






 


•           •           •     
  •          •         •




OPINION

No. 04-10-00175-CV

IN RE Maria Cristina Sada de BRITTINGHAM, 
Angel Eduardo Marroquin Brittingham, Daniel Milmo Brittingham, and Maria Cristina Lobeira
Brittingham
Original Mandamus Proceeding

 
Opinion by:    Catherine Stone, Chief Justice
 
Sitting:            Catherine Stone, Chief Justice
Karen Angelini, Justice
Sandee Bryan Marion, Justice
 
Delivered and Filed: April 21, 2010 

MOTION TO DISQUALIFY COUNSEL GRANTED; ORIGINAL PROCEEDING ABATED
FOR THIRTY DAYS

            Real party in interest Kevin M. Mackie, Successor Administrator of the Estate of Juan
Roberto Brittingham-McLean, Deceased, has moved to disqualify former Fourth Court of Appeals
Justice Sarah Duncan and all of the members of her law firm, Locke Lord Bissell & Liddell LLP,
from representing relators Maria Cristina Sada de Brittingham, Angel Eduardo Marroquin
Brittingham, Daniel Milmo Brittingham, and Maria Cristina Lobeira Brittingham in this original
proceeding.  The basis asserted for the disqualification is the undisputed fact that Duncan served as
a participating justice on the panel in Tijerina v. Mackie, No. 04-05-00213-CV, 2006 WL 397936
(Tex. App.—San Antonio 2006, no pet.) (affirming two trial court orders appealed from the same
ancillary probate proceeding from which the instant proceeding arises).  
            Duncan asserts she and her firm should not be disqualified because: (1) the motion to
disqualify does not establish a violation of Texas Disciplinary Rule of Professional Conduct 1.11(a);
(2) Mackie consented to Duncan’s representation of relators; and (3) Mackie must establish prejudice
and has failed to do so.  We disagree with relators’ contentions and grant the motion to disqualify.
ANALYSIS
  A.       Violation of Texas Disciplinary Rule of Professional Conduct 1.11
             Disqualification is a severe remedy because it can cause immediate harm by depriving a party
of its chosen counsel and disrupting court proceedings.  See In re Sanders, 153 S.W.3d 54, 57 (Tex.
2004) (orig. proceeding) (per curiam); In re Nitla S.A. de C.V., 92 S.W.3d 419, 422 (Tex. 2002)
(orig. proceeding) (per curiam).  As a result, courts must adhere to an exacting standard when
considering motions to disqualify so as to discourage their use as a dilatory trial tactic.  See In re
Nitla, 92 S.W.3d at 422 (citing Spears v. Fourth Court of Appeals, 797 S.W.2d 654, 656 (Tex. 1990)
(orig. proceeding)).  We look to the disciplinary rules to decide disqualification issues, but the
disciplinary rules are merely guidelines and not controlling standards for motions to disqualify.  Id.
            Texas Disciplinary Rule of Professional Conduct 1.11 provides in relevant part as follows:
(a)  A lawyer shall not represent anyone in connection with a matter
in which the lawyer has passed upon the merits or otherwise
participated personally and substantially as an adjudicatory official or
law clerk to an adjudicatory official, unless all parties to the
proceeding consent after disclosure.

Tex. Disciplinary R. Prof’l Conduct 1.11(a), reprinted in Tex. Gov’t Code Ann., tit. 2, subtit.
G app. A (Vernon 2005) (Tex. State Bar R. art. X, § 9).  Relators acknowledge Duncan
participated personally and substantially as an adjudicatory official in Tijerina.  See Tijerina, 2006
WL 397936. However, relators contend Duncan and her firm are not disqualified from representing
relators under Rule 1.11(a) because the original proceeding before this court and Tijerina are not the
same “matter” as required for disqualification under the rule.  See Tex. Disciplinary R. Prof’l
Conduct 1.11(a).
             This is an issue of first impression in this court and we are aware of no other Texas court that
has considered this issue.  Rule 1.11 does not define the term “matter,” but the comment to Rule 1.11
provides that this rule generally parallels Rule 1.10.  See id. cmt. 1.  Rule 1.10(f)(1)-(2) defines the
term “matter” as follows:
(1) Any adjudicatory proceeding, application, request for a ruling or
other determination, contract, claim, controversy, investigation,
charge accusation, arrest or other similar, particular transaction
involving a specific party or parties; and
(2) any other action or transaction covered by the conflict of interest
rules of the appropriate government agency.

