Haner v. State, No. 290-7-07 Bncv (Wesley, J., May 12, 2010)
[The text of this Vermont trial court opinion is unofficial. It has been reformatted from the original. The accuracy of the text and the accompanying data included in the Vermont trial court opinion database is not guaranteed.] STATE OF VERMONT BENNINGTON SUPERIOR COURT BENNINGTON COUNTY DOCKET No. 290-7-07 Bncv
HAROLD HANER ) ) v. ) ) STATE OF VERMONT )
ORDER DENYING STATE’S MOTION TO PRECLUDE PETITIONER’S EXPERT
Introduction
By his complaint for post-conviction relief pursuant to 13 V.S.A.§7131, Petitioner
Harold Haner seeks to set aside his conviction for sexual assault on a minor by alleging
ineffective assistance of counsel. He asserts that trial counsel’s performance was
deficient in several ways, including the failure to obtain an independent medical
examination of the complaining witness, A.H. Petitioner has retained Darah Kehnemuyi,
Esq., to render an opinion regarding trial counsel’s performance. In an affidavit dated
December 29, 2008, Mr. Kehnemuyi opined that Petitioner’s defense attorney should
have retained a medical expert to review A.H.’s records and conduct a physical exam,
and that failure to do so amounted to ineffective assistance of counsel.
The State moves to exclude Mr. Kehnemuyi’s testimony claiming that he is
disqualified due to a conflict of interest under the Vermont Rules of Professional
Conduct. This claim stems from the commencement of concurrent juvenile and criminal
proceedings against Petitioner, resulting from A.H.’s allegations. A.H. was represented
in the juvenile proceeding by Marie Wood, Esq., of the Bennington County Public
Defender’s Officer. Although never having sought, nor obtained, assignment to represent A.H. in the criminal case, Ms.Wood accompanied her Family Court client to A.H.’s
deposition scheduled by defense counsel in the sexual assault prosecution. Subsequently,
from March 1, 2009 through June 30, 2009, Mr. Kehnemuyi had a “caseload relief
contract”1 with the Defender General under which he covered arraignments in Windham
County on a rotating schedule with attorneys from the Windham County Public
Defender’s Office.2 By the terms of the contract, on those days specified by the Public
Defender’s rotation schedule, Mr. Kehnemuyi appeared in Windham District Court as the
sole Public Defender to be assigned to eligible defendants, and remained responsible for
each case to which he was assigned at such arraignments until resolution.
Legal Framework
The State argues that Mr. Kehnemuyi has a conflict of interest under V.R.Pr.C.
1.9 and 1.10 that requires him to be disqualified as an expert in this case.3 The State
1 Mr. Kehnemuyi also has an “assigned counsel contract” with the Defender General to provide services when attorneys in the Windham County Public Defender’s Office have a conflict. The State does not contend that this contract creates any conflict affecting his role as an expert for Petitioner in this case. 2 The terms of the caseload relief contract do not indicate that it is specific to Windham County. However, the Defender General testified that this was a county-specific contract, entered due to the extended personal leave of an attorney in the Windham County Public Defender’s Office and the need avoid adding all new cases coming in to the caseloads of the remaining staff. Mr. Kehnemuyi also testified that, under the contract, he covered arraignments in Windham County District Court, and the State’s motion also indicates that the caseload relief services were performed in Windham County only. 3 The State’s standing to move for Mr. Kehnemuyi’s disqualification is suspect. Generally, to raise conflict of interest as a basis for disqualification, there must have been an attorney-client relationship between the party moving for disqualification and the party to be disqualified. Morgan v. N. Coast Cable Co. 586 N.E.2d 88, 90-91 (Ohio 1992) (“[A]s a general rule, a stranger to an attorney-client relationship lacks standing to complain of a conflict of interest in that relationship.”); see also In re Yarn Processing Patent Validity Litigation, 530 F.2d 83, 88 (5th Cir. 1976); Murchison v. Kirby, 201 F.Supp. 122, 124 (S.D.N.Y. 1961) (“Absent a complaint by the former or present client the moving party has no status to object to the representation of the adverse party by an attorney of his choice.”). However, some courts have recognized exceptions to this rule where the moving party has a sufficient interest in the outcome of the case or the integrity of the judicial proceedings. See United States v. Cunningham, 672 F.2d 1064, 1072 n.7 (2d Cir. 1982) (state has a sufficient interest in maintaining the integrity of criminal proceedings to raise conflict of interest as grounds for disqualifying defense counsel who had previously represented one of the state’s witnesses); In re Gopman, 531 F.2d 262, 265–66 (5th Cir. 1976) (government has standing to disqualify attorney for defendant because all attorneys have obligation to bring violations of ethics rules to the court’s attention); State Farm Mut. Auto. Ins. v. K. A. W., 575 So.2d 630, 632–33 (Fla. 1991) (allowing insurer to
2 asserts that since V.R.Pr.C. 1.9 would prevent Ms. Wood from offering an opinion for
Petitioner that is adverse to the interests of her former client, and, because Mr.
