Flores v. Willard J. Price Associates, LLC

20 A.D.3d 343, 799 N.Y.S.2d 43, 2005 N.Y. App. Div. LEXIS 7979
CourtAppellate Division of the Supreme Court of the State of New York
DecidedJuly 21, 2005
StatusPublished
Cited by17 cases

This text of 20 A.D.3d 343 (Flores v. Willard J. Price Associates, LLC) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Flores v. Willard J. Price Associates, LLC, 20 A.D.3d 343, 799 N.Y.S.2d 43, 2005 N.Y. App. Div. LEXIS 7979 (N.Y. Ct. App. 2005).

Opinions

Order, Supreme Court, Bronx County (Yvonne Gonzalez, J.), entered April 23, 2004, which, to the extent appealed from, denied the motion of third-party defendant Stateside Construction, LLC insofar as it sought disqualification of third-party plaintiffs’ counsel by reason of the alleged conflict of third-party plaintiffs’ counsel, reversed, on the law, without costs, and the motion for disqualification granted.

Plaintiff was injured in a construction accident while using a table saw at premises owned by defendant and third-party plaintiff Willard J. Price Associates, LLC (Price) and managed by defendant and third-party plaintiff Proto Realty Management Corp. (Proto). Plaintiff commenced this action against Price and Proto to recover damages for personal injuries. Price and Proto are represented jointly by the Law Offices of Gary A. Gusano as counsel for their insurer, CNA Insurance Companies, under a commercial general liability policy. It is uncontested that Demetrios Moragianis is the majority shareholder and president of Proto.

Gusano, allegedly on behalf of Price and Proto, impleaded Stateside Construction, LLC (Stateside), the construction manager at the job site, for indemnification and contribution based upon a contract with Stateside. It is uncontested that Demetrios Moragianis is the sole member of Stateside, that he signed the contract at issue between Stateside and Price on behalf of Stateside, and that Gusano never received Proto’s or Moragianis’ consent to sue Stateside.

Stateside moved to disqualify Gusano on the basis of a conflict of interest in the commencement of the third-party complaint, as Moragianis discussed this matter with Gusano as the president and majority shareholder of Proto, as well as in his capac[344]*344ity as the sole member of Stateside.1 Moragianis further contends that by commencing the third-party action against Stateside, Gusano is placing the interests of CNA Insurance Companies above the interests of Moragianis. The court disagreed and found that the fact that Moragianis is a principal in both entities does not create a conflict of interest. We now reverse.

The disqualification of an attorney is a matter that rests within the sound discretion of the court (see Nationwide Assoc. v Targee St. Internal Medicine Group, 303 AD2d 728 [2d Dept 2003]). “Attorneys owe fiduciary duties of both confidentiality and loyalty to their clients” (Tekni-Plex, Inc. v Meyner & Landis, 89 NY2d 123, 130 [1996]). Thus, attorneys have continuing obligations to protect their clients’ confidences (see Code of Professional Responsibility DR 4-101 [b] [22 NYCRR 1200.19 (b)]). Moreover, an attorney “must avoid not only the fact, but even the appearance, of representing conflicting interests” (Cardinale v Golinello, 43 NY2d 288, 296 [1977]). “ ‘[T]he greatest trust between [people] is the trust of giving counsel’ ” (Matter of Cooperman, 83 NY2d 465, 472 [1994], quoting Bacon, Of Counsel, in The Essays of Francis Bacon, at 181 [1846]). “This unique fiduciary reliance ... is imbued with ultimate trust and confidence” (id.). Furthermore, “[t]he duty to deal fairly, honestly and with undivided loyalty superimposes onto the attorney-client relationship a set of special and unique duties, including maintaining confidentiality, avoiding conflicts of interest, . . . and honoring the clients’ interests over the lawyer’s” (id.). Indeed, “the lawyer may not place himself in a position where a conflicting interest may, even inadvertently, affect, or give the appearance of affecting, the obligations of the professional relationship” (Matter of Kelly, 23 NY2d 368, 376 [1968]). It is against this backdrop that we must assess the issues presented in this case.

While Proto, not Moragianis, is the actual named party, Proto can act solely through natural persons (see Niesig v Team I, 76 NY2d 363, 371 [1990]). Furthermore, when defining specifically who is a “party” when a corporation is named in a lawsuit for the purpose of the Disciplinary Rules, the Court of Appeals in Niesig found a party to include “corporate employees whose acts or omissions in the matter under inquiry are binding on the corporation (in effect, the corporation’s ‘alter egos’) or imputed to the corporation for purposes of its liability, or employees implementing the advice of counsel” (id. at 374). It ap[345]*345pears on the record to be uncontroverted that Moragianis is the one through which Proto has been acting for the purposes of this litigation. Therefore, under these circumstances and this record, he is a “party” to whom Gusano owes a fiduciary duty of undivided loyalty.

Yet, without any permission from Moragianis (or anyone else from Proto), a third-party action was commenced against Stateside whose “alter ego” is undeniably Moragianis. There can be little doubt that the third-party suit is not in the best interest of Moragianis.2 Rather, such suit is for the primary benefit of the insurer, CNA, as its victory assures recoupment of any moneys CNA might pay out on behalf of its insureds. “[T]here is a well-established proscription against permitting an insurer to place its own financial interests above those of its insured” (Ansonia Assoc. Ltd. Partnership v Public Serv. Mut. Ins. Co., 257 AD2d 84, 86 [1999]). Moreover, to fully and effectively represent third-party plaintiffs, the attorney and Moragianis must have an open dialogue. As the Court in Tekni-Plex stated: “This rule of disqualification fully protects a client’s secrets and confidences by preventing even the possibility that they will subsequently be used against the client in related litigation. This prophylactic measure thus frees clients from apprehension that information imparted in confidence might later be used to their detriment, which, in turn, ‘fosters the open dialogue between lawyer and client that is deemed essential to effective representation’ ” (89 NY2d at 131, quoting Spectrum Sys. Intl. Corp. v Chemical Bank, 78 NY2d 371, 377 [1991]).

Therefore, under these facts, it appears that Gusano has impermissibly placed CNA’s interests above those of Moragianis. This stratagem gives the appearance of a conflict of interest and Gusano must be disqualified3 (see Code of Professional Responsibility Canon 9). Concur—Buckley, P.J., Andrias and Catterson, JJ.

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Bluebook (online)
20 A.D.3d 343, 799 N.Y.S.2d 43, 2005 N.Y. App. Div. LEXIS 7979, Counsel Stack Legal Research, https://law.counselstack.com/opinion/flores-v-willard-j-price-associates-llc-nyappdiv-2005.