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| I think whether the attorney is disqualified or subject to an ethical violation is a closer question. It all depends on what the word "case" means in 2.08 or what "matter" means in Tex.Discip.R.Prof.Cond. 1.10(a). But, "matter" was very broadly interpreted in Ethics Op. 538. It sounds like your situation involves some post-conviction matter (i.e. a probation revocation, motion for shock probation, motion for early release from probation). Would the unfair advantage spoken of in comment 3 to Rule 1.10 necessarily be involved in those situations? A revocation, for example normally presumes the validity of the original proceeding, is conceptually an administrative proceeding rather than a criminal prosecution, and is based on facts which did not exist at the time the lawyer was representing the government. Rule 1.10 (c), which may be a basis for disqualification, might still come into play in some of these situations, but not always. Rule 1.10(f) refers to adjudicatory proceedings, so maybe that means proceedings under art. 42.12, sec. 5(b) are considered part of the original "matter". If the lawyer were attacking the validity of the original proceeding, e.g., by habeas corpus or maybe even a petition for expunction, then at least 1.10 (c) might more easily be said to be in play. It is a very interesting question. It seems I recall a somewhat similar discussion on the forum in the past. [This message was edited by Martin Peterson on 04-08-04 at .] |
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| I think the answer initially depends upon whether you buy into a prosecutor's representation of the State as cloaking him/her with the same obligations to his/her client as a private lawyer faces. The Supreme Court flatly holds that an attorney is the fiduciary of any party from whom the attorney receives confidential information (as defined by the disciplinary rules). National Med. Enters. v. Godbey, 924 S.W.2d 123, 132 (Tex. 1996) (orig. proceeding). Moreover, the disciplinary rules are quite clear that a government lawyer may not represent a private client in a matter in which the lawyer participated personally and substantially as a public officer. Tex. Disciplinary R. Prof'l Conduct 1.10(a). Returning to the philosophical question, these rationales seem to counsel that a lawyer's obligation of loyalty and confidence aren't appreciably different simply because his/her client is the State, rather than an individual or private entity. Frankly, in light of our adversarial system, I don't see a convincing argument for drawing any such distinction. Nor do I think the Code of Criminal Procedure's admonition that a prosecutor's duty is to see that justice is done changes the mix. If a prosecutor believes that justice requires the termination of proceedings favorably to an accused, then that obligation can be satisfied on the front end, rather than the back. Otherwise, the "irrebutable" presumption that confidential information is imparted to a party's lawyer serves the system well and should control (think of the complexity and propensity for recurrence of satellite litigation over whether a lawyer actually received confidential information from a client). But I'm certainly willing to consider any countervailing argument. |
| Posts: 1233 | Location: Amarillo, Texas, USA | Registered: March 15, 2001 |
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| Rule 1.10(c) would seem to apply despite the open file argument. After all, not everything we know about a case comes from our file. It is not a question of whether his current client "waives" the conflict.
File a motion to disqualify and a grievance. Clearly this is the same case or matter. If the lawyer is convinced an injustice is occurring, let him try to convince you as a concerned citizen and not the accused's attorney. |
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