Kehnemuyi provides public defense services under a contract with the Defender General,
therefore he is “associated in a firm” with Ms. Wood such that her conflict is imputed to
him under V.R.Pr.C. 1.10.4
Where a lawyer is providing services to an organization on a temporary basis,
“[w]hether Rule 1.10 requires imputed disqualification must be determined case by case
on the basis of all relevant facts and circumstances, unless disqualification is clear under
the Rules.” ABA Formal Op. 88-356 (Dec. 16, 1988). Given the circumstances in this
case—Mr. Kehnemuyi is appearing as an expert, not an advocate; his opinion was formed
prior to entering the contract with the Defender General; Mr. Kehnemuyi is not an
employee of the Defender General or any public defender; and Mr. Kehnemuyi and Ms.
Wood provided services in separate county public defender offices—the Court concludes
stand in shoes of insured for purpose of asserting conflict of interest where it would be liable for verdict against insured). The Vermont Supreme Court recently addressed a motion to disqualify for conflict of interest raised by a party outside the attorney-client relationship. State v. Baker, 2007 VT 84, 182 Vt. 583. In that case, the defendant moved to disqualify the prosecuting attorney, who had previously represented the co- defendant on unrelated criminal charges. Id. at ¶¶ 1, 3. The Court analyzed the substance of the motion, without addressing whether the defendant had standing to raise it. However, it did note that the language of V.R.Pr.C. 1.9 would prevent the prosecutor from representing the state against his former client, the co- defendant, but that here the rule was being used in an attempt to prevent representation against a person other than the former client. Id. at ¶ 7 (“Rule 1.9 must be viewed with this important distinction in mind.”). Guided by Baker, as well as the authorities recognizing some latitude in the State’s role in seeking clarification of seeming conflicts of interest, the Court reaches the merits of the claim here. Nevertheless, especially in light of the concerns raised below regarding the strength of the State’s challenge, it bears noting that the State does not represent A.H.; rather, it has an independent duty to assure the preservation of justice. Its collateral attack on Defendant’s ability to present expert testimony in support of his claim of ineffective assistance of counsel – justified by insisting that the success of such a challenge “would not be in the interest of A.H.” – betrays a disquieting disregard for the possibility that other responsibilities could be paramount to the State’s solicitude for a complaining witness, even one who is a minor having endured the grueling experience of giving testimony in a sexual assault prosecution. 4 Rule 1.10 states clearly that any disqualification of lawyers “associated in a firm with former or current government lawyers is [exclusively] governed by Rule 1.11.” V.R.Pr.C. 1.10(d), cmt 7. However, Rule 1.11 only seems to control where a private lawyer has joined a government entity, or a government lawyer has left public service to join a private firm. See V.R.Pr.C. 1.11 and comments. Since neither scenario is present here, as the parties have done, the Court will analyze disqualification in this case under Rule 1.10.
