Rules for the Client Protection Fund of the Wyoming State Bar, Rule 1
Rule 1. Purpose, scope and definitions
Length: 272 wordsOfficial source
(a) The purpose of the Client Protection Fund is to promote public confidence in the
administration of justice and the integrity of the legal profession by reimbursing losses
caused by the dishonest conduct of lawyers licensed or otherwise authorized to practice
law in the courts in Wyoming occurring in the course of the lawyer-client relationship.
(b) The following definitions shall apply:
(1) ‘‘Chair’’ means the chairperson of the Client Protection Fund Committee, or
the Chair’s designee.
(2) ‘‘Claimant’’ means a person or entity who directly or through an authorized
representative alleges a loss caused by the dishonest conduct of the lawyer which
arises out of and by reason of a lawyer-client relationship.
(3) ‘‘Committee’’ means the Client Protection Fund Committee.
(4) ‘‘Dishonest conduct’’ means wrongful acts committed by a lawyer in the
nature of theft or embezzlement of money or other wrongful taking or conversion of
money, property or other things of value, including failure to refund fees received
in advance as required by Rule 1.16 of the Wyoming Rules of Professional Conduct.
(5) ‘‘Fund’’ means the Client Protection Fund of the Wyoming State Bar, to be
funded by budget allocations designated for such purpose by the Board of Officers
and Commissioners of the Wyoming State Bar. With the adoption of these Rules,
references in other rules to the ‘‘Clients’ Security Fund’’ shall be deemed to refer to
the Fund.
(6) ‘‘Lawyer’’ means a member of the Wyoming State Bar, including deceased
members and recently suspended or disbarred members whom clients reasonably
believed to be authorized to practice law when the dishonest conduct occurred.
(Added May 16, 2017, effective July 1, 2017.)