640 N.E.2d 265 | Ohio Ct. App. | 1994
[EDITORS' NOTE: THIS PAGE CONTAINS HEADNOTES. HEADNOTES ARE NOT AN OFFICIAL PRODUCT OF THE COURT, THEREFORE THEY ARE NOT DISPLAYED.] *125 Appellants, Ann Dorothy Ross, Lloyd Ross, Sr., Lloyd Ross, Jr., and Rita Ann Ross Knapik, appeal from the disqualification of their counsel by the Cuyahoga County Court of Common Pleas in their malpractice action against appellees, Joseph Gibson, Marc Ziccarelli, and Robert Boyd, and their breach of fiduciary duty against appellee Frances Ross.
Appellee Frances Ross also cross-appeals from the judgment of the trial court denying his motion to dismiss appellants' supplemental complaint. For the reasons that follow, we reverse the trial court's order disqualifying appellants' counsel, and dismiss Frances Ross's cross-appeal for lack of a final appealable order.
On July 27, 1992 after several continuances and challenges to jurisdiction, appellees, the lawyers, filed a motion to disqualify appellants' counsel. They reasoned that appellants' counsel should be automatically disqualified because she represented appellants during the lawyers' prosecution of the probate and wrongful death actions on behalf of Frances Ross, the executor of the estate of James Ross. *126
On December 10, 1992, the trial court granted without a hearing the lawyers' motion disqualifying appellants' counsel.
"Assignment of Error No. I
"The trial court erred in failing to conduct a full evidentiary hearing before ruling on Defendants-Appellees' motion to disqualify Plaintiffs-Appellants' counsel, Marian Rose Nathan, and abused its discretion by granting the motion without a proper factual and legal foundation.
"Assignment of Error No. II
"The trial court erred in failing to grant Plaintiffs-Appellants leave to file their motion for summary judgment."
Cross-assignment of error of defendant-appellee/cross-appellant, Frances Ross, Executor:
"The trial court committed prejudicial error in denying defendants-appellants' motion to dismiss supplemental complaint for want of jurisdiction and motion to strike supplemental complaint."
We shall first dispose of appellants' second assignment of error and appellee Frances Ross's cross-assignment of error.
Appellants argue in their second assignment of error that the trial court erred by denying their leave to file a motion for summary judgment. Appellee argues that the trial court erred by denying her motion to dismiss appellants' supplemental complaint. Because the orders denying the two assigned errors did not determine the action that gave rise to the complaint or prevent a judgment, they are dismissed for lack of a final appealable order. See Balson v. Dodds (1980),
Before we address the merits of this assigned error, we again must first decide in light of the most recent decision by the Ohio Supreme Court in Polikoff *127 v. Adam (1993),
Disqualification of counsel has been held to be appealable immediately, Russell v. Mercy Hosp. (1984),
R.C.
"An order that affects a substantial right in an action which in effect determines the action and prevents a judgment, an order that affects a substantial right made in a special proceeding or upon a summary application in an action after judgment, or an order vacates or sets aside a judgment and grants a new trial is a final order that may be reviewed, affirmed, modified, or reversed, with or without retrial."
The statutory definition provides two guidelines for determining a final order:
(1) An order (a) affecting a substantial right, (b) determining the action, and (c) preventing a judgment in favor of the party seeking review, is final; and
(2) An order (a) affecting a substantial right, and (b) made in (i) a special proceeding, or (ii) upon a summary application in a motion after judgment, is final.
Applying the definition to the instant case, we conclude that disqualification of counsel affects a substantial right.Bernbaum v. Silverstein (1980),
Thus, the balancing test as enunciated by the Amato court became the law to be used in Ohio in determining what constitutes a "special proceeding." See Russell, supra; BancOhio Natl. Bank v. Rubicon Cadillac, Inc. (1984),
"This court's decisions in Humphry v. Riverside MethodistHosp. (1986),
The Polikoff court concluded:
"Hence, we determine that orders that are entered in actions that were recognized at common law or in equity and were not specially created by statute are not orders entered in special proceedings pursuant to R.C.
