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Opinion 255
Use of Former Firm Lawyer on a Contract Basis
A law firm and a former firm lawyer employed by the firm by contract
on a case-by-case basis are not regarded as a single entity for conflicts
purposes so long as clients of the firm are accurately informed about
the nature of the relationship between the firm and the contract lawyer
and so long as no impression is created that there is a continuing relationship
between the firm and the lawyer.
Applicable Rules
- Rule 1.5(e) (Division of Fees)
- Rule 1.7(b)(4) (Conflicts Created by Lawyer’s Own Interests)
- Rule 1.10(a) (Imputed Disqualification)
- Rule 7.1(a) (Communications Regarding a Lawyer’s Services)
Inquiry
The Inquirer is a law firm (the Firm) that is engaged in the practice
of law in the District of Columbia and is incorporated under the D.C.
Professional Corporations Act. One of its shareholder lawyers, whom we
will refer to as B, is terminating his employment agreement with the Firm
and his general association with the Firm as a practicing lawyer,
although he will remain a shareholder in the Firm (as permitted by D.C.
Code § 29-608) unless and until his shares are bought out by the
Firm.
B will no longer, however, share in any profits
or losses of the Firm, and his name will not appear in the Firm’s letterhead
or in any lists of Firm lawyers in Martindale-Hubbell or similar publications.
B will become an officer of Corporation X, but his position with Corporation
X will not involve the provision of legal services. Corporation X will
sublease space from the Firm and B will occupy that subleased space. The
sublease contains a provision obligating Corporation X and its employees,
including B, to refrain from listening to or examining matters pertaining
to firm clients or firm business. The Firm has also established a screening
system and taken other steps to assure that no confidential information
of the Firm or its clients is made available, without authorization, to
Corporation X or to B. In addition, B will be excluded from the Firm’s
conflict clearance system and will thus not have access to information
about new client matters of the Firm.
Because of B’s expertise in a specialized area
of the law in which the Firm will continue to practice, the Firm contemplates
an arrangement with B, to which Corporation X has consented, in which
it proposes to employ B from time to time, as an independent contractor,
to assist the Firm as a lawyer or expert witness in providing legal services
to the Firm’s clients. The Firm and B contemplate entering into a general
contract, under which B would agree to consider serving in particular
matters as a contract attorney (designated as “special counsel”)
or as an expert witness, or individual matter-specific contracts on each
matter on which B is retained by the Firm. B will not be guaranteed any
particular amount of payments from the Firm.
The Firm also proposes to include in promotional
materials and letters to clients representations that B’s services are
available to the Firm in his field of expertise when such services may
be ethically provided and subject to his obligations to Corporation X.
On
the basis of these facts, the Firm requests our advice as to (1) whether
the arrangements it contemplates will result in imputation to the Firm
under Rule 1.10 of any disqualification of B flowing from his status as
an executive of Corporation X in matters in which B is not assisting the
firm as an independent contractor; and (2) whether the representations
that the Firm intends to make in promotional letters to clients are consistent
with Rule 7.1.
Discussion
When B becomes an employee of Corporation X, he will not be acting
as a lawyer for Corporation X. Most of the provisions of Rule 1.7, therefore,
would not apply to work done by B as a contract lawyer for the Firm because
they are triggered by a lawyer representing clients in more than one matter.
However, B’s position with Corporation X could result in B’s disqualification,
under Rule 1.7(b)(4),1
from representing a client in a situation in which his professional judgment
on behalf of that client would, or reasonably might, be adversely affected
by B’s responsibilities to Corporation X or his interest in Corporation
X created by his high-level executive position.
In any case in which B would be disqualified
from representing a client under Rule 1.7(b)(4) because of his responsibilities
to or interest in Corporation X, the Firm clearly would also be disqualified
under Rule 1.10(a) if B were associated with the Firm in that representation
as a contract lawyer.2 The question posed by the Inquiry is whether the
Firm’s contemplated relationship with B is a sufficiently ongoing alliance
or association to impute to the Firm B’s disqualifications even on Firm
matters on which B is not working as a contract lawyer.
