phone: (360) 446-0955
Practice Information Identified by Legal Professional
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Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Disciplinary History
Action Effective Date
Disbarment 03/04/2002

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Discipline Notice – Clark Ransom
License Number: 10925
Member Name: Clark Ransom
Discipline Detail
Action: Disbarment
Effective Date: 3/4/2002
RPC: 1.15 – (prior to 9/1/2006) Declining or Terminating Representation
1.3 – Diligence
1.4 – Communication
8.4 (c) – Dishonesty, Fraud, Deceit or Misrepresentation
8.4 (l) – Violate ELCs
Discipline Notice:
Description: Clark T. Ransom (WSBA No. 10925, admitted 1980), of Rainier, was disbarred by order of the Supreme Court effective March 4, 2002, following a default hearing. The discipline is based on lack of diligence, unfair business transactions with a client, and failure to protect two clients’ interests when closing his practice in 1999.

Matter 1: In early 1999, Mr. Ransom began representing Mr. O on several matters, including an ongoing bankruptcy. The client consulted Mr. Ransom for advice on how to realize his investment in a parcel of real property to obtain funds to pay off his creditors. The client needed financing to build a road though the property to provide access to 13 subdivided lots. Mr. Ransom suggested that his brother might be interested in investing in the client’s subdivision project.

In March 1999, the client met with Mr. Ransom and his brother regarding a possible investment. The client learned that an undeveloped parcel of land in Poulso was available for sale. The client hired Mr. Ransom to work with him in this purchase along with Mr. H, who was to provide the financing. The client would log the land and sell the lumber, and together they would subdivide and sell the individual lots. In exchange for doing the necessary legal work on this project, Mr. Ransom agreed to accept 20 percent of the profits, and told the client he would create a corporation to handle the transaction. Mr. Ransom did not form a corporation, but did print letterhead with a corporate name, listing himself as president.

In May 1999, Mr. Ransom wrote the client a letter on corporate letterhead offering to finance the $35,000 cost of road construction in exchange for being repaid out of the first available proceeds, and a fee of $2,000 for each of the 13 lots to be sold. The client accepted the offer, and another lawyer filed a motion asking the bankruptcy court to approve the plan.

In June 1999, Mr. Ransom attempted to register the corporate name with the Washington secretary of state. Upon discovering that a corporation already existed under that name, he registered under a different name, listing himself as the sole director and registered agent. The bankruptcy court approved the loan from the first unregistered corporation.

In August, Mr. Ransom obtained a $25,000 loan for the corporation from his brother. The corporation promised to pay the brother $30,000 before January 1, 2000. Mr. Ransom deposited the money into a bank account in the corporation’s name. Over the first few weeks in September 1999, Mr. Ransom made several withdrawals from this account, including checks made out to himself, his video business and his son. Mr. Ransom did not pay the contractors who were logging the Poulsbo property and did not complete the services contract for the road.

In mid-October 1999, Mr. Ransom told his brother that he was closing his law practice and moving to Arizona. Mr. Ransom was representing Mr. O when he left Washington, and failed to notify his client of this decision, and to answer disciplinary counsel’s questions about this matter.

Matter 2: In April 1999, Mr. Ransom represented Mr. and Mrs. R in an appeal from a Department of Licensing (DOL) administrative law judge’s decision imposing a $19,710 tax and fee assessment against their trucking business. Mr. Ransom mailed the clients’ petition for reconsideration one day after the 10-day deadline.

On May 7, 1999, the DOL director denied the clients’ petition because it was not timely filed. The director’s decision also explained the procedures for judicial review. Mr. Ransom filed the clients’ petition for judicial review more than 30 days after the deadline, and failed to serve the DOL and the attorney general for another three weeks. The clients were unable to contact Mr. Ransom, so they called the assistant attorney general working on the case. The clients learned that their petition was filed late and that the attorney general had filed a motion to dismiss their petition. The clients then learned that Mr. Ransom had left the state and that they could pick up their file from his 17-year-old son. The clients retained new counsel and negotiated a settlement with DOL. Mr. Ransom failed to respond to disciplinary counsel’s requests for information regarding this matter.