In arriving at the above conclusion, the court resolved to apply the analysis used by courts before Amato. In the early case of William Watson Co. v. Sullivan (1855),
"As to the first inquiry, it seems to us there can be but little difficulty. Our code does not, as does the code of New York, specify that every remedy which is not an action is a special proceeding, nor does [sic] our statutes give any *129
definition of an action or a special proceeding. But we suppose that any ordinary proceedings in a court of justice, by which a party prosecutes another for the enforcement or protection of a right, the redress or prevention of a wrong, or the punishment of a public offense, involving the process and pleadings, and ending in a judgment, is an action, while every proceeding otherthan an action, where a remedy is sought by an originalapplication to a court for a judgment or an order, is a specialproceeding." (Emphasis added.) See Polikoff,
In further distinguishing a special proceeding from an ordinary proceeding which is predicated on a pleading in an action, the Polikoff court requires a review of the order itself to determine if it is an integral part of the action. Thus, orders in a pretrial proceeding which are designed to aid in the final disposition of the lawsuit which also form the integral part of the action in which they were entered are not orders rendered in a special proceeding. Id.,
In conclusion, a determination of what constitutes a special proceeding requires an examination of the nature of the relief sought. Thus, to qualify as a special proceeding underPolikoff, supra, the remedy sought by the aggrieved party (1) must be that which is conferred by an Ohio statute, or (2) it must be a proceeding that represents what is essentially an independent judicial inquiry.
Applying the above analysis to the instant case, we find that disqualification of counsel necessitates an independent judicial inquiry on issues of fact and law which does not arise from the pleading. It is controlled by an independent review mechanism (the Disciplinary Rules) unconnected to the facts and issues in the pleading. It is, therefore, reviewable immediately, as a final appealable order, pursuant to R.C.
The trial court disqualified appellants' counsel on the motion of the lawyers which alleged that appellants' counsel would be called as a witness in the case. The trial court did not state its reason for the disqualification, but we shall assume from the lawyers' motion that the disqualification was based on DR 5-102.
DR 5-102 provides:
"(A) If, after undertaking employment in contemplated or pending litigation, a lawyer learns or it is obvious that he or a lawyer in his firm ought to be called as a witness on behalf of his client, he shall withdraw from the conduct of the trial *130 and his firm, if any, shall not continue representation in the trial, except that he may continue the representation and he or a lawyer in his firm may testify in the circumstances enumerated in DR 5-101(B)(1) through (4).
"(B) If, after undertaking employment in contemplated or pending litigation, a lawyer learns or it is obvious that he or a lawyer in his firm may be called as a witness other than on behalf of his client, he may continue the representation until it is apparent that his testimony is or may be prejudicial to his client."
The lawyers argue that since appellants' counsel had knowledge of the alleged facts of the complaint, she was rightfully disqualified:
"Therefore, Ms. Nathan has personal knowledge regarding the alleged acts of malpractice and it is `obvious' that she `ought to be called as a witness on behalf' of her clients. Therefore, the trial court did not abuse its discretion in granting Defendants' motion to disqualify Ms. Nathan."
We are not prepared to sanction such a sweeping interpretation of DR 5-102, as the lawyers' argument completely ignores the fact that DR 5-101 and 5-102 are intended to protect the attorney's own client and preserve the integrity of the legal profession. They are not intended to be used to make an opponent's case easier. Any court, therefore, which is called upon to disqualify an attorney based on DR 5-101 and 5-102 must base its judgment on the narrowly intended purpose of the rules, and must also follow the considerations as described by the rules. Because of the necessary considerations that must be made before disqualifying counsel based on DR 5-102, it is a reversible error for the trial court to summarily disqualify an attorney solely on a paper allegation without a hearing. SeeMentor Lagoons, Inc. v. Rubin (1987),
DR 5-102 provides for a disqualification of counsel who may be a witness on behalf of his client. A counsel who informs the court that he will not be a witness for his client is not disqualified by DR 5-102, Vinci v. Ceraolo (1992),
DR 5-101(B) provides:
"A lawyer shall not accept employment in contemplated or pending litigation if he knows or it is obvious that he or a lawyer in his firm ought to be called as a witness, except that he may undertake the employment and he or a lawyer in his firm may testify: *131
"(1) If the testimony will relate solely to an uncontested matter.
