Venable v. Keever

960 F. Supp. 110, 1997 WL 160430
CourtDistrict Court, N.D. Texas
DecidedApril 28, 1997
Docket4:96-cv-00580
StatusPublished
Cited by5 cases

This text of 960 F. Supp. 110 (Venable v. Keever) is published on Counsel Stack Legal Research, covering District Court, N.D. Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Venable v. Keever, 960 F. Supp. 110, 1997 WL 160430 (N.D. Tex. 1997).

Opinion

MEMORANDUM OPINION AND ORDER

KENDALL, District Judge.

This case presents a situation unprecedented before this Court in which a defendant’s attorney is himself a named defendant in the case. Defendant William Keever is president of the Dallas Independent School District (“DISD”) Board of Trustees. Defendant Dennis J. Eichelbaum acts as general counsel for the DISD. Keever and Eichelbaum are represented in this lawsuit by the law firm of Friedman & Associates (“F & A”). Defendants Lawrence J. Friedman, Alan B. Rich, and David Reese are attorneys with F & A, and represent themselves as well as Keever and Eichelbaum. The Defendant’s attorney’s fees are being paid by the DISD.

On September 16, 1996, the Court held a hearing on the Defendants’ motion to strike a tape recording of DISD board meeting. During the hearing, the Court expressed a concern about whether the F & A attorneys could ethically represent themselves and the other defendants simultaneously without a conflict of interest and without violating the local rules of this Court. 1 The Court heard from the F & A attorneys and from Keever (the only non-lawyer defendant) at that time, and requested additional briefing on the conflict issue. After careful consideration of the statements of the parties, the briefing, and the relevant law, the Court concludes that on the current state of the record, there is insufficient evidence to require the disqualification of the F & A attorneys who are defendants from representing Keever and Eichelb-aum.

*111 At the September 16, 1996 hearing, the Court expressed its concern about whether the F & A attorneys who are also defendants in this case could represent themselves and the other defendants. The Court noted Local Rule 13.8, which prohibits a lawyer from being employed in a case where he will likely be a fact witness and where his credibility may be an issue. 2 The Court also posed the question of what the F & A attorneys would do if the Plaintiffs wanted to settle with Keever or Eichelbaum and not with the law firm, or vice versa. 3 In essence, the Court was concerned that the F & A attorneys’ interests may be adverse to the interests of Keever and Eichelbaum, and thus the taxpayers of the DISD, who are funding this litigation. The Court did not want to learn on appeal after a lengthy and costly lawsuit that reversible error may have been inherent in the case from the beginning. 4

Testifying under oath, F & A attorney Alan B. Rich assured the Court that all of the Defendants’ interests are aligned and that there is no actual conflict. Rich also commented that he believed that, except in unusual circumstances, the local rule prohibiting a lawyer as a witness could be waived by the client. 5 As for a potential conflict in the settlement context, Rich stated that anything that causes a conflict, whether it be settlement or testimony or anything else, would be dealt with appropriately under the rules. 6 Rich believes that the client can waive almost any kind of conflict once there has been full disclosure, and even consultation with independent counsel as necessary, and those issues can be dealt with if and when they arise. 7 Rich stated that the Plaintiffs have sued every other lawyer that represented the DISD, and pointed out the injury to the DISD by having to retain new counsel on behalf of Keever and Eichelbaum at great expense. 8

The Court sought Keever’s thoughts on the potential conflict issue. Keever responded that he believed if he was forced to retain other counsel, that those lawyers would soon be sued by the Plaintiffs, and that would increase the cost of this litigation and take money away from the schoolchildren of the city. 9 Subsequent affidavits by Keever and Eichelbaum filed for the Court’s in camera review reiterate that each has been fully advised of the potential conflict of interest which could arise, and each believes there is no current conflict of interest and that the disqualification of current counsel would cause great hardship.

The Court’s decision as to whether F & A should be disqualified from representing Keever and Eichelbaum is complicated by the dearth of legal precedent on point. After diligent research, the Court has not located a single reported case in which attorneys simultaneously represented themselves and other parties in the same case. The Court must thus look to cases which are only somewhat analogous.

The Fifth Circuit has recently set forth the applicable legal standards for disqualification of an attorney who may be a witness in *112 FDIC v. United States Fire Ins. Co., 50 F.3d 1304 (5th Cir.1995). The district court must consider four separate relevant ethical canons: the Local Rules of. the Northern District of Texas (“Local Rules”), the Texas Disciplinary Rules of Professional Conduct (“Texas Rules”), the American Bar Association (“ABA”) Model Rules of Professional Conduct (“Model Rules”), and the ABA Model Code of Professional Responsibility (“Model Code”). Id. at 1312. As the Fifth Circuit noted, however, these rules “delineate dissimilar, arguably contradictory, rules for dealing with lawyer-witnesses.” Id. Unfortunately, none of these ethical canons appears to address the aberrant situation presented in this case.

The local rules promulgated by the district court are the most immediate source of guidance for the Court. FDIC at 1312. Local Rule 13.8(a) provides in relevant part that an attorney should not accept employment in a case if he knows he ought to be called as a witness on behalf of his client unless “refusal would work a substantial hardship on the client because of the distinctive value of the attorney or his firm as counsel in the particular case.” Local Rule 13.8(c) provides that if an attorney learns that he may be called as a witness other than on behalf of his client, the attorney and his firm may continue the representation until it is apparent that his testimony is or may be prejudicial to the client.

The Texas disciplinary rules provide relevant guidelines for the issue of disqualification of an attorney. Anderson Producing Inc. v. Koch Oil Co., 929 S.W.2d 416, 421 (Tex.1996). Under Texas Rule 1.06, if an attorney’s representation of a client becomes adversely limited by the lawyer’s own interests, such a conflict can be waived if the lawyer reasonably believes that the representation of the client will not be materially affected and the client consents after full disclosure of the possible adverse consequences of the representation.

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Bluebook (online)
960 F. Supp. 110, 1997 WL 160430, Counsel Stack Legal Research, https://law.counselstack.com/opinion/venable-v-keever-txnd-1997.