3 that the alleged conflict is too attenuated to require disqualification of Mr. Kehnemuyi as
Petitioner’s expert. See State v. Baker, 2007 VT 84, ¶ 8, 182 Vt. 583 (mem.) (“[T]he
appearance of impropriety alone is simply too slender a reed on which to rest a
disqualification order except in the rarest of cases.” (quoting Stowell v. Bennett, 169 Vt.
630, 632 (1999) (mem.)).
At the outset, it must be noted that this is a motion to preclude Mr. Kehnemuyi as
an expert; he has not been engaged to provide legal representation to Petitioner in these
post-conviction relief proceedings. In the absence of any Vermont case law setting forth a
standard for expert disqualification based on a conflict of interest, the Court looks to the
law of other states. Typically, to disqualify an expert because of a conflict of interest the
moving party must demonstrate that (1) it had a reasonable expectation of a confidential
relationship with the expert and (2) that actual confidences were divulged to the expert.
Mitchell v. Wilmore, 981 P.2d 172, 175 (Colo. 1999); Formosa Plastics, Inc. v. Kajima
Intern, Inc. 216 S.W. 3d 436, 448 (Tex. App. 2006). This test was adapted from the test
for disqualifying conflicted attorneys to require proof that confidential communications
actually occurred, thus creating a higher burden for disqualification of experts.5 See
Mitchell, 981 P.2d at 175–76. This higher hurdle for expert disqualification is meant to
recognize the difference in the role of an expert (source of technical information and
neutral opinions for the trier of fact) and the role of an attorney (zealous advocate of
client’s cause). Id.
Interestingly, there is little case law regarding the standard to apply when the
expert is an attorney. The Court could locate only one case on this point, W.R. Grace &
5 To prove an attorney conflict, a party need only demonstrate the existence of an attorney-client relationship that is substantially related to the present matter. See State v. Crepeault, 167 Vt. 209, 216 (1997). Once those facts are established it is presumed that confidential information passed. Id.
4 Co. v. GraceCare Inc., which itself notes the absence of other cases considering the issue.
152 F.R.D. 61, 64 (D.Md 1993). In W.R. Grace, the plaintiff sought to disqualify
defendant’s expert, Mr. Allen, a trademark attorney, where plaintiff had previously
contacted Mr. Allen as a potential expert witness for the same case. Id. at 64–65.
In considering what test to use for the attorney-expert’s disqualification, the Court
said that even though Mr. Allen was contacted as an expert, it could not ignore that he is
an attorney and “the duties of an attorney-expert are greater than the ordinary expert.” Id.
at 65. The expert’s status as an attorney creates an assumption that any contact with him
took on a confidential character. Id. Therefore, the Court concluded it was appropriate to
apply the traditional conflict-of-interest analysis that would be used when the attorney
was appearing as an advocate— that is, where there is a confidential relationship with an
attorney-expert, the court need only look for the “reasonable probability” that
confidences have passed. Id. This Court accepts the logic of the Federal District Court of
Maryland in W.R. Grace, that whether an attorney is appearing as an expert or an
advocate, her position as an attorney dictates the ethical standards to which she must be
held. Therefore, the Court will apply the traditional test for attorney conflicts under the
Vermont Rules of Professional Conduct to this motion to preclude an attorney-expert.
Mr. Kehnemuyi’s appearance as an expert in this case creates no direct conflict
with any current or former client of his as he was not involved in the underlying criminal
or juvenile proceedings. Thus, he can only be disqualified if he is “associated in a firm”
with a lawyer whose conflict with a current or former client would prevent them from
personally appearing as an expert in this case. See V.R.Pr.C. 1.10(a) (“While lawyers are
5 associated in a firm, none of them shall knowingly represent a client when any one of
them practicing alone would be prohibited from doing so by Rules 1.7 or 1.9. . . .”).
