Rivers v. Goodson

360 S.E.2d 740, 184 Ga. App. 70, 1987 Ga. App. LEXIS 2149
CourtCourt of Appeals of Georgia
DecidedSeptember 8, 1987
Docket74667
StatusPublished
Cited by15 cases

This text of 360 S.E.2d 740 (Rivers v. Goodson) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rivers v. Goodson, 360 S.E.2d 740, 184 Ga. App. 70, 1987 Ga. App. LEXIS 2149 (Ga. Ct. App. 1987).

Opinion

Sognier, Judge.

James and Ronald Rivers brought suit against William C. Good-son and Composite Communications Corporation seeking damages arising out of alleged harassment and interference with the operation of radio stations formerly owned by a corporation in which the Riverses were substantial stockholders. The trial court denied the Riverses’ motion to disqualify counsel for Goodson and Composite Communications, and dismissed the complaint as a sanction for the Riverses’ failure to permit discovery. This appeal ensued.

1. Appellants contend the trial court erred by denying their motion to disqualify Gary M. Christy, counsel for appellees, alleging that *71 Christy’s representation of appellees created an “appearance of impropriety,” contravening The Canons of Ethics, Code of Professional Responsibility, Rule 3-109 (Canon 9), EC 9-3 and DR 9-101 (B). EC 9-3 provides: “After a lawyer leaves judicial office or other public employment, he should not accept employment in connection with any matter in which he had substantial responsibility prior to his leaving, since to accept employment would give the appearance of impropriety even if none exists.” 252 Ga. 637. Similarly, DR 9-101 (B) provides: “A lawyer shall not accept private employment in a matter in which he had substantial responsibility while he was a public employee.” 252 Ga. 638.

Appellants argue an appearance of impropriety exists because Christy was serving as district attorney for the Cordele Judicial Circuit when appellant James Rivers had occasion to consult with him about a possible criminal investigation related to incidents which later became the subject of this civil action. The record reflects that the meeting was brief, lasting approximately one hour, and that the district attorney’s office undertook no further action or investigation, but referred the entire matter to the sheriff’s department.

“[T]he right to counsel is an important interest which requires that any curtailment of the client’s right to counsel of choice be approached with great caution.” Blumenfeld v. Borenstein, 247 Ga. 406, 408 (276 SE2d 607) (1981). “The rules of disqualification of an attorney will not be mechanically applied; rather, we should look to the facts peculiar to each case in balancing the need to ensure ethical conduct on the part of lawyers appearing before the court and other social interests, which include the litigant’s right to freely chosen counsel. [Cit.]” Stoddard v. Bd. of Tax Assessors, 173 Ga. App. 467, 468 (1) (326 SE2d 827) (1985). The facts presented here do not indicate Christy had a “substantial responsibility” in the criminal investigation of appellants’ allegations in his former capacity as district attorney, nor have appellants demonstrated by any evidence, other than their bare assertion, how they will be harmed or prejudiced by Christy’s current representation of appellees in the civil litigation regarding this matter. Under these circumstances, we cannot agree with appellants “that such an appearance of impropriety exists here to outweigh [appellees’] interest in being represented by [their] counsel of choice.” Id. at 469 (1). We find no abuse of discretion by the trial court in denying appellants’ motion to disqualify appellees’ attorney.

2. Appellants also maintain the trial court erred by dismissing their complaint as a discovery sanction. Appellants argue the dismissal was improper because they had not failed to comply with any enforceable order of the trial court compelling discovery, nor had they totally failed to respond at the time the dismissal order was entered. We agree and reverse.

*72 OCGA § 9-11-37 provides two avenues by which sanctions may be imposed on a party for failure to permit discovery. Where some response is made, the propounding party may seek a court order compelling further answer pursuant to § 9-11-37 (a), and only the subsequent violation of such an order authorizes sanctions under § 9-11-37 (b). Alternatively, sanctions may be sought immediately for total failure to respond to discovery requests pursuant to § 9-11-37 (d) without necessity of first obtaining a court order compelling compliance. Mayer v. Interstate Fire Ins. Co., 243 Ga. 436, 438 (254 SE2d 825) (1979).

The record reveals that appellants failed to respond to appellees’ discovery requests within the original 30-day period. Although this failure would have authorized the trial court to impose immediate sanctions, including dismissal, pursuant to OCGA § 9-11-37 (d), Mayer, supra, the trial court decided instead to grant appellees’ motion to compel discovery. Thus the trial court verbally ordered appellants on October 28, 1986 to answer appellees’ interrogatories in 10 days. It is undisputed that in the October 28 verbal order the trial court did not expressly order appellants to respond to appellees’ request for production of documents. It is further uncontroverted that in compliance with the verbal order, appellants filed their response to the interrogatories within the 10-day period granted to them. On December 23, 1986 (after a hearing on a second motion by appellees to compel discovery or for sanctions), an order was entered nunc pro tunc which purported to reduce the October 28 order to writing. The nunc pro tunc order, however, recited that appellants “have ten (10) days from the announcement of the Order, October 28, 1986, to comply fully with [appellees’] interrogatories and requests for production.” (Emphasis supplied.)

The dismissal order appealed from was entered on the same day the nunc pro tunc order was entered. The dismissal was based on three grounds. First, the trial court found appellants had failed to comply with its previous orders. However, the nunc pro tunc order was invalid insofar as it ordered compliance with appellees’ request for production of documents. “ ‘A nunc pro tunc entry is for the purpose of recording some action that was taken or judgment rendered previously to the making of the entry which is to take effect as of the former date. Such an entry cannot be made to serve the office of correcting a decision however erroneous, or of supplying non-action on the part of the court.’ [Cits.] Further, such an entry ‘cannot serve . . . to supply an order which it (the trial court) failed to make.’ [Cit.]” Beatty v. Underground Atlanta, 237 Ga. 844-845 (1) (229 SE2d 615) (1976). Hunt v. Williams, 104 Ga. App. 442 (122 SE2d 149) (1961), cited by appellees, is inapposite in that in Hunt, we held a nunc pro tunc order granting an extension of time for filing a brief of evidence *73 validly related back to an order granting a motion for new trial from which the provision for an extension had been omitted, because “[t]he clear intendment of the court’s order nunc pro tunc was that at the time the [order] was issued the court did in fact grant the extension of time to prepare and file a brief of evidence but failed to properly record this action.” Id. at 454. Unlike the situation in Hunt,

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Bluebook (online)
360 S.E.2d 740, 184 Ga. App. 70, 1987 Ga. App. LEXIS 2149, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rivers-v-goodson-gactapp-1987.