Mr. Ransom’s conduct violated RPCs 1.3, requiring lawyers to diligently represent their clients; 1.4, requiring lawyers to keep clients reasonably informed about the status of their matters; 1.15(d), requiring lawyers to take steps to protect clients’ interests after terminating representation; 8.4(c), prohibiting conduct involving dishonesty, fraud, deceit or misrepresentation; and RLD 2.8(a), requiring lawyers to promptly respond to disciplinary counsels’ requests for information regarding disciplinary investigations.

Kevin Bank represented the Bar Association. Mr. Ransom represented himself. The hearing officer was William Nielsen.

In some cases, discipline search results will not reveal all disciplinary action relating to a Washington licensed legal professional, and may not display links to the official decision documents.

Posted in Disbarred Attorneys, Grant County

Thomas Jay Earl

Thomas Jay Earl
License Number: 10902
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 10/24/1980
Contact Information
Public/Mailing Address: 1334 S Pioneer Way
Moses Lake, WA 98837-2410
Phone: (509) 765-7441
Fax: (509) 765-6488
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Disciplinary History
Action Effective Date
Disbarment 05/13/2004

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Discipline Notice – Thomas Earl
License Number: 10902
Member Name: Thomas Earl
Discipline Detail
Action: Disbarment
Effective Date: 5/13/2004
RPC: 1.3 – Diligence
1.5 – Fees
1.7 – Conflict of Interest; General Rule
7.1 – Communications concerning a Lawyers Services
8.4 (c) – Dishonesty, Fraud, Deceit or Misrepresentation
8.4 (d) – Conduct Prejudicial to the Administration of Justice
8.4 (i) – Moral Turpitude

Discipline Notice:
Description: Thomas J. Earl (WSBA No. 10902, admitted 1980), of Moses Lake was disbarred effective May 13, 2004, by order of the Washington State Supreme Court following a hearing. This discipline was based on his conduct from 1992 through 1998, involving charging fees while representing clients as court appointed criminal defense counsel, failing to explain the choice between appointed counsel and retained counsel, charging unreasonable fees and voluntarily maintaining an excessive caseload while one of the lawyers under contract to provide indigent criminal defense in Grant County.

Matter 1: In 1996, Mr. Earl was appointed to defend a client in two criminal matters. In September and October 1997, Mr. Earl was appointed to represent the same client in a sentencing violation and two new felony charges. Mr. Earl filed notices of appearance in the new cases, but not in the sentencing violation matter. The client’s Determination of Indigency form was filed, but not signed by the court. Although Mr. Earl testified that he was not appointed to represent this client, the hearing officer found that he was appointed counsel. Mr. Earl charged the client $3,000 for this representation.

Matter 2: In June 1998, the court appointed Mr. Earl to represent a client on a criminal felony charge. The client wanted to retain a particular lawyer. The client only partially completed the indigency report and the court found him not indigent. Mr. Earl did not fully explain the client’s rights to seek appointed counsel and made no effort to complete the indigency report or argue that the client was actually indigent. Mr. Earl contacted the client on the day of the hearing and suggested that the client retain him. The client agreed to pay Mr. Earl $3,000, but could not meet the payment schedule. Mr. Earl withheld services pending the client’s payments.

Matter 3: In September 1993, Grant County Superior Court issued an order appointing the indigent defenders to represent a defendant. Following the usual procedure, the Court appointed the indigent defenders at the first hearing, prior to filing of the indigency report. Five days later, Mr. Earl filed his notice of appearance and a document identifying himself as the client’s lawyer. No determination of indigency report was ever filed in this case. In October and again in November 1993, the client’s mother paid Mr. Earl $1,500 for the client’s representation. Mr. Earl was obligated to provide this representation without charge to the client.

Matter 4: On December 18, 1992, the court appointed the “contract defenders” to represent a criminal defendant. The defendant agreed to accept appointed counsel, but indicated he may attempt to retain counsel. Mr. Earl appeared in court with the defendant that same day. By June 1993, the client had paid Mr. Earl $2,220.00. Mr. Earl did not provide his client a full and fair explanation regarding the decision to retain Mr. Earl, after the court entered an order appointing counsel.