In this case, deputy public defender Marie Wood represented the complaining
witness A.H. in juvenile proceedings stemming from the same events as the underlying
criminal charges against Petitioner. Under Rule 1.9, because of her former representation
of A.H., Ms. Wood would be prevented from now representing “another person in the
same or a substantially related matter in which that person’s interests are materially
adverse to the interest of the former client unless the former client gives informed
consent.” V.R.Pr.C. 1.9. Petitioner’s interest in setting aside his conviction for sexual
assault on A.H. is certainly adverse to her interests in having her assailant imprisoned,
and A.H. has not consented to Ms. Wood or Mr. Kehnemuyi testifying for Petitioner.
The only real issue regarding Ms. Wood’s conflict is whether the juvenile
proceedings and the present action for post-conviction relief are substantially related.
Where a substantial relationship between the first and second representation is shown,
receipt of confidential information relevant to the second matter is presumed and
disqualification is required. See State v. Crepeault, 167 Vt. 209, 216–17 (1997).
“Substantiality is present if the factual contexts of the two representations are similar or
related.” State v. Baker, 2007 VT 84, ¶ 11 (quoting Crepeault, 167 Vt. at 216). This
determination “requires an analysis of the facts, circumstances, and legal issues of the
two representations.” Id.
The legal issues and circumstances of the two representations in this case are very
different. In the juvenile proceeding, Ms. Wood’s role was to advocate for the best
interests of A.H. In this matter, the attorney’s task is to offer expert testimony regarding
6 the performance of defense counsel at Petitioner’s trial. The present representation
concerns the way the court works, and seeks to ensure that a defendant’s constitutional
rights are protected; though it may indirectly affect A.H., the present case is not about her
best interests. However, there may be sufficient factual similarity between the two that
confidences obtained in the juvenile case could be implicated in an expert opinion
regarding the need for a medical examination of A.H.
The situation here is similar to that in State v. Crepeault. There the attorney
prosecuting Ms. Crepeault for sexual assault on one of her children had previously
defended Ms. Crepeault in a juvenile CHINS proceeding regarding her ability to care for
her children. Crepeault, 167 Vt. at 214–15. Though the circumstances and legal issues in
the two proceeding were different, the Court still determined that there was enough
factual similarity between the two representations to warrant disqualification of the
prosecuting attorney.
“The subject matter of [the prosecutor’s] prior representation of defendant in the CHINS proceeding concerned defendant's parenting abilities and her relationships with [her children]. In the course of that representation, [the prosecutor] could have been privy to any number of client confidences concerning defendant's treatment of the children. Although the immediate focus of the criminal prosecution focused specifically on defendant's alleged sexual abuse of J.C., it also involved underlying questions relating to the nature of her relationships with all of her children and the extremely troubled family dynamics.”
Id. at 217. Likewise, in the course of her representation of A.H., Ms. Wood presumably
learned details of the assault and A.H.’s physical condition that could be relevant in an
opinion as to whether an independent medical exam should have been performed on A.H.
Even Mr. Kehnemuyi acknowledged that if he were in Ms. Wood’s position, he would be
“uncomfortable” offering testimony in the present case. It is likely that the two matters
7 are sufficiently related that it would be a conflict under Rule 1.9 for Ms. Wood to now
offer expert testimony in favor of Petitioner.
Association in a Firm
Nevertheless, Mr. Kehnemuyi is subject to imputed disqualification only if he is
“associated in a firm” with Ms. Wood—it is here that the State’s argument fails. A
“firm” is “lawyers in a law partnership, professional corporation, sole proprietorship or
other entity or association authorized to practice law; or lawyers employed in a legal
services organization . . . .” V.R.Pr.C. 1.0(c). Government-run legal organizations are not
expressly included in this definition, though the comments suggest that a public defender
organization may be treated as a legal services organization. See V.R.Pr.C. 1.0 cmt 4.
Thus, assuming for the moment that a public defender’s office is a firm under the rule, to
be subject to disqualification, Mr. Kehnemuyi would have to be employed by the public
defender’s office when he rendered the opinion in this case.
