2019 IL App (1st) 152760
No. 1-15-2760
Second Division
May 7, 2019
______________________________________________________________________________
IN THE
APPELLATE COURT OF ILLINOIS
FIRST DISTRICT
______________________________________________________________________________
THE PEOPLE OF THE STATE OF ILLINOIS, ) Appeal from the
) Circuit Court of
Plaintiff-Appellee, ) Cook County.
)
v. ) No. 15 CR 3349
)
FERNANDO GONZALEZ, ) Honorable
) Colleen Ann Hyland,
Defendant-Appellant. ) Judge, presiding.
JUSTICE PUCINSKI delivered the judgment of the court, with opinion.
Justices Mason and Hyman concurred in the judgment and opinion.
OPINION
¶1 Following a jury trial, defendant Fernando Gonzalez was found guilty of criminal sexual
assault (720 ILCS 5/11-1.20(a)(1) (West 2012)) against E.S. (count I) and A.B. (count II), two
counts of aggravated criminal sexual abuse (id. § 11-1.60(c)(1)(ii), (d)) against E.S. (counts III
and V), and two counts of aggravated criminal sexual abuse against A.B. (counts IV and VI).
The trial court merged the respective aggravated criminal sexual abuse counts against each
victim into the two criminal sexual assault counts against each victim (counts I and II) and
sentenced defendant to 10 years in prison on each count, to be served consecutively.
No. 1-15-2760
¶2 On appeal, defendant contends (1) the evidence was insufficient to prove him guilty
because the State did not prove sexual penetration or that he used force or threat of force;
(2) counsel was ineffective for failing to move to dismiss the new charges filed against him in
2015, as his statutory right to a speedy trial was violated; (3) the trial court erred because it did
not comply with the Batson procedure (Batson v. Kentucky, 476 U.S. 79 (1986)) after he made a
gender-based objection to the State’s peremptory challenges; (4) the trial court erred when it
allowed trial counsel to represent him during pretrial proceedings when a per se conflict of
interest existed; and (5) certain fines and fees were improperly assessed. For the reasons below,
we affirm defendant’s convictions but remand to the trial court for the sole purpose of correcting
the fines and fees order.
¶3 I. BACKGROUND
¶4 Defendant’s convictions arose from sexual assaults of two 13-year-old girls, A.B. and
E.S., that occurred in August 2012. In February 2013, defendant was initially charged by
indictment with nine counts. Seven counts alleged sexual offenses against A.B. only, including
criminal sexual assault (count I), aggravated criminal sexual abuse (counts II, III, and IV),
indecent solicitation of a child (counts V and VI), and criminal sexual abuse (count IX). The
remaining two counts referred to E.S. and alleged he committed sexual exploitation of a child by
persuading A.B. (count VII) and E.S. (count VIII) to remove E.S.’s clothing for the purpose of
sexual arousal or gratification.
¶5 On the July 26, 2013, court date, defendant’s private counsel, Timothy Grace, informed
the court that the parties were negotiating a potential resolution. On the next court date, August
29, 2013, Grace told the court that the State “sort of” made an offer that it had to put in writing.
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Grace also informed the court that an issue had arisen “about a week ago” regarding defendant’s
prior case from 2000 that could be the subject of a motion for proof of other crimes. Grace told
the court that he was the assistant state’s attorney (ASA) on that case and had taken a statement
from defendant. The court concluded that, before it addressed the State’s plea offer, it needed to
address the conflict issue and whether Grace had an obligation to withdraw or if defendant could
waive the conflict. The court told defendant, “this is a matter that we will continue conversations
with you about and you can speak to your attorney about.” The court continued the case for the
parties to research the matter.
¶6 On December 1, 2013, defendant, through Grace, filed a “motion to allow the defendant
to waive the per se conflict and for Timothy M. Grace to continue as his attorney of record.” In
the motion, defendant requested to waive any per se conflict and stated that the issue should be
revisited if the State filed a motion for proof of other crimes. To the motion, defendant attached
an affidavit, acknowledging that Grace was the ASA on his 2000 case involving the charge of
aggravated criminal sexual abuse and averring he wanted Grace as his attorney and was
knowingly and intelligently waiving any conflict of interest.
¶7 On the December 10, 2013, court date, Grace informed the court that he had filed the
motion to waive the conflict of interest, and the court continued the case for a hearing. On the
January 14, 2014, hearing date, Grace acknowledged there was a potential conflict of interest but
that it would be triggered only if the State filed a motion for proof of other crimes. The court
continued the case so it could review the parties’ case law, and on the next court date, the court
tendered case law on the conflict of interest issue to the parties and continued the matter, noting
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that the State had not filed a motion for proof of other crimes. The State informed the court that it
could make an oral motion stating that it would not file such a motion.
¶8 On the next court date, the State informed the court that defendant had rejected its offer
and that, if the case went to trial, it may introduce proof of other crimes. The court told the
parties that, if the State filed a motion for proof of other crimes, there was a conflict that
defendant could not waive because Grace could potentially be called as a witness against
defendant. The court continued the case, instructing Grace to speak to defendant about getting a
new attorney. Thereafter, on May 20, 2014, the State filed a motion to admit evidence of
defendant’s prior sex offense. On June 13, 2014, the court held a hearing on defendant’s motion
to waive per se conflict, after which it found that defendant could not waive the conflict and
disqualified Grace from representing him. The court stated that the State filed a motion for proof
of other crimes and the cases “now take on the relationship of being related.” It noted that Grace
could not provide undivided loyalty when he “is put in a position where he has to argue his other
crimes evidence in which he was involved in the prosecution of, and that is where it takes it to a
different level.” In August 2014, another attorney appeared on defendant’s behalf.
¶9 On February 26, 2015, a grand jury reindicted defendant on six charges (case No. 15-CR-
3349) and the State nol-prossed the charges in the 2013 indictment (case No. 13-CR-3485). Two
counts alleged defendant committed criminal sexual abuse in that, by the use or threat of force,
he committed an act of sexual penetration by placing part of his hand into the sex organ of E.S.
(count I) and into the sex organ of A.B. (count II). Two counts alleged he committed aggravated
criminal sexual abuse in that he committed an act of sexual conduct by touching either directly or
through clothing the sex organ of E.S. (count III) and the sex organ of A.B. (count IV) and he did
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so using force or threat of force. Two counts alleged he committed aggravated criminal sexual
abuse in that he committed an act of sexual conduct by touching, for the purpose of sexual
gratification or arousal, the sex organ of E.S. (count V) and the sex organ of A.B. (count VI).
¶ 10 Upon filing the new indictment, the State told the court that the original indictment only
pertained to one victim “for some reason,” it reindicted defendant to include the other victim,
“there were no surprises,” and there was “nothing really new.” The State informed the court that
it had made a plea offer on the 2013 indictment but defendant rejected it. With respect to the new
charges, the State told the court the parties were discussing the possibility of a plea offer, and
defense counsel stated it looked like they were “pretty far apart.”
¶ 11 Defendant elected for a jury trial and the case proceeded to jury selection. The court and
the parties questioned the potential juror members in panels of 18, and each party had seven
peremptory challenges. The first panel consisted of three men: Arturo Rivera, Roger Brown, and
Gregory Jackson. The court dismissed Rivera for cause, and the State requested to dismiss
Brown for cause because he was not forthcoming about previous criminal charges against him
for solicitation for a sexual act and domestic battery. After the court questioned Brown, it denied
the State’s challenge for cause, noting that it accepted Brown’s statement that he misunderstood
the question about whether he had been “accused” in a criminal case. The State used four
peremptory challenges on the first panel: Brown, Jackson, and two women.
