Comstock Lake Pelham, L.C. v. Clore Family, L.L.C.

74 Va. Cir. 35, 2007 Va. Cir. LEXIS 46
CourtFairfax County Circuit Court
DecidedMarch 20, 2007
DocketCase No. CL-2006-8525
StatusPublished

This text of 74 Va. Cir. 35 (Comstock Lake Pelham, L.C. v. Clore Family, L.L.C.) is published on Counsel Stack Legal Research, covering Fairfax County Circuit Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Comstock Lake Pelham, L.C. v. Clore Family, L.L.C., 74 Va. Cir. 35, 2007 Va. Cir. LEXIS 46 (Va. Super. Ct. 2007).

Opinion

By Judge Jonathan c. thacher

This matter came before the Court on Plaintiffs Motion to Disqualify Defendant’s law firm.

Background

Plaintiff Comstock Lake Pelham, L.C. (“CLP”) is a Virginia limited liability company whose business is land development. Along with Comstock Potomac Yard, L.L.C. (“CPY”), CLP is completely controlled by a sole managing member called Comstock Homebuilding Companies, Inc. (“Comstock”).

In March 2004, Comstock’s general counsel engaged the law firm that is now Akerman Senterfitt Wickwire & Gavin (“ASWG”) and what was then Wickwire Gavin (“Wickwire Gavin”), to perform legal work on a long term construction project, Comstock Potomac Yard.

The language in Wickwire Gavin’s original “terms of engagement” letter addressed to Comstock General Counsel Jubal Thompson is as follows:

[36]*36The terms of this letter will apply to Comstock Homes, Inc., and any of its related companies (collectively the “Client”) on this and any other matter upon which we are engaged.

March 5, 2004, Letter from Wickwire Gavin to Comstock Homes, Inc. This letter is addressed to Mr. Jubal Thompson and Comstock Homes, Inc. and is the “Terms of Engagement” for Wickwire Gavin’s representation of Comstock. Hereinafter referenced as the “Agreement.”

Under this agreement, Wickwire Gavin performed legal work relating to the Potomac Yard Project in Alexandria, Virginia. The last invoice Wickwire Gavin sent to Comstock for work performed on this project was in August of 2005.

In May of 2005, CLP entered into an agreement to purchase land in Culpeper County from defendant Clore. The underlying dispute in this suit is over the $2 million initial deposit made by CLP, of which $1.1 million is in Clore’s possession and $900,000 is in the hands of defendant Premier Title.

On July 5, 2006, CLP informed Clore that, because it thought some conditions precedent to the contract were not satisfied, CLP no longer considered itself obligated to purchase the land and did not intend to do so. Clore disagreed and refused to release the initial deposit.

On June 23, 2006, the merger between Akerman Senterfitt and Wickwire Gavin forming ASWG was completed.

Clore retained ASWG on July 10,2006, and subsequently filed suit for breach of contract and declaratory judgment. On October 26,2006, Comstock filed a motion to disqualify ASWG from the case alleging the conflict of interest.

Comstock argues that Wickwire Gavin’s, and thus ASWG’s, representation of Comstock was never terminated by Comstock corporate counsel Thompson, the only Comstock representative with authority to retain or terminate counsel, and therefore ASWG should be disqualified from representing Clore in an action adverse to Comstock.

ASWG responds that its representation of Comstock ended in June 2005 when it was told to stand down (not by Thompson) and that its last invoice to Comstock was in August 2005. ASWG argues that these facts along with the fact that Comstock had hired other outside counsel plainly demonstrate that the relationship between Comstock and ASWG predecessor Wickwire Gavin had ceased. ASWG also contends that CLP was never a client of Wickwire Gavin or ASWG because it was a separate legal entity. Further, ASWG argues that Comstock bears a heavy burden to establish that disqualification is warranted in light of Virginia’s preference entitling a litigant to representation by counsel of its own choosing.

[37]*37 Analysis

The issue before the Court is a difficult one, made more difficult by the particular facts and the failure of the parties to clearly delineate the course of representation.

A motion for the disqualification of counsel requires close inspection and requires the Court to “balance several important factors: the right of a party to retain counsel of his choice and the substantial hardship which might result from disqualification as against the public perception of and the public trust in the judicial system.” In re Chantilly Constr. Corp., 39 B.R. 466, 468 (Bankr. E.D. Va. 1984). Each disqualification motion must be decided on a case-by-case basis. Id. at 469. While there are important considerations there is no rigid standard to be applied. Id. Yet, first and foremost in any examination of such issues, the Court has a duty to “maintain the highest ethical standards of professional conduct to ensure and preserve trust in the integrity of the bar.” Hirst v. Siegfried, 35 Va. Cir. 166, 169 (Fairfax County, 1994).

The crux of the issue before the Court must be analyzed in three steps. First, whether and when Wickwire Gavin/ASWG’s representation of Comstock ended; second, whether, under the parties Agreement, CPL was ever a client of Wickwire Gavin/ASWG; and third, whether there exists a substantial relationship between the matters of the prior representation and the pending litigation.

Rule 1.6(d) of the Virginia Rules of Professional Conduct places the burden of communicating the termination of representation upon the lawyer, or as in this case, the law firm:

Upon termination of representation, a lawyer shall take steps to the extent reasonably practicable to protect a client’s interest, such as giving reasonable notice to the client, allowing time for employment of other counsel, refunding any advance payment of fee that has not been earned and handling records as indicated in paragraph (e).

(Emphasis added.)

Here, ASWG never communicated to Comstock that ASWG’s representation had been terminated. Regardless of who initiated the termination or representation, the Rules place the burden of communication squarely upon the lawyer. No such communication was ever issued by ASWG to Comstock.

[38]*38ASWG argues that it was told to “stand down” in August of 2005 after changes in Comstock management. Comstock’s corporate counsel Thompson disputes ASWG’s contention and testified that he was the only person authorized to make decisions about the beginning and end of legal representation regarding outside counsel and he never terminated ASWG’s representation.

Because the burden is upon the lawyer to communicate with the client upon the termination of representation, the lack of communication of same from ASWG could lead one to reasonably conclude that the representation was ongoing. It was ASWG’s burden to clarify the relationship, and they failed to satisfy that burden.

The next issue to be analyzed is whether CPL was ever an ASWG client. The language of the Agreement between the Comstock and Wickwire Gavin specifically stated that “the terms of this [Agreement] will apply to Comstock Homes, Inc., and any of its related companies.” Agreement at 1.

CPL is a wholly owned subsidiary of Comstock. Comstock Homes, Inc., subsequently changed its name to Comstock Homebuilding Companies, Inc. As it is the same company, it will continue to be referred to as Comstock for clarity.

A contract is construed as written, and, when the terms are clear and unambiguous, the contract is construed according to its plain meaning. PMA Capital Ins. Co. v. US Airways, Inc., 271 Va. 352, 358, 626 S.E.2d 369, 372-73 (2006).

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Related

PMA Capital Ins. Co. v. US Airways, Inc.
626 S.E.2d 369 (Supreme Court of Virginia, 2006)
Hirst v. Siegfried
35 Va. Cir. 166 (Fairfax County Circuit Court, 1994)

Cite This Page — Counsel Stack

Bluebook (online)
74 Va. Cir. 35, 2007 Va. Cir. LEXIS 46, Counsel Stack Legal Research, https://law.counselstack.com/opinion/comstock-lake-pelham-lc-v-clore-family-llc-vaccfairfax-2007.