11-24-2008 WIDNER, MICHOW & COX CONSENT AND WAIVER OF CONFLICT OF INTERESTWIDNER MICHOW & COX„
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ATTORNEYS AT LAW
November 24, 2008
Town of Avon Avon Urban Renewal Authority
Mayor P.O. Box 975
P.O. Box 975 Avon, Colorado 81620
Avon, Colorado 81620
RE: Consent and Waiver of Conflict of Interest
Dear Town Council Members and Avon Urban Renewal Authority Commissioners:
Widner Michow & Cox LLP currently represents the Town of Avon ("Town") as well
as the Avon Urban Renewal Authority (`AURA" or "Authority"). Although the Town and
Authority closely coordinate their activities and enjoy significant cooperation, the Town
and the Authority are separate entities and may have interests that are adverse to each
other in the future. We have evaluated the Colorado Rules of Professional Conduct
("CRPC") to determine our professional responsibility with regard to any potential
conflict of interest between the Town and the Authority. CRPC Rule 1.7 Conflict of
Interest. Current Clients applies to this situation. A complete copy of the rule and
comments is attached to this letter as Exhibit A.
CRPC Rule 1.7(2)(b) provides that notwithstanding the existence of a concurrent
conflict of interest a lawyer may represent a client if: (1) the lawyer believes that they
will be able to provide competent and diligent representation to each client, (2) the
representation is not prohibited by law, (3) the representation does not involve the
assertion of a claim by one client against another client represented by the lawyer in the
same litigation and, (4) each affected client gives written informed consent. We believe
that we will be able to competently and diligently represent both the Town and the
AURA. Moreover, such representation is not prohibited by law and is in fact authorized
by Colorado Revised Statutes § 31-25-104(2)(c), which states that the municipal
counsel may provide legal services for an urban renewal authority.
Our representation of the Town and AURA would not invoke the prohibition
enumerated in CRPC 1.7(b)(3) as neither party is currently involved in litigation.
However, if any conflict, assertion of a claim or the commencement of any litigation by
one party against another occurs during the course of our representation we would be
prohibited from representing either party in such matter. By signing this letter, the Town
and the AURA will acknowledge the limits of our representation and agree to such
limitations in accordance with CRCP 1.7(b)(4).
13133 East Arapahoe Road • Suite 100 • Centennial, CO 801 12
Tel 303.754.3399 • Fax 303.754.3395 • www.wmcatforneys.com
Consent and Waiver of Conflict of Interest
December 4, 2008
Page 2 of 2
Upon consideration of the matters discussed above, we will consider the Town's
execution of this letter as consent to our representation of the AURA and the AURA's
execution of this letter as consent for our current representation of the Town. The
execution of this letter by the Town and Authority will also confirm that: (1) we may
represent both parties jointly in connection with all matters that may come before either
party, (2) both parties agree to waive any conflict of interest arising out of our
representation of either party in any matter, (3) neither party will object to our
representation of either party in any matter, and (4) both parties agree that we may
freely convey necessary information provided to us by one party to the other, unless
both parties expressly agree to the contrary. If you agree that the foregoing accurately
reflects both the Town and Authority's understanding please sign and return the
enclosed copy of this letter.
If at any time either party has a question concerning an adverse representation or
conflicting interest, please do not hesitate to contact me.
Sincerely,
AVON TOWN COUNCIL
By:
Ro1`~ C. Wolfe, Mayor
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Pa y M Kenny, wn Clerk
AVON U,R1-ANN RENEWAL AUT I`ORITY
By: C
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BY: 3
atty McKe y, Aut ority Clerk
Eric J. Heil
Town Attorney
Widner Michow & Cox, LLP
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EXHIBIT A
COLORADO RULES OF PROFESSIONAL CONDUCT
Rule 1.7. Conflict of Interest: Current
Clients.
consent" and "confirmed in writing," see Rule
1.0(e) and (b).
