Pamela F. Skokos seeks a writ of certiorari to disqualify the respondent, Chancellor Alice S. Gray, from presiding in divorce proceedings instituted by Ms. Skokos. Judge Gray denied three motions by Ms. Skokos that she recuse. We deny the writ because the decision by a judge whether or not to recuse lies within the judge’s discretion, and certiorari does not lie to control a judge’s discretion. Ms. Skokos also asks that we disqualify an attorney representing Mr. Skokos as well as an attorney ad litem appointed to represent the interest of a minor child of the Skokoses. We decline to do so.
Certiorari
1. The Chancellor
In Gran v. Hale, 294 Ark. 563, 745 S.W.2d 129 (1988), we discussed the writ of certiorari and quoted the following from State v. Nelson, 246 Ark. 210, 438 S.W.2d 33 (1969):
Certiorari lies to correct proceedings erroneous upon the face of the record when there is no other adequate remedy. It is available in the exercise of superintending control over a tribunal which is proceeding illegally where no other mode of review has been provided. Certiorari lies where there is a want of jurisdiction or an act in excess of jurisdiction which is apparent on the face of the record. It is not available to look beyond the face of the record to ascertain the actual merits of a controversy, to control discretion, to review a finding upon facts or review the exercise of a court’s discretionary authority.
Ms. Skokos does not contend that the Chancellor is acting illegally or without or in excess of her jurisdiction. Rather, she contends we should disqualify the Chancellor pursuant to our superintending authority found in Ark. Const, art. 7, § 4. No case is cited in which we have used the writ of certiorari to disqualify a judge. Nor is any case cited from any other jurisdiction in which certiorari has been employed to remove a judge in the midst of proceedings being conducted by him or her.
A voluminous record of the divorce proceedings has been presented to us, and Ms. Skokos has cited numerous incidents she contends amount to demonstrations of bias against her by the Chancellor. They include decisions with respect to temporary possession of the marital home, custody of a child, support for Ms. Skokos and the child, and “suit money.” They also include instances in which the Chancellor has held one of Ms. Skokos’s lawyers in contempt of court for his conduct in her presence. In addition, there is an allegation that the Chancellor erred in declining to disqualify one lawyer representing Ms. Skokos’s husband due to his alleged professional relationship with an attorney ad litem appointed to represent the minor child of the parties.
Another allegation is that a lawyer for Ms. Skokos informed the Chancellor that he had filed a complaint against her with the Judicial Discipline and Disability Commission having to do with an unrelated case and the Chancellor erroneously overruled a motion to recuse on that ground.
The cases cited by Ms. Skokos in support of her contention that the Chancellor should have recused, e.g., City of Jacksonville v. Venhaus, 302 Ark. 204, 788 S.W.2d 478 (1990); Patterson v. R.T., 301 Ark. 400, 748 S.W.2d 777 (1990); Rosenzweig v. Lofton, 295 Ark. 573, 751 S.W.2d 729 (1988); Farley v. Jester, 257 Ark. 686, 520 S.W.2d 200 (1975), were decisions made on appeal.
The only case cited in which we have invoked Ark. Const. art. 7, § 4, is Robinson v. Robinson, 218 Ark. 526, 237 S.W.2d 20 (1951). In that case we decided an appeal which required us to remand a case to a chancery court. We stated that, pursuant to our constitutional authority, we were remanding it to a different division from the one which had handled it originally. We said, “. . . we have concluded from an examination of the entire record that in fairness to the chancellor of the Second Division as well as to the parties, the cause should be transferred to the First Division for further proceedings.” Although we used the authority of art. 7, § 4, we did so as a part of our appellate review as opposed to using certiorari to oust a judge in the midst of proceedings.
Perhaps the closest we have come to using the writ of certiorari in the manner suggested by Ms. Skokos is the case of Foreman v. State, 317 Ark. 146, 875 S.W.2d 853 (1994). We issued the writ to require a judge to reconsider the setting of an appearance bond. The record demonstrated that no consideration had been given to matters required to be considered by the Trial Court in making that decision. That case is distinguishable from this one in that the appellate remedy there would have been useless because the petitioner would have had to remain incarcerated until tried without proper consideration of his request for release on bond. It was a case in which there was no other remedy or effective means of review.
We have said often and recently that certiorari will not be used to “control discretion.” See, e.g., Lupo v. Lineberger, 313 Ark. 315, 855 S.W.2d 293 (1993); Gran v. Hale, supra. That flat statement was made in Arkansas State Highway Comm. v. Light, 235 Ark. 808, 363 S.W.2d 134 (1962). We varied from it in Brown v. Wood, 257 Ark. 252, 516 S.W.2d 98 (1974), in which we stated, “. . . the law is well settled that upon review by certiorari it is essential that there be demonstrated a plain, manifest, clear, great or gross abuse of discretion by a trial court before an appellate court is justified in granting the relief sought.” For that statement we cited general authority from encyclopedias and a learned treatise and invited the reader to compare our decisions in Arkansas State Highway Comm. v. Light, supra, and State v. Nelson, supra. We repeated the quoted language in Shorey v. Thompson, 295 Ark. 664, 750 S.W.2d 955 (1988).
