On August 13, 1991, the Grievance Committee filed a petition alleging that, between 1987 and 1989, respondent failed to preserve and identify client funds, failed to maintain a separate and identifiable account for client funds, commingled and converted the funds belonging to two clients, and failed to pay promptly to clients funds belonging to them; that, between 1983 and 1989, respondent, while acting under...
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