Reference Materials - NJ Attorney General`s Advocacy
Transcription
Reference Materials - NJ Attorney General`s Advocacy
COMMUNICATIONS WITH REPRESENTED PERSONS IN THE CRIMINAL CONTEXT: R.P.C. 4.2 IN THE CRIMINAL CONTEXT JUNE 22, 2016 REFERENCE MATERIALS ROBERT LOUGY Acting Attorney General of New Jersey MARGARET A. COTOIA Director, AGAI TABLE OF CONTENTS Page 1 Faculty Biographies ....................................................................................................................... -i1. Overview/What is R.P.C. 4.2?..................................................................................................1 a. Text of R.P.C. 4.2..................................................................................................................1 b. DCJ Policy on Communications with Represented Persons.................................................2 2. Interpreting R.P.C. 4.2: What Does R.P.C. 4.2 Prohibit? a. In re Alcantara, 144 N.J. 257 (1995) ..................................................................................20 b. Text of R.P.C. 3.4 ................................................................................................................26 c. State v. McCoy, 261 N.J. Super. 202 (Law Div. 1992) ....................................................27 d. State v. Sanchez, 129 N.J. 261 (1992) ...............................................................................31 e. State v. P.Z., 152 N.J. 86 (1997) ........................................................................................39 3. When is there a “Matter” Under R.P.C. 4.2? a. State v. Bisaccia, 319 N. J. Super. 1 (1999) .......................................................................60 b. State v. Porter, 210 N.J. Super. 383 (App. Div. 1986) ......................................................69 c. State v. Lenin, 406 N.J. Super. 361 (App. Div.), certif. denied, 200 N.J. 477 (2009) .......74 4. Organizations/Corporations a. Text of R.P.C. 4.3................................................................................................................81 b. Text of R.P.C. 1.13 .............................................................................................................82 c. State v. CIBA-Geigy Corp, 247 N.J. Super. 314 (App. Div.), appeal granted, 126 N.J. 338, 598 A.2d 895 (1991), appeal dismissed, 130 N. J. 585, 617 A. 2d 1213 (1992) ..................................................................................................................................84 d. Opinion 668, 132 N.J.L.J. 573 (1992) ...............................................................................90 e. In re Opinion 668 of the Advisory Commission on Professional Ethics, 134 N.J. 294 (1993) ..........................................................................................................................95 f. Report of Supreme Court Committee on R.P.C. 4.2 (3/20/95) ..........................................99 g. Supplemental Report of Supreme Court Committee on R.P.C. 4.2 (5/16/96) .................125 h. Klier v. Sordoni Skanska Construction Co., 337 N.J. Super. 76 (App. Div. 2001) .........137 i. In Re State Grand Jury Investigation, 200 N.J. 481 (2009) ..............................................144 j. Casey v. University of Medicine and Dentistry of N. J., 2010 N.J. Super. Unpub. LEXIS 1866 (App. Div. 2010) .............................................................................153 5. NJ L&PS Operating Procedures 1-2016: Use of Social Media for Office Purposes and Use of Personal Social Media by Department Employees (May 2016) ...........................161 1 These numbers correspond to the numbers in right hand corner of each page. FACULTY BIOGRAPHIES AAG Christine A. Hoffman is a Deputy Director of the Division of Criminal Justice and former Chief of the Division's Corruption Bureau. AAG Hoffman previously served as Deputy Chief of the Division's Major Crimes Bureau and Assistant Prosecutor with the Burlington County Prosecutor=s Office. AAG Hoffman is a member of the Attorney General=s Advocacy Institute faculty, and is a member of the National Attorneys General Training and Research Institute faculty. DAG Anthony A. Picione is Chief of the Division of Criminal Justice’s Corruption Bureau. Mr. Picione’s practice concentrates largely on white collar crime, particularly offenses involving public officials and public funds. Mr. Picione received his J.D. cum laude from the University of Pennsylvania Law School in 1995 and received his B.A. magna cum laude from Drew University in 1992. Prior to joining the Division in 1999, Mr. Picione was associated with the law firm of Pitney, Hardin, Kipp & Szuch. i RPC 4.2. Communication with Person Represented by Counsel In representing a client, a lawyer shall not communicate about the subject of the representation with a person the lawyer knows, or by the exercise of reasonable diligence should know, to be represented by another lawyer in the matter, including members of an organization's litigation control group as defined by RPC 1.13, unless the lawyer has the consent of the other lawyer, or is authorized by law or court order to do so, or unless the sole purpose of the communication is to ascertain whether the person is in fact represented. Reasonable diligence shall include, but not be limited to, a specific inquiry of the person as to whether that person is represented by counsel. Nothing in this rule shall, however, preclude a lawyer from counseling or representing a member or former member of an organization's litigation control group who seeks independent legal advice. HISTORY: Adopted September 10, 1984, to be effective immediately; amended June 28, 1996, to be effective September 1, 1996; amended November 17, 2003 to be effective January 1, 2004 1 ' ' COMMUNICATIONS WITH REPRESENTED PERSONS ,_ .... . Department of Law and Public Safety Division of Criminal Justice 2 DEPARTMENT -OF LAW AND PUBLIC SAFETY STATE OF NEW JERSEY . DIVISION OF CRIMINAL JUSTICE .COMMUNICATION S WITH REPRESENTED PERSONS Table of Contents I. The Rules of Professional Conduct Prohibit Ex Parte Communications with Represented Persons . . . . . . . . . . . . . . . . . . 