Frank W. Streng, Esq.
Partner
11 Martine Avenue
White Plains, NY 10606-1934
McCarthy, Fingar, Donovan,
Drazen & Smith, L.L.P.
914-946-0134 (fax)
914-946-3817 ext. 256 (voice)
e-mail: fstreng@mfdds.com
web: www.mfdds.com www.mfdds.com

Gary E. Bashian, Esq.
Partner
Bashian, Enea & Sirignano
235 Main Street
White Plains, NY 10601
914-946-5100 (voice)
914-946-5111 (fax)
e-mail: garybashian@aol.com

Joseph M. Accetta, Esq.
Law Assistant
Surrogate's Court
140 Grand Street
White Plains, NY 10601
914-995-3727 (voice)
e-mail: jaccetta@courts.state.ny.us

Robert G. Kurzman, Esq.
Kurzman, Eisenberg, Corbin, Lever & Goodman, LLP
One North Broadway
White Plains, NY 10601
(914) 285-9800 (voice)
(914) 285-9855 (fax)
e-mail: rkurzman@kelaw.com

The Bank of New York – May 21, 2002 Ethics and Tactics in Surrogate’s Court Litigation

I. CONTESTED PROBATE PROCEEDINGS

The players:

 

II. Ethical Considerations
  1. Introduction – Source Materials

  1. Canons of Ethics; Ethical Considerations and Disciplinary Rules
  2. Introduction: Take us through the Canons of Ethics and to focus on particular ECs and DRs relevant to Surrogate’s Court practice

    Canon 1: A Lawyer Should Assist in Maintaining the Integrity and Competence of the Legal Profession.

    Canon 2: Lawyer Should Assist the Legal Profession in Fulfilling its Duty to Make Legal Counsel Available.

    Canon 3: A Lawyer Should Assist in Preventing the Unauthorized Practice of Law.

    Canon 4: Lawyer Should Preserve the Confidences and Secrets of a Client.

    EC 4-1: Both the fiduciary relationship existing between lawyer and client and the proper functioning of the legal system require the preservation by the lawyer of confidences and secrets of one who has employed or sought to employ the lawyer. A client must feel free to discuss anything with his or her lawyer and a lawyer must be equally free to obtain information beyond that volunteered by the client. * * * *

    DR 4-101: Preservation of Confidences and Secrets of a Client

    * * *

    B. Except when permitted under DR 4-101(C), a lawyer shall not knowingly:

    1. Reveal a confidence or secret of a client.

    * * *

  3. A lawyer may reveal:

* * *

    1. Confidences or secrets necessary to establish or collect the lawyer’s fee or to defend the lawyer or his or her employees or associates against an accusation or wrongful conduct.

CPLR 4503(a) "[U]nless the client waives the privilege, an attorney . . . shall not disclose, or be allowed to disclose such communication . . . ."

CPLR 4503(b) "in any action involving the probate, validity or construction of a will, an attorney or his employee shall be required to disclose information as to the preparation, execution or revocation of any will or other relevant instrument, but he shall not be allowed to disclose any communication privileged under subdivision (a) which would tend to disgrace the memory of the decedent."

This court is of the opinion that a fiduciary has an obligation to disclose the advice of counsel with respect to matters affecting the administration of the estate (2A Scott, Trusts § 173 [4th ed]). This is subject to the limitation that the fiduciary should have the protection of the privilege when litigation has commenced or is anticipated (2A Scott, Trusts § 173 [4th ed]); see, In re LTV Sec. Litig., 89 FRD 595). Certainly, the fiduciary is entitled to the benefit of counsel in the preparation of his defense in a contested accounting or other proceeding.

Id. at 577 (Emphasis Supplied)

 

Canon 5: A Lawyer Should Exercise Independent Professional Judgment on Behalf of a Client.

Can you take a case if you will be a witness?

DR 5-102: Lawyers as witness

    1. A lawyer shall not act, or accept employment that contemplates the lawyer’s acting, as an advocate on issues of fact before any tribunal if the lawyer knows or it is obvious the lawyer ought to be called as a witness on a significant issue on behalf of the client, except that lawyer may act as an advocate and also testify:

    1. If the testimony will relate solely to an uncontested issue.
    2. If the testimony will relate solely to a matter of formality and there is no reason to believe that substantial evidence will be offered in opposition to the testimony.
    3. If the testimony will relate solely to the nature and value of legal services rendered in the case by the lawyer or the lawyer’s firm to the client.

    1. Neither a lawyer nor the lawyer’s firm shall accept employment in contemplated or pending litigation if the lawyer knows or it is obvious that the lawyer or another lawyer in the lawyer’s firm may be called as a witness on a significant issue other than on behalf of the client, and it is apparent that the testimony would or might be prejudicial to the client.

* * * *

DR 5-105: Conflict of Interest; simultaneous representation

    1. A lawyer shall decline proffered employment if the exercise of independent judgment in behalf of a client will be or likely to be adversely affected by the acceptance of the proffered employment, or if it would be likely to involve the lawyer in representing differing interests, except to the extent permitted under DR 5-105(C).
    2. A lawyer shall not continue multiple employment if the exercise of independent professional judgment in behalf of a client will be or is likely to be adversely affected by the lawyer’s representation of another client, or if it would be likely to involve the lawyer in representing differing interests, except to the extent permitted under DR 5-105(C).
    3. In the situations covered by DR-105(A) and (B), a lawyer may represent multiple clients if a disinterested lawyer would believe that the lawyer can competently represent the interest of each and if each consents to the representation after full disclosure of the implications of the simultaneous representation and the advantages and risks involved.

