Sarbey v. Natl. City Bank, Akron

583 N.E.2d 392, 66 Ohio App. 3d 18, 1 Ohio App. Unrep. 330, 1990 Ohio App. LEXIS 368
CourtOhio Court of Appeals
DecidedJanuary 31, 1990
DocketNo. 14094.
StatusPublished
Cited by28 cases

This text of 583 N.E.2d 392 (Sarbey v. Natl. City Bank, Akron) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sarbey v. Natl. City Bank, Akron, 583 N.E.2d 392, 66 Ohio App. 3d 18, 1 Ohio App. Unrep. 330, 1990 Ohio App. LEXIS 368 (Ohio Ct. App. 1990).

Opinion

BAIRD, P. J.

This cause comes before the court upon the *331 order of the Summit County Court of Common Pleas disqualifying Sarbey's attorney, Scott H. Ruport, from representing Sarbey in his claim against defendants, on the ground of conflict of interest in violation of Disciplinary Rule 5-105 of the Ohio Code of professional Responsibility.

Defendants in the action below were: 1) National City Bank, Akron, (NCB Akron), as co-trustee of the David M. Siff trust, and as co-trustee of the Charles E. Schwartz trust; 2) Lowell Siff, individually and as co-trustee of the David M. Siff trust; 3) Irene S. Sarbey and David J. Schwartz as co-trustees of the Charles E. Schwartz trust; 4) Richard S. Amundsen, a trust officer of NCB Akron, individually; 5) Gary Craig, a former trust officer of NCB Akron, individually; and 6) the law firm of Benesch, Friedlander, Copian and Aronoff as escrow agent.

In June of 1986, Sarbey and the defendants 1 entered into a management agreement whereby Sarbey was employed as agent to operate, manage, and negotiate for the rental and leasing of store spaces at Fairlawn Plaza Shopping Center, which was owned by the above-named trusts. Pursuant to the terms of the agreement, Sarbey assigned his management duties to Fairlawn Plaza, Inc., a corporation specifically formed for this purpose and wholly owned by Sarbey, who was also its president and, apparently, sole officer. In February of 1988, the shopping center was sold for approximately sixteen million dollars. A dispute arose concerning Sarbey's right to commissions and other compensation stemming from this sale.

Defendants filed suit for declaratory judgment against Sarbey in the Summit County Probate Court on July 11, 1988. On July 25, Attorney Scott H. Ruport filed leave to plead as Sarbey's attorney. Ruport filed a motion to dismiss for lack of subject matter jurisdiction, which was granted on August 29. Prior to the dismissal, on August 26, Ruport, on behalf of Sarbey, initiated the present action in the Summit County Court of Common Pleas for declaratory judgment, breach of contract, quantum meruit, unjust enrichment, fraud, and bad faith. A pre-trial conference was held on December 28, 1988, at which apparently all parties and their attorneys were present. Trial was set for June 7, 1989.

On March 15, 1989, after numerous preliminary discovery motions and notices had been filed, appellees NCB Akron, Craig, and Amundsen 2 filed a motion to disqualify attorney Ruport on the basis of conflict of interest in violation of DR 5-105(A), which reads:

It* * *
"A lawyer shall decline proffered employment if the exercise of his independent professional judgment in behalf of a client will be or is likely to be adversely affected by the acceptance of the proffered employment, except the extent permitted under DR. 5-105(0."
II* * * II

NCB Akron alleged that, beginning in December of 1986, Ruport had represented it in at least six cases involving Fairlawn Plaza Shopping Center and that Ruport was continuing to act its attorney in two of these cases. Ruport's first representation of NCB Akron was in a dispute over commissions claimed pursuant to an agreement with Wedren Properties, Inc., the former manager of Fairlawn Plaza Shopping Center. NCB Akron claimed that the Wedren management agreement was substantially similar to the Sarbey agreement, and that the Wedren agreement was drafted by a law firm with which Ruport was associated at the time of its drafting. NCB Akron further claimed that the issues in the Wedren dispute were substantially similar to the issues in the present case. Finally, NCB Akron had not expressly consented to Ruport's dual representation in this case, under the requirements of DR 5-105(0, which reads:

It* * *
"In the situations covered by DR 5-105(A) and (B), a lawyer may represent multiple clients if it is obvious that he can adequately represent the interest of each and if each consents to the representation after full disclosure of the possible effect of such representation on the exercise of his independent professional judgment on behalf of each."
II* * * II

Appellant denied that Ruport was involved in any way with the drafting of the Wedren agreement, and denied that he had ever been a member of the law firm that drafted it. Appellant admitted that Ruport represented NCB Akron in the Wedren litigation, yet claimed that there was no substantial similarity between the issues in these two cases, as the *332 Wedren case involved a dispute over the management of the shopping center, while the present case involved its sale.

Appellant admitted that Ruport was the attorney for both past and pending cases in which defendants were named parties yet asserted that, in all these other cases for which NCB Akron claimed Ruport was its attorney, Ruport's true client was Sarbey (i.e. Fairlawn Plaza, Inc.), and that NCB Akron and the other defendants were named as parties to these actions only for the sake of "technical completeness" of the pleadings 3 . As all these cases purportedly involved disputes over lease agreements with various tenants of the shopping center, there was no substantial similarity between these cases and the present action.

Appellant further asserted that there would be no conflict of interest in Ruport's dual representation, in that no confidences would be revealed or used against NCB Akron, as Serbey was either the conduit of all communications, or was otherwise privy to all communications, that Ruport had with NCB Akron in all these cases. Finally, appellant asserted even if there was conflict of interest stemming from Ruport's prior representation of NCB Akron in the Wedren case, that NCB Akron had effectively waived its right to relief by failing to timely object, and thus had impliedly consented to Ruport's adverse representation.

On April 12,1989, the trial court ruled that Attorney Ruport was disqualified to represent Sarbey in the present case on the grounds that Ruport had represented and continued to represent NCB Akron in its capacity of co-trustee of the Siff and Nobil trusts 4 and that NCB Akron had not consented to Ruport's dual representation in the present case.

ASSIGNMENT OF ERROR
"The trial court erred in granting defendant's motion to disqualify counsel. "(A) National City Bank waived any right to object to the representation of the plaintiff-appellant by Scott. H Ruport and or Ruport Co., L.PA.
"(B) Assuming arguendo that National City Bank did not waive its right to object to the representation of the plaintiff-appellant by Scott H. Ruport and/or Ruport Co., L.P A., such representation does not constitute a conflict of interest and/or violation of any ethical standard."

Though appellant assigns a single error on appeal, he raises two distinct issues for review.

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Cite This Page — Counsel Stack

Bluebook (online)
583 N.E.2d 392, 66 Ohio App. 3d 18, 1 Ohio App. Unrep. 330, 1990 Ohio App. LEXIS 368, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sarbey-v-natl-city-bank-akron-ohioctapp-1990.