BUCKNER-WEBB v. State

878 S.E.2d 481, 314 Ga. 823
CourtSupreme Court of Georgia
DecidedSeptember 20, 2022
DocketS21G1281
StatusPublished
Cited by14 cases

This text of 878 S.E.2d 481 (BUCKNER-WEBB v. State) is published on Counsel Stack Legal Research, covering Supreme Court of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
BUCKNER-WEBB v. State, 878 S.E.2d 481, 314 Ga. 823 (Ga. 2022).

Opinion

314 Ga. 823 FINAL COPY

S21G1281. BUCKNER-WEBB et al. v. THE STATE.

LAGRUA, Justice.

We granted certiorari in this case to determine whether a trial

court’s order denying a motion to withdraw as counsel based on

alleged conflicts of interest is immediately appealable under the

collateral order doctrine. For the reasons that follow, we conclude

that such orders do not fall within the “very small class” of trial court

orders that are appealable under that doctrine, Duke v. State, 306

Ga. 171, 172 (1) (829 SE2d 348) (2019), and thus we affirm the Court

of Appeals’ decision in Buckner-Webb v. State, 360 Ga. App. 329 (861

SE2d 181) (2021), albeit for different reasons.

1. Pertinent Facts and Procedural History

In March 2013, Diane Buckner-Webb, Theresia Copeland,

Sharon Davis-Williams, Tabeeka Jordan, Michael Pitts, and Shani

Robinson (collectively, “Defendants”) were indicted by a Fulton County grand jury, along with 35 other educators and

administrators of the Atlanta Public Schools (“APS”), for conspiracy

to violate the Georgia Racketeer Influenced and Corrupt

Organizations (“RICO”) Act, OCGA § 16-14-1 et seq., and other

crimes, arising out of their alleged participation in a conspiracy to

alter students’ standardized test scores. Of the 35 indicted, 12 APS

employees, including Defendants, were tried together between

August 2014 and April 2015. In April 2015, the jury found

Defendants and five others guilty of at least one count of conspiracy

to violate the RICO Act.

In April and May 2015, Defendants filed timely motions for

new trial through their respective trial attorneys. The trial

transcripts were filed into the record between June 2015 and

October 2016. Thereafter, despite the fact that each Defendant was

represented by a separate attorney at trial, the Circuit Public

Defender appointed only one attorney, Stephen R. Scarborough, to

2 jointly represent Defendants as appellate counsel, and he formally

entered an appearance on Defendants’ behalf on April 26, 2017.

The trial court held a status hearing on Defendants’ motions

for new trial in December 2018. Following the status hearing,

Defendants were given six months to file particularized motions for

new trial, and the State was given six months to respond.

On June 28, 2019, more than two years after Scarborough’s

appointment as appellate counsel for Defendants and around the

time Defendants’ particularized motions for new trial were due for

filing, Scarborough filed a “Motion for Rule 1.7[1] Determinations” to

————————————————————— 1 Rule 1.7 of the Georgia Rules of Professional Conduct found in Bar

Rule 4-102 provides: (a) A lawyer shall not represent or continue to represent a client if there is a significant risk that the lawyer’s own interests or the lawyer’s duties to another client, a former client, or a third person will materially and adversely affect the representation of the client, except as permitted in (b). (b) If client informed consent is permissible a lawyer may represent a client notwithstanding a significant risk of material and adverse effect if each affected client or former client gives informed consent, confirmed in writing, to the representation after: (1) consultation with the lawyer, pursuant to Rule 1.0 (c); (2) having received in writing reasonable and adequate information about the material risks of and reasonable available alternatives to the representation[;] and 3 address alleged conflicts of interest arising from his joint

representation of Defendants. Scarborough also filed a motion to

withdraw as counsel based upon this conflict of interest. The trial

court heard the motion to withdraw on August 8, 2019.2

————————————————————— (3) having been given the opportunity to consult with independent counsel. (c) Client informed consent is not permissible if the representation: (1) is prohibited by law or these rules; (2) includes the assertion of a claim by one client against another client represented by the lawyer in the same or substantially related proceeding; or (3) involves circumstances rendering it reasonably unlikely that the lawyer will be able to provide adequate representation to one or more of the affected clients. (d) Though otherwise subject to the provisions of this rule, a part- time prosecutor who engages in the private practice of law may represent a private client adverse to the state or other political subdivision that the lawyer represents as a part-time prosecutor, except with regard to matters for which the part-time prosecutor had or has prosecutorial authority or responsibility. The maximum penalty for a violation of this rule is disbarment. 2 At the outset of the hearing, the trial court inquired into the more than

two-year delay in Scarborough’s filing of the motion to withdraw after his appointment as counsel. Scarborough responded that the “regrettable” delay was unavoidable because of the time he needed to review the voluminous record adequately. He also explained that, while he initially believed that joint representation was “the best and most efficient way to handle this,” he later recognized that he had to make this motion under Rule 1.7 — irrespective of the passage of time — because (1) his representation of Defendants was conflicted; (2) Defendants would not waive the conflict; and (3) he could be subject to professional discipline if he continued to jointly represent Defendants despite this conflict. Scarborough acknowledged that “everybody with a law degree that’s involved with this case must have seen that this was 4 In support of his request to withdraw as counsel, Scarborough

asserted that: (1) he was in “an ethically untenable position” because

his loyalty to each Defendant would require him to omit issues and

claims he would otherwise raise in the motions for new trial or, at

the very least, to argue those issues “less robustly” than he

otherwise would; (2) he had an actual conflict under Rule 1.7

because his duties to each Defendant would materially and

adversely affect his performance and legal representation of the

others; (3) as required by Rule 1.7, he met separately with

Defendants and advised them of the conflict, and Defendants

declined to waive the conflict and requested the appointment of

conflict-free appellate counsel; and (4) he contacted the General

Counsel’s Office at the State Bar of Georgia and, after describing the

————————————————————— a potential problem,” but reiterated this awareness was no “substitute for reading the record and performing as counsel.” Although the trial court expressed frustration in the time it took Scarborough to raise the conflict issue, particularly given the publicity surrounding the trial and the well-known fact that Defendants “represent three levels of authority within APS,” the trial court nevertheless allowed the motion hearing to proceed. 5 circumstances, was advised that he could not continue representing

Defendants in this case.

In response to Scarborough’s assertions, the State argued that

there was no conflict of interest in Scarborough’s representation of

Defendants on appeal. In furtherance thereof, the State asserted

that Scarborough did not provide any specificity as to the purported

conflict of interest and that any purported conflict of interest was

merely an “erroneous assumption,” unsupported by case law, and

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Bluebook (online)
878 S.E.2d 481, 314 Ga. 823, Counsel Stack Legal Research, https://law.counselstack.com/opinion/buckner-webb-v-state-ga-2022.