¶ 12 The second panel of 18 potential jury members consisted of four men: Angel Oliveros,
Dion Hampton, Wesley Merritt, and Ronald Czimra. After the second panel was questioned, the
State used its three remaining peremptory challenges on Hampton and two women. Defendant
made a Batson gender-based objection to the State’s peremptory challenges on Jackson, Brown,
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No. 1-15-2760
and Hampton, arguing that the State used its challenges on “three out of the four men” and the
panel was overwhelming female. The following exchange occurred after defendant objected:
“THE COURT: They left in Angel Oliveros, and he is a male, is that correct?
[DEFENSE COUNSEL]: Just one, Judge.
THE COURT: Do you wish to respond, [ASA]?
[ASA]: Just for the record, Judge, we didn’t exercise our peremptory on Mr.
Merritt, so the record is clear, we had not stricken him. He was in the last row, so that is
another that was acceptable, Judge.
THE COURT: That’s correct. And also, Mr. Czimra, Mr. Czimra was left on.
[ASA]: And [another ASA] will explain the other two.”
The State explained that Jackson had been a defendant in a murder trial in which he was found
not guilty and could have a bias against the State or law enforcement for bringing charges against
him. 1 It stated that Brown had been previously charged with domestic battery and solicitation of
a sex act and “could be harboring some sort of bias against women.” With respect to Hampton,
the State explained that he was a “very young man,” lived with his parents, had little life
experience, recently graduated from high school, and “was an adolescent himself.” Following the
State’s explanations, the court stated:
“I don’t find any gender basis for any Battseon [sic] challenge. I don’t even find
that the first prong would be met, but the State did provide neutral reasons, even though I
1
The report of proceedings shows that the State incorrectly referred to Gregory Jackson as
Gregory Johnson.
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didn’t require them to, they did provide them, and I don’t find that there is a basis for a
gender Batteson [sic] challenge.
I accept all their neutral reasons, yet I don’t even find that they’re required to
provide it.”
At this time, there were 12 juror members selected, and jury selection continued to selecting the
alternatives from the second panel. Each party had one peremptory challenge for the alternates.
The State exercised a peremptory challenge on a woman, and defendant did not use any
challenges, which left two men from the second panel, Wesley Merritt and Ronald Czimra, as the
alternates.
¶ 13 The case proceeded to the jury trial. E.S. testified that, on August 3, 2012, she and A.B.
were walking to the park when defendant, whom she identified at trial, approached them, asked
for directions, told them they could make money modeling, and gave them a card with his
telephone number. E.S. and A.B. walked to a gazebo in the park, and about five minutes later,
defendant approached them again. He asked to take photographs of them inside his car. E.S.
testified that she felt scared and that defendant “grabbed my arm and pulled” her to the car.
¶ 14 E.S. went inside his car and sat in the front seat while defendant sat in the other front
seat. They talked about defendant’s family for a few minutes, and then defendant told her to get
into the back seat. E.S. crawled over the seat. Defendant asked E.S. to pose and he took
photographs of her with his cellular telephone. Defendant told E.S. to smile and told her she was
“sexy and beautiful, gorgeous.” E.S. testified that, after defendant took the photographs, he
“forced down my shorts” and “put his hands on my shorts and pulled them down.” She testified
that defendant used both of his hands to spread her legs and his “two thumbs went underneath
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No. 1-15-2760
my underwear and touched the vagina area” and he “rubbed in the thumbs and pushed in” the
vagina. E.S. got mad and slapped his hand away. Defendant lifted her shirt and touched her
breasts. E.S. pulled up her pants and tried to leave. The doors were locked, and defendant
blocked her with his arm when she tried to get out of his car. E.S. was eventually able to run out
of the car. She did not tell A.B. what happened because she was embarrassed. Before she left the
car, defendant gave her $3. Defendant came to the gazebo, and A.B. followed him inside his car.
About 10 to 20 minutes later, A.B. came back to the gazebo. E.S. and A.B. accepted defendant’s
offer to drive them home.
¶ 15 When E.S. got home, she was excited about becoming a model. As the night continued
and A.B. and E.S. talked and thought about what had happened, they “both realized that what
happened to us was wrong” and she “felt violated.” E.S. texted defendant, stating “I don’t think
my mom will let me be your model.” She did not tell her parents what happened because she was
scared.
¶ 16 The next day, E.S. and A.B. told A.B.’s mother what had happened, and A.B.’s mother
called the police. On August 7, 2012, E.S. went to the police station and told the police what
happened. On January 2, 2013, E.S. identified defendant in photographs as the person who was
in the backseat with her on August 3, 2012, and on January 23, 2013, she identified defendant in
a lineup as the person who took photographs and touched her in the park.
¶ 17 The State showed E.S. a diagram of the female genitalia sex organ and asked E.S. to
indicate the two areas where defendant’s “two thumbs touched” her. E.S. circled the labia majora
and testified that, when defendant placed his two thumbs there, he was “rubbing and pressing
down.” She testified that the photograph represented the “whole” vagina, and on cross-
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No. 1-15-2760
examination, she testified that the two circles where she indicated he touched were “above the
vagina.”
¶ 18 A.B. testified that, on August 3, 2012, she was walking to the park with E.S. when a man,
whom she identified at trial as defendant, approached them and told them they were beautiful.
He told them he could make them models and gave them a business card. A.B. felt happy
because she wanted to make money. E.S. and A.B. walked to a gazebo in the park, and defendant
came up to them, sat down, and started talking to them more about modeling. He told them he
wanted to take photographs of them for his catalog and wanted to do so inside of his car because
of the sun.
¶ 19 E.S. went inside defendant’s car first. A.B. did not see defendant pulling E.S. or forcing
her into the car. After about 20 minutes, E.S. returned and told A.B., “It’s your turn,” and did not
tell her what had happened. A.B. wanted to go with defendant because she thought it was for his
catalog to become a model. Defendant opened the back door, and A.B. sat in the middle seat.
Defendant asked A.B. if she had boyfriend and if she wanted to be with him, and she told him
she did not want to be with him. Defendant turned on the radio and told A.B. he wanted her to
feel comfortable.
¶ 20 Defendant took about four or five photographs and asked A.B. to remove her shorts to
take a bikini shot. A.B. removed her shorts, and defendant took photographs. A.B. testified that,
after she put her shorts back on, she leaned back on the seat and defendant “was now over” her
and put “his hand on my leg and quickly puts it inside my shorts and under my underwear and
sticks his finger in my vagina.” A.B. testified that defendant “was pushing inside my vagina” and
she quickly pushed his hand away. The State showed A.B. a diagram of the female genitalia sex
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organ and asked her to show where defendant “placed his finger inside” her vagina. A.B. circled
the labia majora and labia minora.
¶ 21 Defendant asked A.B. if she wanted a massage in the vagina and if she would watch him
masturbate. A.B. told him “no” and tried to exit the vehicle. Defendant blocked the door with his
body. A.B. was eventually able to leave. She walked back to E.S. and they talked about
modeling. Defendant walked over and told them to call him if they were interested in modeling.
Defendant gave A.B. $20. A.B. and E.S. accepted defendant’s offer for a ride home.
¶ 22 When E.S. and A.B. returned to A.B.’s home, they did not initially talk about what had
happened because they were embarrassed. A.B. testified they felt “kind of happy” because they
thought they were going to be models. A.B. sent defendant a text stating “Thank you for the
money and for not touching us” because she did not want to say anything about what happened
to them that night. When A.B. and E.S. started talking about the incident, they discovered that
“what he did was wrong.” Later that night, A.B. texted defendant, “You’re a f*** perv. You
stuck your finger in.” The next day, A.B.’s mother called the police.
¶ 23 On cross-examination, the following exchange occurred between defense counsel and
A.B. regarding defendant’s conduct:
“Q. All right. Did he penetrate your vagina?