 

Canon 6: A Lawyer Should Represent a Client Competently.

EC 6-4: Having undertaken representation, a lawyer should use proper care to safeguard the interests of the client. If a lawyer has accepted employment in a matter beyond the lawyer’s competence but in which the lawyer expected to become competent, the lawyer should diligently undertake the work and study necessary to qualify. In addition to being qualified to handle a particular matter, the lawyer’s obligation to the client requires adequate preparation for and appropriate attention to the legal work, as well as promptly responding to inquiries from the client.

DR 6-101: A. A lawyer shall not:

    1. Handle a legal matter which the lawyer knows or should know that he or she is not competent to handle, without associating with a lawyer who is competent to handle it.
    2. Handle a legal matter without preparation adequate in the circumstances.
    3. Neglect a legal matter entrusted to the lawyer.

 

Canon 7: A Lawyer Should Represent a Client Zealously Within the Bounds of the Law.

Canon 8: A Lawyer Should Assist in Improving the Legal System.

Canon 9: A Lawyer Should Avoid Even the Appearance of Professional Impropriety.

EC 9-5: Separation of the funds of a client from those of his lawyer not only serves to protect the client but also avoids even the appearance of impropriety, and therefore commingling of such funds should be avoided.

DR 9-102: Preserving Identity of Funds and Property of Others; Fiduciary Responsibility; Commingling and Misappropriation of Client Funds or Property; Maintenance of Bank Accounts; Record keeping; Examination of Records

    1. Prohibition Against Commingling and Misappropriation of Client Funds or Property. A lawyer in possession of any funds or other property belonging to another person, where such possession is incident to his or her practice of law, is a fiduciary, and must not misappropriate such funds or property or commingle such funds or property with his or her own.
    2. Separate Accounts. * * * *
    3.  

    4. Notification of Receipt of Property; Safekeeping; Rendering Accounts; Payment or Delivery of Property. * * * *
    5.  

    6. Required Bookkeeping Records. * * * *
    7.  

    8. Authorized Signatures. * * * *
    9.  

F. Missing Clients. * * * *

G. Designation of Successor Signatories. * * * *

H. Dissolution of a Firm. * * * *

I. Availability of Bookkeeping Records; Records Subject to Production in Disciplinary Investigations and Proceeding. * * * *

J. Disciplinary Action. * * * *

 

 

C. Attorney Drafter/Beneficiary

(The paragraphs below are reprinted with permission from McQuaid, Streng and LaPiana, NEW YORK WILLS AND TRUSTS (3rd Ed. Lexis, 1998))

 

Persons who are in a confidential relationship to a testator, and who receive legacies or other benefits under a will, have a special burden to explain the circumstances leading to such benefit. The principle leading to this rule was enunciated by the Court of Appeals in 1931 in Matter of Putnam,21 in which the Court said: "Attorneys for clients who intend to leave them or their families a bequest would do well to have the will drawn by some other lawyer. Any suspicion which may arise of improper influence used under the cover of the confidential relationship may thus be avoided."22

Under the Putnam Rule, a legacy in favor of a person who is in a confidential relationship to the testator may be excised from a will if the Surrogate finds that the legacy was the product of undue influence. While the Putnam Rule is an offspring of the objection of undue influence,23 the Surrogate can allow the probate of the will but expunge the legacy.24 In applying the rule, the court either requires the submission of an affidavit or schedules a hearing to explore the circumstances that led to the legacy.

The Putnam Rule has its most obvious application to an attorney- drafter, but it has been applied to individuals who share different confidential relationships with the testator, including, but not limited to, relatives of the attorney-drafter,25 doctors,26 nurses,27 nursing home personnel,28 accountants and financial advisors,29 and clergy.30 If another attorney is selected to prepare a will in which the testator's primary attorney, or a member of his or her family, is a beneficiary, the attorney who is selected must be independent of the control or interest of the initial attorney.31

In a developing area of the law, the Putnam Rule has been used by Surrogates to review the propriety of the designation of an attorney- drafter as an executor or trustee under the will. In Matter of Weinstock,32 the Court of Appeals reinstated a Surrogate's decree in which letters testamentary had been denied to attorneys, a father and a son, who were named as executors in a will prepared by the father, but who had had no previous professional relationship with the testator. Noting that the attorneys were aware of the testator's intention to avoid executor's commissions, the Court held that the testator's confidential relationship with the attorneys required that the attorneys disclose the effect of a joint designation to the testator.33

The designation of attorneys as fiduciaries, which is illustrated by Weinstock , has led to close supervision by Surrogate's Courts over compensation to the attorney-fiduciary for both legal services and statutory commissions. In Matter of Laflin ,34 the Appellate Division, Second Department, held that objections to multiple executors' commissions may be made by the beneficiaries in the final accounting proceeding. And in view of the "fact that an attorney draftsman of a will is uniquely situated to selfishly gain additional employment"35 as counsel for a testator's estate, Surrogates generally are giving strict scrutiny to attorney fees for the attorney-fiduciary.36

 

There may be circumstances which can justify a lawyer’s conduct in offering his services as executor. Principally, those circumstances must be such as support a firm conviction that the client would request his lawyer to serve in that capacity if he were aware of the lawyer’s willingness to accept the responsibility. Not only should the lawyer have enjoyed a long-standing relationship with the client, but it must also appear that the client is experiencing difficulty in selecting other persons qualified and competent to serve as executor.

(Emphasis Supplied)