¶1On October 7, 2015, this Court suspended the Respondent, James J. Woods, Jr. (“Respondent”), from the practice of law, pending the disposition of disciplinary proceedings before the Board on Professional Responsibility (“Board”). The Board has filed a Report on this matter pursuant to Rule 9(d) of the Delaware Lawyers’ Rules of Disciplinary Procedure. The Board recommends that Respondent be publicly reprimanded, reinstated to practice law, and placed on probation for three years with conditions. The Office of Disciplinary Counsel (“ODC”) filed one objection to the Report. ODC does not object to the reinstatement and sanctions recommended by the Board, but does challenge the Board’s determination that ODC did not prove one of the alleged ethical violations asserted in the Petition for Discipline. Respondent, through counsel, fíled no objections.
¶2We have concluded that ODC’s objection is meritorious. We have also determined that, even with that additional violation, reinstatement and the same sanctions recommended by the Board are appropriate.
¶3Petition for Discipline
¶4The Petition alleged five counts of professional misconduct.
¶5Count I: Delaware Lawyers’ Rules of Disciplinary Procedure 7(c)
¶6ODC alleged that Respondent committed professional misconduct by violating Delaware Lawyers’ Rules of Disciplinary Procedure Rule 7(c), which states that it shall be grounds for discipline for a lawyer to “[v]iolate the terms of any private or public disciplinary or disability disposition.” The terms of Respondent’s private probation (to which he consented) unambiguously required Respondent to provide a pre-certification by a licensed certified public accountant for his 2014 and 2015 Certificates of Compliance. Respondent admitted that he failed to comply with this condition of his private probation and stated that he “stipulate[s] to the violation of [Procedural Rule] 7(c) as alleged in Count I of the Petition.” Accordingly, the Board found that Respondent violated Procedural Rule 7(c).
¶7Count II: Delaware Lawyers’ Rules of Professional Conduct 1.15(d)
¶8ODC alleged that Respondent committed professional misconduct in violation of Conduct Rule 1.15(d) by failing to properly maintain his firm’s books and records in 2013. Respondent admitted that he did not fully comply with the relevant books and records requirements as alleged in Count II. Accordingly, the Board found that Respondent violated Conduct Rule 1.15(d).
¶9Count III: Delaware Lawyers’ Rules of Professional Conduct 84(c).
¶10ODC alleged that Respondent committed professional misconduct in violation of Conduct Rule 8.4(c) by filing with the Supreme Court Certificates of Compliance in 2014 and 2015, each of which contained misrepresentations to the Court relating to Respondent’s maintenance of his law office *1225books and records. Respondent testified that he believed at the time that.his representations were accurate, but admitted that his Certificates of Compliance contained statements that he later learned, after discussions with accountants, were not accurate and admitted that this violates Conduct Rule 8.4(c).. Accordingly, the Board found that Respondent violated Conduct Rule 8.4(c). '
¶11Count IV: Delaware Lawyers’ Rules of Professional Conduct 84(d), With Respect to Certificates of Compliance
¶12ODC alleged that the same conduct underlying Count III (making misrepresentations in Certificates of Compliance) also establishes a violation of Conduct Rule 8.4(d), which provides that it is professional misconduct for a lawyer to “engage in conduct that is prejudicial to the administration of justice.”