2 A. Gene ral Rule for Civil and Criminal Enforcement; Represe nted Parties. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2 B. Is the Person Represented? 3 1 . Has the person retained an attorney? 3 2 . Is the person a member. ~fan organization's litigation control group 1 .. . . .. . .. •. . ... . .. . . . . . . .. . 4 a. Communications with former employees; <?rganizational representation .. . . . . . . . . .· . . . . . . . . . . . 6 b. Communications with former or current employe es; individual representation . . . . . . . ..... ~ ... ... . . . . . · . 6 c. Initiation of communication by unrepre sented c ontrolling individuals. . . . . . . . . . . . . . . . . . . . . . . . . . . C. Is There a .. Matter· Within the Meaning of R.P.C. 4.2? . . . . . . . D. Has the Attorney Cons ente d to an Ex Parte Communication with the Client? . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7 7 9 E. Circumstances in which Ex Parte Communications are Authorized by l aw. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. 9 1. There Must Exist One of Six Circumstances: a . The communication is to determine if represe ntation exists. . . • . . . . . . . . . . . . . . . . . . . . . . . .. · . . . . . . . . 3 9 b. The communication is made in accord with legal or judicial process. . . . . . . . . . . . . . . . . . .. . . . . . . . . 9 ·c. The represented person initiates the communicatio-n and: ( 1) The client manifests a valid waiver and (i) A Superior Court judge approves the waiver or {ii} The client ha~ obtained substitute counsel . . 10 d. The communication is made at the time of the arrest and the person has voluntarily wa.ived hisrlg,htto counsel 11 e. T.he communication is made in the course of a~ ! investigation of different or ongoing criminal activity or other unlawful conduct . . . . . . . . . . . . .. · . . . . . . . • 11 J f. There is or may be a thr~at to the safety or life of any person. . ... .... .... .· . . . . . . . . . . . . . . . . . . . . . 12 2. Procedures .f or ,conducting ~x p11rte communications authorized by law.. . . . . . . . . . . .... . . . . . . . . . . . . . a. Deference to attorn~y-client relationship. 12 . . . . . . . . 12 b. Dealing with conflict of interest . . . . . .· . . . . . . 12 c. 12 Attorney~client meetings. II. Responsibility for the Conduct of Nonlawyer Assistants. 13 4 DEPARTMENT OF. LAW AND PUBLIC SAFETY STATE OF NEW JERSEY DIVISION OF CRIMINAL JUSTICE .c.Q.MMUNICATIONS WITH REPRESENTED PERSO NS This directive is is sued under the authority of the Director of the Division of Criminal Justice pursuant the Criminal Justice ·Act of 1970, N.J. S.A. 52:178-97 et · seq. The Divi sion of Criminal Justice is committed to ensuring that its attorneys perform their duties in accordance with the highest ethical standards. The purpose of this directive to provide a compreh.ensive, clear, and uniform set of rules governing the circumstances under ·which ·Division 9f Criminal Justice attor.n eys· may communicate or cause others to communicate With persons known to be represented by counsel. in the course of law enforcement investigations and proceedings. The policies announced in this directive will guide employees of the Division of Criminal Justice as they secure evidence and conduct litigation, conduct grand jury proceedings and other civil and criminal legal proceedings, supervise litigation and direct employees in the discharge of their duties in an appropriate and ethical manner. to is This directive of policy and procedure is promulgated to discharge the Director' s responsibility under R.P. C. 5. 1, which provides that .. Every law :irm and organization . authorized by the Court Rules to practice law in this jurisdiction sh~JI make reasonable efforts to ensure that member lawyers or lawyers otherwise participating in the organization's work undertake measures giving reasonabl e assurance that all lawyers conform to the · Rules·· of Professi.onal Conduct." It is expected that every deputy attorney general employed by the Division of Criminal Justice will become familiar with the contents of this document and guide his or her .actions acc9rdingly. Compliance with the policies and procedures contained herein will help assure that deputies meet their ethical obligations. The Rules of Professional Conduct require every attorney to conform his or her conduct to the ethical standards announced by the Supreme Court. In particular, "A lawyer is bound by the Rules of Professional Conduct notwithstanding that the lawyer acted at the direction of another person." R.P.C. 5.2{a). Thus, every deputy must exercise critical judgment when resolving situations that implicate the ethical responsibilities of the lawyer. To the extent a situation arises where the proper course of conduct is not clearly ascertainable by . reference to this directive,· the materials cited herein, and any other authorities, the deputy should consult the appropriate supervisor for guidance. 1 1 ..A subordinate lawyer does not .violate the Rules of Professional Conduct if that lawyer acts in accordance with a supervisory lawyer's reasonable resolution of an arguable question of professional duty." R.P. C. 5.2(b) . 