Opinion
McFarland Unified School District and Mitchell Gilbert, superintendent of McFarland Unified School District (jointly McFarland), appeal from a Kern County Superior Court order denying their motion to enjoin the attorneys for the board of trustees and the Kern High School District Superintendent (jointly Kern) from continuing to represent Kern in this mandamus proceeding (hereinafter motion to recuse). 1 Dennis Michael Elliott initiated this proceeding to compel Mc *566 Farland or Kern to pay him for 51 accumulated vacation days or to compel McFarland, his current employer, to credit him with 51 vacation days.
We must decide whether the trial court abused its discretion in denying McFarland’s motion. We conclude that it did not and affirm the order.
Factual and Procedural Background
Kern employed Elliott as a teacher for four years. Elliott claims that during this period he accumulated 71 days of unused vacation time. He was transferred on July 1, 1980, to the newly created McFarland Unified School District. About one month later, Kern paid Elliott for 20 days of unused vacation time pursuant to its administrative practice.
Sometime in 1982, Elliott demanded that either Kern or McFarland pay him for the uncompensated 51 vacation days he had accumulated or that McFarland credit him with 51 vacation days. When his demand was refused, Elliott filed a petition for writ of mandate to compel such payment or credit pursuant to Education Code section 44976.
School Legal Services (SLS) initially represented both Kern and McFarland in the mandamus proceeding. SLS provides legal services to school districts and other public education entities under a joint powers agreement. The Kern County Superintendent of Schools is the administrative agency under the joint powers agreement. The superintendent employs attorneys to provide legal services to participating school districts. Both before and after the initiation of this mandamus proceeding, SLS represented Kern and McFarland on other legal matters.
After SLS filed on behalf of Kern and McFarland points and authorities in opposition to Elliott’s petition and arranged a continuance on the hearing of Elliott’s petition, SLS called to the attention of McFarland a conflict in the legal positions of Kern and McFarland. On June 3, 1983, McFarland substituted Ralph B. Jordan, county counsel, for SLS as its legal representative in this proceeding.
Some six months later and four days before trial, McFarland filed an objection and answer to Elliott’s petition and a cross-complaint against Kern for indemnity. Kern answered McFarland’s cross-complaint and filed its own cross-complaint against McFarland. Thereupon McFarland filed an “Objection to Counsel for Kern H. S. District and Demand to Disqualify Counsel.” An immediate hearing on McFarland’s objection was arranged. In denying the objection without prejudice, the trial court characterized McFarland’s objection as a motion to recuse and stated in part: “Upon a *567 proper showing at time of hearing that their [sic] is a factual dispute, the court may reconsider.”
I. Did the Trial Court Properly Deny McFarland’s Recusal Motion?
Trial courts have the power to order disqualification of counsel when necessary in furtherance of justice. (Code Civ. Proc., § 128, subd. (a)(5).) In a proceeding to disqualify counsel the trial court engages in the delicate balancing process explained in
William H. Raley Co.
v.
Superior Court
(1983)
McFarland argues that the trial court erred in denying its recusal motion because SLS’s representation of Kern against McFarland in the Elliott proceeding amounts to representation of conflicting interests without informed written consent contrary to California State Bar Rules of Professional Conduct, rule 5-102(B) 2 and the use of confidential information SLS acquired as attorney for McFarland contrary to rule 4-101. 3 Rule 4-101 provides: “A member of the State Bar shall not accept employment adverse to a client or former client, without the informed and written consent of the client or former client, relating to a matter in reference to which he has obtained confidential information by reason of or in the course of his employment by such client or former client.” (Italics added.)
