State Ex Rel. Taylor Associates v. Nuzum

330 S.E.2d 677, 175 W. Va. 19, 1985 W. Va. LEXIS 563
CourtWest Virginia Supreme Court
DecidedMay 29, 1985
Docket16649
StatusPublished
Cited by21 cases

This text of 330 S.E.2d 677 (State Ex Rel. Taylor Associates v. Nuzum) is published on Counsel Stack Legal Research, covering West Virginia Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State Ex Rel. Taylor Associates v. Nuzum, 330 S.E.2d 677, 175 W. Va. 19, 1985 W. Va. LEXIS 563 (W. Va. 1985).

Opinion

NEELY, Chief Justice:

In this action the petitioners, Taylor Associates and James S. Paxton, seek a writ of prohibition against the Circuit Court of Randolph County to disqualify Herbert G. Underwood, a lawyer with the prominent Clarksburg firm of Steptoe & Johnson, from participating in a pending case. The petitioners allege that Mr. Underwood represents a party with adverse interests to those of an existing (or former) client and, secondly, that he has communicated with the latter party about the pending civil action outside of the presence of her lawyer while representing her adversaries. Because of the appearance of impropriety, this Court grants the writ prayed for.

On 9 May 1984 the petitioners filed an action in the Circuit Court of Randolph County to recover a broker’s commission allegedly due to Taylor Associates and James S. Paxton. 1 On Sunday, 13 May 1984, Herbert G. Underwood, while at the offices of one of the defendants, telephoned Mrs. Beth A. Taylor of Taylor Associates to inform her that he intended to represent all of the named defendants in the civil action except the Mower Lumber Company, and that a counterclaim would be filed against Taylor Associates and James S. Paxton. 2 Mrs. Taylor related this conversation to her present counsel and informed him of an apparent ongoing lawyer-client relationship between herself and Mr. Underwood.

In July of 1984 the petitioners’ counsel contacted Mr. Underwood by telephone to ask him to withdraw from the pending civil action. Counsel felt that the apparent synchronous representation of Mrs. Taylor and her adversaries was improper. Agreeing to review the matter, Mr. Underwood subsequently notified the petitioner that his relationship with Mrs. Taylor did not mandate withdrawal.

Mr. Underwood represented Mrs. Taylor in two civil actions in the Circuit Court of Harrison County during February and March of 1982. Mrs. Taylor recovered a judgment in the second of those lawsuits that is, as yet, not satisfied. Within the past year Mrs. Taylor has had several con *22 versations with Mr. Underwood and has delivered to his office documents to assist him in collecting the Harrison County judgment. Mrs. Taylor maintains that Mr. Underwood is “my attorney” despite the absence of a retainer agreement and that both Mr. Underwood and she have proceeded for years under that assumption.

The present controversy, however, begins at the end of 1983 when Mrs. Taylor was contacted by Mr. James S. Paxton who was contemplating an action to collect a brokerage fee that he felt was owed him by the Mower Lumber Company and others. Mrs. Taylor is the sponsoring broker for Mr. Paxton, who has been affiliated under a brokerage license with her company, Taylor Associates, since about 1980. Because Mr. Paxton is an unlicensed broker, all commissions that he earns are paid first to Taylor Associates and then released by that company to him. For this reason, Mr. Paxton cannot maintain a lawsuit to enforce a commission without joining Taylor Associates in the lawsuit. Mrs. Taylor agreed to join him in bringing the action against Mower.

After her discussion with Mr. Paxton, Mrs. Taylor telephoned Mr. Underwood at his office to discuss a potential lawsuit, and, reportedly, received Mr. Underwood’s agreement to represent Mr. Paxton and Taylor Associates. According to Mrs. Taylor, Mr. Underwood asked her to have Mr. Paxton contact him at his office. Mr. Underwood, for his part, has no recollection of this telephone conversation nor did Mr. Paxton ever manage to speak with Mr. Underwood about the case. (Mr. Paxton subsequently hired his present counsel to pursue the claim.)

Mr. Underwood became counsel for some of the defendants in Mr. Paxton’s civil suit on 9 May 1984. At no time has either he or Mrs. Taylor interrupted their relationship, which Mr. Underwood defines as friendly and which Mrs. Taylor considers both friendly and professional. Mr. Underwood admits that during several informal meetings with one another, they referred to the pending lawsuit and that he assured her that she, personally, would not be “hurt.” He also told her that the counterclaim he was filing was insignificant. In addition, on Sunday, 17 February 1985, six days after counsel for petitioners filed a motion to remove Mr. Underwood as counsel for the defendants, Mr. Underwood visited Mrs. Taylor at her home. During this visit he noted that he did not “care for the content of the dismissal motion” and intimated that Mrs. Taylor should not be involved in the lawsuit. A week later, on 25 February 1985, the petitioners’ motion for removal of Herbert G. Underwood was heard before the circuit court.

I.

Admittedly this Court is faced here with a tempest in a teapot. Obviously Mr. Underwood and Mrs. Taylor were not of the same mind regarding their relationship. Nonetheless, Mrs. Taylor was of the opinion that Mr. Underwood was her lawyer and, proceeding under that assumption, communicated freely with him and received visits and communications frequently from him.

If there is one area of law in which the Latin maxim, de minimus non curat lex is generally unavailing, it is in the realm of the lawyer — client relationship. Indeed, the Code of Professional Responsibility addresses a lawyer’s obligations with a past, present or potential client in rather inflexible language and it is positively rigid in prohibiting contacts with an opponent’s client without the knowledge and approval of the adversary’s lawyer. In these types of situations the Code notes that actual impropriety need not be indicated; the mere appearance of impropriety suffices. DR9-101. Often this standard seems rather Rhadamanthine, but lawyers, as officers of the court and technicians with unique skills, are held bound to it.

Under DR7-104 of the Code, a lawyer is strictly enjoined to forego any communication with a client on the other side of a legal dispute whom he knows is represented by a lawyer “unless he has the prior consent of the lawyer representing such other party or is authorized by law to do so.” DR7-104(A)(1). In this case, Mr. Un- *23 derv/ood admits to several, albeit informal, communications with Mrs. Taylor, without the knowledge or consent of her counsel, on pending litigation in which he represented Mrs. Taylor’s opponent. It matters not that his communications with Mrs. Taylor were primarily social in nature. Even in private conversations among friends, Mr. Underwood should have refrained from touching, however slightly, on the pending lawsuit.

A more difficult question is presented by the confusion surrounding Mr. Underwood’s professional relationship to Mrs. Taylor and his representation of her opponents in the Paxton-Taylor Associates lawsuit. Mr. Underwood dismisses the conflict of interest charge because he has never believed that Mrs. Taylor was either a real party in interest, or seriously committed to Mr. Paxton’s lawsuit. Nonetheless, Mrs. Taylor initially contacted him, as her lawyer, to represent Mr. Paxton and herself against the Mower Lumber Company. She alleges she revealed to him all the information she possessed in connection with the lawsuit. For this reason, under DR5-105, Mr. Underwood could not later agree to represent Mrs.

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Bluebook (online)
330 S.E.2d 677, 175 W. Va. 19, 1985 W. Va. LEXIS 563, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-ex-rel-taylor-associates-v-nuzum-wva-1985.