OPINION OF THE COURT
In a declaratory judgment action, plaintiff moves for an order disqualifying defense counsel from representing the insurer and the named insured. Plaintiff contends that defense counsel is representing adverse interests in violation of public policy as set forth in the Code of Professional Responsibility. Defense counsel sought to be disqualified argues that there is no conflict of interest in the dual representation, that plaintiff lacks standing to make this motion since defense counsel never represented him nor had a fiduciary relationship with him and, if standing exists and a conflict of interest is found, the parties represented by defense counsel have consented to the representation notwithstanding the conflict.
Some time in 1989, Wayne Degroat’s mother complained that her son, then 11 years of age and a residential student at the New York School For The Deaf (hereinafter referred to as the School) had been sexually assaulted on school premises during the period September 1988 through March 1989 by staff members. The District Attorney investigated the allegations and found no proof of staff misconduct. The New York State Department of Social Services investigated and specifically found that no charges against Charles Booth, a staff employee of the School, were warranted.
In December 1990, purportedly by summons only, an action was commenced in the Supreme Court, Westchester County, entitled Degroat v New York School For Deaf (index No. 13034/ 91).
Defendant Continental Insurance Company (now known as CNA Insurance Company but hereafter referred to as Continental) provided a defense to the School, through the law firm of Beesecker & Koors, under a reservation of rights by reason of a sexual molestation exclusion in the general liability policy issued to the School. Continental refused to provide a defense for Mr. Booth who retained counsel to defend him.
In April 1995, Booth commenced the subject declaratory judgment action in which he seeks an adjudication of his rights
In the underlying personal injury action, the School’s answer denies that sexual molestation occurred. In the declaratory judgment action, the insurer and the School allege that no coverage exists by reason of the sexual molestation exclusion and by way of an affirmative defense of unclean hands allege that Mr. Booth committed sexual assaults on the infant.
In June 1995, Continental and the School moved for summary judgment. Plaintiff cross-moved for similar relief and for disqualification of movants’ defense counsel. In response to the cross motion, said defense counsel produced an affidavit from Michael Leary, Director of Fiscal Affairs of the School. That affidavit referred to the insurer’s providing a defense in the Degroat action and its prior request of the School to permit it to be defended by the same firm as was defending Continental in the action for declaratory judgment. The affidavit states in part:
"4. The School still believes there is no conflict with such a joint defense.”
In July 1995, a supplemental amended complaint was served in the Degroat action. It added two additional causes of action for negligent supervision of Booth by Doonan and of Doonan by Booth. Presumably, amended answers were served but copies have not been submitted herein.
In view of the amended complaint, the parties withdrew the motion and cross motion in the declaratory judgment action. Subsequently, in August 1995, plaintiff moved again to disqualify Simpson, Thacher & Bartlett. Defense counsel opposes the motion for the reasons expressed at the outset of his opinion and also notes that prior to the original representation of the School herein and after the cross motion to disqualify, the School, as before, was counseled by its regular outside attorney, Eugene Farabaugh, Esq., of Milbank, Tweed, Hadley & McCloy, who advised the School to permit Simpson, Thacher & Bartlett to represent it and to continue to do so.
STANDING TO SUE
Standing to sue is a party’s ticket to ride or recognition of a party’s right to proceed with presentment of a claim for adjudication. (Black’s Law Dictionary 1405-1406 [6th ed].) Standing principles "are in the end matters of policy, [and] should not be heavy-handed”, so that where the petitioning party has a legally cognizable interest, standing exists. (Matter of Sun-Brite Car Wash v Board of Zoning & Appeals,
Simpson, Thacher & Bartlett cite several cases for the proposition that one who did not have a prior or current relationship with counsel sought to be disqualified lacks standing to present the issue. (See, e.g., Matter of Reichenbaum v Reichenbaum & Silberstein,
However, there are exceptions to the general rule. It has been held that "since an attorney has the authority and obligation to bring a possible ethical violation to the attention of the court * * * the adverse party may properly move to disqualify the attorney for an opposite party on the ground of conflict of interest.” (7A CJS, Attorney and Client, § 157, at 224; SMI Indus. Canada v Caelter Indus.,
In Rowe v De Jesus (
In Wagenheim v Pomerantz (NYLJ, July 7, 1970, at 13, col 7 [Sup Ct, Westchester County]) an infant plaintiff passenger in a two-car accident originally sued the owner and driver of one car and not the infant’s father, the owner of the second vehicle. Subsequently, the father was added as a party defendant. Plaintiff’s attorney previously represented the father on matters unrelated to the litigation and may have been retained by him to prosecute the action. Counsel assigned to the father by the insurance company to defend him, interestingly the same carrier as at bar, moved to disqualify the plaintiff’s attorney on the ground that the father may have imparted confidential information to him. The father did not direct the making of the motion and did not actively support it.
Justice Gagliardi recognized the general rule "the motion to disqualify an attorney for alleged adverse interest is the personal right of the former client, which may not be utilized by an adverse party” (supra, at 13, col 8). The court then held that the insurer was the real party in interest in the action and on the motion. It concluded that standing existed in the
Similarly instructive is Justice Lazer’s opinion in Island PaVin Corp. v Klinger (
A motion to disqualify counsel is addressed to the sound discretion of the court. (Matter of Kelly v Greason,
Under the totality of circumstances present herein— where the plaintiff clearly has a nexus to the insured as its former employee and is seemingly a third-party beneficiary of the policy in question — the court finds that plaintiff has a cognizable interest to make the subject motion but, in any event, the court sua sponte raises the issue whether defense counsel is improperly serving adverse interests.