A. Yes.
Q. He didn’t touch your vagina.
A. He did.
Q. Well, which did he do?
A. Can you repeat that?
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Q. Which did he do? Did he touch your vagina or did he penetrate?
A. He touched it. Sorry.”
When defense counsel asked A.B. about the area where she had placed a circle on the diagram of
the female sex organ, A.B. testified that defendant “was leading into it” and he was “trying to
push—he was pushing into—*** on the side right here.”
¶ 24 Burbank police detective Robert Michelson testified that, on January 23, 2013, Michelson
arrested defendant, and after he told him he was in custody for a sexual related offense,
defendant stated, “[t]his is about those two girls.” Michelson recovered defendant’s cellular
phone. Orland Park police investigator Douglas Kein testified that he recovered photographs and
text messages that had been deleted from defendant’s telephone. Kein could only obtain the first
50 characters from the text messages because the actual messages had been deleted. On August
3, 2012, at 3:40 p.m., defendant received a message stating: “Thank yhuu for the moneey nd for
not touching us.” At 7:40 p.m., defendant received a message stating, “I don’t think my mom
wouldn’t let me be your model,” and, at 9:29 p.m., he received a message stating “Yhuur a”
“perv *** Yhuu stuck yhuur finger in.”
¶ 25 Burbank police officer Jason Tudryn testified that, on August 7, 2012, when he
interviewed E.S. and A.B., E.S. never told him that defendant pulled her arm. E.S. told him she
went to defendant’s vehicle voluntarily.
¶ 26 Robert Garofalo, an expert in pediatric medicine, identified a photograph of the female
genitalia sex organ and described the parts, including the lips of the vagina, or the labium majora
and labium minora. He testified that the parts he described collectively belonged to the female
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sex organ and that the “touching or penetration of one single part, the labium majora or the
labium minora, would constitute a touching of the female sex organ as a whole.”
¶ 27 L.S. testified that, on August 19, 2000, when she was 18 years old, a man, whom she
identified at trial as defendant, approached her outside of a grocery store and told her he was a
security guard. Defendant led her to a van and pushed her inside. He took her wallet and asked
her for a “b*** j***.” She refused and he kissed her body, pulled down her pants, and
ejaculated. L.S. had convictions for retail theft in 2001, 2003, 2004, and 2011.
¶ 28 The State entered into evidence birth certificates of E.S. and A.B. showing E.S. was born
on September 1, 1998, and A.B. was born on December 11, 1998. The State entered into
evidence defendant’s application for a driver’s license showing he was born on May 14, 1977.
¶ 29 Following argument, the jury found defendant guilty of all six counts. The court merged
the aggravated criminal sexual abuse counts against E.S. (counts III and V) into the criminal
sexual assault count against E.S. (count I) and merged the aggravated criminal sexual abuse
counts against A.B. (counts IV and VI) into the criminal sexual assault count against A.B. (count
II). The court subsequently denied defendant’s motion for new trial and sentenced him to 10
years in prison on each criminal sexual assault count, to be served consecutively. The court
imposed $1177 in mandatory costs.
¶ 30 II. ANALYSIS
¶ 31 A. Sufficiency of the Evidence
¶ 32 Defendant contends that the State did not prove sexual penetration or that he used force
or threat of force. He therefore argues that the State did not prove him guilty of the two counts of
criminal sexual assault based on sexual penetration and force or the threat of force (counts I and
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II) or the two counts of aggravated criminal sexual abuse based on him touching the sex organs
of E.S. and A.B. with force or the threat of force (counts III and IV). Defendant does not
challenge the guilty findings for the two counts of aggravated criminal sexual abuse based on
him touching E.S. and A.B. for the purpose of sexual gratification or arousal (counts V and VI).
¶ 33 As an initial matter, defendant argues we should apply the de novo standard of review
because he is only disputing whether the uncontested facts presented at trial were sufficient to
prove the elements of the offense. We disagree. Defendant argues the evidence failed to establish
the elements of force or sexual penetration. The State responds that a rational juror could have
found from the evidence and the victims’ testimony that the evidence was sufficient to establish
force and sexual penetration. Because defendant is challenging whether the evidence was
sufficient to establish the elements of the offenses of criminal sexual assault and aggravated
criminal sexual abuse, he is challenging the sufficiency of the evidence at trial and the jury’s
factual findings. See People v. Pryor, 372 Ill. App. 3d 422, 430 (2007) (“By questioning whether
the evidence proved an element of the offense of aggravated vehicular hijacking, defendant is
challenging the sufficiency of the evidence at trial and the factual findings of the jury ***.”).
Thus, the issue is a question of fact, not law, and we will therefore not apply the de novo
standard of review. See id.
¶ 34 We also note that, although the jury found defendant guilty on all counts, the trial court
merged the aggravated criminal sexual abuse counts (counts III, IV, V, and VI) against each
victim into the respective criminal sexual assault counts against each victim (counts I and II) and
sentenced him only on the two criminal sexual assault counts. Generally, when the trial court
does not impose a sentence on a judgment of guilty in a criminal case, a defendant cannot appeal
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No. 1-15-2760
the judgment because it is not a final judgment. See People v. Dixon, 91 Ill. 2d 346, 352 (1982);
People v. Flores, 128 Ill. 2d 66, 95 (1989); In re T.G., 285 Ill. App. 3d 838, 845 (1996).
However, an exception to this rule provides that when, as here, a defendant has properly
appealed a final judgment on another offense, we may review the guilty finding even though the
court did not impose sentence. See People v. Lilly, 56 Ill. 2d 493, 496 (1974); In re T.G., 285 Ill.
2d at 845-46; People v. Burrage, 269 Ill. App. 3d 67, 71-72 (1994) (“Generally, absent the
imposition of a sentence, a judgment of guilty in a criminal case cannot be appealed. An
exception to this rule exists where, as in the case at bar, there is a proper appeal from the final
judgment of another offense.”); cf. People v. Neely, 2013 IL App (1st) 120043, ¶ 14 (noting that
the exception applied in limited circumstances, i.e., the court may review an unsentenced guilty
finding if the count on which the defendant was sentenced was reversed and vacated). We will
therefore review defendant’s sufficiency of the evidence contentions with respect to the
aggravated criminal sexual abuse counts based on touching E.S. and A.B.’s sex organ using force
or threat of force (counts III and IV) even though the court did not impose sentence on those
guilty findings.
¶ 35 When we review the sufficiency of the evidence on appeal, the question is whether, “after
viewing the evidence in the light most favorable to the prosecution, any rational trier of fact
could have found the essential elements of the crime beyond a reasonable doubt.” (Emphasis in
original.) Jackson v. Virginia, 443 U.S. 307, 319 (1979). It is the function of the fact finder, the
jury here, to determine the credibility of the witnesses, the weight to be given their testimony,
and the inferences to be drawn from the evidence. People v. Herring, 324 Ill. App. 3d 458, 464
(2001). The trier of fact need not disregard the natural inferences that flow normally from the
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evidence or search out all possible explanations consistent with innocence and raise them to a
level of reasonable doubt. Id. As the reviewing court, we will not retry a defendant (People v.
Giraud, 2011 IL App (1st) 091261, ¶ 17) or substitute our judgment for that of the fact finder on
issues about the weight of the evidence or the credibility of the witnesses (People v. Siguenza-
Brito, 235 Ill. 2d 213, 224-25 (2009)). We will only reverse a conviction if the evidence is so
unreasonable, improbable, or so unsatisfactory as to justify a reasonable doubt of defendant’s
guilt. People v. Denis, 2018 IL App (1st) 151892, ¶ 36.
