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Nature of Suit Code: 360
Nature of Suit: Other Personal Injury
Cause of Action: 

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*

The Honorable Alan D. Lourie, Circuit Judge for the United States Court of

Appeals for the Federal Circuit, sitting by designation.

NOT PRECEDENTIAL

UNITED STATES COURT OF APPEALS

FOR THE THIRD CIRCUIT

_____________

No. 09-2856

_____________

THERESE FLAHERTY-WIEBEL, 

 Appellant

v.

MORRIS, DOWNING & SHERRED; 

DAVID L JOHNSON

On Appeal From the United States District Court 

for the District of New Jersey

(07-cv-3150)

District Judge: Honorable Stanley R. Chesler

Submitted Under Third Circuit LAR 34.1(a)

February 25, 2010

Before: CHAGARES, STAPLETON, and LOURIE,*

 Circuit Judges.

(Filed June 10, 2010)

_____________

OPINION OF THE COURT

_____________

CHAGARES, Circuit Judge.

Plaintiff Therese Flaherty-Wiebel (“Flaherty”) appeals from the District Court’s

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final order dismissing this action for failure to state a claim upon which relief may be

granted pursuant to Federal Rule of Civil Procedure 12(b)(6). We will affirm.

I.

Because we write solely for the benefit of the parties, we will only briefly

summarize the essential facts. Unless otherwise noted, these facts are derived from the

First Amended Complaint filed February 12, 2009. Appendix (“App.”) 23-52. In March

1998, Flaherty became engaged to be married to Paul Wiebel (“Wiebel”). At the time,

Flaherty lived in New York City, and Wiebel lived in Bernardsville, New Jersey. Since

Flaherty was reluctant to give up her home in New York City, Wiebel suggested that they

purchase a multi-tenant property in New York City that could serve as Flaherty’s

residence and provide rental income. Flaherty found a townhouse located at 50 West

86th Street, New York, New York (the “Property”), which contained several residential

units and commercial spaces. Flaherty thereafter rented an apartment at the Property,

which she made her residence. Wiebel negotiated the purchase of the Property and

created an entity known as 50 West 86th Street, LLC (the “Entity”) to purchase the

Property. On February 18, 1999, the Entity purchased the Property.

David Johnson, Esq., of the law firm Morris, Downing & Sherred, LLP, was a

long-time friend and business associate of Wiebel. At Wiebel’s request, Johnson drafted

a will, power of attorney, and health care directive for Flaherty. He forwarded drafts of

these documents to Flaherty on February 22, 1999. In addition, in October 1999, Johnson

and his law firm performed preliminary work regarding a personal injury that Flaherty

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had sustained, but Flaherty decided not to pursue the matter.

Flaherty and Wiebel were scheduled to be married on September 25, 1999, but on

August 26, 1999, Flaherty ended their engagement. Flaherty and Wiebel then became

engaged for a second time on April 21, 2001, with plans to be married on September 1,

2001. In August 2001, Wiebel presented Flaherty with a pre-nuptial agreement. Wiebel

told Flaherty that Johnson and his law firm had drafted the document as Wiebel’s

attorneys and that she should not contact them about the agreement. Flaherty

acknowledges that she was represented by separate counsel during the negotiation of the

pre-nuptial agreement. See Flaherty Reply Br. 14. 

The pre-nuptial agreement stated that Flaherty owned 49 percent of the Entity and

that Wiebel owned 51 percent of the Entity. It provided that once Flaherty and Wiebel

were married, Wiebel would give Flaherty an additional 1 percent interest, such that they

would each own 50 percent of the Entity. In fact, Wiebel owned 99 percent of the Entity,

and the remaining 1 percent was owned by Wiebel’s son. On August 28, 2001, Flaherty

executed the pre-nuptial agreement. Flaherty and Wiebel were married on September 1,

2001.

On May 31, 2005, Wiebel filed a complaint for divorce. Flaherty and Wiebel were

divorced on November 8, 2006, at which time they signed a Property Settlement

Agreement. Flaherty alleges that she was disadvantaged in the divorce negotiations

because the pre-nuptial agreement misrepresented her ownership interest in the Entity.

