BIRBROWER, MONTALBANO, CONDON & FRANK, P.C., et al., Petitioners, v. THE SUPERIOR COURT OF SANTA CLARA COUNTY, Respondent; ESQ BUSINESS SERVICES, INC., Real Party in Interest.
No. S057125
Supreme Court of California
Jan. 5, 1998
17 Cal. 4th 119
COUNSEL
Halley, Cornel & Lynch, Roger C. Peters, Hoge, Fenton, Jones & Appel, David P. Eby, William J. Elfving and Scott R. Mosko for Petitioners.
Latham & Watkins, Joseph A. Wheelock, Jr., and Julie V. King as Amici Curiae on behalf of Petitioners.
No appearance for Respondent.
Hopkins & Carley, Jon Michaelson, Denise Y. Yamamoto and Robert W. Ricketson for Real Party in Interest.
Diane C. Yu, Lawrence C. Yee, Mark Torres-Gil and Robert M. Sweet as Amici Curiae on behalf of Real Party in Interest.
OPINION
CHIN, J.—
Although we are aware of the interstate nature of modern law practice and mindful of the reality that large firms often conduct activities and serve clients in several states, we do not believe these facts excuse law firms from complying with
I. BACKGROUND
The facts with respect to the unauthorized practice of law question are essentially undisputed. Birbrower is a professional law corporation incorporated in New York, with its principal place of business in New York. During 1992 and 1993, Birbrower attorneys, defendants Kevin F. Hobbs and Thomas A. Condon (Hobbs and Condon), performed substantial work in California relating to the law firm‘s representation of ESQ. Neither Hobbs nor Condon has ever been licensed to practice law in California. None of Birbrower‘s attorneys were licensed to practice law in California during Birbrower‘s ESQ representation.
ESQ is a California corporation with its principal place of business in Santa Clara County. In July 1992, the parties negotiated and executed the fee
While representing ESQ, Hobbs and Condon traveled to California on several occasions. In August 1992, they met in Califоrnia with ESQ and its accountants. During these meetings, Hobbs and Condon discussed various matters related to ESQ‘s dispute with Tandem and strategy for resolving the dispute. They made recommendations and gave advice. During this California trip, Hobbs and Condon also met with Tandem representatives on four or five occasions during a two-day period. At the meetings, Hobbs and Condon spoke on ESQ‘s behalf. Hobbs demanded that Tandem pay ESQ $15 million. Condon told Tandem he believed that damages would exceed $15 million if the parties litigated the dispute.
Around March or April 1993, Hobbs, Condon, and another Birbrower attorney visited California to interview potential arbitrators and to meet again with ESQ and its accountants. Birbrower had previously filed a demand for arbitration against Tandem with the San Francisco offices of the American Arbitration Association (AAA). In August 1993, Hobbs returned to California to assist ESQ in settling the Tandem matter. While in California, Hobbs met with ESQ and its accountants to discuss a proposed settlement agreement Tandem authored. Hobbs also met with Tandem representatives to discuss possible changes in the proposed agreement. Hobbs gave ESQ legal advice during this trip, including his opinion that ESQ should not settle with Tandem on the terms proposed.
ESQ eventually settled the Tandem dispute, and the matter never went to arbitration. But before the settlement, ESQ and Birbrower modified the contingency fee agreement.2 The modification changed the fee arrangement from contingency to fixed fee, providing that ESQ would pay Birbrower
In January 1994, ESQ sued Birbrower for legal malpractice and related claims in Santa Clara County Superior Court. Birbrower removed the matter to federal court and filed a counterclaim, which included a claim for attorney fees for the work it performed in both California and New York. The matter was then remanded to the superior court. There ESQ moved for summary judgment and/or adjudication on the first through fourth causes of action of Birbrower‘s counterclaim, which asserted ESQ and its representatives breached the fee agreement. ESQ argued that by practicing law without a license in California and by failing to associate legal counsel while doing so, Birbrower violated
Although the trial court‘s order stated that the fee agreements were unenforceable, at the hearing on the summary adjudication motion, the trial court also observed: “It seems to me that those are some of the issues that this Court has to struggle with, and then it becomes a question of if they aren‘t allowed to collect their attorney‘s fees here, I don‘t think that puts the attorneys in a position from being precluded from collecting all of their attorney‘s fees, only those fees probably that were generated by virtue of work that they performed in California and nоt that work that was performed in New York.”