¶ 36 To prove criminal sexual assault as charged here, the State had to prove defendant used
force or threat of force upon E.S. and A.B. and committed an act of sexual penetration, i.e., he
made any “intrusion, however slight, of any part of the body of one person *** into the sex organ
or anus of another person.” 720 ILCS 5/11-1.20(a)(1) (West 2012); id. § 11-0.1. To prove
aggravated criminal sexual abuse as charged here in counts III and IV, the State had to prove that
defendant was over the age of 17 and, by the use or threat of force, he committed an act of sexual
conduct with a victim who was between 13 and 17 years old. Id. § 11-1.60(c)(1)(ii). Defendant
only challenges the elements of sexual penetration, which applies only to the criminal sexual
abuse counts, and force or threat of force, which applies to all challenged counts.
¶ 37 Force or threat of force is defined as the use or threat of “force or violence” and includes,
but is not limited to, when the accused (1) threatens to use force or violence on the victim and the
victim under the circumstances reasonably believes that the accused has the ability to execute
that threat or (2) “overcomes the victim by use of superior strength or size, physical restraint, or
physical confinement.” Id. § 11-0.1.
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¶ 38 To prove force, there is no definite standard establishing the amount of force the State
must prove and each case must be considered on its own facts. People v. Alexander, 2014 IL App
(1st) 112207, ¶ 52. The force necessary to prove criminal sexual assault requires something more
than the force inherent in the sexual penetration itself. Id. ¶ 54. When considering the evidence
of force, we may consider the size and strength of the defendant and the victim as well as the
place and conditions under which the incident occurred. People v. Hines, 105 Ill. App. 3d 35, 37
(1982). The question of whether force or threat of force was used is best left to the trier of fact
who heard the evidence and observed the demeanor of the witnesses. See People v. Barbour, 106
Ill. App. 3d 993, 999 (1982).
¶ 39 The evidence surrounding the conditions under which the incidents took place inside
defendant’s car was sufficient for the jury to reasonably conclude that defendant committed the
sexual acts against A.B. and E.S. using force or threat of force. The evidence established that
defendant, a 35-year-old adult man, approached A.B. and E.S., who were 13 years old, told them
they could make money from modeling, and gave them his business card. He then led each of
them separately to sit in the backseat of his vehicle, committed sexual acts, and blocked them
when they tried to leave, from which the jury could reasonably infer that defendant overcame
E.S. and A.B. by physical confinement. See People v. Satterfield, 195 Ill. App. 3d 1087, 1097
(1990) (where the victim was sitting in a car, the defendant leaned inside and touched her
breasts, and the victim testified that there was nowhere she could move to avoid the defendant’s
advances, the court found that the evidence of force was sufficient, noting she was virtually
“pinned” in the car and physically confined).
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¶ 40 Further, E.S. testified that, when she was inside defendant’s vehicle, defendant “forced”
down her shorts, “pulled” her shorts down, spread her legs using both of his hands, put his
thumbs under her underwear, and rubbed and “pushed in” her vagina. When E.S. tried to leave,
the doors were locked and defendant blocked her with his arm. Likewise, A.B. testified that,
when she was in the backseat of defendant’s car, defendant was “over” her, put his hand under
her underwear, and “sticks his finger” and pushed inside her vagina. When A.B. tried to leave, he
blocked the door with his body. From this evidence and considering the place and conditions
under which the incidents occurred, the jury could reasonably infer that, when defendant
committed the sexual acts against E.S. and A.B., he overcame them by his superior strength and
by physically confining them in the backseat of his vehicle.
¶ 41 Although there was no testimony about defendant’s size or weight, the victims were 13-
year-old girls and defendant was a 35-year-old man, who brought them separately into the
backseat of his vehicle, committed sexual acts against them, and then blocked them from leaving
when they tried to leave. The jury had the opportunity to view the victims and defendant at trial
and could have properly considered the size disparity when viewing E.S. and A.B.’s testimony
and hearing their testimony about the sexual acts and conditions under which they took place.
Further, defendant asserts that there was no evidence that defendant threatened bodily injury.
However, as previously discussed, force also occurs when a defendant “overcomes the victim by
use of superior strength or size, physical restraint, or physical confinement.” 720 ILCS 5/11-0.1
(West 2012).
¶ 42 Accordingly, viewing the evidence in the light most favorable to, and taking all
reasonable inferences in favor of, the State, we find that the evidence was sufficient for the jury
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to reasonably conclude that defendant used force or threat of force when he committed the acts
against E.S. and A.B. inside his vehicle.
¶ 43 Defendant next argues that the State failed to prove sexual penetration because it did not
present evidence that any intrusion into the sex organs of E.S. or A.B. occurred. He argues the
State only proved that he touched or rubbed their sex organs.
¶ 44 Counts I and II allege defendant knowingly committed an act of sexual penetration upon,
respectively, E.S. and A.B., “to wit: an intrusion in that [defendant] placed part of his hand into
the sex organ of [E.S. and A.B.], by the use or threat of force.” Thus, sexual penetration is
defined, as relevant here, as any “intrusion, however slight, of any part of the body of one person
*** into the sex organ or anus of another person.” Id.; see People v. Maggette, 195 Ill. 2d 336,
346-47 (2001). Illinois courts have concluded that the female sex organ includes the vagina as
well as the labia majora and labia minora, the outer and inner folds of skin of the external genital
organs. People v. W.T., 255 Ill. App. 3d 335, 347 (1994); People v. Ikpoh, 242 Ill. App. 3d 365,
381-83 (1993).
¶ 45 The evidence was sufficient for the jury to conclude that defendant committed an act of
sexual penetration by intrusion as described in the indictment, i.e., intrusion into the sex organs
of E.S. and A.B.
¶ 46 E.S. testified that defendant spread her legs, put his two thumbs under her underwear, and
“rubbed in the thumbs and pushed in” her vagina. On a diagram of the female genitalia sex
organ, E.S. circled the labia majora as the area where defendant placed his thumbs and testified
that he was “rubbing and pressing down.” Similarly, A.B. testified that defendant stuck his
“finger in my vagina” and he “was pushing inside my vagina.” On a diagram of the female
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genitalia sex organ, A.B. identified the labia minora as the area defendant placed his finger and
testified he “was pushing into it.” As previously stated, the female sex organ includes the labia
majora and labia minora, and an expert in pediatric medicine testified that the parts of the female
sex organ, including the labia majora and labia minora, collectively belonged to the female sex
organ. See W.T., 255 Ill. App. 3d at 347. Viewing the evidence in the light most favorable to the
State, we find that the evidence was sufficient for any rational trier of fact to conclude that
defendant committed an act of sexual penetration by intruding, however slight, into the sex
organs of E.S. and A.B. See People v. Hebel, 174 Ill. App. 3d 1, 32 (1988) (finding the evidence
for sexual penetration sufficient where it showed that the defendant touched the “inner surface of
the victim’s labium majora and her labium minora”), abrogated on other grounds by People v.
Lawson, 163 Ill. 2d 187 (1994).
¶ 47 We note that defendant asserts that A.B. testified that defendant “touched, not
penetrated” her vagina. However, A.B. also testified he stuck “his finger in my vagina,” he “was
pushing inside my vagina,” and identified the labia minora as the area he “was pushing into.”
The jury heard the testimony, and it was the responsibility of the jury, not this court, to determine
the credibility of the witnesses, weigh the evidence, and resolve any inconsistencies. The jury
was not required to accept any possible explanation consistent with defendant’s innocence and
raise to reasonable doubt the possibility that A.B.’s testimony only showed that he “touched” or
“rubbed” her sex organ. See Siguenza-Brito, 235 Ill. 2d at 229. We see no reason from the
evidence presented to disturb the jury’s finding.
