In re the Estate of Walsh

17 Misc. 3d 407
CourtNew York Surrogate's Court
DecidedAugust 23, 2007
StatusPublished
Cited by5 cases

This text of 17 Misc. 3d 407 (In re the Estate of Walsh) is published on Counsel Stack Legal Research, covering New York Surrogate's Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re the Estate of Walsh, 17 Misc. 3d 407 (N.Y. Super. Ct. 2007).

Opinion

[408]*408OPINION OF THE COURT

Lee L. Holzman, J.

In this SCPA 2103 discovery proceeding, the respondent moves to disqualify the petitioner, who is the executor of the estate and an attorney, from representing himself in his fiduciary capacity. The respondent contends that the advocate-witness rule mandates the petitioner’s disqualification (Code of Professional Responsibility DR 5-102 [22 NYCRR 1200.21]). The novel issue presented is whether the petitioner has the same right to represent himself in his fiduciary capacity as he does individually. The court holds that he does not.

The decedent died on July 20, 2006 at the age of 85. Shortly before his death, the decedent executed a general power of attorney (POA) naming the respondent as his attorney-in-fact. Thereafter, the respondent deposited approximately $393,453 of the decedent’s assets into two joint bank accounts held in both of their names. The petitioner alleges that the estate is entitled to all proceeds in those joint bank accounts on the grounds that the execution of the POA took place at a time the decedent lacked the capacity to execute the POA and the POA and resultant transfers were the result of fraud and undue influence by the respondent.

Annexed to the petition in this proceeding are e-mail messages that the petitioner sent to Liam O’Brien, Esq., on July 14, 2006 and July 18, 2006. In the second e-mail, the petitioner informed O’Brien that the fact that there was a joint account with the respondent was “fine” and would result in a benefit to the respondent upon the decedent’s death. The petitioner then advised O’Brien that any claim that the account was a convenience account could be countered in several ways, including a written statement by the decedent clearly reflecting his intent, by the decedent amending the will, or by changing title to the bank accounts back to the decedent’s name alone and giving the respondent “a power of attorney over the account.” In opposition to the petition, the respondent annexes sworn statements of friends and neighbors, as well as an affirmation by O’Brien, contending that the decedent was fully competent at the time he executed the POA and intended to make the transfers to the respondent.

In support of this motion, the respondent asserts that the decedent sought assistance from his friend O’Brien in connection with transferring assets to her in the simplest manner and O’Brien contacted the petitioner who advised O’Brien that the [409]*409decedent could open a joint bank account. As a result, she contends that the petitioner will be a necessary trial witness and must be disqualified based upon the advocate-witness rule. The petitioner counters that: (1) he has an absolute right to represent himself in his capacity as executor, and (2) the respondent is barred from revealing any communications between the decedent and O’Brien due to the attorney-client privilege. The respondent replies that: (1) the petitioner is not representing himself pro se as a litigant and, instead, is representing himself as executor of an estate, a separate legal entity; (2) the attorney-client privilege is not applicable because the decedent asked O’Brien, as a friend, to obtain information from the decedent’s own attorney, the petitioner; and (3) in any event, at trial, she intends to offer only the communications between O’Brien and the petitioner, not confidential communications between O’Brien and the decedent.

Disqualification of an attorney during litigation implicates not only the ethics of the profession, but also the substantive rights of the litigants, as it denies to those litigants the right to representation by the attorney of their choice (S & S Hotel Ventures Ltd. Partnership v 777 S. H. Corp., 69 NY2d 437, 443 [1987]). Although neither the right to counsel of choice nor the right to represent oneself is absolute, any restrictions thereon will be carefully scrutinized and will be overridden only where a competing, compelling public policy reason exists (id.; Matter of Abrams [John Anonymous], 62 NY2d 183, 196 [1984]). Consequently, disqualification will not be ordered under the advocate-witness rule absent a demonstration that the testimony of the attorney will be necessary (Code of Professional Responsibility DR 5-102 [22 NYCRR 1200.21]; S & S Hotel Ventures Ltd. Partnership, 69 NY2d at 445-446). Furthermore, “[m] embers of the bar have, like all litigants, a right to select their own counsel” (Oppenheim v Azriliant, 89 AD2d 522, 522 [1982] [quoting Bottaro v Hatton Assoc., 680 F2d 895, 897 (1982)], appeal dismissed 57 NY2d 955 [1982]). Accordingly, where attorneys are themselves parties to litigation, including litigation involving a partnership of which the attorney is a partner, the right of litigants to represent themselves usually trumps disqualification under the advocate-witness rule with the result that attorney litigants may represent themselves pro se, as well as the partnerships of which they are members, notwithstanding that they will testify at the trial (Old Saratoga Sq. Partnership v Compton, 19 AD3d 823, 825 [2005]; Walker & Bailey v We Try Harder, 123 AD2d 256 [1986]).

[410]*410The right of attorneys to represent themselves, individually, at trials where they will testify is a narrow exception to the strong public policy requiring disqualification under the advocate-witness rule because, generally, “the roles of an advocate and of a witness are inconsistent” making it “ ‘unseemly’ for a lawyer in a trial also to argue his own credibility as a witness” (S & S Hotel Ventures Ltd. Partnership, 69 NY2d at 444). Thus, where an attorney, the sole shareholder of a close corporation, sought to both represent the corporation and testify at the trial, the court, in weighing the competing public policies of the right to pro se representation and disqualification under the advocate-witness rule, determined that disqualification was necessary because the attorney was representing a separate legal entity, the corporation, and not herself, individually, pro se (Gasoline Expwy v Sun Oil Co. of Pa., 64 AD2d 647 [1978], affd 47 NY2d 847 [1979]).

The narrow holding in Grasso v General Motors Corp. (101 Misc 2d 140 [1979]) is that the attorney-executor could represent himself in his capacity as the executor in an action for the decedent’s conscious pain and suffering and wrongful death because there was no showing that the attorney’s testimony at trial would be necessary. However, in dicta, the Grasso court did opine that the facts of the case sub judice were distinguishable from those in Gasoline Expwy v Sun Oil Co. of Pa. (64 AD2d at 647) because “the plaintiff appears pro se in this action” (101 Misc 2d at 142). To the extent, if any, that Grasso, in distinguishing Gasoline Expwy (64 AD2d at 647), can be interpreted as precedent for the proposition that attorneys representing themselves as personal representatives of estates have the same right to represent themselves pro se as they have as individual litigants, this court respectfully disagrees for the reasons stated below.

Estates differ from corporations in that they are not recognized as separate legal entities (see SCPA 103 [19]; EPTL 1-2.6).

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Bluebook (online)
17 Misc. 3d 407, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-the-estate-of-walsh-nysurct-2007.