RIEAP July 28, 1993

I represented Client X before a licensing board while X worked for Company Y, and now Y has been summoned before the same board. X consents. Can I represent Y?

Short answer: The Panel concludes that under Rule 1.7 the attorney may represent Company Y before the licensing board if the attorney reasonably believes the representation will not adversely affect Client X and each client consents after consultation.

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This page answers the general question as of 1993. Ezel answers yours: whether it's allowed on your facts, under the current rules of professional conduct in your state, with citations.

Currency note: this opinion is from 1993
Subsequent statutory amendments, court decisions, or later opinions or rule amendments may have changed the analysis. Treat this page as historical context, not current legal advice. Verify current law before relying on any specific rule, deadline, or remedy mentioned here.
Disclaimer: Advisory only. Not binding precedent.
About this page: The plain-English summary, reader guidance, and Q&A below were written by Ezel based on the official ethics opinion. The original opinion (linked on this page as a PDF) is the authoritative source for any reliance.
View original ethics opinion (PDF)

Plain-English summary

The attorney represented Client X before a licensing board while Client X was employed by Company Y. Subsequent to the hearing on Client X, Company Y was also summoned to appear before the same licensing board. Client X consented to the attorney's representation of Company Y, and the attorney asked whether there is a conflict.

The opinion applies Rule 1.7, "Conflict of Interest: General Rule," under which a lawyer shall not represent a client directly adverse to another client unless the lawyer reasonably believes the representation will not adversely affect the relationship with the other client and each client consents after consultation. On the facts presented, the opinion concludes the attorney may represent Company Y before the licensing board if the attorney reasonably believes the representation will not adversely affect Client X and each client consents after consultation.

In practice

Under this opinion, the earlier representation of Client X does not bar taking on Company Y before the same board, provided the two Rule 1.7 conditions are met: the lawyer's reasonable belief that Client X will not be adversely affected, and consent after consultation from each client. Client X's consent is noted, and the opinion routes the arrangement through Rule 1.7's belief-and-consent framework.

Common questions

Q: Can a lawyer represent a client's employer before the same board that heard the client's matter?

A: Yes, under conditions. The opinion concludes Rule 1.7 permits it if the lawyer reasonably believes Client X will not be adversely affected and each client consents after consultation.

Q: Is Client X's consent alone enough?

A: The opinion requires both the lawyer's reasonable belief that Client X will not be adversely affected and consent after consultation from each client.

Background and rules framework

The opinion interprets Rhode Island Rule of Professional Conduct 1.7, "Conflict of Interest: General Rule," the analog of Model Rule 1.7. Rule 1.7(a) bars a representation directly adverse to another client unless the lawyer reasonably believes it will not adversely affect the relationship with the other client and each client consents after consultation.

Citations and references

Rules of Professional Conduct:

  • MR 1.7 / RI RPC 1.7 (conflict of interest: general rule)

See also

Source

Original opinion text

Reproduced from the official source for research purposes. The linked source is authoritative.

(FINAL)
ETHICS ADVISORY PANEL
OPINION #93-51, REQUEST #387
Issued July 28, 1993

The attorney represented Client X before a licensing board while the client was employed by Company Y. Company Y, subsequent to the hearing on Client X was also summoned to appear before this same licensing board. Client X consented to the attorney's representation of Company Y. The attorney asks whether there is a conflict with his/her representation of Company Y.

Rule 1.7 entitled "Conflict of Interest: General Rule" states that:

(a) A lawyer shall not represent a client if the representation of that client will be directly adverse to another client, unless:

(1) the lawyer reasonably believes the representation will not adversely affect the relationship with the other client; and

(2) each client consents after consultation.

Based upon the facts presented, the attorney may represent Company Y before the licensing board if the attorney reasonably believes the representation will not adversely affect Client X and each client consents after consultation.

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