(a) Except as provided in paragraph (b), a lawyer
shall not represent a client if the representation
involves a concurrent conflict of interest. A
concurrent conflict of interest exists if:
(1) the representation of one client will be directly
adverse to another client; or
(2) 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.
(b) Notwithstanding the existence of a concurrent
conflict of interest under paragraph (a), a lawyer
may represent a client if:
(1) the lawyer reasonably believes that the lawyer
will be able to provide competent and diligent
representation to each affected client;
(2) the representation is not prohibited by law;
(3) the representation does not involve the
assertion of a claim by one client against another
client represented by the lawyer in the same
litigation or other proceeding before a tribunal;
and
(4) each affected client gives informed consent,
confirmed in writing.
COMMENT
General Principles
1 Loyalty and independent judgment are essential
elements in the lawyer's relationship to a client.
Concurrent conflicts of interest can arise from the
lawyer's responsibilities to another client, a former
client or a third person or from the lawyer's own
interests. For specific rules regarding certain
concurrent conflicts of interest, see Rule 1.8. For
former client conflicts of interest, see Rule 1.9. For
conflicts of interest involving prospective clients,
see Rule 1.18. For definitions of "informed
2 Resolution of a conflict of interest problem under
this Rule requires the lawyer to: 1) clearly identify
the client or clients; 2) determine whether a
conflict of interest exists; 3) decide whether the
representation may be undertaken despite the
existence of a conflict, i.e., whether the conflict is
consentable; and 4) if so, consult with the clients
affected under paragraph (a) and obtain their
informed consent, confirmed in writing. The clients
affected under paragraph (a) include both of the
clients referred to in paragraph (a)(1) and the one
or more clients whose representation might be
materially limited under paragraph (a)(2).
3 A conflict of interest may exist before
representation is undertaken, in which event the
representation must be declined, unless the
lawyer obtains the informed consent of each client
under the conditions of paragraph (b). To
determine whether a conflict of interest exists, a
lawyer should adopt reasonable procedures,
appropriate for the size and type of firm and
practice, to determine in both litigation and non-
litigation matters the persons and issues involved.
See also Comment to Rule 5.1. Ignorance caused
by a failure to institute such procedures will not
excuse a lawyer's violation of this Rule. As to
whether a client-lawyer relationship exists or,
having once been established, is continuing, see
Comment to Rule 1.3 and Scope.
4 If a conflict arises after representation has been
undertaken, the lawyer ordinarily must withdraw
from the representation, unless the lawyer has
obtained the informed consent of the client under
the conditions of paragraph (b). See Rule 1.16.
Where more than one client is involved, whether
the lawyer may continue to represent any of the
clients is determined both by the lawyer's ability to
comply with duties owed to the former client and
by the lawyer's ability to represent adequately the
remaining client or clients, given the lawyer's
duties to the former client. See Rule 1.9. See also
Comments 5 and 29.
5 Unforeseeable developments, such as changes
in corporate and other organizational affiliations or
Exhibit A: Rule 1.7 Conflict of Interest
the addition or realignment of parties in litigation,
might create conflicts in the midst of a
representation, as when a company sued by the
lawyer on behalf of one client is bought by another
client represented by the lawyer in an unrelated
matter. Depending on the circumstances, the
lawyer may have the option to withdraw from one
of the representations in order to avoid the
conflict. The lawyer must seek court approval
where necessary and take steps to minimize harm
to the clients. See Rule 1.16. The lawyer must
continue to protect the confidences of the client
from whose representation the lawyer has
withdrawn. See Rule 1.9(c).