Mr. Kehnemuyi performed caseload relief services for the Windham County
Public Defender’s office pursuant to a contract with the Defender General. The Vermont
Supreme Court has explicitly stated that “a private attorney who represents indigent
defendants at the state’s expense pursuant to contract with the defender general is not a
state employee.” Reed v. Glynn, 168 Vt. 504, 505 (1998) (emphasis added). Though the
particular concern in that case was whether the contract attorney was a state employee for
the purposes of sovereign immunity, the Court applied the common law definition of
employee: if, under the contract, the party for whom the work is being done controls only
the result, and party performing the services can choose the means and methods to
accomplish that result, then he is not an employee. Id. at 506. The Court concluded,
8 given the express provisions of the contract that “the defender general had no power to
control the means and methods by which such representation was provided,” and
therefore the private attorney was not an employee. Id. at 507.
Though the agreement at issue in Reed was a contract for conflict counsel, the
provisions relied on by the Court in reaching its decision—7 (defender general does not
supervise or control contractor), 10 (contractor maintains own liability insurance), and 11
(contractor acts in independent capacity not as officer or employee of the state)—are
identical to the provisions in Mr. Kehnemuyi’s caseload relief contract.6 Mr.
Kehnemuyi’s status as an independent contractor is further supported by his testimony, as
well as that of the Defender General, that Mr. Kehnemuyi is responsible for maintaining
his own office and malpractice insurance, he does not have a key to the public defender’s
office or access to his files, and the details of his representation are not supervised by the
Defender General. Thus, while carrying out his responsibilities for “caseload relief” in
aid of the Windham County Public Defender’s Office, Mr. Kehnemuyi is an independent
contractor for the Defender General—he is not an employee.
The Court acknowledges that it is possible for an independent contractor to be
associated with a firm for the purpose of imputing a conflict of interest; however the
circumstances of this case do not support such a conclusion. Whether a temporary
6 Compare provisions quoted in Reed v. Glynn, 168 Vt. at 504-05, with the following provisions in Mr. Kehnemuyi’s contract: 7. Supervision of Contractor. The Defender General may not supervise or control in any way the representation of persons receiving legal services as defined in paragraph 1 of this agreement. . . . 10. Insurance. Before commencing work on this contract the Contractor must provide the following minimum insurance coverages. a) Professional liability insurance for any and all services performed under this contract, with minimum coverage of $300,000.00 per occurrence . . . ..No warranty is made that the coverages and limits listed herein are adequate to cover and protect the interests of the Contractor for the Contractor's operations. . . . 11. Independence. The Contractor, and any agents and employees of the Contractor, shall act in an independent capacity and not as officers or employees of the State.
9 contract attorney is associated with a firm “must be determined by a functional analysis
of the facts and circumstances involved in the relationship between the temporary lawyer
and the firm. . . .”, particularly whether there is access to confidential information of the
firm. ABA Formal Op. 88-356 Temporary Lawyers.
Ultimately, whether a temporary lawyer is treated as being “associated with a firm” . . . depends on whether the nature of the relationship is such that the temporary lawyer has access to information relating to the representation of firm clients other than the client on whose matters the lawyer is working . . . . For example, a temporary lawyer who works for a firm, in the firm office, on a number of matters for different clients, under circumstances where the temporary lawyer is likely to have access to information relating to the representation of another firm clients, may well be deemed to be “associated with” the firm generally under Rule 1.10 as to all other clients of the firm, unless the firm can demonstrate [limited access]. If such limited access can be demonstrated then the temporary lawyer should not be deemed to be associated with the firm under Rule 1.10.” Id.
It is clear that Mr. Kehnemuyi had no access to confidential information in
the Windham County Public Defender’s office, let alone the Bennington County
office. Pursuant to the contract, Mr. Kehnemuyi maintained his own office and
worked from there; he did not have a key to the public defender’s office or access
to its files, even for the purposes of conflict checking; he did not work on matters
in conjunction with other attorneys in the public defender’s office but had sole
responsibility to see the cases he picked up on arraignment through to completion.