Id. 1.10(f)(1)-(2).  Relators contend the definition of “matter” in Rule 1.10(f)(1) is completely
circular in the context of appeals because appeals and original proceedings are both: (1) a part of the
larger “adjudicatory proceeding” in the trial court; and (2) separate “adjudicatory proceedings” in
the appellate court.  Relators further assert an adjudicatory proceeding in the appellate court
frequently involves discrete parties and issues even though it arises out of a larger trial court
“adjudicatory proceeding.”  Therefore, relators conclude a “matter” can only mean a discrete appeal
or original proceeding.  We disagree.   
            The definition of “matter” in Rule 1.10(f)(1) includes a “similar, particular transaction
involving a specific party or parties.”  See id.  The underlying case giving rise to this original
proceeding is an ancillary probate proceeding that has been ongoing since 2000.  To date, fourteen
appeals and original proceedings have been filed in this court, all arising out of the same ancillary
probate proceeding in Trial Court Cause No. 2000-PB-7000049-l1.
 
            Furthermore, probate proceedings are different from other proceedings in that there is a need
to review controlling, intermediate decisions before an error can harm later phases of the proceeding. 
See Logan v. McDaniel, 21 S.W.3d 683, 688 (Tex. App.— Austin 2000, pet. denied); see also In re
Estate of Padilla, 103 S.W.3d 563, 565-66 (Tex. App.—San Antonio 2003, no pet.).  One probate
proceeding consists of a continuing series of events in which the probate court will make decisions
at various points in the administration of the estate on which later decisions will be based.  Id.  As
a result, multiple orders are entered on certain discrete issues and are final and appealable.  See De
 Ayala v. Mackie, 193 S.W.3d 575, 578 (Tex. 2006).  Nonetheless, these discrete appealable issues
arise from one probate proceeding.   
            We conclude the term “matter” in Rule 1.11(a) in the appellate context includes a “similar,
particular transaction involving a specific party or parties,” and in this particular case the “matter”
is the ancillary probate proceeding and not each discrete appeal or original proceeding.  See Tex.
Disciplinary R. Prof’l Conduct 1.10(a) & 1.11(a). We conclude Duncan is representing relators
“in connection with a matter in which [she] has passed upon the merits or otherwise participated
personally and substantially as an adjudicatory official or law clerk to an adjudicatory official.”  See
id. 1.11(a).  
B.        Consent
            Because we hold that this original proceeding involves a matter in which Duncan participated
personally and substantially as an adjudicatory official, Duncan and her firm are disqualified from
representing relators unless “all parties to the proceeding consent[ed] after disclosure.”  See id.
1.11(a).  Relators contend Mackie’s counsel has known of Duncan’s representation of relators since
they filed Appellants’ Brief in Cause No. 04-09-00238-CV on November 23, 2009.  We hold that
simply listing Duncan on a brief in an appellate proceeding is not a proper “disclosure” of the
conflict under Rule 1.11(a).  Within the context of Rule 1.11(a), a disclosure requires the lawyer to
inform the party that she participated in the matter personally and substantially as an adjudicatory
official.  The mere listing of an attorney in the signature block of an appellate brief does not
constitute such a disclosure. 
            Relators contend Mackie’s counsel consented to the representation when he informed
relators’ former counsel he did not oppose the motions to substitute Duncan and her firm as counsel
for relators in Cause Nos. 04-09-00238-CV and 04-09-00810-CV.  The motions to substitute were
filed on February 25, 2010 and are still pending.  Mackie responds that he was unaware Duncan was
on the panel in Tijerina until March 2, 2010 when he reviewed this court’s opinion that listed
Duncan as a justice participating on the panel.  Although the affidavit from relators’ former counsel
does state that  Mackie did not oppose the motions to substitute, the affidavit does not establish that
Duncan’s participation in Tijerina was disclosed to Mackie or his counsel when Mackie stated he
would not oppose the substitution.  Therefore, relators failed to establish that Mackie “consent[ed]
after disclosure.” See id. 1.11(a).    
C.        Prejudice
            Relators next assert Mackie must establish he has been prejudiced in order for
disqualification to be required under Rule 1.11(a).  See In re Sanders, 153 S.W.3d at 57; In re Nitla,
92 S.W.3d at 422.  We disagree.  In re Sanders involved the disqualification of a lawyer under Rule
