NOT FOR PUBLICATION WITHOUT THE
APPROVAL OF THE APPELLATE DIVISION
SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION
DOCKET NO. A-0320-21
DENTAL HEALTH
ASSOCIATES SOUTH
JERSEY, P.A., PG DENTAL
MANAGEMENT II LLC,
and DR. AMISH PATEL,
APPROVED FOR PUBLICATION
Plaintiffs-Appellants, March 10, 2022
APPELLATE DIVISION
v.
RRI GIBBSBORO, LLC,
SCOTT SINGER, and TODD
SINGER, SAMANTHA WOLFF,
DENTAL OF CLEMENTON,
LLC, and JAMES MARMO,
Defendants-Respondents.
___________________________
Argued March 3, 2022 – Decided March 10, 2022
Before Judges Alvarez, Haas, and Mawla.
On appeal from an interlocutory order of the Superior
Court of New Jersey, Law Division, Camden County,
Docket No. L-3993-20.
Ellis I. Medoway argued the cause for appellants Dental
Health Associates South Jersey, PA, PG Dental
Management II LLC, and Dr. Amish Patel (Archer &
Greiner, PC, attorneys; Ellis I. Medoway, on the
briefs).
Elliot D. Ostrove argued the cause for respondents
RRI Gibbsboro, LLC, Scott Singer and Todd Singer
(Epstein Ostrove, LLC, attorneys; Elliott D. Ostrove, of
counsel and on the brief; Maureen C. Pavely, on the
brief).
The opinion of the court was delivered by
MAWLA, J.A.D.
We granted plaintiffs Dental Health Associates South Jersey, P.A., PG
Dental Management II, LLC, and Dr. Amish Patel leave to appeal from an
August 6, 2021 order disqualifying the law firm of Archer & Greiner, PC
(Archer) from serving as their counsel. We reverse and remand for further
proceedings consistent with this opinion.
Plaintiffs initiated this lawsuit in June 2020 alleging they executed an
asset purchase agreement with sellers, who were not party to the litigation, to
purchase dental practices, including patient records and dental equipment.
Pursuant to the purchase agreement, the sellers assigned their leases for multiple
office locations, including a Clementon office operated by defendants RRI
Gibbsboro, LLC, Scott Singer, and Todd Singer. Following the agreement's
execution, plaintiffs alleged defendants locked them out of the Clementon
office, wrongfully converted the equipment and patient records, and sought an
injunction prohibiting defendants from blocking access to the premises.
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A few weeks after filing the complaint, plaintiffs retained Archer and its
partner Kerri E. Chewning as their new counsel. Chewning filed a first amended
complaint in June 2020 and a second amended complaint in September 2020.
Plaintiffs asserted the following claims against defendants: conversion; tortious
interference with contract and/or business expectancy; breach of contract;
violation of the New Jersey Law Against Discrimination; and defamation.
The complaints' introduction referenced an unrelated 2015 litigation
involving defendants in New York, to which plaintiffs were not a party. Before
addressing the import of the introduction in plaintiffs' complaint, we explain the
background of the New York litigation.
The New York case involved a lawsuit filed by a "control fund" that
entered into an asset purchase agreement with the Singers to purchase an equity
stake in a marketing and human resources company the Singers owned that
provided non-clinical services to dental practices owned by Todd. 1 Pursuant to
the agreement, Scott would be named CEO of company, Todd remained owner
of the dental practices and would be named president and chief clinical officer
of the company, and both would draw salaries under their employment contracts.
1
We use first names because Todd and Scott share the same surname. We
intend no disrespect.
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A dispute arose following the closing and the Singers sought to terminate the
service contracts between the company and the practices.
The New York plaintiffs filed a complaint alleging: fraudulent
inducement of the acquisition agreement seeking monetary damages and
specific performance; breach of the acquisition agreement, monetary damages,
and specific performance; breach of the acquisition agreement's restrictive
covenants; breach of the covenant of good faith and fair dealing; breach of
fiduciary duty; unjust enrichment; and conversion. The New York plaintiffs
sought a temporary restraining order (TRO) against the Singers for violating the
agreement's restrictive covenants, including a prohibition on soliciting
employees and a non-compete clause. Following entry of the TRO, the New
York trial court had to determine whether to enforce the acquisition agreement's
restrictive covenants and convert the TRO to a preliminary injunction. The
Singers opposed a preliminary injunction arguing the restrictive covenants were
illegal and contrary to public policy. The court rejected the public policy
argument and granted the preliminary injunction.
The Singers and their related entities in the New York litigation retained
the law firm of Tarter, Krinsky & Drogin, LLP to represent them in the appeal
from the preliminary injunction. Anthony D. Dougherty, then a partner at the
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firm, handled the appeal and was involved in the matter from December 2015
until September 2017 when the litigation settled and was dismissed.
With this as the background, we turn to paragraph ten of the complaint
Archer filed here, which read as follows:
In an [eighteen]-page [d]ecision . . . from a case
strikingly similar to the one now before this [c]ourt,
[the New York court] had this to say about the Singer
brothers when entering an injunction against them:
....