Flaherty filed a Complaint in District Court against Johnson and the law firm of

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Morris, Downing & Sherred (collectively the “defendants”). On January 12, 2009, the

District Court granted the defendants’ first motion to dismiss, dismissing the Complaint

without prejudice and granting Flaherty leave to amend the Complaint. Flaherty filed the

First Amended Complaint on February 12, 2009. On June 2, 2009, the District Court

granted the defendants’ second motion to dismiss, dismissing the case with prejudice.

On June 23, 2009, Flaherty timely appealed.

II.

The District Court had jurisdiction pursuant to 28 U.S.C. § 1332(a), and we have

jurisdiction pursuant to 28 U.S.C. § 1291. We review de novo a district court's dismissal

of an action pursuant to Rule 12(b)(6). Rodriguez v. Our Lady of Lourdes Med. Ctr., 552

F.3d 297, 302 (3d Cir. 2008). In deciding a motion to dismiss, courts generally must

“accept all factual allegations as true, construe the complaint in the light most favorable

to the plaintiff, and determine whether, under any reasonable reading of the complaint,

the plaintiff may be entitled to relief.” Phillips v. County of Allegheny, 515 F.3d 224,

231 (3d Cir. 2008) (quoting Pinker v. Roche Holdings Ltd., 292 F.3d 361, 374 n. 7 (3d

Cir. 2002)). To withstand a Rule 12(b)(6) motion, “a complaint must contain sufficient

factual matter, accepted as true, to ‘state a claim to relief that is plausible on its face.’” 

Ashcroft v. Iqbal, ___ U.S. ___, 129 S.Ct. 1937, 1949 (2009) (quoting Bell Atl. Corp. v.

Twombly, 550 U.S. 544, 570 (2007)).

III.

Flaherty argues that the District Court erred by dismissing her complaint for failure

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The parties agree that New Jersey law applies in this diversity action.

5

to state a claim. She presents several potential theories of liability. First, she argues that

the defendant committed legal malpractice through alleged violations of the New Jersey

Rules of Professional Conduct. Second, she asserts that the defendants breached duties

owed by attorneys to non-clients through alleged misrepresentations regarding the prenuptial agreement. Third, she claims that the defendants breached their contract with

Flaherty. We agree with the District Court that Flaherty has failed to advance a viable

theory of liability under any of these potential causes of action.

A.

Flaherty argues that District Court erred by dismissing her claims based on alleged

violations of the New Jersey Rules of Professional Conduct. New Jersey law1

 does not

recognize an independent cause of action for the violation of the Rules of Professional

Conduct, but violations of these rules may be used to support a claim of legal malpractice. 

Baxt v. Liloia, 714 A.2d 271, 275-76 (N.J. 1998). New Jersey courts have defined legal

malpractice as “negligence relating to an attorney’s representation of a client.” Sommers

v. McKinney, 670 A.2d 99, 103 (N.J. Super. Ct. App. Div. 1996). The elements of a legal

malpractice claim are: “(1) the existence of an attorney-client relationship creating a duty

of care by the defendant attorney, (2) the breach of that duty by the defendant, and (3)

proximate causation of the damages claimed by the plaintiff.” McGrogan v. Till, 771

A.2d 1187, 1193 (N.J. 2001) (citing Conklin v. Hannoch Weisman, 678 A.2d 1060, 1070

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(N.J. 1996)).

In this case, Flaherty has not alleged facts that support the existence of an attorneyclient relationship with the defendants. As Flaherty admits, Wiebel notified Flaherty that

the defendants represented Wiebel and drafted the documents as Wiebel’s attorneys, and

that Flaherty should not contact the defendants about the pre-nuptial agreement. See

App. 33 (First Am. Compl. ¶ 73). Moreover, Flaherty was represented by her own

counsel during the negotiation of the pre-nuptial agreement. See Flaherty Reply Br. 14. 

Although the defendants had previously drafted estate planning documents for Flaherty,

see App. 27-28 (First Am. Compl. ¶¶ 37-40), Flaherty’s allegations do not establish an

attorney-client relationship with respect to the pre-nuptial agreement. Since Flaherty was

not represented by the defendants during the negotiation of the pre-nuptial agreement, she

cannot sustain a claim for legal malpractice based on their performance in drafting this

agreement. The District Court properly dismissed Flaherty’s claims based on alleged

violations of the New Jersey Rules of Professional Conduct and legal malpractice.