1 5 I I I. The Rules of Professional Conduct Prohibit Ex Parte Communications with Represented Persons. A. General Rule for Civil and Criminal Enforcement; Represented Parties. Except as provided in t his directive or as oth e rwis~ auth orized b y law, a deputy attorney general may not communicate, or caus e another t o communi cate, with a represented person who the deputy knows is represented hy an attorney concerning the subject matter of the representation without the consent of the lawyer ·; enting such person. R.P.C. 4.2 was amended effective September 1, 1996, and provides; ~ representin a client, a lawyer shall not communicate about the subject of the re resent ti lawyer nows, or by the exercise of easo a s_ ou · now, to be represented by another lawyer .in the matte~, including members of an organization's litigation control group as definea by RPC 1.13, unless the lawyer has th e consent of the other lawyer or is authorized by law to do so, or unless the sole purpose of the communication is to ascertain whether the person is in fact represented. Reasonable .diligence shalf include, but not be limited .to, a specific inquiry of the person as to whether that person is represented by counsel. Nothing in this rule shall, however, preclude a lawyer from counseling or representing a member or former member of an organization's litigation control group who seeks independent lega~ advice. ,: This formulation of the rule is unique to New Jersey. Consequently, reference to authorities from other juiisdictions may be a useful interpretive aid, but must be viewed circumspectly. For example, the New Jersey rule use.s the word .;person," which comports with the 1995 amendment of R.P. C. 4.2 contained in the American Bar Associatioo'~odel Rules of Professional Conduct, but many jurisdictions still refer to a Hparty." Further, the New Jersey rule is unusual in that it affirmative.l y requires due diligence in determining whether. a person is represented in a matter, and makes ref erences to an organization's litigation control group. In determining whether it is permissible to speak to a represented person, the following questions should be considered: • Is the person represented? 2 6 • If the person is not personally represented, organization's litigation control group? • Is there a ''matter'" concerning which the person is represented? • If the person is represented in a "matter" that is the subject of the intended--.. communication, has the attorney representing the person consented to the communication? • Would the ex parte communication otherwise be "authorized by law"? IS he or she a member of an B. fs the Person Represented? 1. Has the person retained an attorney? A person should be considered a "represented p erson·· within the meaning of R.P.C. 4.2 only if both of the following circumstances exist: ( 1 ) ·The person has retained counsel or accepted counsel by appointment or otherwise; and · ·· · · (2) The .representation is ongoing and concerns the subject matter in question. Addftionally, the p~rson should be treated as thouoh he or she is represented if (3) The person has been charged by indictmen11 or !COmplaint in a crimina.! case. The third factor reflects the fact that the Sixth Amendment right to ·counse! attaches at the time of the filing of an indictment or complaint. R.P. C. 3.8 requires a prosecutor to make reason~ble efforts to assure that the accused has been advised of the right to, and the procedure for obtaining, counsel and has been given reasonable opportunity to obtain counsel. Further, that rule prohibits a prosecutor from seeking to obtain from an unrepresented accused a· wafver of important post-indictment, pretrial rights . . Additionally, in State v. Sanchez, 1.29 N.J. 261 ( 1991), Court observed that when a. defendant is indigent and awaiting the appointment of counsel, "the identity of the lawyer for an indigent defendant is known: it will be the Public Defender or. designated counsel." 129 N.J. at 277. Thus, ordinarily a prosecuting attorney should not have an ex parte communication with a defendant after the filing · of an indictment or formal complaint. 2 the 2 ·The initiation of .judicial _ c riminal proceedings is far from a mere formalism. It is the starting point of our whole system of adversary criminal justice. For it is only then that the 3 7 2. Is the person a member of an organization's fitig.ation C?!ltr~l ~roup? Even if a person h as not retaine d an atto rney, he or s he is represente d fo r purposes of R.P. C. 4 .2 if the person is a member of an organization's litigation control group, and t he organizatio n is represe nted by an atto rney concerning the subje et- ... matter of the communica tion. R.P.C. 1.13 was a mended in 19 96 to provide definition a l co ntext to th e phrase "litiga ti on control gro up ": A lawyer e mployed o r ret ained to represent an organiza~ tio n represents the organization as distinct from its direc~ tors, officers, e mployees, m embers, shareholders or othe r c onstituents . For the purposes of RPC 4.2 and 4. 3, however, th e organization's lawyer s hall be deemed ·to represent not only the orga nizational ent ity but -als o t he members of its litigation control group. Me mbers of the litigation control group shall be deemed to include curre nt agents and e mployees responsible for, or significantly involved in, the determination of the organization's leg al position in the matter wheth er or not in litigation, provided however, that "significant involvement " re quire s in vo l v e~ ment greater, and other t han, the supplying ~of factual information or data respecting the matter. Former._<;!g.e.(lts a nd employees who were me mbers of the lit igation ·control · group shall presumptively be deemed to be represented in the matter by the organization's lawyer but may at any tim e disavow said representation. (a) The composition of the litigation c o ntrol group for any organizat io n may change· . . government h as c ommitted itself to prose cute, and only then that the adverse p ositions of government and defendant hav e solidi fied. It is then that a def end ant finds him self f aced w ith t he prosecutorial forces of organized society, and immersed in the intric acies of subst antive and · procedural criminal law. It is this point, therefore, t hat marks the commencement o f the 'criminal prosecutions' to which .alone the explicit guarantees of the Sixtl) Amendment are applicable. w Kirby v. Illinois, 406 U.S. 682, 690~ 91 , 92 S.Ct. 1877, 32 L.Ed.2d 411 ( 1972); accorr:l , S tate v. Farrow, 61 N .J. 4 34 (1 9 7 2). Thus , t he filing of a com plaint by a private c it izen should not be vie w ed as triggering the applicability of R.P. C. 4 .2 to a deputy attorney g eneral, w ho must undertake an investigat ion of the matter giving rise to the citizen complaint and determine whether the facts warrant presentation of tf"!e matter to a grand jury (or prosecution of t he matter as a disorderly or petty disorderly person offense) . Not until the filing of a _charging instrument by the State is the deputy attorney general bound by the requiremen ts of R.P.C. 4 .2. Deputies are reminded, however, that in a civil proceeding R.P. C. 4 . 