State v. Reeder

330 P.3d 786, 181 Wash. App. 897
CourtCourt of Appeals of Washington
DecidedJune 23, 2014
DocketNo. 69226-7-I
StatusPublished
Cited by26 cases

This text of 330 P.3d 786 (State v. Reeder) is published on Counsel Stack Legal Research, covering Court of Appeals of Washington primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State v. Reeder, 330 P.3d 786, 181 Wash. App. 897 (Wash. Ct. App. 2014).

Opinion

Leach, J.

¶1 Michael Reeder appeals his conviction for 14 counts of securities fraud and 14 counts of theft in the first degree. He challenges the trial court’s denial of his motions to appoint new counsel, to suppress evidence obtained with a special inquiry judge subpoena, and to dismiss some or all of the State’s charges as barred by the statute of limitations. He also claims that his sentence for multiple counts of the same crimes violated the prohibition against double jeopardy. Because Reeder fails to show that his attorney had a conflict of interest, that the challenged subpoena violated his constitutional rights, or that the statute of limitations expired before the State filed criminal charges against him and because he was not subject to double jeopardy where each count was based on a discrete, fraudulent transaction, we affirm.

FACTS

¶2 William McAllister, a Seattle resident, met Reeder through a company that provided nonbank real estate financing. Between March 2006 and June 2007, McAllister made a series of payments to Reeder for two real estate investments.

¶3 Reeder first told McAllister that he had an option to purchase two parcels of land in Lake Stevens, Washington. [906]*906Reeder and McAllister formed a limited liability company and opened a bank account for the purpose of buying these two parcels of land. McAllister wired $200,000 to Reeder on May 26, 2006, and wrote a check to Reeder for $150,000 on June 16, 2006, to use for the down payment. Reeder and McAllister signed an agreement documenting these loans, which stated that Reeder had already entered into purchase and sale agreements for the properties. Reeder never purchased the land in Lake Stevens, nor did he return the $350,000 to McAllister.

¶4 On March 7, 2006, Reeder told McAllister that he had an opportunity to purchase property in Bellevue for $1.4 million. Reeder showed McAllister a fraudulent purchase and sale agreement and quitclaim deed for the property, as well as an appraisal report stating that the property was worth $2 million. At the time, Reeder knew that the owners did not want to sell the property. Based on Reeder’s representations, McAllister made a series of payments to Reeder totaling $1.4 million to use for its purchase. Reeder provided promissory notes for many, but not all, of these payments. The promissory notes indicated that the loans were “exclusively for business and commercial purposes and not for personal use.” Reeder never purchased the property and did not use any of the funds to buy the property. He did not return McAllister’s money.1

¶5 The State obtained Reeder’s bank and credit card records with subpoenas issued by a special inquiry judge under RCW 10.27.170. These records showed that McAllister made payments to Reeder totaling $1,725,700. The bank and credit card records also showed that Reeder withdrew McAllister’s money in cash or used it to purchase cashier’s checks payable to Reeder. He used the funds in casinos and for personal expenses.

[907]*907¶6 On April 8, 2011, the State charged Reeder by information with 14 counts of securities fraud and 15 counts of first degree theft by deception based on the 15 separate payments that McAllister provided. The State filed an amended information on June 15, 2012.

¶7 Before trial, Reeder moved to substitute counsel based on an alleged conflict of interest. The court denied this motion.

¶8 Before trial, Reeder also moved to suppress evidence obtained with the special inquiry judge subpoenas. He also moved to dismiss the securities fraud counts, alleging that the statute of limitations barred these charges. The trial court denied the motions.2 Later, the court granted the State’s motion to dismiss count 29 charging first degree theft.

¶9 The jury found Reeder guilty of 14 counts of securities fraud and 14 counts of first degree theft and returned special verdicts finding that each crime was a major economic offense or series of offenses. The court imposed an exceptional sentence above the standard range.

¶10 Reeder appeals.

ANALYSIS

¶11 Reeder raises four issues. First, he claims that his trial attorney had a conflict of interest that deprived Reeder of effective assistance of counsel. Second, he challenges the trial court’s denial of his motion to suppress evidence obtained with a special inquiry judge subpoena. Third, he asserts that the statute of limitations barred some or all of the charges against him. Finally, he argues that his sentence violated the prohibition against double jeopardy. We reject Reeder’s contentions and affirm.

[908]*908 Motion To Appoint New Counsel

¶12 Reeder claims that his trial counsel had a conflict of interest that prejudiced him throughout the proceedings. We review for abuse of discretion a trial court’s decision to deny a motion to substitute counsel.3 “Whether the circumstances demonstrate a conflict under ethical rules is a question of law, which is reviewed de novo.”4 A defendant “ ‘must show good cause’ ” before the trial court will allow substitution of counsel, “ ‘such as a conflict of interest, an irreconcilable conflict, or a complete breakdown in communication between the attorney and the defendant.’ ”5

¶13 The Sixth Amendment right to counsel includes the right to conflict-free counsel.6 Reeder invokes several Rules of Professional Conduct to support his claim. RPC 1.7(a) prohibits a lawyer from representing a client if the representation involves a concurrent conflict of interest. A concurrent conflict of interest exists if “the representation of one client will be directly adverse to another client” or if “there is a significant risk that the representation of one or more clients will be materially limited by the lawyer’s responsibilities to another client, a former client or a third person or by a personal interest of the lawyer.”7 RPC 1.10 prohibits lawyers associated in a firm from knowingly representing a client “when any one of them practicing [909]*909alone would be prohibited from doing so by Rules 1.7 or 1.9.”8

¶14 To establish that an actual conflict of interest deprived him of effective assistance of counsel, Reeder must show both that his attorney had a conflict of interest and that the conflict adversely affected counsel’s performance.9 We presume prejudice if Reeder satisfies this two-part inquiry.10 Demonstrating a mere possibility of a conflict of interest does not entitle him to relief.11 “[UJntil a defendant shows that his counsel actively represented conflicting interests, he has not established the constitutional predicate for his claim of ineffective assistance.”12

¶15 Reeder claims that his attorney, Matthew Pang, had a conflict of interest because another attorney at Pang’s law firm, David Roberson, previously gave legal advice to Reeder’s sister, Billy Jo Cuzak. Cuzak was neither a witness nor a party in this case. Here, the trial court allowed both parties, as well as Roberson, to address Reeder’s motion to substitute counsel based on this alleged conflict of interest.

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Cite This Page — Counsel Stack

Bluebook (online)
330 P.3d 786, 181 Wash. App. 897, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-reeder-washctapp-2014.