Matter 5: In April 1998, Mr. Earl was appointed to represent a criminal defendant. In May, the court found the client indigent, but able to contribute. On August 5, 1998, a jury found the client guilty. On August 10, 1998, prior to sentencing and without a determination of the client’s indigency status for appeal, Mr. Earl talked to the client about the cost of retaining him for the appeal. Mr. Earl agreed to do the client’s appeal for a flat fee of $5,000.00. By accepting the client’s money during the appointed representation and prior to a determination of the client’s indigency for appeal, Mr. Earl may have created a conflict between his personal interests in keeping the client’s funds and the client’s interests in qualifying for appointed counsel. The hearing officer found the $5,000 fee to be unreasonable based on the actual work Mr. Earl performed.

Matter 6: On August 1, 1994, Mr. Earl appeared in court as appointed counsel with an indigent criminal defendant. The next day, Mr. Earl filed a notice of appearance. The client believed he would receive better representation if he hired a lawyer rather than using appointed counsel. By January 1995, the client paid Mr. Earl $2,700.00. Mr. Earl did not initiate the discussion leading to the client retaining him, but he took advantage of the client’s belief that he would receive a better outcome if he retained Earl. The hearing officer found that Mr. Earl was obligated to represent the client and should have refused the payment.

Matter 7: In April 1993, Mr. Earl was assigned counsel for a criminal defendant charged with child rape and child molestation. The client and his family believed that Mr. Earl was not aggressively defending the client. During an in-chambers meeting with the judge prior to trial, Mr. Earl stated, “he [the client] believes my role is to find proof that he’s innocent of this particular charge. I’ve explained to him the role, or my role, is to see his constitutions rights are protected.” The hearing officer found that Mr. Earl fundamentally misunderstood his role as assigned counsel. The hearing officer also found that Mr. Earl’s voluntarily excessive caseload was prejudicial to the administration of justice.

Matter 8: In July 1996, Mr. Earl appeared as appointed counsel for a criminal defendant on felony charges, including attempted murder. The client was acquitted by reason of insanity and committed to Eastern State Hospital. Mr. Earl’s appointed representation ended. In August 2000, the client retained Mr. Earl to represent him in an attempt to modify his conditions of confinement and to explore revoking his guilty plea. The court docket reflects no work on the client’s case after August 2000. In fall 2000, the client asked Mr. Earl to withdraw and refund the unused portion of his $2,500 in fees. Mr. Earl did not withdraw or refund any of the fees. A few weeks later, the client filed a grievance against Mr. Earl. Mr. Earl told the client he would take no further action on his case while the grievance was pending. In June 2001, new appointed counsel successfully withdrew the client’s insanity plea and entered a guilty plea to a reduced charge with no additional confinement.

Mr. Earl’s conduct violated RPCs 1.3, requiring lawyers to diligently represent their clients; 1.4(b), requiring lawyers to explain client matters to the extent reasonably necessary to permit the client to make an informed decision regarding the representation; 1.5(a), requiring lawyers to charge reasonable fees; 1.7(b), prohibiting lawyers from representing a client if the representation may be materially limited by the lawyers own interests; 7.1, prohibiting lawyers from making false or misleading statements communications about the lawyer or the lawyer’s services; 8.4(c), prohibiting lawyers from engaging ion conduct involving dishonesty, deceit, fraud or misrepresentation; 8.4(d), prohibiting conduct prejudicial to the administration of justice; and 8.4(i), prohibiting lawyers from committing acts involving moral turpitude.

Christine Gray and Linda B. Eide represented the Bar Association. Nels Hansen represented Mr. Earl at hearing. Mr. Earl represented himself on appeal. Kenneth Fielding was the Hearing Officer.

In some cases, discipline search results will not reveal all disciplinary action relating to a Washington licensed legal professional, and may not display links to the official decision documents.