Identifying Conflicts of Interest: Directly
Adverse
6 Loyalty to a current client prohibits undertaking
representation directly adverse to that client
without that client's informed consent. Thus,
absent consent, a lawyer may not act as an
advocate in one matter against a person the
lawyer represents in some other matter, even
when the matters are wholly unrelated. The client
as to whom the representation is directly adverse
is likely to feel betrayed, and the resulting damage
to the client-lawyer relationship is likely to impair
the lawyer's ability to represent the client
effectively. In addition, the client on whose behalf
the adverse representation is undertaken
reasonably may fear that the lawyer will pursue
that client's case less effectively out of deference
to the other client, i.e., that the representation may
be materially limited by the lawyer's interest in
retaining the current client. Similarly, a directly
adverse conflict may arise when a lawyer is
required to cross-examine a client who appears
as a witness in a lawsuit involving another client,
as when the testimony will be damaging to the
client who is represented in the lawsuit. On the
other hand, simultaneous representation in
unrelated matters of clients whose interests are
only economically adverse, such as
representation of competing economic enterprises
in unrelated litigation, does not ordinarily
constitute a conflict of interest and thus may not
require consent of the respective clients.
7 Directly adverse conflicts can also arise in
transactional matters. For example, if a lawyer is
asked to represent the seller of a business in
negotiations with a buyer represented by the
lawyer, not in the same transaction but in another,
unrelated matter, the lawyer could not undertake
the representation without the informed consent of
each client.
Identifying Conflicts of Interest: Material
Limitation
8 Even where there is no direct adverseness, a
conflict of interest exists if there is a significant
risk that a lawyer's ability to consider, recommend
or carry out an appropriate course of action for the
client will be materially limited as a result of the
lawyer's other responsibilities or interests. For
example, a lawyer asked to represent several
individuals seeking to form a joint venture is likely
to be materially limited in the lawyer's ability to
recommend or advocate all possible positions that
each might take because of the lawyer's duty of
loyalty to the others. The conflict in effect
forecloses alternatives that would otherwise be
available to the client. The mere possibility of
subsequent harm does not itself require
disclosure and consent. The critical questions are
the likelihood that a difference in interests will
eventuate and, if it does, whether it will materially
interfere with the lawyer's independent
professional judgment in considering alternatives
or foreclose courses of action that reasonably
should be pursued on behalf of the client.
Lawyer's Responsibilities to Former Clients
and Other Third Persons
9 In addition to conflicts with other current clients,
a lawyer's duties of loyalty and independence may
be materially limited by responsibilities to former
clients under Rule 1.9 or by the lawyer's
responsibilities to other persons, such as fiduciary
duties arising from a lawyer's service as a trustee,
executor or corporate director.
Personal Interest Conflicts
10 The lawyer's own interests should not be
permitted to have an adverse effect on
representation of a client. For example, if the
probity of a lawyer's own conduct in a transaction
is in serious question, it may be difficult or
impossible for the lawyer to give a client detached
advice. Similarly, when a lawyer has discussions
concerning possible employment with an
opponent of the lawyer's client, or with a law firm
representing the opponent, such discussions
could materially limit the lawyer's representation of
the client. In addition, a lawyer may not allow
related business interests to affect representation,
for example, by referring clients to an enterprise in
which the lawyer has an undisclosed financial
interest. See Rule 1.8 for specific Rules pertaining
to a number of personal interest conflicts,
including business transactions with clients. See
Exhibit A: Rule 1.7 Conflict of Interest
also Rule 1.10 (personal interest conflicts under
Rule 1.7 ordinarily are not imputed to other
lawyers in a law firm).
11 When lawyers representing different clients in
the same matter or in substantially related matters
are closely related by blood or marriage or when
there is a cohabiting relationship between the
lawyers, there may be a significant risk that client
confidences will be revealed and that the lawyer's
family or cohabiting relationship will interfere with
both loyalty and independent professional
judgment. As a result, each client is entitled to
know of the existence and implications of the
relationship between the lawyers before the
lawyer agrees to undertake the representation.
