Court Opinion

ID: 5835283
Source: CourtListenerOpinion
Date Created: 2022-01-12 22:36:40.001379+00
Date Added: 2024-06-11T08:43:35.156073
License: Public Domain

Hopkins, J.,
dissents and votes to reverse the judgment and order a new trial, with the following memorandum: We remitted this case to the County Court, Orange County, to hear and report on the denial of the defendant’s motion to disqualify the District Attorney and to appoint a special prosecutor (People v De Freese, 63 AD2d 653). The report of the County Court Judge finds that Norman Shapiro, Chief Attorney for the Legal Aid Society of Orange County, represented the defendant after the defendant’s indictment at the arraignment of the defendant on November 6, 1974. The record further indicates that by notice of motion dated September 6, 1974, Mr. Shapiro, while representing the defendant, moved for an order directing , a mental examination to determine the defendant’s competency to stand trial and to assist in his defense, and further determine whether the defendant suffered from a mental disease or defect. That motion on behalf of the defendant was granted. In an affidavit in support of the motion Mr. Shapiro stated: "2. That the defendant does not appear to fully understand the charge against him, and has exhibited suidical [sic] tendencies while in confinement at the Orange County Jail.” After August 19, 1975 Mr. Shapiro became District Attorney of Orange County. The defendant was thereafter prosecuted by Assistant District Attorney Zeccola, under an assignment from Assistant District Attorney Martin Goldberg. The report finds that Mr. Shapiro, while District Attorney, placed Mr. Goldberg in charge of all cases within the District Attorney’s office in which the Legal Aid Society represented the defendant before Mr. Shapiro became District Attorney and while Mr. Shapiro was the Chief Attorney of the Legal Aid Society. The report further finds that there was no actual prejudice to the defendant by the denial of the defendant’s motion since Mr, Shapiro, while District Attorney, had insulated himself from the defendant’s case. In my view, actual prejudice must be found to have resulted to the defendant by Mr. Shapiro’s actions. Mr. Shapiro personally represented the defendant at the arraignment. Necessarily, Mr. Shapiro, in order to properly represent the defendant at that time, must have discussed with the defendant the facts *691and circumstances of the case and defendant’s defense—particularly since a plea of not guilty was entered by the defendant. Moreover, the affidavit of Mr. Shapiro indicates that he had consulted with the defendant. I do not consider it of any moment that Mr. Shapiro attempted to insulate himself from the defendant’s case while Mr. Shapiro was District Attorney. In Cardinale v Golinello (43 NY2d 288, 295-296), the court said: "The constraints imposed by ethical precepts apply equally to all lawyers in a firm such as that which originally represented Golinello; if one lawyer would be disqualified from undertaking a subsequent representation, then all the attorneys in the firm are likewise precluded from such representation. (Cf. Seaward v Tasker, 143 NYS 257, revd on other grounds 171 App Div 964.) Thus, in this instance, if John Somers would be precluded from representing plaintiffs in this action so would Mr. Schiller. No one would seriously contend that Mr. Somers, having once represented Golinello in connection with the purchase of Cross County stock, would now be free to represent plaintiffs in their assertion of claims against Golinello arising out of the same transaction. 'Both the fiduciary relationship existing between lawyer and client and the proper functioning of the legal system require the preservation by the lawyer of confidences and secrets of one who has employed or sought to employ him’ (Code of Professional Responsibility, EC 4-1). 'The obligation of a lawyer to preserve the confidences and secrets of his client continue after the termination of his employment’ (op. tit., EC 4-6). 'The obligation [of an attorney] to represent the client with undivided fidelity and not to divulge his secrets or confidences forbids also the subsequent acceptance of retainers or employment from others in matters adversely affecting any interest of the client with respect to which confidence has been reposed’ (former canon 6 of the Canons of Professional Ethics). The proscription against taking a case against a former client is predicated, however, on more than the possibility of use in the second representation of information confidentially obtained from the former client in the first representation. The limitation arises simply from the fact that the lawyer, or the firm with which he was then associated, represented the former client in matters related to the subject matter of the second representation. Accordingly, it is no answer that the lawyer did not in fact obtain any confidential information in connection with the first employment, or even that it was only other members of his firm who rendered the services to the client. Irrespective of any actual detriment, the first client is entitled to freedom from apprehension and to certainty that his interests will not be prejudiced in consequence of representation of the opposing litigant by the client’s former attorney. (Drinker, Legal Ethics, pp 109, 115.) The standards of the profession exist for the protection and assurance of the clients and are demanding; an attorney must avoid not only the fact, but even the appearance, of representing conflicting interests (Rotante v Lawrence Hosp., 46 AD2d 199; Edelman v Levy, 42 AD2d 758). '[W]ith rare and conditional exceptions, the lawyer may not place himself in a position where a conflicting interest may, even inadvertently, affect, or give the appearance of affecting, the obligations of the professional relationship’ (Matter of Kelly, 23 NY2d 368, 376).” Once Mr. Shapiro had obtained knowledge concerning the case from the defendant, he should have acquiesced in the motion of the defendant for the assignment of a special prosecutor, and thus removed himself and his office from any appearance of conflict of interest. This case is unlike other cases in which a claim has been made that a lawyer representing several defendants placed himself in a position of representing conflicting interests (cf. People v Wilkins, 28 NY2d 53, 55; Glasser v United *692States, 315 US 60). In those instances, a demonstration of actual prejudice must be shown. In this case the conflict arises not from the representation by a single attorney of conflicting interests of several codefendants in a criminal case, but from the conflicting interest necessarily arising from the prior representation of the defendant by the prosecutor as the defendant’s attorney in the same criminal case. People v Cruz (55 AD2d 921; 60 AD2d 872) is distinguishable. There, there was no showing that Mr. Shapiro had any contact with the defendant while he was Chief Attorney of the Legal Aid Society, except to represent him on a bail application. Clearly, in this case, Mr. Shapiro’s representation of the defendant upon defendant’s arraignment required full knowledge of defendant’s defense in order for him to represent the defendant properly at the arraignment. As Judge Jasen said in People v Wilkins (28 NY2d 53, 55-56, supra): "That is not to say, however, that a defendant would not be denied his constitutional right of effective counsel, if the same lawyer represented conflicting interests without his knowledge and assent. (Glasser v. United States, 315 U. S. 60; United States v. Hayman, 342 U. S. 205; People v. Byrne, 17 N Y 2d 209; Porter v. United States, 298 F. 2d 461; United States ex rel. Miller v. Myers, 253 F. Supp. 55; People v. Stoval, 40 111. 2d 109.)” Hence, I vote to reverse and order a new trial.