Moreover, he did not enter the caseload relief contract until March 1, 2009,
months after he initially offered an opinion in this case in December 2008. And
the contract ended on June 30, 2009, before Mr. Kehnemuyi has actually been
10 called to testify.7 The Court concludes that Mr. Kehnemuyi was not employed by
or associated with the public defender’s office such that any conflict could be
imputed to him under Rule 1.10, even assuming that the Bennington County
Public Defender’s Office and the Windham County Public Defender’s Office are
properly considered one firm for the purposes of imputed disqualification.
State-Wide Public Defender System as a Firm
Though not necessary to the conclusion just stated, the Court deems it prudent to
address the State’s contention that all public defender’s offices should be treated as one
state-wide firm. Of the cases the State cites in support of the “one firm” theory, none
actually hold that all regional public defender’s offices under the authority of a state
public defender or defender general are one firm for purposes of the Rules of Professional
Conduct. The closest holding is State v. Veale, 919 A.2d 794 (N.H. 2007), which
concludes that the Office of the Public Defender and the Office of the Appellate Defender
are one firm for the purposes of the Rules of Professional Conduct, given the structure of
those offices and “their close, and often overlapping, personnel and functions,” including
the sharing of confidential information. Id. at 796–97. Though Veale focuses on whether
the public defender and appellate defender are one firm, the Court also noted, without
discussion, that it is “obvious that the appellate defender and the public defender are,
individually, legal services organizations that qualify as firms.” Id. at 796.
Yet, given the significant difference between the New Hampshire public defender
system and the Vermont public defender system, this conclusion is not so obvious in
Vermont. The New Hampshire public defender’s office is a private nonprofit
7 At the time of the hearing on the State’s motion, Mr. Kehnemuyi still was engaged on behalf of a few clients who were arraigned between March 1 – June 30, 2009, and whose cases had not yet resolved.
11 corporation that provides representation of indigent defendants through county offices,
under a contract with the state. See http://www.nhpd.org/employment.htm. It is not a
state-run defense organization like the Vermont system. As a private legal organization,
the New Hampshire public defender system is arguably a “firm” under the plain language
of the Rules of Professional Conduct. See V.R.Pr.C. 1.0 (c); 1.10 cmt 1. But however the
New Hampshire Supreme Court justified its conclusion that the public defender’s office
is “obviously” one firm, this Court is not persuaded that the same result pertains in
Vermont.
Nor do the other cases cited by the State go so far as to hold that all regional
offices under the supervision of a state public defender are one firm. Rather, these courts
conclude that public defenders in the same regional office or judicial circuit should be
considered a “firm” in which the conflict of one attorney is automatically imputed to
other members of the office. See Okeani v. Sup. Ct. Maricopa Co., 871 P.2d 727, 729
(Ariz. Ct. App. 1993) (conflict is not relieved by substituting attorney from same county
public defender’s office for conflicted attorney); Ward v. State, 753 So. 2d 705, 708 (Fla.
Dist. Ct. App. 2000) (all branch offices of public defender of particular judicial circuit are
“firm” for purpose of rules of professional conduct); Perkins v. State, 487 S.E.2d 365,
368 (Ga. Ct. App. 1997) (“[F]or purposes of ineffective assistance claims, public
defenders in the same [county] office are treated as members of a law firm.”); State v.
Watson, 620 N.W. 2d 233, 241 (Iowa 2000) (conflict imputed to members of same
county public defender’s office); Jackson v. State, 495 S.E. 2d 768, 773 ( S.C. 1989)
(noting potential conflict of interest when attorneys in same county public defender’s
office represent co-defendants); In re Saladin, 518 A.2d 1258, 1260 n.4 (Pa. Super. Ct.