Thus, a lawyer related to another lawyer, e.g., as
parent, child, sibling or spouse (or in a cohabiting
relationship with another lawyer,) ordinarily may
not represent a client in a matter where that
lawyer is representing another party, unless each
client gives informed consent. The disqualification
arising from a close family relationship or a
cohabiting relationship is personal and ordinarily
is not imputed to members of firms with whom the
lawyers are associated. See Rule 1.10.
12 A lawyer is prohibited from engaging in sexual
relationships with a client unless the sexual
relationship predates the formation of the client-
lawyer relationship. See Rule 1.80).
Interest of Person Paying for a Lawyer's
Service
13 A lawyer may be paid from a source other than
the client, including a co-client, if the client is
informed of that fact and consents and the
arrangement does not compromise the lawyer's
duty of loyalty or independent judgment to the
client. See Rule 1.8(f). If acceptance of the
payment from any other source presents a
significant risk that the lawyer's representation of
the client will be materially limited by the lawyer's
own interest in accommodating the person paying
the lawyer's fee or by the lawyer's responsibilities
to a payer who is also a co-client, then the lawyer
must comply with the requirements of paragraph
(b) before accepting the representation, including
determining whether the conflict is consentable
and, if so, that the client has adequate information
about the material risks of the representation.
Prohibited Representations
14 Ordinarily, clients may consent to
representation notwithstanding a conflict.
However, as indicated in paragraph (b), some
conflicts are nonconsentable, meaning that the
lawyer involved cannot properly ask for such
agreement or provide representation on the basis
of the client's consent. When the lawyer is
representing more than one client, the question of
consentability must be resolved as to each client.
15 Consentability is typically determined by
considering whether the interests of the clients will
be adequately protected if the clients are
permitted to give their informed consent to
representation burdened by a conflict of interest.
Thus, under paragraph (b)(1), representation is
prohibited if in the circumstances the lawyer
cannot reasonably conclude that the lawyer will be
able to provide competent and diligent
representation. See Rule 1.1 (competence) and
Rule 1.3 (diligence).
16 Paragraph (b)(2) describes conflicts that are
nonconsentable because the representation is
prohibited by applicable law. For example, in
some states substantive law provides that the
same lawyer may not represent more than one
defendant in a capital case, even with the consent
of the clients, and under federal criminal statutes
certain representations by a former government
lawyer are prohibited, despite the informed
consent of the former client. In addition, decisional
law in some states limits the ability of a
governmental client, such as a municipality, to
consent to a conflict of interest.
17 Paragraph (b)(3) describes conflicts that are
nonconsentable because of the institutional
interest in vigorous development of each client's
position when the clients are aligned directly
against each other in the same litigation or other
proceeding before a tribunal. Whether clients are
aligned directly against each other within the
meaning of this paragraph requires examination of
the context of the proceeding. Although this
paragraph does not preclude a lawyer's multiple
representation of adverse parties to a mediation
(because mediation is not a proceeding before a
"tribunal" under Rule 1.0(m)), such representation
may be precluded by paragraph (b)(1).
Informed Consent
18 Informed consent requires that each affected
client be aware of the relevant circumstances and
of the material and reasonably foreseeable ways
that the conflict could have adverse effects on the
interests of that client. See Rule 1.0(e) (informed
consent). The information required depends on
Exhibit A: Rule 1.7 Conflict of Interest
the nature of the conflict and the nature of the
risks involved. When representation of multiple
clients in a single matter is undertaken, the
information must include the implications of the
common representation, including possible effects
on loyalty, confidentiality and the attorney-client
privilege and the advantages and risks involved.
See Comments 30 and 31 (effect of common
representation on confidentiality).
19 Under some circumstances it may be
impossible to make the disclosure necessary to
obtain consent. For example, when the lawyer
represents different clients in related matters and
one of the clients refuses to consent to the
disclosure necessary to permit the other client to
make an informed decision, the lawyer cannot
properly ask the latter to consent. In some cases
the alternative to common representation can be
that each party may have to obtain separate
representation with the possibility of incurring
additional costs. These costs, along with the
benefits of securing separate representation, are
factors that may be considered by the affected
client in determining whether common
representation is in the client's interests.