As noted above, SLS’s only representation of both Kern and McFarland in the Elliott proceeding consisted of filing points and authorities and arranging an extension of time for these parties to answer. These points and authorities were almost exclusively a memorandum of law supporting denial *568 of liability by both Kern and McFarland. While the record reveals no written consent by Kern and McFarland to their joint representation by SLS in the Elliott proceeding, it does indicate that McFarland and Kern were parties to a joint powers agreement dated September 2, 1980. Paragraph 21 of that agreement provides: “21. Parties Hereto in Conflict. In the event that two or more parties hereto are unable to resolve a legal issue between or among them without legal proceedings, the party or parties in contra-position to that of legal counsel employed as set forth herein on the legal issue involved shall secure its/their separate legal counsel at its/their own expense and apart from the costs, fees or liabilities for payments as set forth herein. ”
We believe the quoted provision of the joint powers agreement constitutes written consent to SLS’s continued representation of Kern in the Elliott proceeding and on other legal matters and of McFarland on other legal matters. It follows that if SLS is to be disqualified in the Elliott proceeding it must be for violation of rule 4-101.
An attorney licensed to practice law in California must conform to established professional standards.
(Librarian
v.
State Bar
(1943)
Case law interpreting what is “confidential information” initially asks whether the former representation is
substantially related
to the current representation.
(Global Van Lines, Inc.
v.
Superior Court
(1983)
The leading California case applying this confidential information presumption based upon a substantial relationship is
Global Van Lines, Inc.
v.
Superior Court, supra,
*570
Absent such a “substantial relationship” showing, courts have been reluctant to disqualify attorneys despite misgivings about the attorney’s conduct. “This reluctance probably derives from the fact that disqualification has an immediate adverse effect on the client by separating him from counsel of his choice, and that disqualification motions are often interposed for tactical reasons. [Citations omitted.] And even when made in the best of faith, such motions inevitably cause delay.”
(Bd. of Ed. of N.Y. City
v.
Nyquist
(2d Cir. 1979)
Two recent cases that support appellant’s position have found presumed confidential information by applying the “substantial relationship” test. In
Dill
v.
Superior Court
(1984)
Similarly, in
Civil Service Com.
v.
Superior Court
(1984)
Although Civil Service Com., supra, supports appellant’s position, it is not controlling here. First, in Civil Service Com. county counsel had advised both the county and the commission on their legal rights pertaining to the underlying suit. In contrast, SLS merely filed a points and authorities brief arguing- Elliott’s petition was without merit because Labor Code section 227.3 did not apply to school districts. In addition, SLS arranged for a continuance. We cannot say that a presumption that confidential information was disclosed arises from such a relationship. This is not a situation in which SLS advised McFarland how to handle Elliott’s accrued vacation to minimize the possibility of liability to him or to preserve a claim for indemnity against Kern and then later represented Kern against McFarland. Also, SLS’s relationship to McFarland was not like the attorney’s relationship in Dill, supra, where the taking of depositions satisfied the “substantial relationship” test because confidential information from a client is ordinarily acquired in order to properly conduct depositions.
Second, it is significant that unlike
Civil Service Com., supra,
or
Dill, supra,
the parties in the instant case had entered into an agreement to preserve the benefits of common representation while anticipating the situation that arose. They recognized and attempted to resolve in advance the consequences flowing from possible conflicts between the participating public entities. This attempt may be regarded as agreement on “conduct which accurately reflect[s] the realities of practice in the private and public sectors.” (See
Civil Service Com.
v.
Superior Court, supra,
Third, in Civil Service Com. the facts apparently did not require the court to engage in the delicate balancing process usually required of a trial court in deciding a disqualification motion. Here the necessity of the balancing process is apparent from the financial burden on Kern if it is not permitted *572 to retain SLS in accordance with the joint powers agreement. Moreover, the delay and possible tactical abuse resulting from disqualification must be considered because of McFarland’s long delay in bringing the disqualification motion.
Here it must have been apparent to McFarland in light of the joint powers agreement that SLS could only be disqualified if McFarland had actually imparted confidential information about the Elliott claim. Nonetheless, the declarations it filed to support such a finding contained only conclusory allegations on the subject. Gilbert’s declaration set forth nothing to show the nature of the alleged confidential communications or their relationship to any factual issue or tactical decision involved in the Elliott proceeding. It merely stated that “I have confided, and members of the Board . . . have confided, in SLS and its attorneys information germane and vital to this [Elliott] lawsuit.”