¶13Respondent admitted that he filed Certificates of Compliance that contained misrepresentations, but contendéd that those misrepresentations were merely negligent, and argued that his conduct violating Conduct Rule 8.4(c) does not warrant a “dupli-cative” finding of a' violation of Conduct Rule 8.4(d). The Board, quoting In re Wilson,
¶14Count V: Delaware Lawyers’ Rules of Professional Conduct 84(d), With Respect to Violating Terms of Private Probation
¶15ODC alleged that the same conduct underlying Count I (violation of the terms of a disciplinary disposition) also establishes a violation of Conduct Rule 8.4(d), which provides that it is professional misconduct for a lawyer to “engage in conduct that is prejudicial to the administration of justice.” Respondent admitted that he did not comply with the conditions of his private probation, but argued that this conduct did not' warrant a “duplicative” finding of a violation of Conduct Rule 8.4(d) as “conduct prejudicial to the administration of justice.” The Board’s Report states: “It is clear and admitted that Respondent violated the terms of his private probation. However, thé Board finds that ODC has not proven by clear and convincing evidence that Respondent’s violation of the terms of his private probation was prejudicial to' the administration of justice,' and therefore finds no violation of [Conduct] Rule 8.4(d) on this count.”
¶16ODC’s Objection
¶17ODC contends that the Board erroneously concluded ODC failed to prove a violation of Conduct Rule 8.4(d) because there was not “any precedent in which a violation of the terms of a private probation was held also to violate [Conduct] Rule 8.4(d).” We agree. This Court has held that a lawyer engages in conduct prejudicial to the administration of justice in violation of Conduct Rule 8.4(d) when that lawyer fails to satisfy a condition of a *1226disciplinary sanction.
¶18A private disciplinary sanction has the same force and effect as a formal order from this Court.
¶19Conclusion
¶20We hold that Respondent violated Conduct Rule 8.4(d) as alleged in Count V in the Petition for Discipline by clear and convincing evidence. We approve the Board’s findings of Respondent’s violation of Procedural Rule 7(c), and Conduct Rules 1.15(d), 8.4(c), and 8.4(d) as alleged in Counts I-IV in the Petition for. Discipline.
¶21We approve the Board’s recommendation that Respondent be publicly reprimanded for violation of Delaware Lawyers’ Rules of Disciplinary Procedure 7(c) and Rules of Professional Conduct 1.15, 8.4(c) and 8.4(d). We approve the Board’s recommendation that Respondent’s interim suspension be lifted immediately and that Respondent be reinstated to practice law with á three-year period of public probation, subject to the conditions set forth in the Board’s Report attached to this Opinion.
¶22CONFIDENTIAL
¶23REPORT OF THE BOARD AND RECOMMENDATION OF SANCTION
¶24This is the Report and Recommendation of the Board on Professional Responsibility of the Supreme Court of the State of Delaware (the “Board”) in the above-captioned matter. A hearing was held on February 23, 2016, in the New Castle County Courthouse, Courtroom 12D, 500 North King Street, Wilmington, Delaware. The Panel of the Board consisted of Gerald J. Hager, Esq., Barbara Beck and Robert S. Saunders, Esq. (Chair) (collectively, the “Panel”). The Office of Disciplinary Counsel (“ODC”) was represented by Jennifer-Katé Aaronson, Esq. Respondent was represented by Matthew L. Boyer, Esq.
¶25I. PROCEDURAL HISTORY
¶26ODC filed, a Petition for Discipline with the Board on October 7, 2015. Also on October 7, 2015, the Court entered an Order immediately suspending Respondent from the practice of law pending the disposition of these proceedings. Respondent filed his Answer on October 27, 2015. A hearing was originally scheduled for December 10, 2015. However, Respondent re*1227quested, and ODC did not oppose, a continuance to February 28, 2016, which the Panel Chair granted. At the hearing, ODC presented testimony from Respondent,. in addition to Joint Exhibits 1-17, which were admitted without objection. Respondent submitted his own affidavit, which was admitted without objection as Joint Exhibit 18, and presented his own testimony. Respondent also submitted affidavits from Francis J. Jones, Jr., Esquire, Christopher Logullo, Esquire and Bruce G. Fay, D.M.D., which were admitted without objection as Joint Exhibits 19-21. At the request of the Panel Chair, on April 29, 2016, ODC supplemented the record with two additional pieces of correspondence between the parties, which were admittéd without objection as Joint Exhibits 22 and 23.