The equities . . . do not lie with defendants
[the Singer brothers], who brazenly and
unapologetically crippled the [New York
plaintiff's c]ompany by stealing the
[e]mployees and competing . . . in direct
contravention of . . . the [a]cquisition
[a]greement.
***
[The Singers'] notion that this case presents
a public health concern or that patients . . .
stand to see their dental care adversely
impacted is nothing more than a conclusory
scare tactic proffered by the Singers.
***
Under these circumstances, it is clear the
Singers seek to invoke "public policy as a
sword for personal gain rather than a shield
for the public good."
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[(fifth and tenth alterations in original).]
In December 2020, defendants filed an answer and counterclaim claiming
"[t]he allegations contained in [p]aragraph [ten] . . . are non-factual arguments
and/or conclusions of law, for which no response is required." The answer
further asserted the paragraph should be stricken pursuant to Rule 4:6-4(b) and
denied the allegations, noting the New York decision was interlocutory.
Dougherty joined Archer as a partner in January 2021. On June 28, 2021,
Scott sent Dougherty an email congratulating him on the move to Archer.
Defendants' counsel then contacted Chewning asserting a conflict of interest
given Dougherty's prior representation of the Singers and their entities in the
New York matter and demanded Archer withdraw as plaintiffs' counsel.
Defendants subsequently filed the disqualification motion.
Scott certified he retained Dougherty in 2015 to represent him, his brother,
and their related entities in the New York litigation. He stated Dougherty
represented other entities related to him and his brother and most recently
represented him in an arbitration in August 2019. He alleged Dougherty had
knowledge of the trial strategy and defenses in the New York matter and
"obtained confidential information about the Singer [d]efendants and . . . the
defenses . . . they now assert in the pending matter." His certification attached
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billing statements showing Dougherty's activity. He stated: "Dougherty learned
about our finances, habits, methodologies, personality, and other personal
information concerning me, Todd, and our businesses." Defendants noted
Archer did not advise them Dougherty joined the firm as mandated under RPC
1.10(c)(3).
Chewning and Dougherty each filed a certification in opposition to the
motion recounting their respective involvement. Each certified they worked in
different Archer offices and had never met, let alone spoken with each other
about defendants or their cases. Chewning certified when she received the letter
from defendant's counsel alleging the conflict, she contacted Archer's general
and assistant general counsel to handle the matter. Dougherty's certification
stated his access to Archer's file was restricted by the firm after defendants'
counsel wrote to Chewning. The firm's assistant general counsel also submitted
a certification confirming he had Dougherty "screened from the present matter."
At oral argument, defendants' counsel argued the strategies and "defenses
raised by the Singer defendants in this matter with respect to an illegally or
improperly constituted entity for the provision of dental services was the same
defense that was raised in the New York matter." Counsel asserted "the
similarity between the two matters is necessarily established by plaintiff's
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admission" via their sworn statements where they "declare that the New York
matter is . . . 'strikingly similar' to the one now before this [c]ourt."
Plaintiffs' counsel noted the first amended verified complaint containing
the "strikingly similar" language was filed six months before Dougherty joined
Archer and did not constitute an admission the two cases were alike. And even
if it did, the court had to apply the Trupos2 standard and determine whether the
matters were substantially related. Counsel argued the matters were not
substantially related because the two cases were litigated in separate
jurisdictions and involved different causes of action and law.
The motion judge granted the disqualification and issued a written
opinion. He concluded disqualification was required under RPC 1.10(b),
reasoning:
Plaintiff[s'] complaint . . . on its face establishes the
existence of [the] conflict. . . . Dougherty, while
representing defendants in [the] New York litigation,
signed papers as the lead attorney . . . . Plaintiff's
original complaint as well as the two amended verified
complaints rely upon the New York decision . . . as
relevant to establishing improper business tactics by
defendants in this case. . . . Dougherty would possess
confidential information relating to the New York
litigation upon which plaintiffs here rely upon to the
detriment of defendant[s].
2
City of Atlantic City v. Trupos, 201 N.J. 447 (2010).
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. . . [P]laintiffs are judicially estopped from trying to
distance themselves from clear and unambiguous
allegations contained in both the original complaint and
the second amended complaint.
I.
"Disqualification of counsel is a harsh discretionary remedy which must
be used sparingly." Cavallaro v. Jamco Prop. Mgmt., 334 N.J. Super. 557, 572
(App. Div. 2000). "[A] motion for disqualification calls for [the court] to
balance competing interests, weighing the 'need to maintain the highest
standards of the profession' against a 'client's right freely to choose his [or her]
counsel.'" Dewey v. R.J. Reynolds Tobacco Co., 109 N.J. 201, 218 (1988)
(quoting Gov't of India v. Cook Indus., Inc., 569 F.2d 737, 739 (2d Cir. 1978)).
Courts must engage in a "painstaking analysis of the facts." Id. at 205 (quoting
Reardon v. Marlayne Inc., 83 N.J. 460, 469 (1980)). Our review is de novo.
Trupos, 201 N.J. at 463.
II.