¶ 48 Citing Maggette, 195 Ill. 2d 336, defendant argues that the State did not prove sexual
penetration because courts have refused to allow “any rubbing to include penetration.” We find
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Maggette distinguishable. In Maggette, the defendant was charged with committing an act of
sexual penetration in that he “rubbed the vagina of [the victim], through her clothing, with his
finger.” (Internal quotation marks omitted.) Id. at 344. The victim testified that the defendant
rubbed her vaginal area, and the court concluded that the evidence was insufficient to convict
him of sexual penetration because “ ‘[m]ere touching or rubbing of a victim’s sex organ or anus
with a hand or finger does not prove sexual penetration and cannot, therefore, constitute criminal
sexual assault.’ ” Id. at 352 (quoting People v. Maggette, 311 Ill. App. 3d 388, 397 (2000)).
¶ 49 Here, unlike the charging document in Maggette, the indictment charged defendant with
sexual penetration by intrusion into A.B. and E.S.’s sex organs, which includes the labia majora
and labia minora. Further, as previously discussed, the victims testified that defendant did more
than just rub or touch their sex organs. E.S. testified that defendant “pushed in” her vagina and
“press[ed] down” her labia majora, and A.B. testified that defendant “was pushing into” her labia
minora. We are therefore unpersuaded by defendant’s reliance on Maggette.
¶ 50 Accordingly, the evidence was sufficient for any rational trier of fact to conclude that
defendant committed criminal sexual assault and aggravated criminal sexual abuse.
¶ 51 B. Compulsory Joinder and Speedy Trial
¶ 52 Defendant contends that the State violated his statutory right to a speedy trial because it
initially indicted him on February 14, 2013, and then reindicted him 742 days later on February
26, 2015, with new charges relating to E.S. that arose from the same criminal act as the original
charges. He argues that the compulsory joinder principles applied to the new charges relating to
E.S. and that the State was required to bring the 2015 charges within the 120-day speedy trial
period applicable to the original charges. Defendant therefore argues that counsel was ineffective
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for failing to move to dismiss the 2015 charges related to E.S. Defendant requests that we vacate
his convictions for criminal sexual assault and aggravated criminal sexual abuse related to E.S.
¶ 53 To prove ineffective assistance of counsel, a defendant must prove that counsel’s
performance was deficient and the deficient performance resulted in prejudice. People v. Phipps,
238 Ill. 2d 54, 65 (2010). If counsel had no lawful basis to raise a speedy-trial objection then a
defendant cannot establish either prong of an ineffective assistance of counsel claim. Id. Thus, to
determine whether counsel was ineffective, we must determine whether defendant’s right to a
speedy trial was violated. Id.
¶ 54 A defendant has constitutional (U.S. Const., amends. VI, XIV; Ill. Const. 1970, art. I, § 8)
and statutory rights to a speedy trial (725 ILCS 5/103-5 (West 2012)). People v. Gooden, 189 Ill.
2d 209, 216 (2000). These provisions address similar concerns but are not coextensive. People v.
Woodrum, 223 Ill. 2d 286, 298 (2006). Defendant only argues that his statutory right to a speedy
trial was violated.
¶ 55 The speedy trial statute provides that every person in custody for an alleged offense must
be “tried by the court having jurisdiction within 120 days from the date he [or she] was taken
into custody unless delay is occasioned by the defendant.” 725 ILCS 5/103-5(a) (West 2012).
When a defendant is in custody, as here, the 120-day statutory period begins to run automatically
from the day the defendant is taken into custody. People v. Mayo, 198 Ill. 2d 530, 536 (2002). If
a defendant is not tried within the statutory period, charges must be dismissed and the defendant
shall be discharged from custody. Id.; 725 ILCS 5/103-5(d) (West 2012). Any period of delay
caused by a defendant tolls the speedy-trial time period. Woodrum, 223 Ill. 2d at 299.
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¶ 56 The speedy-trial statute often interacts with the compulsory joinder statute when a
defendant is charged with multiple related offenses at different times. Gooden, 189 Ill. 2d at 218-
20; People v. Williams, 204 Ill. 2d 191, 198 (2003). The compulsory joinder statute requires the
State to prosecute all known offenses within the jurisdiction of a single court in a single criminal
case “ ‘if they are based on the same act.’ ” People v. Hunter, 2013 IL 114100, ¶ 10 (quoting 720
ILCS 5/3-3(b) (West 2008)). The compulsory joinder statute states: “If the several offenses are
known to the proper prosecuting officer at the time of commencing the prosecution and are
within the jurisdiction of a single court, they must be prosecuted in a single prosecution *** if
they are based on the same act.” 720 ILCS 5/3-3(b) (West 2012).
¶ 57 If the State is required to bring charges in a single prosecution under the compulsory
joinder statute, the time within which trial must begin on any new and additional charges is
subject to the same statutory limitation that applied to the original charges. Hunter, 2013 IL
114100, ¶ 10. Thus, if the compulsory joinder rule applies, “the filing of a later charge does not
give rise to a new, separate speedy-trial period relative to that charge.” People v. Sykes, 2017 IL
App (1st) 150023, ¶ 38. Further, delays attributable to a defendant in connection with the original
charges may not be attributed to the defendant with respect to the new and additional charges.
People v. Williams, 94 Ill. App. 3d 241, 248-49 (1981). However, this rule only applies if the
initial and subsequent charges are subject to compulsory joinder. People v. Wells, 2012 IL App
(1st) 083660, ¶ 22. We review de novo whether charges are subject to compulsory joinder.
People v. McGee, 2015 IL App (1st) 130367, ¶ 28.
¶ 58 We conclude that the 2015 charges relating to E.S. were not based on the same acts as the
2013 charges and, therefore, the 2015 charges were not subject to the compulsory joinder rule.
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¶ 59 On February 14, 2013, the State charged defendant with nine counts. Seven counts
involved defendant’s conduct towards A.B. only. The two remaining charges alleged sexual
exploitation of a child and related to defendant’s conduct towards E.S. Specifically, these
charges alleged that he knowingly enticed, coerced, or persuaded A.B. (count VII) and E.S.
(count VIII) to remove E.S.’s clothing for the purpose of sexual arousal or gratification.
¶ 60 On February 26, 2015, the State charged defendant with six counts, including three based
on his conduct against A.B. and three based on his conduct against E.S. With respect to his
conduct towards E.S., the State charged defendant with criminal sexual assault based on sexual
penetration in that he placed part of his hand into E.S.’s sex organ by the use or threat of force
(count I) and two counts of aggravated criminal sexual abuse based on touching her sex organ
(counts III and V).
¶ 61 The 2013 charges based on his sexual acts against A.B. only were separate and
independent acts from the 2015 charges that were based on his sexual acts against E.S. (counts I,
III, and V). Further, the 2013 charges that were based on his act of persuading A.B. and E.S. to
remove E.S.’s clothing for sexual gratification or arousal were separate and independent acts
from the 2015 charges based on him sexually penetrating (count I) and touching E.S.’s sex
organs (counts III and V). The 2015 charges relating to E.S. were therefore not based on the
same acts as the 2013 charges. See Gooden, 189 Ill. 2d at 219-20 (where the defendant
committed home invasion and sexual assault in the same incident, the court found that the
charges were based on separate acts and compulsory joinder was not required, noting,
“independent, overt acts that constitute different offenses are not required to be joined because
they are not offenses based on the same act” (internal quotation marks omitted)). Although
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defendant’s conduct against E.S. and A.B. arose from a series of related acts involving E.S. and
A.B., joinder is not required when multiple offenses arise from a series of related acts in the
course of a single incident. See People v. Mueller, 109 Ill. 2d 378, 385 (1985); People v. Baker,
2015 IL App (5th) 110492, ¶ 81.
¶ 62 Accordingly, because the 2015 charges relating to E.S. were not based on the same acts
as the 2013 charges, the compulsory joinder statute did not require the State to prosecute the
offenses in the same proceeding. The 2015 charges relating to E.S. (counts I, III, and V) were
therefore not subject to the same speedy trial time period as the 2013 charges. Thus, defendant’s
argument that counsel was ineffective for failing to file a motion to dismiss the 2015 charges
relating to E.S. fails because counsel did not have a lawful basis to raise a speedy-trial objection.