12 1986) (“Even the representation of two clients by different attorneys employed by the
same Defender Association constitutes dual representation for the purpose of conflict of
interest analysis.”); see also Duvall v. State, 923 A.2d 81, 95 (Md. 2007) (“[E]ach district
office of the public defender should be treated as a private law firm for conflict of interest
purposes.”). Like the New Hampshire Supreme Court, these states simply declare that
the public defender’s office should automatically be treated the same way as a private
firm for the purposes of imputing conflicts of interest, without engaging any analysis of
the Rules of Professional Conduct or the policy reasons that would support treating a
government legal services agency the same as a private law firm.
On the other hand, states that have declined to automatically consider regional
public defender’s offices as one firm couch their analysis with reference to the function
of a government agency providing public defense services, and the implications of
treating them the same as private firms. See e.g. State v. Severson, 215 P.3d 414, 426–27
(Idaho 2009); Bolin v. State, 137 P.3d 136, 145 (Wyo.2006). These cases do not rule out
the possibility that a regional office of the public defender could be treated as one firm
for conflict purposes;8 they simply decline to automatically treat the office as one firm
but instead determine on a case by case basis whether a there is a potential conflict and a
likelihood of prejudice that would require that the conflict be imputed to all attorneys in
an office. See People v. Daniels, 802 P.2d 906, 915 (Cal. 1991) (“[A] rule of automatic
disqualification is unnecessary, and would hamper the ability of public defenders' offices
to represent indigents in criminal cases.”); State v. Pitt, 884 P.2d 1150, 1156 (Haw. Ct.
App.1994) (rejecting per se disqualification of public defender office in favor of case
8 These cases also focus only on whether attorneys in the same county or regional public defender’s office should be treated as one firm—there is no discussion of all public defenders being one state-wide firm.
13 specific determination); State v. Severson, 215 P.3d 414, 426 (Idaho 2009) (adopting
case-by-case conflict analysis instead of automatic disqualification rule); People v.
Robinson, 402 N.E.2d 157, 162 ( Ill.1979) (declining to adopt a per se rule that
“individual attorneys who comprise the staff of a public defender are members of an
entity which should be subject to the rule that if one attorney is disqualified by reason of
a conflict of interest then no other member of the entity may continue with the
representation”); State v. Bell, 447 A.2d 525, 528 (N.J. 1982) (approving rejection of per
se disqualification in favor of showing conflict case by case); Bolin v. State, 137 P.3d
136, 145 (Wyo.2006) (“Wyoming has not adhered to a per se disqualification rule for
assistant district attorneys or public defenders when a conflict of interest is alleged.”).9
These cases recognize essential differences between private firms and
government-run defense services that counsel against automatically disqualifying an
entire public defender’s office. First, due to the nature of a public defender’s role in the
defense of an individual client in a criminal matter, including the absence of any financial
obligations to the firm owed by the client, neither most defendants entitled to assigned
counsel, nor the public at large, are likely to view the potential for imputed conflicts
similarly to those that might arise from relationships with law firms engaged in private
practice. See Severson, 215 P.3d at 426–27; Bolin, 137 P.3d at 145. Second, and perhaps
9 The State attempts to distinguish these cases as irrelevant because the public defender systems in those states operate independently within counties, rather than under the supervision of a state office of the public defender as in Vermont. However, a closer look reveals that several of the states declining to apply a per se rule of disqualification—Hawaii, New Jersey, Wyoming—actually have a state public defender system. See Haw. Rev. Stat. §§ 802-8–802-12, N.J. Stat. Ann. § 2A:158A-1 et seq, Wyo. Stat. Ann. § 7-6-103. Conversely, at least two states that automatically treat a public defender’s office as a firm—Iowa and Maryland—also have state public defender systems. See Iowa Code §§ 13b.1–.10; Md. Code. Ann., Crim. Proc. §§ 16-202, -203, -207. While the structure of the state public defender system may play some role in the conflict analysis, the Court is not convinced that the existence of a state public defender mandates that all regional offices supervised by that authority be treated as a single firm.