2 is likely to become ap plicable before the filing of a c ivil complaint. See section I. C ., infra. · 4 8 from matter to matter. It cannot, for example, be defined merely by reference to the officers and directors of a corporation. The deputy attorney g~neral has an obligation to exercise reasonable diligence in determining whether the person is represented, including, but not limited to, "specific inquiry of the person as to whether that person is represented by counsel." R.P.C. 4.2. 3 The deputy attorney general should elicit from the person information respecting the person's position and duties in the organization, from which an objective determination can be made as to whether the person is represented as a member of · the litigation ~ontrol group pursuant to R.P. C. 1. 13. In advance of the inquiry, every effort should be made to learn about the organizational structure and personnel of the organization in order to determine independently who the likely litigation control group constituents are. 4 The inquiry must' be conducted with the "high degree of caution and circumspection" advised by the Special Supreme Court Committee when the person umay be or presumptively is a member of the litigation control group." Report of the Special Committee on Bee 4.2, Comment on Proposed RPC 4.2, 139 N.J.L.J. 81, 119 (1995). The individual s.h ould be asked for a description of his or her job title and responsibilities concerning the matter that· is the subj'ect ef the inq·u iry. The focus of the initial questioning is whether the person is exercising or has exercised responsibility for the determination of the legal P.osition ~f the organization with respect to the matter that is the subject of the communication. Until a determination is made that ex parte communicati.on ' is permissible, care should be taken to avoid eli'c iting information concerning the person's role in the conduct that is the subject of the matter. If, after that inquiry, it remains unclear whether the person is represented pursuant to R.P. C. 1 .13, the person should be asked, as R.P. C. 4.2 mandates, whether the person believes that he or she is represented. If the deputy attorney 3 See also. suggested inquiries and statements referenced in R.P.C. 4.2; Supplemental Report of the Special Supreme Court Committee on B..f!.,S;_._ 4. 2, 145 N.J.L.J. 86 (May 6, 1996) (hereinafter, "Supplemental Report"'); In re Prudential Insurance Company of Ame·r ica Sales Practices Litigation, 911 F.Supp. 148, 152 n. 5 (O .N.J . 1995); and In re. Environmental Insurance Declaratory Judgment Actions, 252 N.J. Super. 510, 5.23·5 24 (Law Div. 1 9911: 4 The deputy attorney general may ask the organization's attorney to supply a list of the persons the attorney asserts are members of the litigation control group, as well as the persons the attorney claims to represent in the matter in addition to the organization: Such a list will certainly be helpful in addressing issues under R.P. C. 4.2 and 4.3, ~nd will also help identify potential conflicts of interest that must be addressed by the deputy and the organization's attorney. The list may, however, be overly~inclusinve and should not be viewed as dispositive of the issue of who are members of the litigation control group. ' 5 9 . general cannot determine whether a person is a member of the litigation control group and therefore represented by the organization's attorney, or if the deputy i1 unconvinced of the validity of an asserred claim cf organizational representation, an a_ppl_i.£.a,tion to the cQ.Urt for a determination may b e mad e. (Note that such a m otion could cause the person to obtain independent counsel, in which c ase that counsel will be the one who must consent to ex parte communicati ons pursuant to R.P.C. 4 :2.1 Again, deputies are reminded that if a member of an organization is not entitled to representation by the organization' s attorney, R.P. C. 4.3 requires the deputy to so inform the member of the organization. a. Communications with former employees; organizational rep(esentation. Former employees of ~n organization who were rl)eR'tbefS...Of the litigation control group .for the matter, as defined by R.P. C. 1. 13(a), are Qres~J!)J..e.Cko be represented by the organization's counsel. The former members may·, however, disavow such representation. b _ Communications with former or current employees; individual representation. A communication with a former or current employee of an_ organi z~tion who is individually represented by counsel may occur only to the extent otherwise permitted by R.P.C. 4.2 and this directive. But note that it is the employee's individual attorney, and not the .organization's counsel, who must be consulted with respect to communication$ .with that person. R.P. C. 4.2; Supplemental Repon, 145 N.J.L.J. 86. However, a · claim py an attorney .that he or she represents a. II or a large number of individual current or former employees of an organization does ~ot .suffic~ to establish that those employees are represented persons. In such c.ircumstan<;;es, prior to engaging in commUI1ications. that would be prohibited by the R. P. C. and this directive as a result o.f the ~sserted- representation, the deputy attorney general should communicate with the individual current or former employee to determine if, in fact, that employee is represented by that counsel concerning the subject matter of the investigation or proceeding, and whether that representation is permissible. See, R.P. C. 4.3. 