Plaintiffs argue defendants did not meet their burden to demonstrate the
New York litigation was substantially related to the present matter, and the
motion judge failed to analyze the facts and found the matters were substantially
related relying on one unproven allegation in the complaint. They assert the
judge assumed Chewning obtained confidential information from Dougherty
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even though they never met, and the allegations raised in the complaint were
asserted prior to Dougherty joining Archer. They further point out the motion
judge incorrectly relied on RPC 1.10(b), which does not apply unless the lawyer
is disqualified under RPC 1.9.
Plaintiffs argue if the judge applied Trupos, he would have concluded
there was no conflict of interest because the cases were different. The New York
litigation concerned an acquisition agreement's restrictive covenants containing
anti-solicitation and non-compete provisions, whereas this matter involves a
lease agreement and dispute over access to a dental office, records, and
equipment. Plaintiffs also point out the discrimination claims raised here were
not part of the New York litigation. They argue judicial estoppel does not apply
because there was no final adjudication in either case.
RPC 1.9(a) prohibits a lawyer who formerly represented a client from
representing another client "in the same or a substantially related matter in which
that client's interests are materially adverse" to the former client's interests
unless the former client provides written informed consent. Additionally, RPC
1.9(c) prohibits a lawyer from using or revealing information relating to a former
client's representation to the former client's disadvantage. RPC 1.9 is strictly
construed because "[i]f there be any doubt as to the propriety of an attorney's
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representation of a client, such doubt must be resolved in favor of
disqualification." Herbert v. Haytaian, 292 N.J. Super. 426, 438-39 (App. Div.
1996) (alteration in original) (quoting Reardon, 83 N.J. at 471). The party who
seeks the disqualification bears the burden of persuasion. Trupos, 201 N.J. at
462.
In Trupos, the Supreme Court enumerated a two-part test to analyze
disqualification under RPC 1.9 and held matters are "substantially related" if:
(1) the lawyer for whom disqualification is sought
received confidential information from the former
client that can be used against that client in the
subsequent representation of parties adverse to the
former client, or (2) facts relevant to the prior
representation are both relevant and material to the
subsequent representation.
[Id. at 467.]
These factors require a "fact-sensitive analysis to ensure that the congruity of
facts, and not merely similar legal theories, governs whether an attorney
ethically may act adverse to a former client." Ibid.
In determining whether two matters are substantially related the analysis
"turn[s] on the identification of any particular confidence[s] having been
revealed." Twenty-First Century Rail Corp. v. N.J. Transit Corp., 210 N.J. 264,
278 (2012). To demonstrate a lawyer received confidential information from
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the prior relationship, the client must make more than "bald and unsubstantiated
assertions" that the lawyer disclosed "business, financial and legal information"
related to the matter for which disqualification is sought. O Builders & Assocs.,
Inc. v. Yuna Corp. of N.J., 206 N.J. 109, 129 (2011).
The motion judge did not conduct the fact-sensitive analysis required by
Trupos. Instead, he accepted defendants' argument the New York litigation and
this matter were substantially related on an unproven allegation in plaintiffs'
complaint. Plaintiffs' opposition to the disqualification motion detailed several
ways in which the cases were different, but the judge did not examine those
arguments beyond the surface of the complaint. A more thorough analysis of
the facts was required. For example, the judge concluded "Dougherty would
possess confidential information relating to the New York litigation upon which
plaintiffs here rely upon to the detriment of defendant" without explaining what
the confidential information was. The record does not disclose what, if any,
confidential information or strategies Dougherty shared with Chewning. The
judge did not address the fact the first amended complaint was filed in this
matter before Dougherty ever joined the firm.
The record also lacks fact findings regarding the second Trupos prong. In
this regard, the judge did not address the fact the New York case and this case
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concern different parties, subject matter, causes of action, and law, which would
undermine the notion the matters are substantially related.
Furthermore, judicial estoppel was inapplicable because the doctrine
applies when a party takes inconsistent positions in separate proceedings
Cummings v. Bahr, 295 N.J. Super. 374, 387 (App. Div. 1996); see also Kimball
Int'l, Inc. v. Northfield Metal Prods., 334 N.J. Super. 596, 606-07 (App. Div.
2000). Plaintiffs were not a party to the New York matter.
Assuming the judge intended to invoke equitable estoppel, we remain
unconvinced. Equitable estoppel is intended to "prevent injustice by not
permitting a party to repudiate a course of action on which another party has
relied to his detriment." Knorr v. Smeal, 178 N.J. 169, 178 (2003). "[T]o
establish equitable estoppel, plaintiffs must show that [a party] engaged in
conduct, either intentionally or under circumstances that induced reliance, and
that [the other party] acted or changed their position to their detriment." Ibid.
This case was in the initial pleadings stage and the record does not support
the conclusion the allegations in the complaint induced reliance by or caused
defendants to change their position to their detriment requiring the imposition
of equitable estoppel to prevent an injustice. Defendants' denial of the
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allegations in paragraph ten of the complaint would be consistent with their
defense.
For these reasons, we remand for further fact finding by the motion judge.
If the judge finds there are insufficient facts to make a determination, he should
order discovery and if necessary, hold a plenary hearing to develop the record
before deciding the disqualification motion.
Reversed and remanded. We do not retain jurisdiction.
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