¶27II. STATEMENT OF FACTS
¶28Respondent was admitted to the bar of the Supreme Court of the State of Delaware in December 1981.
¶29In June 2012, the Lawyers’ Fund for Client Protection (“LFCP”) conducted a compliance audit of Respondent’s firm’s books and records for the six month period ending May 2012 (the “2012 Audit Report”). The 2012 Audit Report identified several deficiencies in Respondent’s firm’s books and records.
¶30At ODC’s request, Master Sidlow Associates,' P.Á. (“Master Sidlow”) audited Respondent's firm’s books and records for the seven months ended January 31, 2013. The audit report identified deficiencies including 44 checks outstanding (in other words, checks that had been written on one of Respondent’s accounts but had not beén deposited by the payees) and' one negative balance in a list of client funds.
¶31*1228After a presentation of an investigative report by ODC, on July 11, 2013, the Preliminary Review Committee determined that probable cause supported a Petition for Discipline against Respondent for violations of Rules 1.15(d), 8.4(c) and 8.4(d) and offered Respondent the sanction of a two-year private probation with conditions.
¶32In connection with his Certificate of Compliance due February 28, 2014, Respondent asked a title insurance company with which he did business if it had an accountant who could provide the pre-cer-tification, and understood that it did.
¶33On December 15, 2014, Master Sidlow notified Respondent that it would audit Respondent’s books and records for 2013.
¶34Respondent filed his 2015 Certificate of Compliance with the Delaware Supreme Court on March 1, 2015. It did not include a pre-certification by a licensed certified public accountant.
¶35On April 15, 2015, ODC advised Respondent that LFCP had reported that Respondent’s firm did not maintain its financial books and records in compliance with Rule 1.15 for the year 2013, and advised Respondent that ODC had opened a new file and that it was ODC’s position that Respondent had failed to comply with the conditions of his private probation and had again violated Rule 1.15.
¶36On October 7, 2015, the Court held a hearing and entered an Order immediately suspending Respondent from the practice of law pending the disposition of disciplinary proceedings before the Board.
¶37On December 15, 2015, Belfint Lyons submitted audit reports to the LFCP for the seven months ended December 31, 2012,
¶38At the hearing, Respondent' presented affidavits from character witnesses. Dr. Bruce G. Fay has known Respondent for ten years and been his client in several matters, and states that Respondent has always handled and allocated funds properly.
¶39III. STANDARD OF PROOF
¶40ODC must prove its. allegations of professional misconduct by clear and convincing evidence. Delaware Lawyers’ Rules of Disciplinary Procedure 15(c) & (d).
¶41IV. ANALYSIS
¶42(a) Professional Misconduct
¶43The Petition alleges five counts of professional misconduct.
¶44Count I: Delaware Lawyers’ Rule of Disciplinary Procedure 7(c)
¶45ODC alleges that Respondent committed professional misconduct by violating Delaware Lawyers’ Rule of Disciplinary Procedure Rule 7(c), which states that it shall be grounds for discipline for a lawyer to “[violate the terms of any private or public disciplinary or disability disposition.” The terms of Respondent’s private probation (to which he consented) unambiguously required Respondent to provide a pre-certifi-cation by a licensed certified public accountant for his 2014 and '2015 Certificates of Compliance. Respondent admits that he failed to comply with this condition of his private probation and states that he “stipulate[s] to the violation of [Rule], 7(c) as alleged in Count I of the Petition.”
¶46Count II: Delaware Lawyers’ Rule of Professional Conduct 1.15(d)
¶47ODC alleges that Respondent committed professional misconduct by violating Rule 1.15(d) by failing to maintain his firm’s books and records properly in 2013.