¶ 63 C. Batson Proceedings
¶ 64 Defendant contends the trial court erred because it did not comply with Batson when he
made a gender-based objection to the State’s peremptory challenges. He argues the trial court
improperly collapsed the Batson proceedings into a single step because it solicited the State’s
explanations regarding the peremptory challenges before it determined whether defendant made
a prima facie case. He further argues that the court erred when it both ruled that defendant did
not make a prima facie showing and that there was no Batson violation without allowing him to
respond. He asserts therefore that we should remand for new third-stage Batson proceedings. In
the alternative, he asserts that, if we determine that the trial court did not reach the ultimate
question of whether there was intentional discrimination under Batson, we should remand for
new first-stage Batson proceedings.
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¶ 65 The equal protection clause of the fourteenth amendment prohibits the State from using
peremptory challenges to exclude potential jury members based on race or gender. J.E.B. v.
Alabama ex rel. T.B., 511 U.S. 127, 129 (1994); Batson, 476 U.S. 79, 89 (1986). In Batson, the
United States Supreme Court outlined a three-step process for evaluating a defendant’s challenge
that the State’s peremptory challenge was discriminatory. People v. Payne, 2015 IL App (2d)
120856, ¶ 42.
¶ 66 The trial court must first determine whether the defendant made a prima facie showing
that the State exercised a peremptory challenge on a discriminatory basis. People v. Crawford,
2013 IL App (1st) 100310, ¶ 102. If the court determines that the defendant made a prima facie
showing, the burden shifts to the State to provide a gender-neutral explanation for striking the
venireperson at issue. People v. Hudson, 195 Ill. 2d 117, 127 (2001). The State’s explanation
“must be based on a juror characteristic other than gender and cannot be pretextual.” Id. at 127-
28.
¶ 67 At the third step, the trial court must assess the State’s explanations and the prosecutor’s
credibility and determine whether the defendant has carried his burden of proving purposeful
discrimination. Id. at 128; Crawford, 2013 IL App (1st) 100310, ¶¶ 102, 106. The legitimacy of
the State’s proffered reasons is generally a factual matter for the trial court because the court is in
the best position to observe the course of voir dire and assess the demeanor of the prospective
jurors and the State. People v. Rivera, 307 Ill. App. 3d 821, 831 (1999). Because the trial court’s
finding is a credibility determination, it should be given great deference. People v. Kitchen, 159
Ill. 2d 1, 19 (1994). Further, in a situation when the trial court does not determine whether the
defendant made a prima facie showing, the State offers an explanation for the peremptory
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challenge, and the court rules on the ultimate question of intentional discrimination, then the
issue of whether the defendant made a prima facie showing becomes moot. Id. at 18.
¶ 68 The trial court’s ultimate ruling on a Batson challenge is entitled to great deference, and
therefore, we will not reverse a trial court’s ruling unless it is clearly erroneous. Payne, 2015 IL
App (2d) 120856, ¶ 43. This means that we may not reverse unless we are left with a definite and
firm conviction that a mistake has been committed. Crawford, 2013 IL App (1st) 100310, ¶ 103.
¶ 69 Here, defendant made a gender-based Batson objection after the State used its
peremptory challenges on three men: Gregory Jackson, Roger Brown, and Dion Hampton. The
State offered its explanation for striking the potential jurors before the trial court determined
whether defendant made a prima facie showing under the first step in the Batson analysis.
However, after the State offered its explanations, the court found that the State provided
adequate gender-neutral reasons and that there was no basis for a gender challenge under Batson.
Therefore, we need not determine whether defendant made a prima facie showing under Batson,
as that issue becomes moot. See Kitchen, 159 Ill. 2d at 18. We must determine only whether the
court’s finding that the State’s explanations for striking Jackson, Brown, and Hampton were
gender neutral and valid was clearly erroneous. See Payne, 2015 IL App (2d) 120856, ¶ 47
(where the State offered its explanation before the trial court determined whether the defendant
made a prima facie showing and the court determined that the State’s explanation was race
neutral, the reviewing court concluded that it need not address whether the defendant made a
prima facie showing and only had to determine whether the trial court erred in finding that the
State’s explanation was race neutral and valid); Kitchen, 159 Ill. 2d at 18-23 (where the trial
court did not make a finding that defendant presented a prima facie case, the State volunteered
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its race-neutral explanation for its challenges, and the court ruled on the ultimate question of
intentional discrimination, the supreme court reviewed whether the court’s findings that the
State’s explanations were valid and race neutral were clearly erroneous).
¶ 70 We conclude that the trial court’s finding that the State’s explanations for excluding
Jackson, Brown, and Hampton were gender neutral was not clearly erroneous. With respect to
Jackson, the State explained that he had been a defendant in a murder trial of which he was
found not guilty and he could have bias against the State or law enforcement as a result of that
experience. Given the State’s explanation that it excluded Jackson based on his own prior
experience as a defendant in a murder trial, the trial court’s finding that this reason was gender
neutral was not clearly erroneous, as courts have found a race-neutral reason for excluding a
potential juror member to be “[w]hen a member of the venireperson’s family has been charged
with or convicted of a crime.” See People v. Thomas, 266 Ill. App. 3d 914, 920 (1994).
¶ 71 Further, with respect to Brown, the State attempted to strike him for cause after he did not
disclose his previous criminal history when he was initially questioned. When the court denied
the State’s challenge for cause, the State used a peremptory challenge on him, explaining that he
had been previously charged with domestic battery and solicitation of a sex act and “could be
harboring some sort of bias against women.” A prospective juror’s criminal history and arrest
record is a gender-neutral reason for excluding a prospective juror. See Payne, 2015 IL App (2d)
120856, ¶ 48. Thus, the trial court’s finding that the State provided a valid gender-neutral reason
for its challenge to Brown was not clearly erroneous.
¶ 72 With respect to Hampton, the State explained that it exercised its challenge on him
because he was young and had little life experience, explaining that he lived with his parents and
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No. 1-15-2760
recently graduated from high school. Courts have concluded that youth is a legitimate neutral
reason for excluding a juror. See People v. Mays, 254 Ill. App. 3d 752, 765 (1993); People v.
Crockett, 314 Ill. App. 3d 389, 400 (2000); People v. Lovelady, 221 Ill. App. 3d 829, 840 (1991)
(concluding that the potential juror member’s traits of being a student with a part-time job, not
owning a residence, and living with his mother were race neutral).
¶ 73 Defendant has not provided any argument on appeal or directed this court to anything in
the record to support that the State’s gender-neutral explanations were pretextual. Defendant
does assert that “[i]t is impossible to say now whether they were pretextual or not; the defense
needed to be given an opportunity at trial to respond to the pretext.” (Emphasis in original.)
However, this court has previously concluded that, under Batson, the trial court is not always
required to provide a defendant with an opportunity to rebut the State’s argument. Crawford,
2013 IL App (1st) 100310, ¶ 106. Further, although the defendant should generally be permitted
to offer evidence to rebut the State’s explanations for its peremptory challenges, when a trial
court presided over the voir dire and had the opportunity to observe the prospective jury
members’ demeanor directly, as here, it is not error if the court denies a defendant’s request to
rebut the State’s explanation. Id. ¶ 107. Here, the trial court presided over the voir dire and the
record shows that defendant never requested to rebut the State’s explanations for its peremptory
challenges. Thus, we are unpersuaded by defendant’s argument that the court erred when it found
that the State provided gender-neutral reasons for its peremptory challenges and determined there
was no intentional discrimination without allowing him to respond to the State’s explanations.