"(2) If the testimony will relate solely to a matter of formality and there is no reason to believe that substantial evidence will be offered in opposition to the testimony.
"(3) If the testimony will relate solely to the nature and value of legal services rendered in the case by the lawyer or his firm to the client.
"(4) As to any matter, if refusal would work a substantial hardship on the client because of the distinctive value of the lawyer or his firm as counsel in the particular case."
In the instant case, the record shows that appellants are not seeking to call their attorney as a witness on their behalf. Appellant Dorothy Ross in an affidavit stated that they would not suffer prejudice if their counsel testifies. She stated that she would be prejudiced if their counsel is disqualified after all the years of familiarity with their case, a consideration a court should make in all disqualification cases. Appellants' counsel echoed the same argument and also stated that she was not notified of the disqualification until July 27, 1992, three years after the lawsuit was filed.
In addition to the charges that appellants' counsel "ought to be called as a witness on behalf of her clients," the only proof of a violation of DR 5-102 is the following statements in the lawyers' brief:
"Ms. Nathan's testimony will also be central to the defense of the Defendant-attorneys. Defendants will call on Ms. Nathan to testify regarding her representation of Plaintiffs in the underlying proceedings, the August 7, 1987 letter and all factual circumstances relating to the alleged acts of malpractice. Clearly, such testimony `is or may be prejudicial' to Plaintiffs.
"It is clear that Ms. Nathan will be a key witness in this case due to her active participation in all of the underlying proceedings. It is well recognized that the roles of an advocate and a witness are inconsistent and the trial court properly disqualified Ms. Nathan as Plaintiffs' counsel."
The trial court did not listen to any argument relating to these charges to determine if they are prejudicial to appellants. We find these charges completely inadequate to disqualify appellants' counsel. The record shows that appellants' counsel at some time wrote a letter to the lawyers informing them that she represents appellants. At no time did appellants' counsel work for the lawyers or represent the executor of the estate in the matter before the court.
The lawyers' argument at best is that at some time during appellants' counsel's representation of her clients and the lawyers' representation of their own client, the executor of the estate, their paths crossed. There is no record that they *132 prepared their cases together and were involved in any strategy that might work to the disadvantage of appellants if their counsel is called to testify. We do not envision DR 5-102 as requiring disqualification of counsel merely because two counsel's paths crossed during an independent representation of two individuals, one of whom later sued one of the attorneys.
Because the trial court failed to consider the exceptions in DR 5-101(B)(1) through (4), the prejudice the disqualification may have in a case involving an eighty-three-year-old plaintiff, and the lawyers' failure to show any prejudice on appellants if their attorney testifies as a witness, we consider its judgment an abuse of discretion.
We cannot overemphasize the fact that in addition to considering the elements of DR 5-102 and the exceptions in DR 5-101(B)(1) through (4) in a disqualification hearing, trial courts have an obligation to the judicial system to stop any attempt by counsel to use the motion to disqualify as a trial tactic to delay proceedings, deprive the opposing party of counsel of his choice, or as a tool to harass, embarrass, and frustrate the opponent.
Accordingly, for the reasons stated herein, the judgment of the trial court is reversed and the cause is remanded to the trial court to reinstate appellant's counsel unless the trial court determines that counsel's testimony would be prejudicial to her client.
The judgment is reversed and the appeal is dismissed in part.
Judgment accordingly.
KRUPANSKY and JOHN V. CORRIGAN, JJ., concur.
JOHN V. CORRIGAN, J., retired, of the Eighth Appellate District, sitting by assignment. *133