¶48Count III; Delaware Lawyers’ Rule of Professional Conduct 84(c)
¶49ODC alleges that Respondent committed professional misconduct by violating Rule 8.4(c) by filing with the Supreme Court Certificates of Compliance in 2014 and 2015 each of which contained misrepresentations to the Court relating to Respondent’s maintenance of his law office books and records. Respondent testified that he believed at the time that his representa*1231tions were accurate,
¶50Count IV: Delaware Lawyers’ Rule of Professional Conduct 84(d), With Respect to Certificates of Compliance
¶51ODC alleges that the same conduct underlying Count III (making misrepresentations in Certificates of Compliance) also establishes a violation of Rule 8.4(d), which provides that it is professional misconduct for a lawyer to “engage in conduct that is prejudicial to the administration of justice.” ‘ '
¶52Respondent admits the that he filed Certificates of Compliance that contained misrepresentations, but contends that those misrepresentations were merely negligent, and argues that his conduct violating Rule 8.4(c) does not warrant a “dupli-cative” finding of a violation of Rule 8.4(d).
¶53“The [Court] relies upon representations made by attorneys in the Certificates filed with their annual statements each year in the administration of justice governing the practice of law in Delaware.” In re Wilson, 886 A.2d 1279, 2005 WL 3485738 at *9 (Del. 2005) (TABLE). An attorney violates Rule 8.4(d) by filing an inaccurate certification with the Court with respect compliance with Rule 1.15. Id.
¶54Accordingly, the Panel finds that Respondent violated Rule 8.4(d) by filing Certificates of Complaint with the Supreme Court in 2014 and 2015 that contained misrepresentations.
¶55Count V: Delaware Lawyers’ Rule of Professional Conduct .84(d), With Respect to Violating Terms of Private Probation
¶56Finally, ODC alleges that the same conduct underlying Count I (violation of the terms of a disciplinary disposition) also establishes a violation of Rule 8.4(d), which provides that it is professional misconduct for a lawyer tc “engage in conduct that is prejudicial to the administration of justice.” Respondent admits that he did not comply with the conditions of his private probation, .but. argues that this conduct does not warrant a “duplicative” finding of a violation of Rule 8.4(d) as “conduct prejudicial to the administration of justice,”
¶57ODC contends that Respondent’s failure to comply with the conditions of his private probation led to substantial efforts by ODC to obtain compliance and ultimately to-Respondent’s interim suspension, which led in turn to the appointment of a-receiver for Respondent’s practice, Francis J. Jones, Jr., Esquire.
¶58It is clear and admitted that Respondent violated the terms of his private probation. However, the Panel finds that ODC has not proven by clear and convincing evidence that Respondent’s violation of the terms of his private probation was prejudicial to the administration of justice, and therefore finds no violation of Rule 8.4(d) on this count.
¶59(b) Sanction
¶60ODC contends that the appropriate sanction is a public reprimand and a three-year probation with conditions upon Respondent’s return to practice. ODC concedes that continued suspension is not warranted so long as appropriate conditions are imposed during a period of probation.
¶61Respondent concedes that a public reprimand and probation with conditions are appropriate and consistent with this Court’s precedent in similar cases.
¶62“The objectives of the lawyer disciplinary system are to protect the public, to protect the administration of justice, to preserve confidence in the legal profession, and to deter other lawyers from similar misconduct.” In re Bailey, 821 A.2d 851, 866 (Del. 2003). “[T]he Court looks to the ABA Standards for Imposing Lawyer Sanctions as a model for determining the appropriate discipline warranted under the circumstances of each case.” Id.
¶63“The ABA framework consists of four key factors to be considered by the Court: (a) the ethical duty violated; (b) the lawyer’s mental state; (c) the extent of the actual or potential injury caused by the lawyer’s misconduct; and (d) aggravating and mitigating factors.” Id.
¶64(i) Ethical Duty Violated
¶65As discussed above, the Panel finds by clear and convincing evidence that Respondent violated Delaware Lawyers’ Rule of Disciplinary Procedure 7(c) and Rules of Professional Conduct 1.15(d), 8.4(c) and 8.4(d).