Birbrower petitioned the Court of Appeal for a writ of mandate directing the trial court to vacate the summary adjudication order. The Court of Appeal denied Birbrower‘s petition and affirmed the trial court‘s order, holding that Birbrower violated
We granted review to determine whether Birbrower‘s actions and services performed while representing ESQ in California constituted the unauthorized practice of law under
II. DISCUSSION
A. The Unauthorized Practice of Law
The California Legislature enacted
A violation of
In addition to not defining the term “practice law,” the Act also did not define the meaning of “in California.” In today‘s legal practice, questions often arise concerning whether the phrase refers to the nature of the legal services, or restricts the Act‘s application to those out-of-state attorneys who are physically present in the state.
Our definition does not necessarily depend on or require the unlicensed lawyer‘s physical presence in the state. Physical presence here is one factor we may consider in deciding whether the unlicensed lawyer has violated
This interpretation acknowledges the tension that exists between interjurisdictional practice and the need to have a state-regulated bar. As stated in the American Bar Association Model Code of Professional Responsibility, Ethical Consideration EC 3-9, “Regulation of the practice of law is accomplished principally by the respective states. Authority to engage in the practice of law conferred in any jurisdiction is not per se a grant of the right to practice elsewhere, and it is improper for a lawyer to engage in practice where he is not permitted by law or by court order to do so. However, the demands of business and the mobility of our society pose distinct problems in the regulation of the practice of law by the states. In furtherance of the public interest, the legal profession should discourage regulation that unreasonably imposes territorial limitations upon the right of a lawyer to handle the legal affairs of his client or upon the opportunity of a client to obtain the services of a lawyer of his choice in all matters including the presentаtion of a contested matter in a tribunal before which the lawyer is not permanently admitted to practice.” (Fns. omitted.) Baron implicitly agrees with this canon. (Baron, supra, 2 Cal.3d at p. 543.)
If we were to carry the dissent‘s narrow interpretation of the term “practice law” to its logical conclusion, we would effectively limit
Exceptions to
In addition, with the permission of the California court in which a particular cause is pending, out-of-state counsel may appear before a court as counsel pro hac vice. (Cal. Rules of Court, rule 983.) A court will approve a pro hac vice application only if the out-of-state attorney is a member in good standing of another state bar and is eligible to practice in any United States court or the highest court in another jurisdiction. (Cal. Rules of Court, rule 983(a).) The out-of-state attorney must also associate an active member of the California Bar as attorney of record and is subject to the Rules of Professional Conduct of the State Bar. (Cal. Rules of Court, rules 983(a), (d); see Rules Prof. Conduct, rule 1-100(D)(2) [includes lawyers from other jurisdictions authorized to practice in this state].)
The Act does not regulate practice before United States courts. Thus, an out-of-state attorney engaged to render services in bankruptcy proceedings was entitled to collect his fee. (Cowen v. Calabrese (1964) 230 Cal.App.2d 870, 872 [41 Cal.Rptr. 441, 11 A.L.R.3d 903] (Cowen); but see U.S. Dist. Ct. Local Rules, Northern Dist. Cal., rule 11-1(b); Eastern Dist. Cal., rule 83-180; Central Dist. Cal., rule 2.2.1; Southern Dist. Cal., rule 83.3 c.1.a. [today conditioning admission to their respective bars (with certain exceptions for some federal government employees) on active membership in good standing in California State Bar].)
