Published online by Cambridge University Press: 20 November 2018
Lawyer-discipline systems underwent substantial reorganization in a majority of states during the 1970s, with responsibility for their operation moving from the bar associations in which they had been located for almost a century to agencies of the state supreme courts. While this transfer of the locus of lawyer discipline resulted in a diminution of the power of the organized bar, it encouraged the professionalization of the process. In this paper the reasons for the willingness of the bar associations in Illinois to cede control over such a central component of professional regulation are examined and their implications for the sociology of the legal profession discussed. Unable to maintain the status quo in the face of extensive criticism, the Illinois bar associations chose not to meet the high costs of upgrading the discipline process but rather to divest themselves of a function that, although at one time central to their identity and authority, had become inconvenient and damaging to their image. It is suggested that the bar associations were willing to countenance such a divestiture because their positions as collective representatives of the profession in Illinois were secure and the major parameters of lawyer discipline well established. Whereas immediate control over self-regulation processes may be necessary during the developmental phase of professionalism, it is not so important once the profession has achieved a dominant market position.
1 See, e.g., Carr-Saunders, A. M. & Wilson, P. A., The Professions (Oxford: Oxford University Press, 1933); W. J. Goode, Community Within a Community: The Profession, 22 Am. Soc. Rev. (1951); Ernest Greenwood, Attributes of a Profession, 2 Soc. Work 45 (1957).Google Scholar
2 The term “self-regulation” as used here refers to the fact that the locus of control over the work of professionals is in the professions themselves rather than in external agencies. In large part “self-regulation” designates the formal mechanisms and processes by which the professions control the admission and behavior of their members. This is the intended reference in this paper. However, professional self-regulation has also come to refer to informal processes of peer control by colleagues and to the exercise of self-control by individual members of the professions such that they refrain from taking undue advantage of their power over less knowledgeable clients. Carlin demonstrates the operation of informal peer control in his study of unethical practices in the New York bar, and Bosk shows how surgeons exercise influence over their colleagues' professional conduct in a large teaching hospital. See Jerome E. Carlin, Lawyers’ Ethics: A Survey of the New York City Bar (New York: Russell Sage Foundation, 1966); Charles L. Bosk, Forgive and Remember: Managing Medical Failure (Chicago: University of Chicago Press, 1979). Parsons suggests that professionals develop a “collectivity orientation” that stresses their responsibility to their clients and to the public interest. Such an ethical orientation is supposedly developed through socialization processes in professional schools. See Talcott Parsons, The Professions and Social Structure, in Talcott Parsons, ed., Essays in Sociological Theory (New York: Free Press, 1954); Howard S. Becker et al., Boys in White (Chicago: University of Chicago Press, 1961).Google Scholar
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6 For two examples see George Martin, Causes and Conflicts: The Centennial History of the Association of the Bar of the City of New York 1870–1970 (Boston: Houghton Mifflin, 1970); Herman Kogan, The First Century: The Chicago Bar Association 1874–1974 (Chicago: Rand-McNally, 1974).Google Scholar
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8 One of the first grievance committees was that formed by the Association of the Bar of the City of New York in 1874. It remained almost totally inactive for five years until spurred into action by the New York Supreme Court. One hundred years later an examination of the performance of local and state bar associations by an American Bar Association commission found that in many jurisdictions the disciplinary committees were largely inoperative. See Martin, supra note 6, at 353; American Bar Association, Report of the Special Committee on Evaluation of Disciplinary Enforcement (June 1970) (hereinafter referred to as the Clark Report).Google Scholar
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18 The ARDC was established by Illinois Supreme Court Rules 751–56 (Jan. 25, 1973).Google Scholar
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21 Responsibility for the operation of lawyer discipline generally lay with the local and county bar associations, not with the ISBA. As the statewide organization of lawyers, however, the ISBA represented the local and county bar associations in the negotiations with the Illinois Supreme Court.Google Scholar
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24 Illinois Supreme Court Rules 751–52 defined the formal procedures. For a critical discussion of these procedures, see Chicago Council of Lawyers, Report on Disciplinary Procedures for Professional Misconduct (1972) (hereinafter referred to as CCL Report on Disciplinary Procedures).Google Scholar
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52 In recognition of the fact that the CBA had responsibility for disciplining ISBA members who practiced in Chicago, the ISBA began to underwrite the CBA's discipline expenditures to the extent of $45,000 in 1965. Treasurer, CBA, 1965–66 Annual Report.Google Scholar
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55 For a brief outline of the structures and procedures of the ARDC, see CCL Report on Investigation of the Operation of the Attorney Registration and Disciplinary Commission (Feb. 1978).Google Scholar
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58 The strong response of the Illinois Supreme Court to an apparent attempt by the Lake County Bar Association to intervene in the discipline process demonstrates this point. The chief justice makes it clear that bar leaders can no longer intervene: “Local bar associations should not become involved in any way in any complaint against an attorney.” Correspondence from Howard C. Ryan, chief justice, Illinois Supreme Court, to Richard H. Smith, member of the Waukegan bar (Dec. 1, 1982).Google Scholar
59 A former board member of the CBA complained that the administrator was “his own boss” and was responsible to no one. He felt the CBA had acted as an important moderating influence. Verbatim comments from elite interviews, Chicago Bar Project, American Bar Foundation (1975). For a description of the data collected by this study see Heinz et al., supra note 23, at 719–23. The attitude that grievance activities serve to protect the bar as much as prosecute unethical conduct is reflected in statements such as this of the committee on inquiry: “Paramount in the minds of the members of the Committee at all times has been the desire to protect lawyers against unfounded charges as well as a desire to protect the public and the bar against those who have conducted themselves improperly.” Committee on Inquiry, CBA, 1962–63 Annual Report.Google Scholar
60 Ten years after its creation, the ARDC's annual expenditures exceeded $1 million, and it sought an increase in lawyer registration fees. By this time, the ARDC employed seven full-time attorneys as well as investigators and support staff. ARDC, 1984 Annual Report.Google Scholar
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