United States v. Vega

317 F. Supp. 2d 599, 2004 WL 715835
CourtDistrict Court, Virgin Islands
DecidedMarch 31, 2004
DocketCRIM. 03-0040(STT)
StatusPublished
Cited by3 cases

This text of 317 F. Supp. 2d 599 (United States v. Vega) is published on Counsel Stack Legal Research, covering District Court, Virgin Islands primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Vega, 317 F. Supp. 2d 599, 2004 WL 715835 (vid 2004).

Opinion

OPINION REGARDING DEFENDANT’S MOTION TO DISQUALIFY ASSISTANT UNITED STATES ATTORNEY GOMEZ AND THE ST. THOMAS OFFICE OF THE UNITED STATES ATTORNEY

STANLEY S. BROTMAN, District Judge (Sitting by designation).

Pedro Vega, one of three defendants accused-of'conspiracy to defraud' -the United States,- document fraud, bribery of public officials and 14 counts of wire fraud, 1 brings this pretrial motion to disqualify Assistant United States Attorney Curtis Gomez and the entire U.S. Attorney’s Office in St. Thomas from the prosecution of this case.- This motion is based on two “incidents” involving Curtis Gomez, the Assistant United States Attorney prosecuting this case, that occurred at Cyril E. King Airport in St. Thomas on May 17 and July 30 of 2003. In his motion papers, the Defendant has asserted that he was the supervisor on duty at the Department of Homeland Security, Customs and Border Security (DHSCBP) inspection station on both occasions and that he had a personal confrontation with Gomez on at least one occasion. Although Vega has presented the Court with documentary evidence of the events and the testimony of no less than six witnesses (including the Defendant himself), the Court cannot find any credible suggestion that he was actually present on the relevant dates. There appearing no basis for disqualifying AUSA *601 Gomez or the U.S. Attorneys Office, the Defendant’s motion will be denied.

I

The Defendant’s Motion for Disqualification focuses on two allegedly confrontational exchanges between Assistant United States Attorney assigned to prosecute this case and DHSCBP personnel at the Airport. Both “incidents” were apparently the product of a disagreements between Gomez and DHSCBP Inspectors over the proper identification required to pass through the airport check point. On February 6, 2004, the Court heard argument by counsel and the testimony of six witnesses called by the defense and allegedly involved with the incidents. 2

The first incident, on May 17, 2003 involved only two individuals: AUSA Gomez and Sean Hoover, one of the DHSBP Inspectors on duty at the DHSCBP Pre-clearance area. Inspector Hoover testified that as Gomez passed through the inspection fine on that day he initially produced only the credentials issued to him through the U.S. Attorneys Office. (Hoover Test, at 24.) After Hoover explained that a photo identification including a birthdate (such as a driver’s license) was required, Gomez allegedly became “upset.” He responded by suggesting that Hoover “must be new” on the job claiming that he is usually allowed to pass through inspection by showing only his AUSA credentials. (Id.) Gomez eventually produced the required identification and passed through the inspection station without further discord.

Although the Defendant’s motion papers claim that he was the supervisor on duty, there is absolutely no evidence that he was even present at the Airport on May 17 and Defendant seems to have dropped that contention entirely. Testifying on his own behalf, Vega admits that he was not even on St. Thomas that day and that his contrary allegation was incorrect. (Vega Test, at 159.) In fact, the record reflects that William Trower was the duty supervisor on duty at the time of the May 17 incident. (Hoover Test, at 26.) Supervisor Trower was notified shortly after it occurred. (Id.) The next day, he created an email report requesting that a formal statement be issued to inspectors regarding the DHSCBP policy with regard to identification required of federal officials. (Def.’s Ex. A.)

The second “incident,” on the morning of July 30, 2003, involved a similar exchange of words between a DHSBP Inspector and AUSA Gomez. This time, the inspector on duty was Norman Ramirez-Seda. Inspector Ramirez testified that, on a first request for identification, Gomez simply gestured to the credentials hanging around his neck. (Ramirez Test, at 40-41.) On a second request, Ramirez says, Gomez became “loud” and suggested to those around that Inspector Ramirez was “trying to harass” him. (Id.) Ramirez called over to the supervisor on duty, Lo-relle Conner, requesting assistance. (Id. at 43^4.) Conner testified that, when she appeared at the inspection station Gomez told her that he was pleased with the way the inspection had been proceeding and promptly produced his driver’s license for verification. (Conner Test, at 54.) After Ramirez had completed his shift, he mentioned the incident to Cleatus Hunt, the afternoon duty supervisor, who advised him to write a memorandum report of the incident. (Ramirez Test, at 45; Hunt Test, at 106; Def s Ex. C.)

The Defendant contends that he was working at the airport during the second incident (July 30, 2003) and that he also had a “confrontation” with Gomez on that date. Although he was not scheduled for *602 regular duty, Vega testified that he was contacted on July 29 by Hershel Miller, the Assistant Port Director, who asked him to come in the next day for an, overtime assignment (not involving duty supervision). (Vega Test, at 155.) On July 30, Vega claims that he passed by the inspection area shortly after Gomez had left, whereupon Inspector Ramirez informed him of the exchange with Gomez. Vega says that he decided to take the matter up with Gomez, who by then was waiting in the gate area of the airport. (Id. at p. 156.) Vega allegedly told Gomez that he was going to have Inspector Ramirez write a report of the incident (Id. at 156-57), to which Gomez responded “you can have him write whatever you want, but I bet you won’t be around to support it.” (Id. at 157.)

II

The disqualification of Government counsel is a “drastic measure and a court should hesitate to impose it except where necessary.” United States v. Bolden, 353 F.3d 870, 878 (10th Cir., 2003) (citing Bullock v. Carver, 910 F.Supp. 551, 559 (D.Utah 1995)). Accordingly, Courts have allowed disqualification of government counsel only in limited circumstances. See, e.g., Young v. United States, 481 U.S. 787, 807, 107 S.Ct. 2124, 95 L.Ed.2d 740 (1987) (actual conflict of interest because appointed prosecutor also represented another party); United States v. Heldt, 215 U.S.App. D.C. 206, 668 F.2d 1238, 1275 (D.C.Cir.1981) (bona fide allegations of bad faith performance of official duties by government counsel in a civil case); United States v. Prantil, 764 F.2d 548, 552-53 (9th Cir.1985) (prosecutor who will act as a witness at trial). “Further, because disqualifying government attorneys implicates separation of powers issues, the generally accepted.remedy is to disqualify ‘a specific Assistant United States Attorney ..., not all the attorneys in’ the office.” Bolden, 353 F.3d at 879 (quoting Crocker v. Durkin, 159 F.Supp.2d 1258, 1284 (D.Kan.2001)) (citations omitted).

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Bluebook (online)
317 F. Supp. 2d 599, 2004 WL 715835, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-vega-vid-2004.