Finally, California Rules of Court, rule 988, permits the State Bar to issue registration сertificates to foreign legal consultants who may advise on the law of the foreign jurisdiction where they are admitted. These consultants may not, however, appear as attorneys before a California court or judicial officer or otherwise prepare pleadings and instruments in California or give advice on the law of California or any other state or jurisdiction except those where they are admitted.
The Legislature has recognized an exception to
B. The Present Case
The undisputed facts here show that neither Baron‘s definition (Baron, supra, 2 Cal.3d at p. 543) nor our “sufficient contact” definition of “practice law in California” (ante, at pp. 128-129) would excuse Birbrower‘s extensive practice in this state. Nor would any of the limited statutory exceptions to
Birbrower contends, however, that
It is well-settled that, in determining the meaning of a statute, we look to its words and give them their usual and ordinary meaning. (DaFonte v. Up-Right, Inc. (1992) 2 Cal.4th 593, 601 [7 Cal.Rptr.2d 238, 828 P.2d 140]; Kimmel v. Goland (1990) 51 Cal.3d 202, 208-209 [271 Cal.Rptr. 191, 793 P.2d 524].) “[I]f statutory language is ‘clear
Birbrower next argues that we do not further the statute‘s intent and purpose—to protect California citizens from incompetent attorneys—by enforcing it against out-of-state attorneys. Birbrower argues that because out-of-state attorneys have been licensed to prаctice in other jurisdictions, they have already demonstrated sufficient competence to protect California clients. But Birbrower‘s argument overlooks the obvious fact that other states’ laws may differ substantially from California law. Competence in one jurisdiction does not necessarily guarantee competence in another. By applying
California is not alone in regulating who practices law in its jurisdiction. Many states have substantially similar statutes that serve to protect their citizens from unlicensed attorneys who engage in unauthorized legal practice. Like
In Williamson, a New Jersey law firm was employed by a client‘s New York law firm to defend a construction contract arbitration in New York. It sought to recover fees solely related to the arbitration proceedings, even though the attorney who did the work was not licensed in New York, nor was the firm authorized to practice in the state. (Williamson, supra, 537 F.Supp. at p. 616.) In allowing the New Jersey firm to recover its arbitration fees, the federal district court concluded that an arbitration tribunal is not a court of record, and its fact-finding process is not similar to a court‘s process. (Ibid.) The court relied on a local state bar report concluding that representing a client in an arbitration was not the unauthorized practice of law. (Ibid.; see Com. Rep., Labor Arbitration and the Unauthorized Practice of Law (May/June 1975) 30 Record of the Association of the Bar of the City of New York, No. 5/6, p. 422 et seq.) But as amicus curiae the State Bar of California observes, “While in Williamson the federal district court did allow the New Jersey attorneys to recover their fees, that decision clearly is distinguishable on its facts. . . . [¶] In the instant case, it is undisputed that none of the time that the New York attorneys spent in California was” spent in arbitration; Williamson thus carries limited weight. (See also Moore v. Conliffe (1994) 7 Cal.4th 634, 637-638 [29 Cal.Rptr.2d 152, 871 P.2d 204] [private AAA arbitration functionally equivalent to judicial proceeding to which litigation privilege applies].) Birbrower also relies on California‘s rules for arbitration and conciliation of international commercial disputes for support. (
We decline Birbrower‘s invitation to craft an arbitration exception to
In its reply brief to the State Bar‘s amicus curiae brief, Birbrower raises for the first time the additional argument that the Federal Arbitration Act (FAA) preempted the rules governing the AAA proposed arbitration and
Finally, Birbrower urges us to adopt an exception to
Although, as discussed (ante, at pp. 129-130), we recognize the need to acknowledge and, in certain cases, to accommodate the multistate nature of law practice, the facts here show that Birbrower‘s extensive activities within California amounted to considerably more than any of our state‘s recognized exceptions to
C. Compensation for Legal Services
Because Birbrower violated
It is a general rule that an attorney is barred from recovering compensation for services rendered in another state where the attorney was not admitted to the bar. (Annot., Right of Attorney Admitted in One State to Recover Compensation for Servicеs Rendered in Another State Where He Was Not Admitted to the Bar (1967) 11 A.L.R.3d 907; Hardy, supra, 99 Cal.App.2d at p. 576.) The general rule, however, has some recognized exceptions.
