Vol. 76, No. 11, November
2003
Conflicts in Transaction Matters
The conflict of interest rules apply to lawyers
representing clients in transactional matters just as they do in
litigation matters.
by Dean R. Dietrich
Dean R. Dietrich,
Marquette 1977, of Ruder, Ware & Michler L.L.S.C., Wausau, is chair
of the State Bar Professional Ethics Committee.
Question
I have read a lot about conflicts of interests in litigation matters
but have not heard much about conflicts in transaction matters. Do the
same rules apply for lawyers involved in transactional matters?
Answer
You are correct that conflict of interest questions seem to arise
more in the litigation context than in transactional representation
matters. The Supreme Court Rules, however, still apply to lawyers
representing clients in transactional matters. It is often the
interpretation of the rules, however, that can be more difficult to
apply.
SCR 20:1.7 is the general rule regarding conflicts of interest in the
representation of current clients. Under this rule, a lawyer may not
represent one client if such representation is adverse to the
representation of another client unless both clients consent (agree) to
waive the conflict in writing. SCR 20:1.9 is the rule governing
conflicts of interest with former clients; it prohibits a lawyer from
representing a client against a former client in a same or substantially
related matter as the prior representation unless the former client
waives the conflict in writing.
To Learn More
Professional Ethics Committee opinions are
available in Wisconsin Ethics Opinions, published by State Bar
of Wisconsin CLE Books, which includes the complete text of all formal,
informal, and memorandum opinions issued by the Professional Ethics
Committee since 1954, including opinions that have been withdrawn; and
the full text of the Rules of Professional Conduct for Attorneys (SCR
20). To order Wisconsin Ethics Opinions, call (800)
728-7788.
Further, under SCR 20:1.7, a lawyer may not represent a client when
the representation will be directly adverse to another client even if
the conflict is waived, unless the lawyer reasonably believes the
representation will not adversely affect the relationship with the other
client or the representation will not be adversely affected by the
lawyer's responsibility to another client, to a third person, or to the
lawyer's own interest. Incorporated within this rule is the requirement
that a lawyer analyze the nature and circumstances of the conflict of
interest to determine whether the representation of one client will or
will not adversely affect the relationship with the other client even if
the other client waives the conflict of interest. Therefore, even though
both clients may consent to a waiver to allow the attorney to represent
one client in a conflict situation, the lawyer still must independently
determine that the representation of the client will not adversely
affect the relationship with the other client who has agreed to waive
the conflict. Examples of situations in which this independent analysis
takes place and the conflict is likely to be unwaiveable are
representations in which the attorney is representing one client in a
lawsuit against another current client or a situation in which a lawyer
is representing one client against another client who does not have
representation. These situations seem so fraught with peril and
confusion over where lies the loyalty of the lawyer that such
representation cannot occur.
Situations of this nature often arise in transactional legal matters
when a lawyer is asked to represent both parties in a transaction or is
asked to represent one client in a transaction and another client is on
the opposite side of the transaction (with separate counsel). Under
those circumstances, the lawyer must make an independent judgment as to
whether the lawyer may represent the one client in the transaction while
representing the other client on other legal matters not related to the
transaction or even representing both clients in the transaction.
Factors to Consider. Lawyers faced with these
situations should consider the following factors when determining
whether the representation of one client will not adversely affect the
relationship with another client:
- The nature of the conflict. In a transaction in which
common interests are outweighed by issues in dispute, the possibility of
an adverse effect on the exercise of the lawyer's independent judgment
will likely be limited.
- The ability of the lawyer or law firm to ensure that the
clients' confidential information will be preserved. Assuming that
confidential information of one client may be relevant to the adverse
concurrent representation of the other, the lawyer must assess whether
the lawyer or law firm can implement safeguards to ensure the
confidential treatment of all such information.
- The likelihood that client confidences or secrets in one matter
will be relevant to the other representation. One function of the
rule against simultaneous adverse representation is to protect the
clients' confidences and secrets. The lawyer should consider whether
either client's confidential information could be used to its
disadvantage in the conflicting representation or to the advantage of
the other.
- The lawyer's ability to explain, and the clients' ability to
understand, the reasonably foreseeable risks of the conflict. A
lawyer seeking to obtain consent must make full disclosure of the
implications of the simultaneous representation and the advantages and
risks to the clients involved.
- The lawyer's relationship with the clients. The conflict
rules require that the lawyer be able to represent both clients with
equal and undiminished vigor. If the lawyer's relationship with one
client (as opposed to the other) is so disproportionate as to create a
bias in favor of the more "important" client (that is, because of the
length and nature of the relationship, the amount of fees earned, or
other factors), a lawyer may consider this to be a factor in determining
whether the lawyer will be able to represent each client with undivided
loyalty. See Restatement Third, The Law Governing Lawyers,
§ 121 RN Comment c(iii) ("[r]elevant factors in determining whether
there is potential for adverse effect include the duration and intimacy
of the lawyer's relationship with the client or clients involved, the
function being performed by the lawyer, the likelihood that actual
conflict will arise and the likely prejudice to the client from the
conflict if it does arise").
Lawyers who are placed in the position of considering whether they
could represent a client in a transaction involving another client (but
not in the same transaction) must determine whether their existing
relationship with the adverse client will or will not be harmed by
representing one client in the transaction. Consideration of the above
factors will allow the lawyer to determine whether the relationship with
one current client will not be harmed by representing the other client
in the transaction, even though the current client is represented by
separate counsel.
Even more difficult to assess are instances in which a lawyer or law
firm is asked to represent both parties to a transaction. The law firm
must make sure that both clients make an agreement to waive the conflict
with a clear understanding of the potential negative impacts of the law
firm representing both clients in the transaction. The lawyer also must
independently determine that such representation will not adversely
affect the relationship with each client. While not common, it is within
the realm of possibilities for a law firm to represent two clients in a
transaction, but certainly the major components of the transaction must
have been previously worked out between the two clients so that the
lawyer or law firm is not required to be an advocate for the terms of
the transaction on behalf of one side or the other.
Lawyers must be extra cautious when considering a request to
represent both clients in a transaction, because of the obvious
potential that circumstances may arise during the representation that
would create adversity between the two clients and prohibit the lawyer
from the continued representation of both clients, even though they
knowingly waived the conflict of interest. Lawyers in the past have
looked to SCR 20:2.2 for guidance when asked to serve as counsel to two
clients in a transaction. This rule has been eliminated from the Model
Rules of Professional Conduct but still contains the appropriate
considerations for a lawyer asked to represent two clients in a
transaction. The rule requires that the lawyer 1) consult with each
client concerning the implications of the common representation,
including the advantages and risks involved and the effect on the
attorney/client privileges; 2) obtain each client's written consent to
the representation; and 3) reasonably believe that the matter can be
resolved on terms compatible with the clients' best interests, that each
client will be able to make adequately informed decisions in the matter,
and that there is little risk of material prejudice to the interests of
any of the clients if the contemplated resolution is unsuccessful.
Lawyers representing a client in a transaction matter are subject to
the same conflict of interest rules and requirements as lawyers
representing clients in litigation matters. The circumstances
surrounding representation in transactional matters may provide
different opportunities for lawyers to represent clients against other
parties who may be current clients or former clients, but every
circumstance requires the lawyer to determine that such representation
will not adversely affect the relationship with the other client.
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