Matter of OPM Leasing Services, Inc.

13 B.R. 54, 4 Collier Bankr. Cas. 2d 913, 1981 Bankr. LEXIS 3588, 7 Bankr. Ct. Dec. (CRR) 1031
CourtUnited States Bankruptcy Court, S.D. New York
DecidedJune 10, 1981
Docket18-37019
StatusPublished
Cited by9 cases

This text of 13 B.R. 54 (Matter of OPM Leasing Services, Inc.) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Matter of OPM Leasing Services, Inc., 13 B.R. 54, 4 Collier Bankr. Cas. 2d 913, 1981 Bankr. LEXIS 3588, 7 Bankr. Ct. Dec. (CRR) 1031 (N.Y. 1981).

Opinion

OPINION RE: TRUSTEE’S RIGHT TO ASSERT OR WAIVE ATTORNEY-CLIENT PRIVILEGE

BURTON R. LIFLAND, Bankruptcy Judge.

I

The issue before the court is whether a Chapter 11 reorganization trustee of a corporate debtor succeeds to the corporation’s right to obtain confidential information from the corporation’s former counsel and to assert or waive the attorney-client privilege with respect to that information should a demand by third parties for that information be made.

II

In 1971 O.P.M. Leasing Services, Inc., (“O.P.M.”) retained the law firm of Singer, Hutner, Levine & Seeman, P.C. (“Singer Hutner”) as its general counsel. In this capacity, Singer Hutner rendered a variety of legal services including legal opinions and preparation of computer leasing, financing and closing documents. (Certain of these transactions are complicated with alleged massive fraud involving sums in excess of $100 million.) Additionally, a member of Singer Hutner served as a director of *56 O.P.M. until August, 1980. 1 In September, 1980 Singer Hutner resigned as O.P.M.’s counsel, which process was completed in December, 1980.

On March 11, 1981, O.P.M. filed a voluntary petition seeking reorganization relief under Chapter 11 of the Bankruptcy Reform Act of 1978 (the “Code”). 2 On March 4,1981, upon the motion of certain creditors and the consent of the debtor, no opposition being heard, the court directed the United States Trustee 3 for this district to appoint a trustee, §§ 1104 & 151104, to operate the debtor’s business, § 1108. A qualified trustee (the “Trustee”) was so appointed on March 27, 1981.

Coextensively with its representation of O.P.M., and beyond, Singer Hutner performed legal services for Mordecai Weiss-man, formerly the President of O.P.M., and Myron S. Goodman, formerly the Executive Vice President of O.P.M., (“Weissman” and “Goodman”), ostensibly separate from O.P.M. This representation ceased March 27,1981 when Weissman and Goodman each filed a voluntary petition under Chapter 7 (liquidation) of the Bankruptcy Code. 4

On April 29, 1981, by letter, the Trustee requested Singer Hutner to consult with him and his counsel concerning their past representation of O.P.M. and affiliated companies and to provide them with all information and documents in their possession, custody and control relating to that representation (including matters within the attorney-client privilege). The Trustee prefaced his request by pointing out that under the bankruptcy laws he is: [1] the legal “representative of the estate” (§ 323); [2] responsible for operating O.P.M.’s business (§ 1108); [3] statutorily compelled to “investigate the acts, conduct, accounts, liabilities, and financial condition of the debt- or, the operation of the debtor’s business and the desirability of the continuance of such business, and any other matter relevant to the case or to the formulation of a plan [of reorganization]” (§ 1106(a)(3)); [4] unless instructed by the court otherwise, required to “furnish such information concerning the estate’s administration as is requested by a party in interest” (§ 704(6)); and, as such, believes he is entitled to the information on a confidential basis within the protection of the attorney-client privilege in order to carry out these statutory duties and determine whether to assert or waive any applicable privilege for the benefit of interested third parties. That same date, the Trustee served Singer Hutner with a subpoena for examination and production of documents under Bankruptcy Rule of Procedure 5 205.

Counsel for Singer Hutner corresponded on May 1, 1981, and informed the Trustee that Singer Hutner “desires to cooperate with [the Trustee] in the performance of his responsibilities to the fullest extent permitted by law and by the ethical standards and disciplinary rules governing the conduct of lawyers”, but since it believed that the Trustee’s right to full disclosure was not clear, it had advised its client “that the *57 Code of Professional Responsibility requires [Singer Hutner] to continue to maintain the secrets and confidences of its former clients unless and until there has been a determination of these questions by a court of competent jurisdiction”. 6

To procure a prompt resolution of the controversy, the Trustee proceeded on May 6,1981 with an Order to Show Cause signed by this court directing Singer Hutner, among others, to demonstrate grounds why the court should not issue an order requiring the law firm to communicate with the Trustee and his counsel as requested.

The Trustee has repeatedly stressed that his request for the information stems not only from his need to use this information to operate and manage O.P.M.’s business, but also from his statutory obligation to conduct an investigation into any misconduct of O.P.M. and render a full report “including any fact ascertained pertaining to fraud, dishonesty, incompetence, misconduct, mismanagement, or irregularity in the management of the affairs of the debtor, or to a cause of action available to the estate.” § 1106(aX4).

Ill

Federal Rule of Evidence 7 501 provides that privileges “shall be governed by the principles of the common law as they may be interpreted by the courts of the United States in the light of reason and experience”. Among the recognized privileges, the attorney-client privilege, which protects confidential communications, is the oldest known to common law, dating back at least to the early sixteenth century. 8 Wigmore, Evidence § 2290 at p. 542 (McNaughton rev, 1961); Upjohn Co. v. United States, 449 U.S. 883, 101 S.Ct. 677, 682, 66 L.Ed. 584 (1981). Its genesis and longevity result from its practical rationale. As explained by the Supreme Court in Upjohn :

Its purpose is to encourage full and frank communication between attorneys and their clients and thereby promote broader public interests in the observance of law and administration of justice. The privilege recognizes that sound legal advice or advocacy serves public ends and that such advice or advocacy depends upon the lawyer being fully informed by the client.

Id. 101 S.Ct. at 682. In this most recent exposition by the Supreme Court on the attorney-client privilege, the Court also reaffirmed that a corporation is protected by the attorney-client privilege, though admitting that “complications in the application of the privilege arise when the client is a corporation.” Id. 101 S.Ct. at 682-683. One such complication is determining who is the corporation qua client.

A corporation is an artificial creature of law functioning through representatives. It is axiomatic that the power to invoke or waive the privilege lies in the corporate client acting through its board of directors or management.

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Cite This Page — Counsel Stack

Bluebook (online)
13 B.R. 54, 4 Collier Bankr. Cas. 2d 913, 1981 Bankr. LEXIS 3588, 7 Bankr. Ct. Dec. (CRR) 1031, Counsel Stack Legal Research, https://law.counselstack.com/opinion/matter-of-opm-leasing-services-inc-nysb-1981.