Initially, Birbrower seeks enforcement of the entire fee agreement, relying first on the federal court exception discussed ante, at page 130. (Cowen, supra, 230 Cal.App.2d at p. 872; In re McCue, supra, 211 Cal. at p. 66; see Annot., supra, 11 A.L.R.3d at pp. 912-913 [citing Cowen as an exception to general rule of nonrecovery].) This exception does not apply in this case; none of Birbrower‘s activities related to federal court practice.
A second exception on which Birbrower relies to enforce its entire fee agreement relates to “Services not involving courtroom appearance.” (Annot., supra, 11 A.L.R.3d at p. 911 [citing Wescott v. Baker (1912) 83 N.J.L. 460 [85 Α. 315]].) California has implicitly rejected this broad exception through its comprehensive definition of what it means to “practice law.” Thus, the exception Birbrower seeks for all services performed outside the courtroom in our state is too broad under
Some jurisdictions have adopted a third exception to the general rule of nonrecovery for in-state services, if an out-of-state attorney “makes a full disclosure to his client of his lack of local license and does not conceal or misrepresent the true facts.” (Annot., supra, 11 A.L.R.3d at p. 910.) For example, in Freeling v. Tucker (1930) 49 Idaho 475 [289 P. 85], the court allowed an Oklahoma attorney to recover for services rendered in an Idaho probate court. Even though an Idaho statute prohibited the unlicensed practice of law, the court excused the Oklahoma attorney‘s unlicensed representation because he had not falsely represented himself nor deceptively held himself out to the client as qualified to practice in the jurisdiction. (Id. at p. 86.) In this case, Birbrower alleges that ESQ at all times knew that the firm was not licensed to practice law in California. Even assuming that is true, however, we reject the full disclosure exception for the same reasons we reject the argument that
Birbrower asserts that even if we agree with the Court of Appeal and find that none of the above exceptions allowing fees for unauthorized California services apply to the firm, it should be permitted to recover fees for those limited services it performed exclusively in New York under the agreement. In short, Birbrower seeks to recover under its contract for those services it performed for ESQ in New York that did not involve the practice of law in California, including fee contract negotiations and some corporate case research. Birbrower thus alternatively seeks reversal of the Court of Appeal‘s judgment to the extent it implicitly precluded the firm from seeking fees generated in New York under the fee agreement.