We think not. To be sure, both this Committee
and the ABA Standing Committee on Ethics and Professional Responsibility
have held that a continuing “of counsel” relationship between
a lawyer and a firm or a continuing relationship between two firms (as
in the case of a “correspondent” law firm) result in the lawyer
and the Firm, or the two firms, being treated as a single entity for conflicts
purposes. See D.C. Opinion No. 192 (May 17, 1988); ABA Formal Opinion
No. 84-351 (October 20, 1984). But, in our view, the association of a
lawyer with a firm on an ad hoc, case-by-case basis does not create that
kind of continuing relationship, triggering imputation under Section 1.10
of the individual lawyer’s disqualifications to the firm, except with
respect to the individual matters on which the lawyer is associated with
the firm—so long as the firm does not create the impression among
its clients or the public at large that such a continuing relationship
exists.
Here, B will not be included on the Firm’s letterhead
or in other listings of firm lawyers. He will be screened from confidential
information about Firm clients and matters on which he is not employed
as an independent contractor. And promotional materials and letters to
clients that mention his availability will make clear that he is available
to work on specific matters on a case-by-case basis and that he does not
have a continuing relationship with the Firm. We believe these steps are
sufficient to avoid a general imputation of B’s disqualifications to the
Firm. See ABA Formal Opinion 88-356 (Dec. 16, 1988).
We add, however, a cautionary note. We believe
that the term “special counsel” should not be used to describe
B’s relationship to the Firm. While the term might be appropriately thought
to denote a relationship for the particular case only, we note that the
term “special counsel” is also used by many law firms more or
less interchangeably with terms such as “counsel” and “of
counsel,” to denominate a continuing relationship. See ABA Formal
Opinion 90-357 (May 10, 1990). While it may be true that all these terms
have an evolving rather than a fixed meaning (see D.C. Opinion No. 151
(April 16, 1985)), we think that the Firm in this case would be well-advised
to refer to B as a “consultant” or “contract lawyer”
rather than a “special counsel.”
The same caveat applies to the second question
raised by the Inquiry. We see no violation of Rule 7.13 in the Firm’s
plans to describe for prospective clients, in promotional materials and
letters, the availability of B as a contract lawyer or expert witness
in particular cases. The key here is full and accurate disclosure. As
the ABA Committee had occasion to observe recently in the context of discussing
networks or alliances between law firms, “It is critical, no matter
what words are used to describe the relationship between firms, for clients
to receive information that will tell them the exact nature of the relationship
and the extent to which resources of another firm will be available in
connection with the client’s retention of the firm that is claiming the
relationship.” ABA Formal Opinion 94-388 (December 5, 1994). The
mandate of Rule 7.1 can be met only if a full description of the relationship
is provided to all prospective and present clients for whom the relationship
may be relevant. Id.
The same principles apply here, and we conclude
that the planned representations by the Firm as to its relationship with
B are adequate to assure compliance with Rule 7.1. We again recommend,
however, that the Firm not use the term “special counsel” to
describe B’s relationship to the Firm.
Inquiry No. 95-2-3
Adopted: March 21, 1995
- Rule 1.7(b)(4) provides that a lawyer shall
not, without the consent of the client, represent a client where “the
lawyer’s professional judgment on behalf of the client will
be or reasonably may be adversely affected by the lawyer’s responsibilities
to or interests in a third party or the lawyer’s own financial,
business, property, or personal interests.”
- Since B will be employed and compensated
by the Firm, this situation is different from the common one in which
two lawyers in different firms are co-counsel in a case. In such situations,
conflicts of one lawyer are not imputed to the other, at least in the
absence of an exchange of confidential information. E.g., Richers v.
Marsh & McLennon Group Associated, 459 N.W.2d 478 (Iowa 1990);
Brennan’s Inc. v. Brennan’s Restaurants, Inc., 590 F.2d
168 (5th Cir. 1979).
- Rule 7.1 bars false or misleading communications
about a lawyer’s services.
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