¶66(ii) Respondent’s Mental State
¶67ODC contends that Respondent’s mental state is “knowledge.”
¶68*1233With respect to Count I (violating the terms of his private probation), ODC has proven by clear and convincing evidence that Respondent’s state of mind was “knowledge.” Although it may be that the state of mind associated with the behavior by Respondent that led to his inability to comply with the conditions of his' private probation was merely negligence, certainly Respondent knew when he filed the Certificates of Compliance that the certificates did not comply with the conditiohs of his private probation because they did not include a pre-certification by a licensed CPA.
¶69(iii) Extent' of Actual or Potential Injury
¶70ODC does not allege and has not proven any actual injury to any client or member of the public; however, failure to maintain adequate firm books and records can create the potential for injury. “[A] lawyer’s duty to maintain proper books and records exists for the purpose of protecting not only the lawyer but the lawyer’s clients, and the failure to fulfill that duty presents serious risks to the lawyer’s clients, even if no actual harm results.” In re Benson, 774 A.2d 258, 262-63 (Del. 2001); see also In re Bailey, 821 A.2d 851, 866 (Del. 2003).
¶71(iv) Aggravating and Mitigating Factors
¶72ABA Standards Section 9.1 provides that aggravating (Section 9.22) and mitigating (Section 9.32) circumstances should be considered to increase or decrease the degree of discipline imposed. In re Bailey, 821 A.2d 851, 866 (Del. 2003).
¶73Respondent’s substantial experience in the practice of law is an aggravating factor. In addition, his failure to comply with the terms of his private probation, to which he consented, and failure to address the bookkeeping and accounting issues that led to the private probation in the first place, evidence a pattern of -misconduct that is 'also an aggravating factor. The Panel finds that ODC has not demonstrated that any other aggravating factor is present.
¶74In mitigation, there is no evidence that Respondent acted with a dishonest or selfish motive. Respondent has also made full and free disclosure to the Panel and demonstrated a cooperative attitude toward the proceedings. Respondent has submitted favorable and undisputed evidence of character and" reputation, which the ODC concedes.
¶75Under ABA Standard 7.3, a reprimand is' generally appropriate whén ’ a lawyer negligently engages in conduct that is a violation of a duty owed as a professional and causes injury or potential injury to a client, the public, or the legal system. Moreover, in In re Witherell, 998 A.2d 852 (Del. 2010), the Court imposed á public reprimand and period of probation even though the respondent was found to have acted with “knowledge”- of failure to maintain financial books and records. A public sanction serves the purpose of providing notice to the legal community and the public that violations with respect to the maintenance of proper financial books and records will be dealt with appropriately. As both ODC and Respondent agree, a public sanction in this case is consistent with the Court’s precedent in similar matters. See In re Witherell, 998 A.2d 852 (Del. 2010) (listing cases).
¶76V. CONCLUSION
¶77Upon consideration ,of the foregoing, the Panel recommends that Respondent be publicly reprimanded for violation of Delaware Lawyers’ Rule of Disciplinary *1234Procedure 7(c) and Rules of Professional Conduct .1.15, 8.4(c) and 8.4(d). The Panel further recommends that Respondent’s interim suspension be lifted immediately and that Respondent be reinstated to practice with a three-year period of public probation subject to .the following conditions:
¶78(a) Within 60 days after the last day of each of the following-periods (the “Reporting Periods”): (i) the calendar quarter (e.g,, January through March) in which Respondent’s interim suspension is lifted; (ii) each subsequent calendar quarter in the year in which Respondent’s interim suspension is. lifted; (iii) the first six months of the year following the year in which Respondent’s interim suspension is lifted; (iv) the last six months of that year;- and (v) the year thereafter,
¶79Respondent shall cause to be filed with ODC either (x) a certificate that he was not the managing partner of any law firm during the Reporting Period just concluded; or (y) an affidavit by a licensed certified public accountant in a form reasonably satisfactory, to ODC, that his firm’s practice books, records and bank accounts have been maintained in, compliance with Rule 1.15 during the Reporting Period just concluded.