Consent Confirmed in Writing
20 Paragraph (b) requires the lawyer to obtain the
informed consent of the client, confirmed in
writing. Such a writing may consist of a document
executed by the client or one that the lawyer
promptly records and transmits to the client
following an oral consent. See Rule 1.0(b). See
also Rule 1.0(n) (writing includes electronic
transmission). If it is not feasible to obtain or
transmit the writing at the time the client gives
informed consent, then the lawyer must obtain or
transmit it within a reasonable time thereafter. See
Rule 1.0(b). The requirement of a writing does not
supplant the need in most cases for the lawyer to
talk with the client, to explain the risks and
advantages, if any, of representation burdened
with a conflict of interest, as well as reasonably
available alternatives, and to afford the client a
reasonable opportunity to consider the risks and
alternatives and to raise questions and concerns.
Rather, the writing is required in order to impress
upon clients the seriousness of the decision the
client is being asked to make and to avoid
disputes or ambiguities that might later occur in
the absence of a writing.
Revoking Consent
21 A client who has given consent to a conflict
may revoke the consent and, like any other client,
may terminate the lawyer's representation at any
time. Whether revoking consent to the client's own
representation precludes the lawyer from
continuing to represent other clients depends on
the circumstances, including the nature of the
conflict, whether the client revoked consent
because of a material change in circumstances,
the reasonable expectations of the other client
and whether material detriment to the other clients
or the lawyer would result.
Consent to Future Conflict
22 Whether a lawyer may properly request a client
to waive conflicts that might arise in the future is
subject to the test of paragraph (b). The
effectiveness of such waivers is generally
determined by the extent to which the client
reasonably understands the material risks that the
waiver entails. The more comprehensive the
explanation of the types of future representations
that might arise and the actual and reasonably
foreseeable adverse consequences of those
representations, the greater the likelihood that the
client will have the requisite understanding. Thus,
if the client agrees to consent to a particular type
of conflict with which the client is already familiar,
then the consent ordinarily will be effective with
regard to that type of conflict. If the consent is
general and open-ended, then the consent
ordinarily will be ineffective, because it is not
reasonably likely that the client will have
understood the material risks involved. On the
other hand, if the client is an experienced user of
the legal services involved and is reasonably
informed regarding the risk that a conflict may
arise, such consent is more likely to be effective,
particularly if, e.g., the client is independently
represented by other counsel in giving consent
and the consent is limited to future conflicts
unrelated to the subject of the representation. In
any case, advance consent cannot be effective if
the circumstances that materialize in the future
are such as would make the conflict
nonconsentable under paragraph (b).
Conflicts in Litigation
23 Paragraph (b)(3) prohibits representation of
opposing parties in the same litigation, regardless
of the clients' consent. On the other hand,
simultaneous representation of parties whose
interests in litigation may conflict, such as co-
Exhibit A: Rule 1.7 Conflict of Interest
plaintiffs or codefendants, is governed by
paragraph (a)(2). A conflict may exist by reason of
substantial discrepancy in the parties' testimony,
incompatibility in positions in relation to an
opposing party or the fact that there are
substantially different possibilities of settlement of
the claims or liabilities in question. Such conflicts
can arise in criminal cases as well as civil. The
potential for conflict of interest in representing
multiple defendants in a criminal case is so grave
that ordinarily a lawyer should decline to represent
more than one codefendant. On the other hand,
common representation of persons having similar
interests in civil litigation is proper if the
requirements of paragraph (b) are met.