5 The Supreme Court has repeatedly admonished attorneys concerning the 5 Note that R.P.C. 4.2 requires an attorney to use. Mreasonable diligence to ascertain whether a person is represented," and defines reasonable diligence, inter 11lia, as •a specific inquiry of the person as to whether that person is represented by counsel." R.P.C. 4.3 requires attorneys to ascertain whether persons who are not members of an organization' s litigation control group are actually represented by the organization's counsel or have a right to such representation upon · request. If the person is not so represented or entitled to representation. the attorney ..shall make known to the person that insofar as the lawyer understands, the person is not being repre~ented by 10 real and potential conflicts of interests posed by ·multiple representation in general, and representation of organizations and their employees in particular. See, R..P. C. 1. 13(e); In re Opinion 668, 134 N.J. 294, 302-03 (1993); State v. Bellucci, 81 N.J. 531 (1980); and see, lnre Garber, 95 N.J. 597 (1984}; In reAbrams, 56 N.J. 271 (1970). It is important to rigorously observe the Court's admonition that "{u)nder no circumstances and by no stretch of the imagination could an attorney v.dt~· ~:-.··1 propriety ever represent an eyewitness or a material witness to a crime and also represent, or become professionally associated with, the individual charged with the commission of such a crime." Garber, 95 N.J. at 608. c .' Initiation' of communication by unrepresented controlling individuals. 0 An attorney may communicate with a member of a litigation control group who is not individually'' represented as ·to the subject matter of · the organizati,on's representation when that individual initiates ·the communication and states; that fi~ or she is communicating exclusiv'ely in his or her personal capacity and not on behalf of the represented organization, and manifests that his or her waiver of counsel for the communication is voluntary, knowing, and informed, and, if willing to do so, signs a written statement to this effect. Nevertheless,· great care in~st be taken to assure that the individual does not disclose privileged communications. Upjohn Co. v. United States, 449 U.S. 383, 101 S.Ct. 677, 66 L.Ed.2d 584 (1981). Consistent with R_P. C. 4.2 and R.P.C. 4.3, the deputy should advise the··person that the deputy understands that the person is represented by the organization's counsel and that the person shou·ld seek in.dependent coonsel. Nevertheless, since the person is free to seek inde"pendent counsel, the person is also free to waive independent counsel and proceed as an unrepresented person. Under such circumstances, the deputy attorney general should promptly notify the organization's attorney that the member of the litigation control group has disavowed representation, unless such notification woul,j compromise an on-going criminal investigation. Because of the potential that a member of the 'litigation control group could divulge matters that are subject to the attorney-client privilege, this situation should be handled with care and circumspection. The deputy should consult a supervisor and co~sider the issues raised in section . E( 1 )(c), infra. 0 C. Is There a .. Matter" Within the Meaning of R.P.C. 4.2? The change of the word "party" to uperson" in R.P.C. 4.2 was intended to make clear for purposes of application of the rule, that it is generally irrelevant the organization's attorney." Note that R.P.C. 4.3. in contrast to R.P.C. 4.2, is always applicable, even when no ·matter'" exists. 7 11 whether formal litigation has comfT!enced . In criminal inves tigations, however, R.P. C. 4. 2 is not applicable prior to tJ-.e filing of formal criminal c harges. 6 The Supplemental Report dealt explicitly with this issue in the context of criminal cases. See, cover letter of Joseph J. Barraco, Esq., dated May 6, 1996. (Appendix A). R.P. C. 4.2 addresses communications with person s·· "W i 1v are represented in a "matter." The Supplemental Report states : Ordinarily, a criminal matter does not arise until a complaint or indictment has been filed or warrant issued, d State v. Ciba- Geigy Corpor atio n , 247 N.J . Super. 314, 325 -326 (App. Div. 1991), and, as noted above, our definition of 'litigation control group' is narrow and does not include people who merely have 'factual information or data respecting the matter ... ' The subject matter of a potential criminal cause may, however, be comprehended within a pending civil matter, resulting in the possibility that the subject of the representation will be the same in both. Government lawyers should be aware of this possibility. [Supplemental Report, 145 N.J.L.J. 86). And see, In re Opinion 668, 134 N.J. 294, 302, 303 (1993) (" ..".we interpret the RPC ... to be in effect after filing of an indictment .... "}. The amendment of R.P.C. 4.2 included changing the word "party" to "person" because, in civil matters, the rule is not limited to matters that are actually in litigation. Further,: R.P.C. 1.13(a) was amended to insert the words "whether or not in litigationH as a modifier of "the matter," when describing the members of the litigation control group. The Special .Committee's initial report quite explicitly affir·ms an inte.nt to make R.P.C. 4.2 applicable to all matters, whether " ... a transactional matter, or a matter in pre-litigation stages, or in an alternative dispute forum, or a matter under investigation."· 139 N.J.L.J. at 1196. An alternative approach would deny many persons the benefit they in.tend to derive from hiring an attorney, since many such representations simply are not undertaken in anticipation of. litigation. Contract negotiations are an obvious example. But just as clearly, the Supplemental Report of the Special Committee and the Supreme Court distinguished criminal investigations from civil matters, for the· reasons set forth in the Appellate Division's Ciba-Geigy opinion and by the Supreme Court in 6 Once again, deputies are reminded that if there is a parallel civil matter. R.P.C. ·4.2 may be applicable and must guide the actions of all lawyers who are involved in that civil matter. 