We agree with Birbrower that it may be able to recover fees under the fee agreement for the limited legal services it performed for ESQ in New York to the extent they did not constitute practicing law in California, even though those services were performed for a California client. Because
The law of contract severability is stated in
The fee agreement between Birbrower and ESQ became illegal when Birbrower performed legal services in violation of
In Keene, the defendant agreed to pay the plaintiffs $50,000 in exchange for their business involving coin-operated machines. The defendant defaulted on his payments, and the plaintiffs sued. The defendant argued that the sales agreement was void because part of the sale involved machines that were illegal under a California penal statute. The court affirmed the lower court‘s determination that the price of the illegal machines could be deducted from the amount due on the original contract. “Since the consideration on the buyer‘s side was money, the court properly construed the contract by equating the established market price of the illegal machines to a portion of the money consideration.” (Keene, supra, 61 Cal.2d at p. 323.) Thus, even though the entire contract was for a fixed sum, the court was able
In this case, the parties entered into a contingency fee agreement followed by a fixed fee agreement.6 ESQ was to pay money to Birbrower in exchange for Birbrower‘s legal services. The object of their agreement may not have been entirely illegal, assuming ESQ was to pay Birbrower compensation based in part on work Birbrower performed in New York that did not amount to the practice of law in California. The illegality arises, instead, out of the amount to be paid to Birbrower, which, if paid fully, would include payment for services rendered in California in violation of
Therefore, we conclude the Court of Appeal erred in determining that the fee agreement between the parties was entirely unenforceable because Birbrower violated
Thus, the portion of the fee agreement between Birbrower and ESQ that includes payment for services rendered in New York may be enforceable to the extent that the illegal compensation can be severed from the rest of the agreement. On remand, therefore, the trial court must first resolve the dispute surrounding the parties’ fee agreement and determine whether their agreement conforms to California law. If the parties and the court resolve the fee dispute and determine that one fee agreement is operable and does not violate any state drafting rules, the court may sever the illegal portion of the consideration (the value of the California services) from the rest of the fee agreement. Whether the trial court finds the contingent fee agreement or the fixed fee agreement to be valid, it will determine whether some amount is due under the valid agreement. The trial court must then determine, on
III. DISPOSITION
We conclude that Birbrower violated
George, C. J., Mosk, J., Baxter, J., Werdegar, J., and Brown, J., concurred.
KENNARD, J., Dissenting.—In California, it is a misdemeanor to practice law when one is not a member of the State Bar. (
The majority focuses its attention on the question of whether the New York lawyers had engaged in the practice of law in California, giving scant consideration to a decisive preliminary inquiry: whether, through their activities here, the New York lawyers had engaged in the practice of law at all. In my view, the record does not show that they did. In reaching a contrary conclusion, the majority relies on an overbroad definition of the term “practice of law.” I would adhere to this court‘s decision in Baron v. City of Los Angeles (1970) 2 Cal.3d 535 [86 Cal.Rptr. 673, 469 P.2d 353, 42 A.L.R.3d 1036], more narrowly defining the practice of law as the representation of another in a judicial proceeding or an activity requiring the application of that degree of legal knowledge and technique possessed only by a trained legal mind. Under this definition, this case presents a triable issue of material fact as to whether the New York lawyers’ California activities constituted the practice of law.
I
Defendant Birbrower, Montalbano, Condon & Frank, P.C. (hereafter Birbrower) is a New York law firm. Its lawyers are not licensed to practice law in California.
Kamal Sandhu was the sole shareholder of ESQ Business Services Inc., a New York corporation (hereafter ESQ-NY), of which his brother Iqbal Sandhu was the vice-president. Beginning in 1986, Birbrower lawyers reрresented the Sandhu family in various business matters. In 1990, Kamal Sandhu asked Birbrower lawyer Kevin Hobbs to review a proposed software development and marketing agreement between ESQ-NY and Tandem Computers Incorporated (hereafter Tandem). The agreement granted Tandem worldwide distribution rights to computer software created by ESQ-NY. The agreement also provided that it would be governed by California law and that, according to Birbrower‘s undisputed assertion, disputes were to be resolved by arbitration under the rules of the American Arbitration Association. ESQ-NY and Tandem signed the agreement.
Thereafter, a second corporation, also named ESQ Business Services, Inc. (hereafter ESQ-CAL), was incorporated in California, with Iqbal Sandhu as a principal shareholder. In 1991, ESQ-CAL consulted Birbrower lawyers concerning Tandem‘s performance under the agreement. In 1992, ESQ-NY and ESQ-CAL jointly hired Birbrower to resolve the dispute with Tandem, including the investigation and prosecution of claims against Tandem if necessary. ESQ-NY and ESQ-CAL entered into a contingency fee agreement with Birbrower; this agreement was executed in New York but was later modified to a fixed fee agreement in California.