In neither the Brown case nor the Shorey case did we grant the writ. It is apparent that, with the addition of the language about “plain, manifest, clear, great, or gross” abuse, we were stressing the very heavy burden a petitioner for certiorari must bear.
Before concluding our discussion of certiorari with respect to the Chancellor’s decisions overruling the motions to recuse we should mention a case in which mandamus was issued to disqualify a circuit judge. Copeland v. Huff, 222 Ark. 420, 261 S.W.2d 2 (1953). There we held that a judge had no choice but to recuse when he was a party to the litigation over which he proposed to preside. We said that mandamus was appropriate because in that circumstance the act of recusal was ministerial only in view of the clear constitutional disqualification of the judge. That, of course, is a far cry from the kind of discretionary ruling of which Ms. Skokos complains.
There are good reasons for the limitations on the writ of certiorari. A party could, for example, use a complaint to the Judicial Discipline and Disability Commission as a tactic to force a recusal. Complaints of “patently biased and insupportable rulings” such as we have here could, if we were to allow them to become routine subjects of certiorari, cause interminable delays in trials.
Our consideration of Ms. Skokos’s allegations in response to her petition for certiorari will preclude us from considering them again, should there be a later appeal. Henderson Methodist Church v. Sewer Improvement Dist. No. 142, 294 Ark. 188, 741 S.W.2d 272 (1987); Bertig Bros. v. Independent Gin Co., 147 Ark. 581 228 S.W. 392 (1921); Note, 17 Ark. L. Rev. 163 (1963). We will not be precluded, however, from considering in a later appeal matters which transpire in the trial henceforth should the Chancellor persist in her decision not to recuse and should the proceedings continue in the atmosphere which has developed thus far. Without making any direct comment about the Chancellor or counsel or any specific ruling, we offer some observations.
The record before us demonstrates obvious ill will between the Chancellor and counsel which has impeded deciding the case. The parties are still pursuing “temporary” custody of a minor child despite 15 months of hearings, and the case is at a standstill as a result of the certiorari petition.
It is clear to us that there is a contest of wills between the Chancellor and counsel. Should it continue, and cause actions which become the subject of a later appeal, perhaps necessitating a reversal and retrial, justice for the parties will to a degree be thwarted and the judicial system will be subjected to unnecessary but justified criticism.
Canon 1 of the Arkansas Code of Judicial Conduct makes it clear that a judge should maintain high standards of conduct to preserve the integrity of the judiciary. Canon 2 requires a judge to avoid the appearance of impropriety, and Canon 3 requires strict impartiality. The preamble to the Model Rules of Professional Conduct points out that a lawyer is a representative of clients, an officer of the legal system, and a public citizen “having special responsibility for the quality of justice.” It also provides “A lawyer should demonstrate respect for the legal system and for those who serve it, including judges. . . . While it is a lawyer’s duty, when necessary, to challenge the rectitude of official action, it is also a lawyer’s duty to uphold legal process.” Model Rule 3.5 deals with decorum and provides in subsection (c) that a lawyer shall not “engage in conduct intended to disrupt a tribunal.”
These considerations are very important to the judicial process. As officers of the court, lawyers must vigorously pursue their clients’ interests, but they must do so with respect for the court. On the other hand, when others lose their composure and depart from professional demeanor, we expect a judge to keep his or hers intact and to assure that the proceedings are conducted in the most dignified manner possible.
2. The lawyers
Although Ms. Skokos asks us to disqualify one of the lawyers representing Mr. Skokos as well as an attorney ad litem appointed to represent a minor child of the parties, the only argument presented with respect to the two lawyers appears as part of her brief contending that the Chancellor should have recused.
Ms. Skokos’s contention is that the attorney ad litem is a member of a law firm, one of whose partners is a partner with a lawyer for Mr. Skokos in another firm, and thus there is a disqualifying conflict. The response made to the Chancellor and to us is that the two law firms in question are separate entities and that the attorney ad litem thus has no relationship with Mr. Skokos’s lawyer.
We find no independent argument devoted to the authority we may or may not have to declare a lawyer disqualified during proceedings before a trial court. Again, no cases are cited in which an appellate court has done such a thing.
Our own research reveals that we have held on appeal that a lawyer and law firm were disqualified, Burnette v. Morgan, 303 Ark. 150, 794 S.W.2d 145 (1990), but absent convincing argument or citation of authority we decline to address the matter in response to a petition for certiorari.
In response to a motion by Ms. Skokos, on September 9, 1994, we stayed all proceedings in this matter other than a hearing to be held by the Chancellor on whether she should recuse. Now that the hearing has been held, and we decline to change the result by granting certiorari, the stay is lifted.
Writ denied.
Hays and Brown, JJ., not participating. Special Justice Eddie H. Walker, Jr., joins in the majority opinion. Glaze, J., concurs. Special Justice Cathleen V. Compton dissents.