¶80(b) Respondent will fully cooperate with the performance of any audit of his law firm’s practice books and Records by an auditor for Lawyers’ Fund for Client Protection;
¶81(c) Pursuant to Procedural Rule 27, Respondent shall pay ODC’s costs in this disciplinary matter promptly upon the presentation of a statement of costs by ODC. Respondent shall also pay the costs of the audits performed by Master Sidlow.
¶82. 2005 WL 3485738 (Del. Nov. 9, 2005).
¶84. Id. (approving the Board’s findings of violations of Conduct Rule 1.15 A and Conduct Rule 8.4(d) for alleging compliance with Conduct Rule 1.15 A).
¶85. In re Holfeld, 74 A.3d 605, 607-08 (Del. 2013) (affirming the Board’s finding that lawyer’s failure to comply with a pre-certification condition in a private disciplinary sanction was prejudicial to the administration of justice in violation of Conduct Rule 8.4(d)).
¶86. Id. at 607-08.
¶87. See Del. Sup. Ct. R. 33(a)-(c); In re Poliquin, 49 A.3d 1115, 1139 (Del. 2012) (noting that the Court "has exclusive authority and wide latitude in determining disciplinary sanctions over lawyers.”) (internal quotation marks omitted).
¶88. See In re Feuerhake, 89 A.3d 1058 (Del.2014) (knowingly violating suspension order is prejudicial to the administration of justice); see also In re Davis, 43 A.3d 856 (Del. 2012) (same).
¶89. Petition ¶ 1; Answer ¶ 1; Transcript 38.
¶90. Transcript 40.
¶91. Petition ¶ 1; Answer ¶ 1.
¶92. Petition ¶ 2; Answer ¶ 2,
¶93. Petition ¶ 8; Answer ¶ 8.
¶94. Petition ¶ 9; Answer ¶ 9.
¶95. Transcript 55-57; see also Transcript 108-113.
¶96. Transcript 50-52; see also Transcript 100-105.
¶97. Joint Exhibit 4.
¶98. Joint pxhibit 4.
¶99. Joint Exhibit 18 (Affidavit ¶ 3).
¶101. Joint Exhibit 8.
¶102. Joint Exhibit 8.
¶103. Petition ¶ 12; Answer ¶ 12.
¶104. Joint Exhibit 8.
¶105. Transcript 63-64.
¶106. Petition 1114; Answer ¶ 14.
¶107. Petition 1116; Joint Exhibit 3.
¶108. Petition ¶ 19; Answer ¶ 19.
¶109. Transcript 64-66.
¶110. Transcript 65-66.
¶111. Joint Exhibit 22.
¶112. Joint Exhibit 9.
¶113. Joint Exhibit 18 (Affidavit ¶ 6).
¶114. Joint Exhibit 10.
¶115. Joint Exhibit 23.
¶116. Joint Exhibit 11.
¶117. Joint Exhibit 12.
¶118. Joint Exhibit 13.
¶119. Transcript 162.
¶120. Joint Exhibit 14.
¶121. Joint Exhibit 15.
¶122. Joint Exhibit 16.
¶123. Joint Exhibit 21.
¶124. Joint Exhibit 19.
¶125. Joint Exhibit 18 (Affidavit ¶ 8).
¶126. Petition ¶¶ 17, 27.
¶127. Joint Exhibit 18 (Affidavit ¶ 12).
¶128. Transcript 42 et seq.
¶129. Transcript 49-50, 52-53, 57.
¶130. Joint Exhibit 18 (Affidavit ¶ 14).
¶131. Transcript 14-15, 106-07,' 130-31.
¶132. Joint Exhibit 19 at ¶ 4.
¶133. Transcript 157-58.
¶134. Transcript 148.
¶135.Transcript 133-135.
¶136. Transcript 138.