8 12 In re Opinion 668. Indeed, the Supplemental Report's caution to governme'n t lawyers that criminal "causes" m ay have the same subject as a pending civil "matter'' plainly demonstrates an intent to distinguish between criminal causes, which ordinarily do not b ecome matters until a complaint or indictment has been filed, and civil matters, which arise at the moment the repre sent.ation is undertaken . The Special Committee cautioned go v ernment lawyers that in cases in which both C'ivil and crimliidi' C!t:; ~ ion s are b eing considered or prosecuted, R.P. C. 4 .2 may affect the government attorneys at different times, or in the event that both action s are being handled by a single deputy attorney general, the point at which the rule becomes . implicated for that d eputy may be altered by the existence of the civil matter. D . Has the Attorney Consented to an Ex Parte Communication wittl the Client? If a person is represented and if there is "matter" within the m eaning of R. P. C. 4.2, only the attorney for the person may consent to an ex parte c ommunication . In particular, a deputy attorney general may not initiate or engage in negotiations of a plea agreement, settlement, statutory or non-statutory immunity agreement, or other disposition of actual or potential criminal charges or civil enforcement claims,- or sentences or penalties, nor seek admi ssions or otherwise elicit statements concerning the matter, .with a person or party who the deputy knows is represented by an attorney, without the consent of the attorney representing such person or party. There are very few exceptions to the general rule. E. Circumstanc es in which Ex Parte Communications are Authorized by Law 1 . A deputy attorney general may communicate, or cause another to communicate, with a represented person without the consent of the lawyer representing such· person concerning the "matter" which is the subject of the representation only if one or more of the following circumstances exist: a. The communication is to determine if representation exists. R.P. C. 4.2 requires an att orney to use reasonable diligence to determine if the person is fn fact · represented by counsel concerning the subject of the inve stigation or proc eeding. b. The communication is made in accord with legal or judicial process. A communication is authorized if it is made pursuant to tegal procedures or judicial or administrative process in accordance with the orders or rules of the c ourt, including, but not limited to, testimony before a grand jury or the ·service of a grand jury or trial subpoena, summons and complaint. notice of deposition, administrativ e summons or subpoena or civil investigative demand. A statement explaining that a s ubpoena is being served, for example, does not violate R.P. C. 4.2. · c. The represented person initiates the communication directly with the 9 13 deputy attorney general or through an intermediary and : ( 1) prior to the commencement of substantive discussions on the subject matter o f the representation and after being advised by the deputy attorney general of the client's right to speak through his or h er attorney and to h ave the client's a ttorney present for the communication, the clieint manifests ·that h ;: or her waiver of counsel for the communication is voluntary, knowing and informed and, if willing to do so, signs a written statement to this effect; il!1sf. (2) a Superior Court judge, or a judge of other court of competent jurisdiction, has c oncluded that the represented party has: (i) W aived the presence of counsel ·and that such w ai ver ts voluntary, knowing, and informed; 7 or (ii) Obtained substitute counsel or has received substitute counse l by court appointment, and substitute counsel has consented to the communication. Cases warranting application of exception c. to the general rule are rare, and must be handled with great care. R.P. C. 4.2 bans communications with represented persons, in part, to protect such persons from losing the bene.fit of the representation without the participation of the retained counsel. In eliciting information that would · permit a deputy attorney general to refer a matter to a judge in order to satisfy subparagraph (c)(2). there is a real potential that the client will divulge information that is subject to the attorney~client privilege. Therefore, the deputy should consult with ·a superviso r, who should consider assigning an attorney with no responsibilit y for the prosecution of the matter to handle the representation issue. The p itfalls of this situation are illustrated by United States v. Lopez, 4 F.3d 1455 (9 Cir. 1993). Improper discussions may complicate the State's ability to proceed with a case; at the very least, it might require disqualification of the prosecuting attorney from 'a ny further in~olvement in the proceedings and subject the deputy to a disciplinary proceeding. Thus, if a deputy attorney general is contacted by a represented person concerning a "matter" encompassed by R.P.C. 4.2, the initial response should be a statement that th e deputy may speak only to the attorney who represents the person. Only if the person provi<;tes information that causes the deputy to believe that the represented person is asserting a lack of attorney-client relationship should there be funher conversation. Note that R.P. C. 4 .2 specifically requires attorneys to use reasonable diligence to ascertain whether a person is represented. 7 See, State 11. Sanchez, 129 N.J. 261 , 276 (199 1 ); S tate v. Clausell, 121 N.J. 298 , 352 (1990). 