Posted in Disbarred Attorneys, Spokane County

Russell Kenneth Jones

Russell Kenneth Jones
License Number: 10887
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 9/18/1980
Contact Information
Public/Mailing Address: PO Box 4766
Spokane, WA 99220-0766
Phone: (509) 534-0820
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
Professional Liability Insurance
Private Practice: No
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Last Updated: 2/4/2011 8:01:09 AM
Committees
Member of these committees/boards/panels:
None
Disciplinary History
Action Effective Date
Disbarment 12/11/2014

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Discipline Notice – Russell Jones
License Number: 10887
Member Name: Russell Jones
Discipline Detail
Action: Disbarment
Effective Date: 12/11/2014
RPC: 3.1 – Meritorious Claims and Contentions
3.4 – Fairness to Opposing Party and Counsel
8.4 – Misconduct
Discipline Notice: Disciplinary Board Recommendation
Hearing Officer Findings
Amended Hearing Officer Findings
Supreme Court Order
Description: Russell Kenneth Jones (WSBA No. 10887, admitted 1980), of Spokane, was disbarred, effective 12/11/2014, by order of the Washington Supreme Court. The lawyer’s conduct violated the following Rules of Professional Conduct: 3.1 (Meritorious Claims and Contentions), 3.4 (Fairness to Opposing Party and Counsel), 8.4 (Misconduct). M. Craig Bray represented acted as disciplinary counsel. Kurt M. Bulmer represented Respondent. David A. Thorner was the hearing officer. The online version of NWLawyer contains links to the following documents: Hearing Officer’s Decision; Hearing Officer’s Amended Decision; Disciplinary Board Recommendation; and Washington Supreme Court Order.

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Posted in Disbarred Attorneys, Spokane County

Robert Neil Dompier

Robert Neil Dompier
License Number: 10871
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 7/8/1980
Contact Information
Public/Mailing Address: 4005 N Marguerite Rd
Spokane, WA 99212-1818
Phone: (509) 216-1411
Fax: (509) 893-3740
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Member of these committees/boards/panels:
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Disciplinary History
Action Effective Date
Disbarment 05/15/2008
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Discipline Notice – Robert Dompier
License Number: 10871
Member Name: Robert Dompier
Discipline Detail
Action: Disbarment
Effective Date: 5/15/2008
RPC: 8.4 (b) – Criminal Act
8.4 (c) – Dishonesty, Fraud, Deceit or Misrepresentation
8.4 (i) – Moral Turpitude
8.4 (l) – Violate ELCs
Discipline Notice:
Description: Robert Neil Dompier (WSBA No. 10871, admitted 1980), of Spokane, was disbarred, effective May 15, 2008, by order of the Washington State Supreme Court following approval of a stipulation. This discipline is based on conduct involving theft, dishonest conduct, violating a duty imposed by the Rules for Enforcement of Lawyer Conduct (ELCs), and acts of moral turpitude.

Mr. Dompier’s grandparents established funds during their lifetimes for the education of their great-grandchildren. Mr. Dompier’s father managed the funds until 1996. In 1996, Mr. Dompier assumed management of the funds and deposited them into individual accounts for his children and those of his three brothers. Individual trust accounts were established in the names of each child pursuant to the Washington Uniform Transfers to Minors Act, RCW 11.114.090 et seq. Mr. Dompier was custodian of each of the accounts and maintained complete authority over management of the accounts.

In 1999, Mr. Dompier began investing in real estate. He purchased various pieces of real property as investments owned in Mr. Dompier’s and his wife’s name. Mr. Dompier’s investment plan entailed his managing the properties for a fee. The income produced by the properties would cover the expenses associated with the properties. As the values of the properties increased, Mr. Dompier planned to sell the properties. Mr. Dompier’s plan did not work out as expected, and soon expenses began to exceed the income associated with the real estate properties. In 2000, Mr. Dompier began experiencing financial difficulties and began withdrawing funds to which he was not entitled from the custodial accounts and deposited the funds into his own personal accounts, using some of the funds for his own personal use, thereby unlawfully converting the funds. (Mr. Dompier specifically does not admit this conduct but does admit that there is a substantial likelihood the WSBA could prove it by a clear preponderance of the evidence.) By September 2003, all of the accounts were depleted of all funds and subsequently closed. Despite the use of the converted funds, Mr. Dompier continued to experience financial difficulties.