B.

Flaherty also argues that the District Court erred by dismissing her claim based on

the limited duties owed by attorneys to non-clients. Under New Jersey law, “attorneys

may owe a limited duty in favor of specific non-clients.” Petrillo v. Bachenberg, 655

A.2d 1354, 1357 (N.J. 1995). Specifically, “‘a member of the bar owes a fiduciary duty

to persons, though not strictly clients, who he knows or should know rely on him in his

professional capacity.’” Id. at 1358 (quoting Albright v. Burns, 503 A.3d 386, 389 (N.J.

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Super. Ct. App. Div. 1986)). This duty to non-clients is limited to “situations in which

the lawyer intended or should have foreseen that the third party would rely on the

lawyer’s work.” Id. at 482. “If the attorney[’]s actions are intended to induce a specific

non-client[’]s reasonable reliance on his or representations, then there is a relationship

between the attorney and the third party.” Banco Popular N. Am., 876 A.2d 253, 265

(N.J. 2005). “Contrariwise, if the attorney does absolutely nothing to induce reasonable

reliance by a third party, there is no relationship to substitute for the privity requirement.”

 Id.

In Petrillo, for example, the Supreme Court of New Jersey held that an attorney

representing the seller of property has a duty not to provide misleading information

regarding the property to potential buyers who the attorney knew, or should have known,

would rely on the information. 655 A.2d at 1355. The court reasoned that “like certified

public accountants or other professionals involved in commercial transactions, a lawyer’s

duty may run to third parties who foreseeably rely on the lawyer’s opinion or other legal

services.” Id. at 1360. To determine whether an attorney may be liable to a third party

for statements made in a document the attorney has prepared, the court must “ascertain

the purpose” of the document. Id. at 1361. “The objective purpose of documents such as

opinion letters, title reports, or offering statements, and the extent to which others

foreseeably may rely on them, determines the scope of a lawyer’s duty in preparing such

documents.” Id.

We agree with the District Court that the limited duty owed by attorneys to nonCase: 09-2856 Document: 003110177128 Page: 7 Date Filed: 06/10/2010
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clients recognized in Petrillo does not extend to the circumstances alleged in this case. 

Defendant Johnson drafted the legal agreement memorializing the agreement reached

between Weibel and Flaherty. As the District Court reasoned:

[A]n attorney who puts into writing an agreement between two parties does

not vouch for the representations either party has made to the other. The

attorney only puts into writing the representations that the parties intend to

make to each other. The act of drafting does not make the attorney

responsible for the accuracy of the statements placed on paper.

App. 7. Unlike the property reports compiled by the defendant in Petrillo, the “objective

purpose” of the pre-nuptial agreement drafted by Johnson was not to induce Flaherty into

relying on the representations it contained. Petrillo, 655 A.2d at 1361. Rather, the

purpose of this document was to memorialize the party’s mutual agreement. The District

Court properly dismissed Flaherty’s claim based on the defendant’s alleged breach of the

duty owed to non-clients.

C.

Flaherty’s final argument is that the District Court erred by dismissing her claim

for breach of contract. Under New Jersey law, to state a claim for breach of contract, the

plaintiff must allege facts establishing that “the parties entered into a valid contract, that

the defendant failed to perform his obligations under the contract and that the plaintiff

sustained damages as a result.” Murphy v. Implicito, 920 A.2d 678, 689 (N.J. Super. Ct.

App. Div. 2007). In this case, Weibel has alleged merely that she “entered into a contract

with Defendants when she retained Defendant Johnson and Defendant Firm to act as her

attorneys and represent her for estate planning purposes.” App. 50 (First Am. Compl. ¶

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179). She asserts that “Defendants actions and inactions constituted a breach of the

contract entered into by them with Plaintiff,” App. 51 (First Am. Compl. ¶ 185), but she

has not identified any specific ways in which the defendants breached their obligations

under the contract to provide estate planning services. The District Court properly

dismissed her breach of contract claim.

IV.

For the foregoing reasons, we will affirm the judgment of the District Court.

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