10 14 Statements that demonstrate a lack of attorney-client relati onship include, for e xample, a representation by the person that his attorney is serving the interest of s ome third party, such as a codefendant , rather than the interests o f the nominal client. In Lopez, for example, the Assistan~ United States Attorney expla.i ned his conduct as motivated by a belief that a criminal defendant's attorne y wa s conn ect ed to a drug ring that was paying his fees and would endanger the defenJar•i.'s ~amily if the defense attorney learned that the defendant wanted to n egotiate a plea bargain. In re Abrams, 56 N.J. 2 71 { 197 0), established a clear rule th at an attorney for a criminal accused must be paid by the accused and not by a third p erson who may be a target of the criminal case. And In re Garber, 95 N.J. 597 (1984), held that an attorney may never enter into attorney-client relatiqnships with a criminal defendant and a witness in the case. Such rel ationships violate, inter alia, R. P. C.- 1 . 7. An attorney aware of· such an ethical violation .has an obligation to report ii to the appropriate professional authority. Becaus e the conflict of interest may po se a substantial threat to the interests of the client and the administration of justice, the prosecuting attorney must ·call the situation to the attention of the judge having control over the criminal case. · d . The communication is made at the t ime of the arrest of the represe nte~ party and he or she is advised of his or her ri-ghts under M iranda v. Arizona, 384 U.S. 436 (1.966), and y oluntarily and knowingly waives those rights. See, ACPE Docket No. 23-.9 7, letter to Prosecutor William H. Schmidt dated October 15, 1998, declining to render an advisory opinion because the propriety of a pre-indictment interview was a question of constitutional lavJ r ather than the Rules of Professional Conduct. This exception should not be deemed to apply if the arrest occurs after indictment. See, State v. Sanchez, 129 N.J.. 261, 277- 78 (1991); compare , State v. Tucker, 13 7 N.J. 259, 291 (1994} (refusing to extend -th e Sanchez holding to pre-indictment cases when the defend ant initiates the communication). · e. The communication is made in the course of an investigation, whether undercover or overt, of different or ongoing criminal activity or other unlawful conduct. See, State v. Porter, 210 N.J. Super. 383 (App: Div.. 1986); ACPE Docket No. 23-97, supra. Such different or ongoing criminal activity or other unlawful conduct . may include, but is not limited ·to , the following: · (1) Different or ongoing criminal activity or other unla~ful conduct that is separate from or committed after the criminal activity for which the represented party has been arrested charged or for which the represented party is a defendant in a civil taw enforcement proceeding; or or (2) Criminal activity that is intended to impede or evade the administration of justice including, but not limited to, the administration of justice in the proceeding in which the represented party is a defendant, such as obstruction of . justice, 11 15 II I subornation of perjury, jury tampering, murder, assault, intimidation of witnesse·s or bail jumping. f. Th e d eputy attorney g ener al in good faith believ es that there may b e a threat to the safety or life of any person; the purpose of th e communication is to o btain or provide informa tion to protect against the risk of injury Q'( .deatii; and the attorney in good faith believes that the communicat ion is neces sary to protect again st such risk. 2. Procedures for conducting ex parte communications authorized by law. When a d eputy attorney general communicates, or causes a law enforcemen t agent or cooperating witness to communicate, with a represen ted person pursuant to any provision of .this directive, with out the consent of counsel, the followin g restrictions mu st ·be observed: a. Deference to attorney-client relationship. ( 1} A d eputy attorney general, or anyone acting at his or her direction, may not, when communicating with a represented person: {i) Inquire about information regarding lawful defense strategy or legal arguments of counsel; ii) Dispa rage co unsel f or a represented person or otherwi se seek to induce the p erson to forego representation or t o disregard the adv ice of 1he person's attorney; or (iii) Otherwise improperly seek .to disrupt the relationship between th e represented person and counsel. b. Notwithstanding paragraph a. , if the deputy attorney general finds that there is a substantial l·ikelihood of a significant conflict of interest ·between a re'p resented person and his or her att orney' the deputy should apprise the court hav ing authority over the matter or criminal cause of the relevant facts. :If it is not possibte to seek a judicial interpretation prior to the occurrence of an event that will jeopardiz.e th e safety or important legal rights of a represented person, then the deputy, with prior written authorization from the appropriate ·supervisor, may apprise the represented person of the nature of the perceived conflict of interest, unle ss the exigencies of the situation permit only prior oral authorization, in which case such oral authorization shall be memorialized in w ritin g as soon thereafter. as possible . c . Attorney-client me~ting s : A deputy attorney general may not direct 12 16 or cause an undercover law enforcement agent or cooperating witness t~ attend or participate in lawful attorney-client meetings or communications, except when the agent or witness is requested to do so by the represented person, defense counsel, or another person affiliated or associated with the defense, and then, only if reasonably necessary to protect the safety of the ag~nt or witness or the confidentiality of a lawful undercover operation. If the agent or witness attends or·· pc;rHdtJates in such meetings, any information regarding lawful defense strategy or trial preparation imparted to the agent or witness shall not be communicated to . deputy attorneys general or to law enforcement agents who are directly participating in the ongoing investigation or in the prosecution of pending criminal