24 Ordinarily a lawyer may take inconsistent legal
positions in different tribunals at different times on
behalf of different clients. The mere fact that
advocating a legal position on behalf of one client
might create precedent adverse to the interests of
a client represented by the lawyer in an unrelated
matter does not create a conflict of interest. A
conflict of interest exists, however, if there is a
significant risk that a lawyer's action on behalf of
one client will materially limit the lawyer's
effectiveness in representing another client in a
different case; for example, when a decision
favoring one client will create a precedent likely to
seriously weaken the position taken on behalf of
the other client. Factors relevant in determining
whether the clients need to be advised of the risk
include: where the cases are pending, whether
the issue is substantive or procedural, the
temporal relationship between the matters, the
significance of the issue to the immediate and
long-term interests of the clients involved and the
clients' reasonable expectations in retaining the
lawyer. If there is significant risk of material
limitation, then absent informed consent of the
affected clients, the lawyer must refuse one of the
representations or withdraw from one or both
matters.
25 When a lawyer represents or seeks to
represent a class of plaintiffs or defendants in a
class-action lawsuit, unnamed members of the
class are ordinarily not considered to be clients of
the lawyer for purposes of applying paragraph
(a)(1) of this Rule. Thus, the lawyer does not
typically need to get the consent of such a person
before representing a client suing the person in an
unrelated matter. Similarly, a lawyer seeking to
represent an opponent in a class action does not
typically need the consent of an unnamed
member of the class whom the lawyer represents
in an unrelated matter.
Nonlitigation Conflicts
26 Conflicts of interest under paragraphs (a)(1)
and (a)(2) arise in contexts other than litigation.
For a discussion of directly adverse conflicts in
transactional matters, see Comment 7 . Relevant
factors in determining whether there is significant
potential for material limitation include the duration
and intimacy of the lawyer's relationship with the
client or clients involved, the functions being
performed by the lawyer, the likelihood that
disagreements will arise and the likely prejudice to
the client from the conflict. The question is often
one of proximity and degree. See Comment 8.
27 For example, conflict questions may arise in
estate planning and estate administration. A
lawyer may be called upon to prepare wills for
several family members, such as husband and
wife, and, depending upon the circumstances, a
conflict of interest may be present. In estate
administration the identity of the client may be
unclear under the law of a particular jurisdiction.
Under one view, the client is the fiduciary; under
another view the client is the estate or trust,
including its beneficiaries. In order to comply with
conflict of interest rules, the lawyer should make
clear the lawyer's relationship to the parties
involved.
28 Whether a conflict is consentable depends on
the circumstances. For example, a lawyer may not
represent multiple parties to a negotiation whose
interests are fundamentally antagonistic to each
other, but common representation is permissible
where the clients are generally aligned in interest
even though there is some difference in interest
among them. Thus, a lawyer may seek to
establish or adjust a relationship between clients
on an amicable and mutually advantageous basis;
for example, in helping to organize a business in
which two or more clients are entrepreneurs,
working out the financial reorganization of an
enterprise in which two or more clients have an
interest or arranging a property distribution in
settlement of an estate. The lawyer seeks to
resolve potentially adverse interests by
developing the parties' mutual interests.
Otherwise, each party might have to obtain
separate representation, with the possibility of
incurring additional cost, complication or even
litigation. Given these and other relevant factors,
the clients may prefer that the lawyer act for all of
them.
Exhibit A: Rule 1.7 Conflict of Interest
Special Considerations in Common
Representation
29 In considering whether to represent multiple
clients in the same matter, a lawyer should be
mindful that if the common representation fails
because the potentially adverse interests cannot
be reconciled, the result can be additional cost,
embarrassment and recrimination. Ordinarily, the
lawyer will be forced to withdraw from
representing all of the clients if the common
representation fails. In some situations, the risk of
failure is so great that multiple representation is
plainly impossible. For example, a lawyer cannot
undertake common representation of clients
where contentious litigation or negotiations
between them are imminent or contemplated.
Moreover, because the lawyer is required to be
impartial between commonly represented clients,
representation of multiple clients is improper when
it is unlikely that impartiality can be maintained.