In March 2004, Mr. Dompier wrote a letter to his brothers, nieces, and nephews acknowledging that he had used the money in the custodial accounts. He apologized and indicated that he would pay the money back, which totaled approximately $47,731. In July 2004, Mr. Dompier and his wife filed personal bankruptcy. Mr. Dompier’s brothers were listed as creditors to whom Mr. Dompier owed money. These debts were for the funds Mr. Dompier took from the custodial accounts. As part of his personal bankruptcy, Mr. Dompier filed reaffirmation agreements with his brothers that reaffirmed the debt Mr. Dompier owed for the funds he withdrew from the accounts in a total amount of $48,331. In November 2004, a final decree was filed and Mr. Dompier’s bankruptcy case was closed. Mr. Dompier has not made any payments or reimbursed his brothers or his nieces and nephews for the funds he took from the custodial accounts.

In July 2006, the Association mailed the grievance to Mr. Dompier and requested that he submit a written response within two weeks. In August 2007, Mr. Dompier filed a response to the grievance stating that he had invested the funds in rental real estate on behalf of the beneficiaries, but that the real estate had been lost to foreclosure. Mr. Dompier’s response was not complete or truthful in that his real estate investments were made in his and his wife’s name, not in the name of the trust beneficiaries, and Mr. Dompier did not invest the funds withdrawn from the custodial accounts in rental real estate.

Mr. Dompier’s conduct violated RPC 8.4(b), prohibiting a lawyer from committing a criminal act that reflects adversely on the lawyer’s honesty, trustworthiness, or fitness as a lawyer in other respects; RPC 8.4(c), prohibiting a lawyer from engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation; RPC 8.4(l), prohibiting a lawyer from violating a duty or sanction imposed by or under the Rules for Enforcement of Lawyer Conduct in connection with a disciplinary matter (here ELC 5.3(e)); and RPC 8.4(i), prohibiting a lawyer from committing any act involving moral turpitude, or corruption, or any other act which reflects disregard for the rule of law, whether the same be committed in the course of his or her conduct as a lawyer, or otherwise.

Debra J. Slater represented the Bar Association. Mr. Dompier represented himself.

In some cases, discipline search results will not reveal all disciplinary action relating to a Washington licensed legal professional, and may not display links to the official decision documents.

Posted in Disbarred Attorneys, Thurston County

Alan Joe Martin

Alan Joe Martin
License Number: 10838
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 5/15/1980
Contact Information
Public/Mailing Address: 4625 45th Ave SE Apt M9
Lacey, WA 98503-5942
Phone: (360) 459-7655
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Private Practice:
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Committees

Member of these committees/boards/panels:
None
Disciplinary History
Action Effective Date
Disbarment 10/14/1991

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Discipline Notice – Alan Martin
License Number: 10838
Member Name: Alan Martin
Discipline Detail
Action: Disbarment
Effective Date: 10/14/1991
RPC:
Discipline Notice:
Description: Mr. Martin was disbarred from the practice of law, effective October 14, 1991.

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Posted in Disbarred Attorneys, Yakima County

Kenneth C Hawkins

Kenneth C. Hawkins
License Number: 1081
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 9/1/1938
Contact Information
Public/Mailing Address: PO Box 541
Yakima, WA 98907-0541
Phone: (509) 453-5531
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
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Posted in Disbarred Attorneys, Pierce County

John James Dorman

John James Dorman
License Number: 10753
License Type: Lawyer
Eligible To Practice: No
License Status: Disbarred
WSBA Admit Date: 5/12/1980
Contact Information
Public/Mailing Address: Tacoma Mall Ofc Bldg
4301 S Pine St Ste 351
Tacoma, WA 98409-7241
Phone: (253) 475-7670
Practice Information Identified by Legal Professional
Firm or Employer:
Office Type and Size: Not Specified
Practice Areas: None Specified
Languages Other Than English: None Specified
Professional Liability Insurance
Private Practice:
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Last Updated:
Committees
Member of these committees/boards/panels:
None
Disciplinary History
Action Effective Date
Disbarment 03/31/1992

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Discipline Notice – John Dorman
License Number: 10753
Member Name: John Dorman
Discipline Detail
Action: Disbarment
Effective Date: 3/31/1992
RPC:
Discipline Notice:
Description: Mr. Dorman was disbarred from the practice of law, effective March 31, 1992.

In some cases, discipline search results will not reveal all disciplinary action relating to a Washington licensed legal professional, and may not display links to the official decision documents.