UPON THE REQUEST OF A MEMBER OF THE SOUTH CAROLINA BAR, THE ETHICS ADVISORY COMMITTEE HAS RENDERED THIS OPINION ON THE ETHICAL PROPRIETY OF THE INQUIRER’S CONTEMPLATED CONDUCT. THIS COMMITTEE HAS NO DISCIPLINARY AUTHORITY. LAWYER DISCIPLINE IS ADMINISTERED SOLELY BY THE SOUTH CAROLINA SUPREME COURT THROUGH ITS COMMISSION ON LAWYER CONDUCT.
Ethics Advisory Opinion 04-12
RULES 1.1, 1.3, 1.4, 1.13(b), 1.16, and 5.1
Facts
In February 2002 the ABA House of Delegates approved recommendations titled, “Ten Principles of a Public Defense Delivery System.” (The report is available on-line at http://www.abanet.org/legalservices/downloads/sclaid/resolution107.pdf).
Principle #5 stated: “Defense Counsel’s workload is controlled to permit the rendering of quality representation.” The commentary to the principle went on to state that “National caseload standards should in no event be exceeded . . ..” The principles refer to the following maximum caseload standards adopted by the National Advisory Commission on Criminal Justice Standards:
150 felonies
400 misdemeanors
200 juvenile
200 mental health
25 appeals
The report also refers to the unique workload demands of capital cases: “the duty to investigate, prepare and try both the guilt/innocence and mitigation phases today requires an average of almost 1,900 hours, and over 1,200 hours even where a case is resolved by guilty plea.” Id. at n. 19.
An attorney employed by a Public Defender’s Office has a caseload that far exceeds the standards set forth above. In particular, the inquirer indicates that he or she has a caseload of 1000 felonies.
Question
What are a public defender’s ethical obligations if the attorney is asked or required to carry a caseload far in excess of recommended national standards?
Summary
A public defender may not undertake or maintain a caseload that results in the attorney violating ethical obligations of competence (Rule 1.1), diligence (Rule 1.3), and communication (1.4). In deciding whether the attorney’s caseload is resulting in ethical violations, national caseload standards are a factor to be considered but are not determinative. Instead, the attorney should decide whether the attorney’s caseload is interfering with basic functions required of lawyers, such as communication, investigation, and research. If the attorney concludes that the attorney’s caseload is producing ethical problems, the attorney must take appropriate action. The attorney should first raise the matter with attorney’s supervising lawyer or the chief public defender. Supervisory lawyers have an ethical obligation to make sure that subordinate lawyers do not carry an excessive caseload. See Rule 5.1. If the attorney does not receive a satisfactory response from supervisory lawyers, the attorney should raise the issue with the board of directors of the public defender’s office, if one exists. See Rule 1.13(b). In the last analysis, an attorney confronted with a caseload that is producing ethical violations should refuse to accept additional appointments until the attorney’s caseload is reduced to the level that the attorney can ethically handle. If the attorney is unable to handle current matters competently, and if the attorney has exhausted other means for dealing with the problem, the attorney should move to withdraw from representation under Rule 1.16(a)(1). In the event the court denies the motion, the attorney should continue the representation to the best of the attorney’s ability. See Rule 1.16(c).
Opinion
South Carolina Rule of Professional Conduct 1.1 (Competence) provides:
A lawyer shall provide competent representation to a client. Competent representation requires the legal knowledge, skill, thoroughness and preparation reasonably necessary for the representation.
Rule 1.3 (Diligence) states:
A lawyer shall act with reasonable diligence and promptness in representing a client.
Rule 1.4 (Communication) provides:
(a) A lawyer shall keep a client reasonably informed about the status of a matter and promptly comply with reasonable requests for information.
(b) A lawyer shall explain a matter to the extent reasonably necessary to permit the client to make informed decisions regarding the representation.
An attorney whose caseload prevents the attorney from complying with the obligations of competence, diligence, and communication violates the rules of professional conduct. Indeed, the comment to Rule 1.3 specifically refers to the obligation to avoid an excessive workload: “A lawyer’s workload should be controlled so that each matter can be handled adequately.” A number of ethics advisory opinions have held that it is improper for an attorney to accept or retain a caseload when the attorney cannot provide competent representation. See ABA Formal Opinion 96-399; ABA Formal Opinion 347 (1981); N.Y. State Bar Assn. Comm. on Prof. Ethics Op. 751 (2002); American Council of Chief Defenders of the NLADA, Ethics Opinion 03-01 (2003).