3.08(a) based on the assertion that the lawyer would be serving in dual roles as an advocate and a
witness.  See 153 S.W.3d at 57.  The comment to Rule 3.08 specifically provides that the rule “may
furnish some guidance in those procedural disqualification disputes where the party seeking
disqualification can demonstrate actual prejudice to itself resulting from the opposing lawyer’s
service in the dual roles.”  Tex. Disciplinary R. Prof’l Conduct 3.08 cmt. 10.  The Court
determined that a “party requesting disqualification [under Rule 3.08(a)] must demonstrate that the
opposing lawyer’s dual roles as attorney and witness will cause the party actual prejudice.”  In re
Sanders, 153 S.W.3d at 57 (citing Ayres v. Canales, 790 S.W.2d 554, 558 (Tex. 1990) (holding a
showing of prejudice is required when disqualification is sought based on a lawyer’s dual roles as
attorney and witness)).  
            In re Nitla involved a motion to disqualify the lawyer on the basis that the lawyer reviewed
privileged documents he received from the trial court.  See 92 S.W.3d at 422.  The Court concluded
there were no disciplinary rules or prior cases that provided guidance, and instead set out a test that
included the requirement that the party seeking disqualification show prejudice.  Id. 
            These cases are distinguishable from the case at hand because unlike In re Nitla, Rule 1.11
provides this court with guidance, and unlike In re Sanders, neither the rule nor the comment
provides that the party seeking disqualification must show prejudice.  To require the party seeking
disqualification under Rule 1.11 to show prejudice would likely place an unattainable burden on that
party because the party seeking disqualification does not know what insight an adjudicatory official
has gained about the underlying case.  In this case, Mackie would not be privy to discussions in
which Duncan may have participated as a panel member in Tijerina.  See Tijerina, 2006 WL 397936.
Tijerina “was the fourth appeal [and fifth proceeding] to [the Fourth] Court,” and stated that “[t]o
understand where we are today, a brief review of the history of this case is necessary.”  See Tijerina,
2006 WL 397936, at *1.  From this statement, one could infer that the panel reviewed the entire
history of the preceding appeals and original proceedings.  Requiring Mackie to show that the
confidential discussions among appellate court justices prejudiced him would be an impossible
burden, and one we do not believe the rule does or should impose. 
D.        Waiver
            Finally, relators contend Mackie waived his complaint by failing to exercise due diligence. 
See Grant v. Thirteenth Court of Appeals, 888 S.W.2d 466, 468 (Tex. 1994) (per curiam); Vaughan
v. Walther, 875 S.W.2d 690, 690 (Tex. 1994) (per curiam); see also In re Users Sys. Servs., Inc., 22
S.W.3d 331, 337-38 (Tex. 1999) (Baker, J., concurring).  Relators again rely on their assertion that
Duncan first appeared in this court on November 23, 2009 with the filing of Appellants’ Brief in
Cause No. 04-09-00238-CV.  Again, we cannot say this was a proper disclosure that would place
the burden on Mackie to pursue disqualification of Duncan at that time.  As a result, we conclude
Mackie did not waive his right to seek the disqualification of Duncan and her firm. 
E.        Disqualification of Firm
            Having determined Duncan must be disqualified from further representation of relators in
this original proceeding, we now turn to whether Locke Lord Bissell & Liddell LLP can continue
representation of relators.  Rule 1.11(c) provides an avenue by which a firm can continue to represent
a party even if a lawyer at that firm is disqualified from representing the party.  The Rule provides:
(c) If paragraph (a) is applicable to a lawyer, no other lawyer in a firm
with which that lawyer is associated may knowingly undertake or
continue representation in the matter unless:
 
(1) the lawyer who is subject to paragraph (a) is
screened from participation in the matter and is
apportioned no part of the fee therefrom; and 
 
(2) written notice is promptly given to the other
parties to the proceeding.
Tex. Disciplinary R. Prof’l Conduct 1.11(c).  However, the parties do not dispute that Duncan
and her firm have not complied with Rule 1.11(c).  Therefore, Locke Lord Bissell & Liddell LLP is
also disqualified from further representation of relators in this original proceeding.  
CONCLUSION
            As a result of the foregoing, we grant Mackie’s motion to disqualify Duncan and Locke Lord
Bissell & Liddell LLP from further representation of relators in this original proceeding.  Therefore,
we abate the original proceeding for thirty days to allow relators to obtain new counsel. 
Catherine Stone, Chief Justice
