Moore v. ALTRA ENERGY TECHNOLOGIES, INC.
This text of 295 S.W.3d 404 (Moore v. ALTRA ENERGY TECHNOLOGIES, INC.) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinion
ABATEMENT ORDER
Appellees Altra Energy Technologies, Inc. and Altra Electronic Trading Services, Inc. (collectively “Altra”) have moved to disqualify all members of the law firm of Looper, Reed & McGraw, P.C. (“Looper Reed”) from representing appellant Paul Moore in this appeal. It is undisputed that George Rustay, a member of the Looper Reed firm, served as the mediator in the case prior to trial and in that capacity, Rustay received confidential information about the strengths and weaknesses of the case from Altra.
Moore argues that Looper Reed should not be disqualified because (1) on the facts presented, Rule 1.11 of the Disciplinary Rules of Professional Conduct (“the Rules”) allow Looper Reed to represent Moore in this appeal, and (2) Altra has waived its complaint in any event. We disagree with both contentions.
As our highest courts have repeatedly observed, “[t]he Texas Disciplinary Rules of Professional Conduct do not determine whether counsel is disqualified in litigation, but they do provide guidelines and suggest the relevant considerations.” Landers v. State, 256 S.W.3d 295, 306 n. 32 (Tex.Crim.App.2008); In re EPIC Holdings, Inc., 985 S.W.2d 41, 48 (Tex.1998). Here, the parties disagree as to the correct rule to apply in this situation. Altra urges us to consider Rule 1.07, which speaks to the role of lawyer as intermedi *406 ary, but Moore advocates Rule 1.11, which is titled “Adjudicatory Official or Law Clerk.”
The Rules define an “adjudicatory official,” the term used in Rule 1.11, as “a person who serves on a Tribunal.” See Tex. Disciplinaey R. Prof’l Conduct, Terminology, reprinted in Tex. Gov’t Code Ann., tit. 2, subtit. G app. A (Vernon 2005) (Tex. State Bar R., art. X, § 9). A “Tribunal” is defined to include “mediators.” Id. Thus, Rule 1.11 appears to apply here, because it addresses scenarios in which a lawyer has participated as an “adjudicatory official” in the capacity of mediator. 1 See id. § 1.11(a). But see Entex, a Div. of Noram Energy Corp. v. City of Pearland, 990 S.W.2d 904, 914 (Tex.App.-Houston [14th Dist.] 1999, no pet.) (holding that audit did not constitute “adjudication” because it would not finally resolve parties’ dispute) (citing Blacií’s Law Dictionary 42 (6th ed. 1990)), abrogated on other grounds by Tracker Marine, L.P. v. Ogle, 108 S.W.3d 349, 351 & n. 8 (Tex.App.-Houston [14th Dist.] 2003, no pet.).
As relevant to this proceeding, Rule 1.11 provides as follows:
(a) A lawyer shall not represent anyone in connection with a matter in which the lawyer has passed upon the merits or otherwise participated personally and substantially as an adjudicatory official or law clerk to an adjudicatory official, unless all parties to the proceeding consent after disclosure.
(c) If paragraph (a) is applicable to a lawyer, no other lawyer in a firm with which that lawyer is associated may knowingly undertake or continue representation in the matter unless:
(1) the lawyer who is subject to paragraph (a) is screened from participation in the matter and is apportioned no part of the fee therefrom; and
(2) written notice is promptly given to the other parties to the proceeding.
Thus, because Rustay mediated this case, no other member of his firm could knowingly 2 undertake or continue Moore’s representation unless the requirements of subsection (c) were satisfied.
Although Moore contends that both of these requirements have been fulfilled, the absence of prompt written notice is dispositive of the issue. According to the uncontroverted evidence, it was not until Moore filed a response to the motion to disqualify that Looper Reed represented to Altra for the first time that Rustay was screened from participation in this appeal and received no part of the fees from the firm’s representation. By that time, Loop-er Reed already had been representing *407 Moore for more than a year. This does not fulfill the prompt written notice requirement of Rule 1.11(c)(2).
Moore contends that it provided prompt written notice as required by Rule 1.11 because it filed a motion for new trial, a notice of appeal, the requests for the clerk’s record and reporter’s record, and the docketing statement in this appeal. These materials contain no mention of the role played by Rustay or Looper Reed in the mediation, and do not even purport to provide the notice required by Rule 1.11. Looper Reed argues, however, that notice is found simply in the listing of the firm name on these filings. We decline to construe a mere signature block as the written notice required by Rule 1.11(c)(2). The documents are required to be signed by the filing party’s attorney in any event, 3 and there is no indication that the fisting of the firm’s name was intended to serve any other purpose. Moreover, Moore’s opposition to the motion to disqualify relies in part on the contradictory argument that Looper Reed was unaware of the conflict until it was pointed out by opposing counsel; thus, Moore tacitly acknowledges that the identification of the firm on such documents was inadequate to provide notice of the problem.
Moore also argues that Altra has waived any complaint about Looper Reed’s representation because Altra did not bring the matter to Moore’s attention for several months after a Looper Reed attorney filed the motion for new trial. But Rule 1.11 imposes the burden of prompt notification only on the mediator’s firm; it does not impose a similar burden on a party to the mediation to promptly detect and notify opposing counsel of a violation. And in fight of our conclusion that simply signing a document filed in the trial or appellate court does not fulfill Rule 1.11’s requirement for prompt written notice — as well as Moore’s tacit admission that signing such documents failed to alert even Looper Reed to the conflict — we decline to impose such a burden here.
Finally, Moore contends that Looper Reed should not be disqualified because Rustay and his staff were screened from participation in the representation, shared no confidential information, and Rustay receives no part of the fees from the firm’s representation. These are questions of fact that we need not resolve, because even if established, such facts could do no more than demonstrate Looper Reed’s compliance with Rule 1.11(c)(1); they do not, however, excuse its failure to comply with Rule 1.11(c)(2).
As noted in section 154.002 of the Texas Civil Practice and Remedies Code, it is the policy of this state to encourage the peaceable resolution of disputes and the early settlement of pending litigation through voluntary settlement procedures. Tex. Civ. PeaC. & Rem.Code Ann.
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295 S.W.3d 404, 2009 Tex. App. LEXIS 6789, 2009 WL 2620699, Counsel Stack Legal Research, https://law.counselstack.com/opinion/moore-v-altra-energy-technologies-inc-texapp-2009.