McFarland’s other declaration in support of its motion to disqualify SLS was provided by D. Reid, deputy county counsel. It stated: “SLS has information concerning the McFarland defendants, acquired as attorneys for them, which may in this lawsuit be used to the advantage of the plaintiff and KHSD [Kern] to the detriment of the McFarland defendants, ...”
While we do not suggest that a party seeking disqualification is required to disclose the actual communications it contends are confidential, we do hold that conclusory statements such as those provided by McFarland are insufficient. A requirement that there be some showing of the nature of the communications or a statement of how they relate to the current representation without disclosing what was actually communicated cannot reasonably be regarded as burdensome or prejudicial. (See
Ward
v.
Superior Court
(1977)
Had McFarland truly conveyed confidential information to SLS pertaining to the Elliott suit, McFarland could have revealed the nature of the information disclosed or to what it relates, and the present appeal would likely have been averted. Instead, McFarland’s attorneys, after being on the case for over six months (June 3, 1983, to Dec. 14, 1983), moved to disqualify SLS
two
days before their scheduled trial. Although it is unknown whether this was interposed for tactical reasons, it did cause a substantial delay in the ongoing proceedings. (See
Bd. of Ed. of N.Y. City
v.
Nyquist, supra,
In reaching our decision, we are fully aware that “ ‘[conscience and good morals dictate that an attorney should not so conduct himself as to be open
*573
to the temptation of violating his obligations of fidelity and confidence.’ ”
(Goldstein
v.
Lees, supra, 46
Cal.App.3d at p. 620, quoting
Anderson
v.
Eaton
(1930)
By signing the joint powers agreement McFarland waived its right to disqualify SLS from representing other signatories to that agreement based on a presumption from a substantial relationship between SLS’s former representation and its current representation. It did not waive its right to disqualify SLS if SLS acquired in the former representation confidential information pertaining to the current representation. However, McFarland offered no substantial evidence that it had imparted confidential information to SLS on this case. We therefore conclude that the trial court did not err in denying McFarland’s motion to recuse SLS without prejudice to its right to reconsider upon a proper showing at the time of hearing that there is a factual issue.
The order denying McFarland’s motion to recuse is affirmed and the matter is remanded to the trial court for further proceedings. Kern shall recover from McFarland its costs on appeal.
Hanson (P. D.), Acting P. J., and Best, J., concurred.
Notes
Such an order is reviewable by appeal as an order refusing to grant an injunction.
(Meehan
v.
Hopps
(1955)
Rule 5-102(B) provides: “A member of the State Bar shall not represent conflicting interests, except with the written consent of all parties concerned.”
Further references to rules are to the Rules of Professional Conduct.
The court in
Global Van Lines, supra,
at page 488, footnote 3, pointed out that the substantial relationship test has been widely recognized and applied in federal courts since its enunciation in
T. C. Theatre Corp.
v.
Warner Bros. Pictures
(S.D.N.Y. 1953)
This presumption includes the potential, as well as actual, use of confidential information.
(Woods
v.
Superior Court
(1983)
The Global Van Lines, Inc. court stated: “When a substantial relationship has been shown to exist between the former representation and the current representation, and when it appears by virtue of the nature of the former representation or the relationship of the attorney to his former client confidential information material to the current dispute would normally have been imparted to the attorney or to subordinates for whose legal work he was responsible, the attorney’s knowledge of confidential information is presumed. [Citation omitted.]
“This is the rule by necessity, for it is not within the power of the former client to prove what is in the mind of the attorney. Nor should the attorney have to ‘engage in a subtle evaluation of the extent to which he acquired relevant information in the first representation and of the actual use of that knowledge and information in the subsequent representation.’ [Citations omitted.]” (Id., at p. 489.)
In support of their position, the court in dicta stated: “It strikes us that this situation is not dissimilar from the case where an attorney undertakes to advise two clients on a single matter or transaction. The attorney may be either an intermediary, actively attempting to accommodate the clients’ competing interest, or merely an advisor, explaining to the clients their legal options. In either case, if the matter later results in litigation, the attorney is precluded from representing either client. (Id., at p. 81.)