DUAL REPRESENTATION — ADVERSE INTERESTS
(The court discussed relevant provisions of the Code of Professional Responsibility and case law concerning dual representation of adverse interests.)
Insured and Insurer
An attorney owes his client undivided loyalty and allegiance. (6 NY Jur 2d, Attorneys at Law, § 70.) ""When counsel, paid by an insurance company, undertakes to represent the policyholder, he owes to his client, the insured, an undeviating and single allegiance. If there is a conflict of interest, he cannot continue to represent both the insurer and the insured.” (Id., at 547-548; Feliberty v Damon,
Generally, where some claims alleged in a complaint arguably fall within the coverage of a policy and others are not
If Simpson, Thacher & Bartlett is successful in this action in establishing the validity of the exclusion in the policy, such success inures to the benefit of Continental Insurance Company, not the School. Furthermore, the contents of the joint answer in this action which alleges that plaintiff committed the acts in question are at distinct variance with the School’s defense in the underlying action. It may be that the judicial admissions herein will be received against the School in the underlying action, even if the School is permitted to separately answer herein. (Bogoni v Freidlander,
Explicit in defense counsel’s argument herein is that if sexual molestation occurred, then there is no coverage, a position urged primarily for the benefit of the insurer, and, in the underlying action there is no liability on the part of the School under respondeat superior because Mr. Booth, the School’s employee, was acting on his own and not within the scope of his apparent or actual authority. (Cornell v State of New York,
Furthermore, the prime argument advanced on the merits that the underlying act falls within the policy exclusion leaves the School potentially exposed on the claims that its representatives said insurance coverage existed for sexual molestation claims and in breach of contract for failing to provide such coverage.
In any event, it is clear that an actual conflict exists in the joint representation as evidenced by the legal positions staked out in both actions, which oppose each other. Mr. Booth has always and consistently denied he committed the acts in question. The School agrees with that position in the underlying action. Two investigations by prosecutorial and administrative agencies have resulted in a failure to file charges against Mr. Booth or have exonerated him. Without explanation, the insurer and insured now say Mr. Booth did perform the dastardly acts but offer not one scintilla of evidence to support that allegation. Advantage insurer; disadvantage School.
Under these circumstances, the court concludes that defense counsel is not serving the interests of one of its clients, the School, has taken a position herein on its behalf that is diametrically opposed to the one asserted by the School in the underlying action and is engaged in improper dual representation of antagonistic interests.
Consent
In certain situations, possibly even where an attorney represents adverse interests, consent of the client after full disclosure requires denial of a motion for disqualification. (7A CJS, Attorney and Client, § 156; 7 Am Jur 2d, Attorneys at Law, § 185.) However, sometimes even with full disclosure and
An attorney may represent adverse interests only in "exceptional” cases. (Eisemann v Hazard,
The prophylactic rule against representation of mutually adverse interests cannot be waived in these circumstances. It has been said: "But because the attorney owes fiduciary duties to his client, the profession can and should place limits on the power of a client to waive his rights beyond a minimum level of effective assistance and attorney loyalty * * * In short, at some point a client must lose the power to consent to an attorney’s conflict of interest since the client cannot waive all of the attorney’s professional obligations.” (Note, Developments— Conflicts of Interest, 94 Harv L Rev 1244, 1305 [1981].)
Consequently, even if the School’s consent for Simpson, Thacher & Bartlett to proceed on its behalf, because the School perceived no conflict of interest, could be construed as full consent after disclosure, a dubious proposition, the court rejects such consent, for to give it effect would unduly affect the integrity of the legal process and public interest.
CONCLUSION
No material factual issues have been raised on this motion which requires a hearing. (O’Donnell, Fox & Gartner v R-2000 Group,
The School shall retain counsel of its own choice (other than Simpson, Thacher & Bartlett) to represent it in this action, the reasonable expenses thereof, including attorney’s fees, to be paid by the insurer. (Public Serv. Mut. Ins. Co. v Goldfarb,
Notes
. A review of the County Clerk’s file in the Degroat action indicates that a complaint alleging sexual assaults was served, which named only the School.
. The County Clerk’s file in the Degroat action reveals that Booth’s attorneys (the predecessor of the law firm representing him as plaintiff in this action) served an answer and otherwise participated in pretrial activity. The answer denies the essential allegations, as Mr. Booth has done by affidavit, and contains a cross claim against Mr. Doonan.
. In an affidavit in the Degroat action, Mr. Booth stated that he had been employed part time by the School from 1981 to 1990, earned $14,000 annually, was a "Night Cottage Parent” and "Dorm Parent”, has a Master’s degree in social work, was reinstated after the District Attorney refused to file charges and voluntarily resigned thereafter in 1990.
. The Degroats and Doonan were not served with copies of the motion initiated by order to show cause because the court considered that they had no legal interest in the outcome of the disqualification motion. (CPLR 2103 [e].) However, Degroat’s attorney was aware of the subject motion and had an opportunity to state his clients’ position at a conference with the court. Doonan has not been served with process yet.