The efforts of the Birbrower lawyers to resolve the dispute with Tandem included several brief trips to California. On these trips, Birbrower lawyers met with officers of both ESQ-NY and ESQ-CAL and with representatives of Tandem; they also interviewed arbitrators and participated in negotiating the settlement of the dispute with Tandem. (Maj. opn., ante, at p. 125.) On February 12, 1993, Birbrower initiated an arbitration proceeding against
In January 1994, ESQ-CAL and Iqbal Sandhu, the principal shareholder, sued Birbrower for malpractice. Birbrower cross-complained to recover its fees under the fee agreement. Plaintiffs ESQ-CAL and Iqbal Sandhu thereafter amended their complaint to add ESQ-NY as a plaintiff. Plaintiffs moved for summary adjudication, asserting the fee agreement was unenforceable because the Birbrower lawyers had engaged in the unauthorized practice of law in California. The trial court agreed, and granted plaintiffs’ motion. The Court of Appeal upheld the trial court‘s ruling, as does a majority of this court today.
II
Pursuant to its inherent authority to define and regulatе the practice of law (see, e.g., Merco Constr. Engineers, Inc. v. Municipal Court (1978) 21 Cal.3d 724, 728 [147 Cal.Rptr. 631, 581 P.2d 636]; In re Lavine (1935) 2 Cal.2d 324, 328; People v. Turner (1850) 1 Cal. 143, 150), this court in 1922 defined the practice of law as follows: “[A]s the term is generally understood, the practice of the law is the doing and performing services in a court of justice in any matter depending therein throughout its various stages and in conformity with the adopted rules of procedure. But in a larger sense it includes legal advice and counsel and the preparation of legal instruments and contracts by which the legal rights are secured although such matter may or may not be depending in a court.” (People v. Merchants Protective Corp. (1922) 189 Cal. 531, 535 [209 P. 363] (Merchants).) The Merchants court adopted this definition verbatim from a decision by the Indiana Court of Appeals, Eley v. Miller (1893) 7 Ind.App. 529 [34 Ν.Ε. 836, 837-838]. (Merchants, supra, at p. 535.)
In 1970, in Baron v. City of Los Angeles, supra, 2 Cal.3d 535, 542 (Baron), this court reiterated the Merchants court‘s definition of the term “practice of law.” We were quick to point out in Baron, however, that “ascertaining whether a particular activity falls within this general definition may be a formidable endeavor.” (Id. at p. 543.) Baron emphasized “that it is not the whole spectrum of professional services of lawyers with which the State Bar
The majority asserts that the definition of practice of law I have stated above misreads this court‘s opinion in Baron. (Maj. opn., ante, at p. 129.) But what the majority characterizes as “the dissent‘s fanciful interpretation of the [Baron court‘s] thoughtful guidelines” (ibid.) consists of language I have quoted directly from Baron.
The majority also charges that the narrowing construction of the term “practice of law” that this court adopted in Baron “effectively limit[s] section 6125‘s application to those cases in which nonlicensed out-of-state lawyers appeared in a California courtroom without permission.” (Maj. opn., ante, at p. 129.) Fiddlesticks. Because the Baron definition encomрasses all activities that ““reasonably demand application of a trained legal mind” (Baron, supra, 2 Cal.3d at p. 543), the majority‘s assertion would be true only if there were no activities, apart from court appearances, requiring application of a trained legal mind. Many attorneys would no doubt be surprised to learn that, for example, drafting testamentary documents for large estates, preparing merger agreements for multinational corporations, or researching complex legal issues are not activities that require a trained legal mind.
