Injured in a fall, the plaintiff Loretta R. De-Vaux wrote a letter to the defendant, Attorney Frank J. McGee, requesting legal assistance in regard to a possible tort claim. The defendant did not discover the plaintiff’s letter, however, before the statute of limitations had run. Thereafter, the plaintiff sued the defendant attorney for malpractice, and the defendant’s insurance company was impleaded as a third-party defendant.
Pursuant to Mass. R. Civ. P. 53 (a),
Relying on an affidavit and the master’s report, the defendants moved for summary judgment.
4
See Mass. R. Civ. P. 56 (b),
*816
The judge granted the defendants’ motion and entered a judgment of dismissal against the plaintiff. See Mass. R. Civ. P. 56 (c),
We summarize the facts found by the master. 5 On July 17, 1971, the plaintiff fell as she entered a Curtis Compact Store (store) in Hanover. The plaintiff claims that she suffered a serious back injury as a result of this fall. On May 11, 1973, the plaintiff was admitted to South Shore Hospital for removal of a spinal disk.
A few days after her fall, the plaintiff called the defendant attorney’s office seeking legal advice. That day a secretary in the attorney’s office returned the plaintiff’s call and advised her to write a letter to the store stating that she had fallen in the store and received an injury. The secretary also arranged a medical examination for the plaintiff with the store’s insurance company. Finally, the secretary instructed the plaintiff to write a letter to the defendant attorney requesting legal assistance.
Following that instruction, the plaintiff personally delivered a letter to the attorney’s secretary. In this letter, the plaintiff described her fall. The letter ended with the question, “Would you kindly advise me legally?” The secretary misfiled this letter. 6 The defendant did not discover the *817 letter until June, 1974, after the statute of limitations on the plaintiff’s tort claim had run.
From the date she delivered the letter in 1971 until June, 1974, the plaintiff did not visit the defendant attorney’s office or speak with him. 7 In the interim, the plaintiff called the attorney’s office a number of times. Each time, the plaintiff was told that her calls would be returned. But the attorney never returned any of her calls. 8
In February, 1978, the plaintiff filed a complaint in the Superior Court alleging that she retained the attorney to represent her concerning the fall at the store. In his answer, the defendant attorney denied that he was ever retained to represent the plaintiff in regard to the fall.
Pursuant to Mass. R. Civ. P. 56 (c),
“It is the general rule that an attorney’s liability for malpractice is limited to some duty owed to a client. . . . Where there is no attorney/client relationship there is no breach or dereliction of duty and therefore no liability.”
McGlone
v.
Lacey,
On appeal, the plaintiff advances two theories in support of her claim that there was an attorney-client relationship between the plaintiff and the attorney.
9
First, the plaintiff argues that the secretary had actual authority to táke the actions that she did. Therefore, the secretary’s knowledge of the plaintiff’s request for legal assistance can be imputed to the attorney. When an agent acquires knowledge in the scope of her employment, the principal, here the attorney, is held to have constructive knowledge of that information.
Bockser
v.
Dorchester Mut. Fire Ins. Co.,
*819
The plaintiff also contends that the secretary had apparent authority to establish an attorney-client relationship on behalf of the defendant. Apparent authority “results from conduct by the principal which causes a third person reasonably to believe that a particular person . . . has authority to enter into negotiations or to make representations as his agent.”
Hudson
v.
Massachusetts Property Ins. Underwriting Ass’n,
Under either theory, the question whether there was an attorney-client relationship depends on the reasonableness of the plaintiff’s reliance. The application of the reasonable person standard is uniquely within the competence of the jury. See 10 G.A. Wright & A.R. Miller, Federal Practice and Procedure § 2729, at 560 (1973).
We find support for both of the plaintiff’s theories in the Canons of Ethics and Disciplinary Rules Regulating the Practice of Law, S.J.C. Rule 3:07, as appearing in
Therefore an attorney should not permit lay persons even to appear to form the attorney-client relationship with a prospective client, because that is part of the practice of law. See ABA Comm, on Professional Ethics, Informal Op. 998 (1967) (advising against a lay employee conducting the initial interview of a client if the client does not confer with the attorney soon afterwards). It is a question for the jury whether the attorney allowed his secretary to act as she did, and whether he knew what she was doing. We believe that an attorney who places his lay employees in a position which may deceive prospective clients as to the attorney’s willingness or ability to represent them may be liable for malpractice for the negligence of those employees. 12
*821 Therefore, there are factual issues for the jury whether the attorney in this case put himself in a position in which he should be liable to the plaintiff. We reverse the judgment of dismissal and remand the case to the Superior Court for trial.
So ordered.
Notes
The plaintiff had claimed a jury trial.
The plaintiff moved to strike these conclusions. The judge denied her motion. Since these two conclusions resolve factual disputes which are more properly the function of the jury, on remand they should be struck from the master’s report. See
West
v.
First Agricultural Bank,
No counter affidavits were filed by the plaintiff. If there are no genuine issues of material fact, a master’s report in a jury trial case may support allowance of a motion for summary judgment. Contrast
Vaught Constr. Corp.
v.
Bertonazzi Buick Co.,
The defendant attorney’s affidavit adds nothing of significance to the facts found by the master. The defendant does state that he did not enter into a fee agreement with the plaintiff on this matter. The plaintiff does not dispute this.
The secretary placed this letter in a file containing papers concerning the defendant attorney’s past representation of the plaintiff on a domestic relations matter. The agreement or consent of an attorney to represent a prospective client in a particular matter does not create an attorney-client relationship as to other affairs of the client. See
Delta Equip. & Constr. Co.
v.
Royal Indem. Co.,
Early in 1974, after the statute of limitations had run, the plaintiff did speak with Gerald McAuliffe, an associate in the defendant attorney’s office. Mr. McAuliffe told the plaintiff that he could not find the file in her case.
In 1971, the defendant attorney was associated with a law firm in Germany, where he devoted considerable time to military cases. When out of the country, the attorney called his office every day.
The plaintiff did not argue before the trial judge or on appeal that, under the doctrine of respondeat superior, the attorney is liable for the negligence of his secretary even if there is no attorney-client relationship. See
Galvan
v.
McCollister,
The attorney specifically instructed his secretaries not to negotiate a fee or retainer fee with any client. The secretary may not have had any actual authority to establish attorney-client relationships on his behalf.
However, even if the secretary lacked actual authority to create attorney-client relationships, she may still have had apparent authority. See
Holdam
v.
Middlesex Supply, Inc.,
We recognize that the Canons of Ethics and Disciplinary Rules Regulating the Practice of Law, S.J.C. Rule 3:07, as appearing in
We decline to follow
McGlone
v.
Lacey,
