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Drill Baby Drill

The Ontario Law Society Tribunal Hearing Division sustained some but not all allegations of misconduct

Two principles are drilled into the heads of every licensee beginning a litigation practice: first, never communicate with a represented party except through their counsel, and second, there is no property in a witness. This decision addresses the intersection of those two principles, as they are articulated in the Rules of Professional Conduct, with the rights and obligations contained in the Personal Information Protection and Electronic Documents Act, SC 2000, c 5 (PIPEDA).

The respondents, Joseph Campisi and Peter Murray, are personal injury lawyers. Their practice focuses on the representation of individuals injured in motor vehicle accidents. They are the subject of separate conduct applications which we heard together over the course of a year beginning in November 2023. The allegations concern the manner in which the respondents and their firm represented eight clients. Six of these clients disputed the insurer’s denials of their accident benefits (ABS) claims before either the Financial Services Commission of Ontario (FSCO) or its successor, the Licence Appeal Tribunal (LAT). The seventh was uninsured and his claim was made to the Motor Vehicle Accident Claims Fund (MVAC). The eighth client was the plaintiff in a Superior Court tort action.

 The Law Society alleges that in the course of representing these individuals the respondents engaged in the following misconduct:

1.     Numerous, repeated and deliberate instances of writing directly to insurance companies during active litigation without copying counsel contrary to Rule 7.2-8 of the Rules of Professional Conduct (RPC).

2.     Sharp practice in sending demand style letters of an improper and/or threatening nature to independent medical examiners (IMEs or assessors) hired by insurance companies contrary to Rule 7.2-2 of the RPC.

3.     Failing to supervise and/or improperly delegating legal work to a non-licensee contrary to Rule 6.1-1 of the RPC and By-Law 7.1.

Decision

we find the Law Society has proven the respondents communicated with adjusters and other employees of insurance companies contrary to Rule 7.2-8 and failed to supervise the work of a non-licensee contrary to Rule 6.1-1 and By-Law 7.1. The Law Society is successful on some, but not all, the allegations of sharp practice.

Analysis

Communications about an issue related to a matter on which counsel has been retained must be directed to counsel absent consent or other legal requirement/authorization. Neither s 64(21) of the Insurance Act nor PIPEDA authorised the respondents’ direct communications with employees of the represented insurers Therefore, we find Mr. Campisi and Mr. Murray breached Rule 7.2-8 as alleged.