According to the majority, use of the Baron definition I have quoted would undermine protection of the public from incompetent legal practitioners. (Maj. opn., ante, at p. 129.) The Baron definition provides ample protection from incompetent legal practitioners without infringing upon the public‘s interest in obtaining advice and representation from other professionals, such as accountants and real estate brokers, whose skills in specialized areas may overlap with those of lawyers. This allows the public the freedom to choose professionals who may be able to provide the public with
The majority, too, purports to apply the definition of the practice of law as articulated in Baron, supra, 2 Cal.3d 535. The majority, however, focuses only on Baron‘s quotation of the general definition of the practice of law set forth in Merchants, supra, 189 Cal. 531, 535. The majority ignores both the ambiguity in the Merchants definition and the manner in which Baron resolved that ambiguity. The majority apparently views the practice of law as encompassing any “legal advice and legal instrument and contract preparation, whether or not these subjects were rendered in the course of litigation.” (Maj. opn., ante, at p. 128.)
The majority‘s overbroad definition would affect a host of common commercial activities. On point here are comments that Professor Deborah Rhode made in a 1981 article published in the Stanford Law Review: “For many individuals, most obviously accountants, bankers, real estate brokers, and insurance agents, it would be impossible to give intelligent counsel without reference to legal concerns that such statutes reserve as the exclusive province of attоrneys. As one [American Bar Association] official active in unauthorized practice areas recently acknowledged, there is growing recognition that ’ “all kinds of other professional people are practicing law almost out of necessity.” ’ Moreover, since most legislation does not exempt gratuitous activity, much advice commonly imparted by friends, employers, political organizers, and newspaper commentators constitutes unauthorized practice. For example, although the organized bar has not yet evinced any inclination to drag [nationally syndicated advice columnist] Ann Landers through the courts, she is plainly fair game under extant statutes [proscribing the unauthorized practice of law].” (Rhode, Policing the Professional Monopoly: A Constitutional and Empirical Analysis of Unauthorized Practice Prohibitions, supra, 34 Stan.L.Rev. at p. 47, fns. omitted.)
Unlike the majority, I would for the reasons given above adhere to the more narrowly drawn definition of the practice of law that this court articulated in Baron, supra, 2 Cal.3d 535, 543: the representation of another in a judicial proceeding or an activity requiring the application of that degree
III
As I mentioned earlier, Birbrower‘s clients had a software development and marketing agreement with Tandem. The agreement provided that its validity, interpretation, and enforcement were to be governed by California law. It also contained an arbitration provision. After a dispute arose pertaining to Tandem‘s performance under the agreement, Birbrower initiated an arbitration on behalf of its clients by filing a claim with the American Arbitration Association in San Francisco, and held meetings in California to prepare for an arbitration hearing. Because the dispute with Tandem was settled, the arbitration hearing was never held.
As I explained in part II, ante, this court in Baron, supra, 2 Cal.3d 535, 543, defined the term “practice of law” in narrower terms than the court had done earlier in Merchants, supra, 189 Cal. 531, 535, which simply adopted verbatim the general definition set forth in an 1893 decision of the Indiana Court of Appeals. Under the narrower definition articulated in Baron, the practice of law is the representation of another in a judicial proceeding or an activity requiring the application of that degree of legal knowledge and technique possessed only by a trained legal mind.
Representing another in an arbitration proceeding does not invariably present difficult or doubtful legal questions that require a trained legal mind for their resolution. Under California law, arbitrators are “not ordinarily constrained to decide according to the rule of law . . . .” (Moncharsh v. Heily & Blase (1992) 3 Cal.4th 1, 11 [10 Cal.Rptr.2d 183, 832 P.2d 899].) Thus, arbitrators, ““unless specifically required to act in conformity with rules of law, may base their decision upon broad principles of justice and equity, and in doing so may expressly or impliedly reject a claim that a party might successfully have asserted in a judicial action.’ [Citations.]” (Id. at pp. 10-11.) They ” ‘are not bound to award on principles of dry law, but may decide on principles of equity and good conscience, and make their award ex aequo et bono [according to what is just and good].’ [Citation.]” (Id. at p. 11, original brackets.) For this reason, “the existence of an error of law apparent on the face of the [arbitration] award that causes substantial injustice does not provide grounds for judicial review.” (Id. at p. 33, italics added; contra, id. at pp. 33-40 (conc. and dis. opn. of Kennard, J.).)
