Appellants Georgia Baptist Health Care System, Inc. (“Georgia Baptist”) and
The record reveals these pertinent facts. Since 1991, Hanafi and Georgia Baptist have been involved in a dispute concerning Hanafi’s reapplication for certain restricted or previously denied hospital privileges. In 1994, Hanafi retained Jim Kelly & Associates (“the Kelly firm”) to represent him through a peer review hearing process at which a panel of physicians reconsidered Hanafi’s reapplication for the reinstatement of those privileges. Georgia Baptist’s hospital board affirmed the hearing panel’s decision to deny Hanafi’s reapplication for privileges. The Kelly firm’s representation ended in April 1996. Shortly thereafter, Chilivis, Cochran, Larkins & Bever (“Chilivis Cochran”) represented Hanafi in a Fulton County suit to enjoin any final action by Georgia Baptist. The trial court denied Hanafi’s motion for an interlocutory injunction, and the order, was affirmed on appeal. Hanafi v. Ga. Baptist Med. Center, 226 Ga. App. XXVII (1997).
Since the beginning of this dispute, Georgia Baptist was represented by Duvall, McCumber & Doverspike, P.C. (“DMD”). On June 17, 1996, attorney William Pike moved from the Kelly firm to DMD.
Pike was an associate at the Kelly firm and worked on Hanafi’s case during the hospital’s administrative hearing process. The evidence shows that when DMD hired Pike, it erected a “Chinese wall”
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to screen Pike from the Hanafi case. Further, DMD contacted Chilivis Cochran and notified the firm and Hanafi of Pike’s employment and of the steps taken to prevent any improper communication. In a July 3, 1996 letter to Hanafi’s counsel, DMD expressed its understanding that Hanafi and his counsel “waived any objection or challenge to and expressly agreed to [DMD’s] continued representation of [Georgia Baptist].” Hanafi admits he was aware of the conflict in July 1996. While
On December 14, 1999, Hanafi filed the underlying renewal action. AGG answered the complaint on behalf of Georgia Baptist. The parties conducted discovery. On March 29, 2000, Hanafi filed an amended complaint, which AGG again answered. After the trial court entered a consent order extending discovery, and more than eight months after AGG’s entry of appearance on behalf of Georgia Baptist, Hanafi moved to disqualify the firm. The trial court granted Hanafi’s motion and disqualified AGG based upon the imputed conflict, but failed to consider whether the conflict had been waived.
“[T]he right to counsel is an important interest which requires that any curtailment of the client’s right to counsel of choice be approached with great caution.”
Blumenfeld v. Borenstein,
“Although the length of the delay in bringing a motion to disqualify is obviously important, it is not dispositive.” (Citation omitted.) Chem. Waste Mgmt. v. Sims, 875 FSupp. 501, 505 (B) (N.D. Ill. 1995). The court must consider the length of the delay in light of the circumstances of the particular case, which include “when the movant learned of the conflict; whether the movant was represented by counsel during the delay; why the delay occurred; and whether disqualification would result in prejudice to the nonmoving party.” (Citations omitted.) Id. The court must then weigh these factors against the seriousness of the conflict alleged and the extent to which the public’s confidence in the administration of justice would be eroded if the motion was denied. See In re Corrugated Container Antitrust Litigation v. Alton Box Bd. Co., 659 F2d 1341, 1348-1349 (5th Cir. 1981). The court should also be sensitive to the possibility that there may be situations where “[the] disqualification would raise more public suspicion than it would quell.” Id. at 1349.
In this case, the evidence adduced demands a finding of waiver. The record reveals that Hanafi, when represented by counsel, learned of the conflict in July 1996 during the suit which preceded the instant renewal action. There is some evidence that he consented
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to the conflict. Moreover, there is no evidence that Hanafi withdrew that consent based upon some reasonable ground, like a breach of DMD’s screening procedures. Hanafi also waited 17 months after learning of the conflict before he filed his first motion to disqualify. A delay of this length is inconsistent with a legitimate concern over the misuse of client confidences
AGG and its predecessor firm, DMD, have defended Georgia Baptist against Hanafi’s claims for over ten years. We may infer that Georgia Baptist is heavily invested in its counsel of choice. Disqualifying AGG at this juncture would deprive Georgia Baptist of counsel who, by virtue of the time spent on this matter, is uniquely experienced. It would be costly and it would further delay the resolution of this matter. Finally, although the nature of the conflict alleged is serious, it is the type of conflict which may be managed and ameliorated through screening and other prophylactic measures to protect client confidences. The evidence shows that DMD promptly screened attorney Pike from all matters relating to Hanafi. Further, we see no evidence that those procedures were ineffective or were breached. Under these circumstances, AGG’s continued representation of Georgia Baptist would not undermine public trust in the legal profession or in the administration of justice. Weighing these factors, we conclude that Hanafi’s motion to disqualify was untimely and the conflict waived. Because the trial court erred in disqualifying AGG, we must reverse that order.
Judgment reversed.
Notes
Hanafi contends AGG lacks standing to appeal the disqualification order. We do not reach the issue of AGG’s standing, however, because Georgia Baptist is clearly aggrieved by the order and has standing to appeal. See OCGA § 5-6-33.
“Chinese wall” is a term used to describe a variety of screening measures that may be employed to prevent an attorney who is tainted by an ethical conflict from “infecting” the entire firm. See
Cromley v. Bd. of Ed. of &c. School Dist. No.
205,
The conflict at issue - successive adverse representation in a substantially related matter - is one to which Hanafi could have consented. Rule 1.9 (a) of the Code of Professional Responsibility provides that “[a] lawyer who has formerly represented a client in a matter shall not thereafter represent another person in the same or a substantially related matter in which that person’s interests are materially adverse to the interests of the former client unless the former client consents after consultation.” The trial court, however, erroneously determined that Hanafi could not consent to the conflict. It misapplied Rule 1.7 (c) (2), which pertains to situations involving multiple contemporaneous representation, not successive adverse representation. See
Humphrey v. State,