While it is clear that all attorneys, including public defenders, have an ethical obligation not to undertake a caseload that leads to violations of the rules of professional conduct, implementation of this obligation raises two difficult questions: First, how does an attorney determine whether the attorney’s caseload is resulting in violations of the rules of professional conduct? Second, what steps should an attorney take if confronted with such a situation?
Determining when an attorney’s caseload is resulting in ethical violations. The inquiry refers to maximum caseload standards adopted by the ABA and the National Advisory Commission on Criminal Justice. While caseload standards are useful and relevant, the Committee does not believe an attorney’s ethical obligations can be reduced to a numerical formula. Instead, all attorneys should examine their representations functionally to determine whether they are complying with their ethical obligations. In making this analysis, the Committee suggests that attorneys consider the following basic question:
Does the extent of my caseload substantially interfere with basic functions required of attorneys, including communication with clients, fact investigation, legal research, supervision of nonlawyer assistants, preparation for hearings and trials, and maintenance of files?
See American Council of Chief Defenders of the NLADA, Ethics Opinion 03-01 (2003) (discussing basic components of competent representation).
In evaluating the ethical aspects of their caseloads, attorneys may consult with other lawyers in the office, the chief public defender, other public defenders, and experts on professional ethics. Attorneys should also consider the extent to which their caseloads exceed recommended national standards and whether their caseloads are producing a level of stress that makes the attorney feel that his or her work is out of control.
If the attorney concludes based on an analysis of these and other factors that the attorney’s caseload is resulting or is likely to result in ethical violations, the attorney is ethically required to take appropriate steps to deal with the situation.
Appropriate steps when confronted with an excessive caseload. Initially, the attorney should raise the matter with the attorney’s direct supervisor or with the chief public defender, depending on the organization of the office. Under S.C. Rule of Professional Conduct Rule 5.1(b), a “lawyer having direct supervisory authority over another lawyer shall make reasonable efforts to ensure that the other lawyer conforms to the Rules of Professional Conduct.” Thus, the attorney’s supervisor has an ethical obligation to take steps to prevent the attorney from having a caseload that leads to violations of the rules of professional conduct. In Ethics Opinion 03-01 the American Council of Chief Defenders of the NLADA advised:
When confronted with a prospective overloading of cases or reductions in funding or staffing which will cause the agency’s attorneys to exceed such capacity, the chief executive of a public defense agency is ethically required to refuse appointment to any and all such excess cases.
If the attorney does not receive an ethically satisfactory response from the supervisory lawyer or the chief public defender, the attorney must consider additional steps. When the office of the public defender has a governing board, the attorney should bring the matter to the attention of the board for its consideration. Cf. S.C. Rule of Prof. Conduct. 1.13(b) (authorizing an attorney to take a matter to the highest authority that can act on behalf of an organization when the attorney knows that a person associated with the organization is engaged in misconduct that is likely to result in serious injury to the organization). Because an excessive caseload is likely to affect other attorneys in the office, the attorney should consult with other attorneys to determine whether they should present their ethical concerns collectively.
If the attorney does not receive an ethically satisfactory response from the governing board of the public defender, or if no such board exists, the attorney must consider further steps to deal with the ethical problem. At a certain point the attorney must refuse to accept further assignments until the attorney’s caseload is reduced to a level that does not present ethical problems. In some situations the attorney may need to consider seeking to withdraw from representation of some clients under Rule 1.16(a)(1) (“representation will result in violation of the Rules of Professional Conduct or other law”). Withdrawal from representation is an extreme step that should be considered only when other possibilities for dealing with the ethical problem (such as assignment of the cases to other lawyers or obtaining assistance from members of the private bar) have been exhausted. Withdrawal of cases pending before a tribunal will require court permission, and the attorney must take steps to protect the client’s interest. Rule 1.16(d). If the court denies the motion to withdraw, the attorney must continue the representation even if the attorney believes that the attorney’s caseload prevents the attorney from providing competent representation. See Rule 1.16(c). Cf. In re Goodwin, 279 S.C. 274, 305 S.E.2d 578 (1983) (lawyers held in contempt for refusing to continue representation when trial court denied their motion to withdraw on ground that client planned to testify falsely; sanctions not warranted because issue was novel).