14 more importantly, “a rule of automatic disqualification would significantly hamper the
[public defender’s] ability to provide legal representation of indigent clients.” Severson,
215 P.3d at 426; see also People v. Daniels, 802 P.2d 906, 915 (Cal. 1991). This
rationale is particularly convincing in a rural state like Vermont where relatively few
public defenders serve a relatively large client base. The test applied by courts taking a
case-by-case approach is “whether the circumstances demonstrate a potential conflict of
interest and a significant likelihood of prejudice. If so, there is a presumption that both
an actual conflict of interest and actual prejudice will arise” and the conflict should be
imputed to the entire office. Severson, 215 P.3d at 426 (citations omitted).
In the absence of any Vermont case law considering whether a public defender’s
office should be treated as a firm, this Court finds compelling the rationale of the case-
by-case approach as the best way to balance access to legal services with a client’s right
to conflict-free counsel. See Severson, 215 P.3d at 426 (“Analyzing conflicts within a
public defender's office on a case-by-case basis permits flexibility and ensures that
indigent defendants receive adequate representation. At the same time, it protects
defendants who would otherwise be prejudiced by a public defender's conflict of
interest.”). Under the circumstances of this case, the application of this approach would
not disqualify Mr. Kehnemuyi as an expert, even if he had been considered a temporary
employee of the Windham County Public Defender’s Office. He is not actually
representing a person adverse to the former client, but is offering an expert opinion. Any
potential conflict did not exist at the time his opinion was formed because he did not
enter the caseload relief contract until months later. In performing services under the
contract, he was not supervised by the public defender’s office or the Defender General,
15 nor did he have access to confidential information in the Windham County Public
Defender’s Office, whom the services were performed for, let alone the Bennington
Public Defender’s Office. Most critically, it is undisputed that he has never consulted
with Ms. Wood regarding any aspect of the case in forming his opinion, and has been
privy to none of A.H.’s confidences.
In sum, Mr. Kehnemuyi was not, and is not, employed by the Defender General,
and thus he is subject to no imputed conflict arising from such employment by the former
attorney for the complaining witness. Moreover, even assuming Mr. Kehnemuyi’s
employment relationship could be described as one involving “temporary employment”
in the Windham County Public Defender’s Office, no automatic disqualification arises
from Ms. Wood’s employment in the Bennington County Public Defender’s Office. Not
only has the State failed to demonstrate any actual potential for the betrayal of
confidences, but the relationships at issue in this matter are so palpably attenuated that
they can not seriously stir concerns as to any appearance of impropriety.
To the contrary, the Court must note that post-conviction relief cases are typically
characterized by severe challenges to an indigent prisoner’s ability to obtain an
experienced evaluation of the competence of trial counsel—opinions which are virtually
indispensable to the viability of most petitions for post-judgment relief. Thus, the State’s
effort to disqualify Petitioner’s expert in this matter affords a dramatic example of the
adverse consequences likely to result if imputed conflicts must be automatically
recognized in connection with Vermont’s state-wide administration of its public defender
system. Finding an expert with Mr. Kehnemuyi’s experience would surely not be a
matter of simple substitution. The State’s zeal in this matter presumably is explained by
16 its desire to avoid any possibility of a retrial, and the negative impact that might have on
A.H. Yet, if Petitioner’s conviction was tainted by ineffective assistance of counsel, the
State no less than the Court is diminished by a process that fails to allow for a fair
examination of that claim. To grant the State’s motion as a matter of automatic
disqualification would jeopardize the integrity of these proceedings, and enshrine a
formalism likely to be broadly antithetical to the rights of indigent criminal defendants to
the services of competent legal counsel.
In light of the foregoing, the State’s Motion to Preclude Petitioner’s Expert is
DENIED.
Dated this ____ day of May, 2010 at Bennington, Vermont.
_________________________________ John P. Wesley, Presiding Judge