Generally, if the relationship between the parties
has already assumed antagonism, the possibility
that the clients' interests can be adequately
served by common representation is not very
good. Other relevant factors are whether the
lawyer subsequently will represent both parties on
a continuing basis and whether the situation
involves creating or terminating a relationship
between the parties.
30 A particularly important factor in determining
the appropriateness of common representation is
the effect on client-lawyer confidentiality and the
attorney-client privilege. With regard to the
attorney-client privilege, the prevailing rule is that,
as between commonly represented clients, the
privilege does not attach. Hence, it must be
assumed that if litigation eventuates between the
clients, the privilege will not protect any such
communications, and the clients should be so
advised.
31 As to the duty of confidentiality, continued
common representation will almost certainly be
inadequate if one client asks the lawyer not to
disclose to the other client information relevant to
the common representation. This is so because
the lawyer has an equal duty of loyalty to each
client, and each client has the right to be informed
of anything bearing on the representation that
might affect that client's interests and the right to
expect that the lawyer will use that information to
that client's benefit. See Rule 1.4. The lawyer
should, at the outset of the common
representation and as part of the process of
obtaining each client's informed consent, advise
each client that information will be shared and that
the lawyer will have to withdraw if one client
decides that some matter material to the
representation should be kept from the other. In
limited circumstances, it may be appropriate for
the lawyer to proceed with the representation
when the clients have agreed, after being properly
informed, that the lawyer will keep certain
information confidential. For example, the lawyer
may reasonably conclude that failure to disclose
one client's trade secrets to another client will not
adversely affect representation involving a joint
venture between the clients and agree to keep
that information confidential with the informed
consent of both clients.
32 When seeking to establish or adjust a
relationship between clients, the lawyer should
make clear that the lawyer's role is not that of
partisanship normally expected in other
circumstances and, thus, that the clients may be
required to assume greater responsibility for
decisions than when each client is separately
represented. Any limitations on the scope of the
representation made necessary as a result of the
common representation should be fully explained
to the clients at the outset of the representation.
See Rule 1.2(c).
33 Subject to the above limitations, each client in
the common representation has the right to loyal
and diligent representation and the protection of
Rule 1.9 concerning the obligations to a former
client. The client also has the right to discharge
the lawyer as stated in Rule 1.16.
Organizational Clients
34 A lawyer who represents a corporation or other
organization does not, by virtue of that
representation, necessarily represent any
constituent or affiliated organization, such as a
parent or subsidiary. See Rule 1.13(a). Thus, the
lawyer for an organization is not barred from
accepting representation adverse to an affiliate in
an unrelated matter, unless the circumstances are
such that the affiliate should also be considered a
client of the lawyer, there is an understanding
between the lawyer and the organizational client
that the lawyer will avoid representation adverse
to the client's affiliates, or the lawyer's obligations
to either the organizational client or the new client
are likely to limit materially the lawyer's
representation of the other client.
35 A lawyer for a corporation or other organization
who is also a member of its board of directors
Exhibit A: Rule 1.7 Conflict of Interest
should determine whether the responsibilities of
the two roles might conflict. The lawyer may be
called on to advise the corporation in matters
involving actions of the directors. Consideration
should be given to the frequency with which such
situations may arise, the potential intensity of the
conflict, the effect of the lawyer's resignation from
the board and the possibility of the corporation's
obtaining legal advice from another lawyer in such
situations. If there is material risk that the dual role
will compromise the lawyer's independence of
professional judgment, the lawyer should not
serve as a director or should cease to act as the
corporation's lawyer when conflicts of interest
arise. The lawyer should advise the other
members of the board that in some circumstances
matters discussed at board meetings while the
lawyer is present in the capacity of director might
not be protected by the attorney-client privilege
and that conflict of interest considerations might
require the lawyer's recusal as a director or might
require the lawyer and the lawyer's firm to decline
representation of the corporation in a matter.