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¶ 74 Accordingly, based on our review of the record and given that we must give the trial
court great deference, we cannot find that the trial court’s determination that there was no
gender-based discrimination in the State’s peremptory challenges was clearly erroneous.
¶ 75 D. Conflict of Interest
¶ 76 Defendant contends the trial court erred when it allowed Grace to represent him during
pretrial proceedings. It argues a per se conflict of interest existed because Grace had been an
ASA on his prior sex offense case from 2000 and had taken a statement from him. Defendant
asserts that, despite being informed of the per se conflict of interest, the court allowed Grace to
continue to represent him during pretrial proceedings, including the plea bargaining process, and
did not admonish him about the waiver or conflict. He asserts his sixth amendment rights were
violated when Grace represented him for nine months before trial.
¶ 77 Initially, we note that defendant acknowledges he did not preserve his challenge by
raising the issue at trial. See People v. Banks, 2016 IL App (1st) 131009, ¶ 71 (to preserve an
issue for appeal a defendant must object at trial and raise the issue in a posttrial motion).
However, the State does not argue that defendant has forfeited his argument and therefore has
forfeited any forfeiture argument. See People v. Bridgeforth, 2017 IL App (1st) 143637, ¶ 46
(rules of waiver and forfeiture also apply to the State). We will therefore review the merits of
defendant’s challenge.
¶ 78 Defendant requests in his reply brief that we strike the footnote on page 28 of the State’s
response brief because it contains substantive material. To the extent that this footnote contains
substantive material, we will not consider it. See Lundy v. Farmers Group, Inc., 322 Ill. App. 3d
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214, 218 (2001) (substantive material should be presented in the body of the briefs); Ill. S. Ct. R.
341(a) (eff. May 25, 2018) (discouraging the use of footnotes).
¶ 79 The sixth amendment provides that a defendant has the right to assistance of counsel in
his defense. People v. White, 395 Ill. App. 3d 797, 824 (2009). This includes the right to
effective assistance of counsel, including that an attorney’s allegiance to his client must not be
diluted by conflicting interests or inconsistent obligations. People v. Spreitzer, 123 Ill. 2d 1, 13-
14 (1988). A defendant also has the right under the sixth amendment to counsel of choice. White,
395 Ill. App. 3d at 824. Thus, a defendant may waive the right to a conflict-free counsel. People
v. Washington, 240 Ill. App. 3d 688, 699 (1992). However, a defendant must knowingly and
intelligently waive this right to conflict-free counsel. See People v. Becerril, 307 Ill. App. 3d
518, 525 (1999). Further, a defendant’s right to counsel of choice is subject to certain limitations,
including a trial court’s “ ‘substantial latitude’ ” to refuse to allow a defendant to waive his
counsel’s actual or potential conflict of interest. People v. Ortega, 209 Ill. 2d 354, 358 (2004)
(quoting Wheat v. United States, 486 U.S. 153, 163 (1988)).
¶ 80 Defendant asserts we apply a de novo standard of review on the issue of whether the
court erred when it allowed Grace to represent him during pretrial proceedings because “the
issue of whether counsel labored under a per se conflict of interest” is subject to de novo review.
However, defendant is not asserting a claim of ineffective assistance of counsel based on Grace’s
representation, and therefore, the concept of a per se conflict does not apply, as it only applies
when a defendant asserts a claim of ineffective assistance of counsel based on his attorney’s
conflict. See id. at 364 (“the concept of a per se conflict applies only to cases where a defendant
claims ineffective assistance of counsel due to his attorney’s conflict”). In addition, the trial court
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ultimately disqualified Grace from representing him. However, defendant is not asserting that the
court erred when it disqualified Grace. We note that we review a trial court’s ruling on its
decision to disqualify an attorney from representing a defendant under the abuse of discretion
standard. People v. James, 368 Ill. App. 3d 433, 436 (2006).
¶ 81 Instead, defendant argues the court erred when it did not disqualify Grace after the parties
informed the court about the conflict of interest issue. He asserts that when the court ultimately
disqualified Grace it knew the exact same facts as it did when the parties first presented the issue
to the court and it “did not need nine months to make this decision; the delay only served to
harm” his rights. Given that defendant is taking issue with the “delay,” or time it took for the
court to determine whether it should disqualify Grace from representing defendant, we will
review the court’s pretrial decisions regarding the conflict of interest issue under the abuse of
discretion standard. See Johnson v. Ingalls Memorial Hospital, 402 Ill. App. 3d 830, 847 (2010)
(“Generally, decisions made by a trial judge with respect to case management are reviewed for
abuse of discretion.”). A trial court abuses its discretion when no reasonable person would agree
with its position. In re Marriage of Stephenson, 2011 IL App (2d) 101214, ¶ 20.
¶ 82 We find that the court did not abuse its discretion during the period in the pretrial
proceedings when it was evaluating whether to allow Grace to represent defendant. The record
shows that, after the parties informed the court in August 2013 that Grace had been an ASA on
defendant’s case from 2000 that “could be” the subject of a motion for proof of other crimes, the
court continued the case for the parties and the court to research the issue. In December 2013,
defendant filed a motion to waive “the per se conflict,” requesting that he waive “any per se
conflict that may exist at this time.” Attached to the motion, defendant filed a strongly worded
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and comprehensive affidavit regarding the waiver, including that he acknowledged Grace’s
involvement on his prior case from 2000 and he understood the “perils” of Grace continuing to
represent him and the possibility that Grace may need to withdraw in the future. He averred that
he had “spoken extensively” with Grace about the conflict and problems that could arise from it.
Defendant stated that, “[k]nowing the existence of this conflict,” he still wanted Grace as his
attorney and he “knowingly and intelligently” waived any conflict of interest that may occur.
¶ 83 On the December 10, 2013, court date, counsel informed the court of defendant’s motion
to waive “per se conflict,” and the court continued the case for a hearing. The State had not yet
filed a motion for proof of other crimes. The court did not admonish the defendant at this time to
determine whether he knowingly, intelligently and voluntarily waived the conflict although the
State had left open the possibility of other crimes evidence. The court continued its ruling on
defendant’s motion for the court to conduct further research on the issue and for the parties to
review case law provided by the court.
¶ 84 When the state informed the court on May 20, 2014, that it had filed a motion for proof of
other crimes the court held a hearing on June 13, 2014, on defendant’s motion to waive the
conflict. After the hearing the court concluded that defendant could not waive the conflict and
disqualified Grace, noting that because the State filed a motion for proof of other crimes, “these
cases now take on the relationship of being related” and Grace could not provide undivided
loyalty, as he would be required to argue the other crimes evidence in which he was involved in
the prosecution.
¶ 85 Given that the court had to evaluate the conflict of interest issue in the “murkier” pretrial
context, in which defendant filed a motion to waive “any per se conflict that may exist” as well
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as an affidavit averring he knowingly and intelligently was waiving any conflict and that the
State had not filed a motion for proof of other crimes, we cannot find that the court abused its
discretion during the period in the pretrial proceedings in which it allowed Grace to continue to
represent defendant while it determined whether there was a conflict that defendant could waive.
See People v. Holmes, 141 Ill. 2d 204, 223 (1990) (the court must decide the issue of whether to
allow waiver of a conflict of interest “ ‘not with the wisdom of hindsight after the trial has taken
place, but in the murkier pretrial context when relationships between parties are seen through a
glass, darkly’ ” (quoting Wheat, 486 U.S. at 162)).