To summarize, under this court‘s decisions, arbitration proceedings are not governed or constrained by the rule of law; therefore, representation of another in an arbitration proceeding, including the activities necessary to prepare for the arbitration hearing, does not necessarily require a trained legal mind.
Commonly used arbitration rules further demonstrate that legal training is not essential to represent another in an arbitration proceeding. Here, for example, Birbrower‘s clients agreed to resolve any dispute arising under their contract with Tandem using the American Arbitration Association‘s rules, which allow any party to be “represented by counsel or other authorized representative.” (Am. Arbitration Assn., Com. Arbitration Rules (July 1, 1996) § 22, italics added.) Rules of other arbitration organizations also allow for representation by nonattorneys. For instance, the Rules of Procedure of the Inter-American Commercial Arbitration Commission, article IV provides: “The parties may be rеpresented or assisted by persons of their choice.” By federal law, this rule applies in all arbitrations between a United States citizen and a citizen of another signatory to the Inter-American Convention on International Commercial Arbitration, unless the arbitrating parties have expressly provided otherwise. (
The American Arbitration Association and other major arbitration associations thus recognize that nonattorneys are often better suited than attorneys to represent parties in arbitration. The history of arbitration also reflects this reality, for in its beginnings arbitration was a dispute-resolution mechanism principally used in a few specific trades (such as construction, textiles, ship chartering, and international sales of goods) to resolve disputes among businesses that turned on factual issues uniquely within the expertise of members of the trade. In fact, “rules, of a few trade associations forbid representation by counsel in arbitration proceedings, because of their belief that it would complicate what might otherwise be simple proceedings.” (Grenig, Alternative Dispute Resolution (1997) § 5.2, p. 81.) The majority gives no adequate justification for its decision to deprive parties of their
In addressing an issue similar to that presented here, a federal court held that a firm of New Jersey lawyers not licensed to practice law in New York was entitled to recover payment for legal services rendered in a New York arbitration proceeding. (Williamson v. John D. Quinn Const. Corp. (S.D.N.Y. 1982) 537 F.Supp. 613 (Williamson).) In allowing recovery of fees, the court cited a report by the Association of the Bar of The City of New York: “The report states, ‘it should be noted that no support has to date been found in judicial decision, statute or ethical code for the proposition that representation of a party in any kind of arbitration amounts to the practice of law.’ The report concludes ‘[t]he Committee is of the opinion that representation of a party in an arbitration proceeding by a nonlawyer or a lawyer from another jurisdiction is not the unauthorized practice of law. ’ ” (Id. at p. 616, quoting Com. Rep., Labor Arbitration and the Unauthorized Practice of Law (May/June 1975) 30 Record of the Association of the Bar of The City of New York, No. 5/6, at pp. 422, 428.)
The majority‘s attempt to distinguish Williamson, supra, 537 F.Supp. 613, from this case is unpersuasive. The majority points out that in Williamson, the lawyers of the New Jersey firm actually rendered services at the New York arbitration hearing, whereas here the New York lawyers never actually appeared at an arbitration hearing in California. (Maj. opn., ante, at pp. 133, 134, fn. 4.) The majority distinguishes Williamson on the ground that in this case no arbitration hearing occurred. Does the majority mean that an actual appearance at an arbitration hearing is not the practice of law, but that preparation for arbitration proceedings is?
In this case, plaintiffs have not identified any specific California activities by the New York lawyers of the Birbrower firm that meet the narrow definition of the term “practice of law” as articulated by this court in Baron, supra, 2 Cal.3d 535, 543. Accordingly, I would reverse the judgment of the Court of Appeal and direct it to remand the matter to the trial court with directions to vacate its order granting plaintiff‘s motion for summary adjudication and to enter a new order denying that motion.
On February 25, 1998, the opinion was modified to read as printed above.