¶ 86 Defendant asserts that the court erred because it allowed Grace to represent him during
pretrial settlement negotiations when there was a per se conflict of interest and he had the
constitutional right to loyal counsel. As previously discussed, the concept of per se conflict does
not apply because defendant is not arguing that Grace provided ineffective assistance of counsel
during any settlement negotiations. See Ortega, 209 Ill. 2d at 364. Further, defendant’s case from
2000 in which Grace took his statement as an ASA was unrelated to the facts of this case, and
defendant has not provided this court with any authority to support the proposition that Grace
would have had a per se conflict of interest during any pretrial settlement negotiations that
occurred before the State filed a motion for proof of other crimes related to that 2000 case. See
People v. Nuruddin, 145 Ill. App. 3d 778, 782 (1986) (finding no per se conflict of interest
existed, noting that the record did not show that “the prior prosecution of defendant by [defense
counsel] was in a case which is related to this case”).
¶ 87 Defendant asserts that the court did not admonish him about his waiver and that his
“attempted” waiver was not made knowingly, intelligently, or voluntarily. However, the court
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disqualified Grace and thus never accepted defendant’s waiver. The court therefore was not
required to admonish defendant or determine whether he knowingly waived his right to conflict-
free representation, as it never accepted his waiver. See People v. Coleman, 301 Ill. App. 3d 290,
301 (1998) (the trial court must adequately inform a defendant of a conflict before it can accept
any wavier of a conflict by a defendant).
¶ 88 We note that when the parties initially informed the trial court about the issue with
Grace’s involvement on defendant’s prior case, the court told the parties that before it addressed
the State’s plea offer it needed to address the conflict issue, after which it continued the case for
nine months. During that nine months defendant and Grace were in a legal limbo waiting to see,
first, what the State would do with the prior crimes and, second, what the court would do with
the waiver. The State could have decided that matter in a more timely way; the court could have
forced the issue in a more timely way. This is clearly not the best practice for the State or for the
court. It would have been a better practice for the court to admonish defendant from the outset of
the conflict issue, require the State to make a decision about its other crimes evidence, and make
the decision who could represent the defendant. The court’s ultimate decision that defendant
could not waive the conflict was clearly correct; it is the timing of the sequence of events that
creates a question of abuse of discretion. Here, because the court had a robust and carefully
worded affidavit from the defendant, before the State’s decision and before the admonitions,
allowing Grace to represent defendant during the interim was not a clear abuse of discretion.
¶ 89 Accordingly, given the foregoing, we cannot find that the court abused its discretion
during pretrial proceedings when it allowed Grace to represent defendant while it was evaluating
whether a conflict of interest existed that defendant could not waive.
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¶ 90 E. Fines and Fees
¶ 91 Defendant contends he was improperly assessed two fees and is entitled to presentence
custody credit against certain assessed “fees” that are actually considered “fines.”
¶ 92 Defendant acknowledges he did not properly preserve his challenges by raising them in
the trial court. See Bridgeforth, 2017 IL App (1st) 143637, ¶ 46 (a defendant forfeits an issue if
he fails to raise an objection in the trial court and include the issue in a written postsentencing
motion). He however argues that we may review his challenge to the improperly assessed fees
under Illinois Supreme Court Rule 615(b)(1) and that his request for presentence custody credit
not only cannot be forfeited but is reviewable under the plain error doctrine. The State does not
argue that we do not have authority to review defendant’s challenges. The State has therefore
forfeited any forfeiture argument. See Bridgeforth, 2017 IL App (1st) 143637, ¶ 46 (rules of
waiver and forfeiture also apply to the State). Thus, we will review defendant’s claims despite
forfeiture. The propriety of court-ordered fines and fees is reviewed de novo. People v. Price,
375 Ill. App. 3d 684, 697 (2007).
¶ 93 Defendant first contends, and the State correctly concedes, that the $5 electronic citation
fee (705 ILCS 105/27.3e (West 2014)) was improperly assessed. The $5 electronic citation fee
does not apply to felonies. People v. Moore, 2014 IL App (1st) 112592, ¶ 46. Defendant was
convicted of criminal sexual assault (720 ILCS 5/11-1.20(a)(1) (West 2012)), which is a Class 1
felony (id. § 11-1.20(b)(1)). We therefore vacate the $5 electronic citation fee.
¶ 94 Defendant next contends, and the State concedes, that the $25 court services (sheriff)
assessment (55 ILCS 5/5-1103 (West 2014)) was improperly assessed because the offense of
which he was convicted, criminal sexual assault, is not included in the statute as a qualifying
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No. 1-15-2760
offense for the charge. However, this court has held that a defendant may be assessed the court
services (sheriff) assessment under section 5-1103 when he is not convicted of the offenses listed
within the statute. See People v. Adair, 406 Ill. App. 3d 133, 144 (2010) (“Based on the
encompassing language of the statute and its clear purpose of defraying court security expenses,
we are unpersuaded that the failure to list the offenses the defendant committed means he cannot
be required to defray the expenses incurred by the sheriff for his court proceedings.”). The court
services (sheriff) charge was therefore properly assessed against defendant.
¶ 95 Defendant contends he is entitled to presentence custody credit against three fees
imposed against him that are actually considered “fines” subject to presentence custody credit.
¶ 96 Under section 110-14(a) of the Code of Criminal Procedure of 1963, a defendant is
entitled to a $5 credit against his fines for each day spent in presentence custody. 725 ILCS
5/110-14(a) (West 2014); People v. Tolliver, 363 Ill. App. 3d 94, 96 (2006). Presentence credit is
only applied to fines imposed after a conviction and does not apply to other costs. Tolliver, 363
Ill. App. 3d at 96. A fine is considered to be part of a defendant’s punishment for a conviction.
People v. Jones, 223 Ill. 2d 569, 582 (2006). A fee is a charge for labor or services and is a
“collateral consequence” of a conviction which is compensatory, not punitive. Tolliver, 363 Ill.
App. 3d at 97. When a charge is labeled a fee, it still may be considered a fine. See Jones, 223
Ill. 2d at 599. To determine whether a charge is a fine or a fee, “the most important factor is
whether the charge seeks to compensate the state for any costs incurred as the result of
prosecuting the defendant.” People v. Graves, 235 Ill. 2d 244, 250 (2009).
¶ 97 Defendant argues he is entitled to presentence custody credit to be applied toward the $15
state police operations fee (705 ILCS 105/27.3a(1.5) (West 2014)), $2 State’s Attorney Records
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No. 1-15-2760
Automation Fund fee (55 ILCS 5/4-2002.1(c) (West 2014)), and $50 court system fee (id. § 5-
1101(c)(1)).
¶ 98 We agree with the parties that the $15 state police operations fee and the $50 court
system fee are “fines” that must be offset by defendant’s presentence custody credit. See People
v. Millsap, 2012 IL App (4th) 110668, ¶ 31 (concluding that the state police operations fee is a
fine); People v. Ackerman, 2014 IL App (3d) 120585, ¶ 30 (concluding that the court systems fee
is a fine). However, our supreme court has concluded that the $2 State’s Attorney Records
Automation Fund fee is a fee, not a fine. People v. Clark, 2018 IL 122495, ¶ 27. Defendant is
therefore not entitled to presentence credit toward the State’s Attorney Records Automation
Fund charge.
¶ 99 In sum, the $15 state police operations and $50 court system assessments are offset by
defendant’s presentence custody credit, and we vacate the $5 electronic citation fee. We order
the trial court to correct the fines and fees order accordingly.
¶ 100 III. CONCLUSION
¶ 101 For the reasons explained above, we affirm defendant’s convictions and remand to the
trial court for the sole purpose of correcting the fines and fees order.
¶ 102 Affirmed and remanded with directions.
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