charges, or used in · any other way to the substantial detriment of the client. II. Responsibility forth~ Conduct of Nonlawyer Assistants. As long as investigations were treated as within the province of the police alone, the traditionc_tl rule forbidding attorneys from directly contacting represented persons did not come into conflict ·with legitimate law enforcement activities. Since its creation by the Criminal Justice Act of 1970, however, the Division of Criminal Justice has required deputy attorneys .general to play a larger role in preindictment, prearrest . investigations, as well··as post-indictment investigation and case preparation. Some of this incr.eased involvement stems from the wider use of law enforcement t echniques, such .as electronic surveillance, which require the preparation of legal filings. Also, complex white collar and organized crime investigations necessitate more intensive engagem ent of lawyers, who present such cases to grand juries. Most important, greater participation of la wyers at the preindictment stage of law enforcement ·has been regarded as helpful in assuring that law enforcement investigations comply with legal and ethical standards. This extension of the traditional prosecutor's responsibility has been a salutary development. One by-product, however, has been uncertainty about whether the traditional professional limitation on attorney contacts with represented parties should be viewed as a restriction upon prosecuto rs engaged in investigations ·and, by extension, the agents with whom they work. The applicability of R.P.C. 4 •.2 to law enforcement officers working in conjunction with deputy attorneys general will usually not present unmanageable complications, since a criminal cause does not becom·e a "matter" within the intendment of the rule until an indictment is returned qr a complaint is filed. See section I. C., supra at 7. Any uncertainty concerning the effect of R.P.C. 4.2 upon law enforcement officers' contact with represented person s has largely been resolved, at least by implication, by dicta in State v. Sanchez, 129 N.J. 261, 277-78 (1991 ). In that case, two detectives employed by a city police department interviewed a person after his indictment. The Supreme Court wrote: 13 17 The Rules o f Professional Conducf(RPC) prohibit a prosecu tor from seeking "to obtain from an unrepresented accused a waiver of important pretnal rights * • *." RPC 3.8. They also prevent a lawyer from communicating " about the subject of t he representati on with a p arty the lawyer knows to b e represented by another lawyer in the matter~.. uhiess the lawyer has the consent of th e other lawyer or is authorized by law to do so. " RPC 4.2 . The implication of these rule s is th at after the return of an indictm ent, prosecutors and their representatives should not initiate conversations w ith an uncounseled defendant. That a defendant is indigent and awaiting assignment of counsel does not free the prosecutor to proceed · with an otherwise-prohibited interrogation. As Professor Gillers states, the identity of the lawyer for an indigent defenda_nt is known : it will be the Public Defender or designated counsel. Stephen Gillers, Regulation of lawyers 92 (1992). Conduct of an interview with a defendant by an investigating officer may not insulate the prosecutor. Even if not accountable for the unauthorized conduct of an investigating officer, a prosecu tor should not ignore such conduct. Rule 3.8(e) of the American Bar Association's Model Rules of Professional Conduct (1992), although not part of RPC 3.8, provides that a prosecutor in a c riminal case shall (e] xercise reasonable care .to prevent investigators, law enforcement personnel, employees or other persons assisting or associated w ith the prosecutor in a criminal case from making an e xtrajudicial statement that the prosecutor would be prohibited from making under Rule 3.6 Concerning a pro secutor's duty not to obtain waivers ·unless they are knowing, voluntary, and intelligent, Professor Hazard writes that Rule [8 .4(ajj "makes it clear that a · prosecutor may not e scape this duty by dire.cting or permitting others to act in his stead. That comment implies a duty to take affirmative steps to assure· that the police do not coerce a defendant into making a confession or waiving important rights ." Geoffrey C. Hazard, Jr. & W. William Hodes, The Law of lawyering: A Handbook on the Model Rules of Professional Conduct 696 ( 1992). Even if unprofes$ional conduct does not compel exclusion of illegally-obtained evidence. it c an constitute an unfair practice that colors the determination whether a waiver of 14 18 a right of counsel has been made knowingly and intelligently. R.P. C. 5.3 (a) provides that "every lawyer or organization ... shall adopt and maintain reasonable efforts to ensur~ that the conduct of nonlawyers retained or employed by the lawyer, law firm or organization is compatibi.:: \•vi\h the professio nal obligations of the lawyer." Subsection, (b) of that rule further requires that a lawyer having direct supervisory authority over a nonlawyer shalf make reasonable efforts to ensure that the nonlawyer's conduct is compatible with the professional obligations of the lawyer. · The rule concludes by providing: (c) a lawyer shall be responsible for conduct of such a person that would be a violation of the rules of Professional Conduct if engaged in by a lawyer if: ( 1 I the lawyer orders or ratifies the conduct involved; ( 2) the lawyer has direct supe.rvisory authority over the person and knows of the conduct at a time when its consequences can be avoided or mitigated but fails to take reasonable remedial action; or (3) the lawy.er has failed to make reasonabl~ investigation of circumstances that would disclose past instances of conduct by the nonlawyer incompatible with the professional obligations of a iawyer, which evidence a propensity for such conduct. ·., Also note that R. P. C. 8. 4 prohibits an attorney from accomplishing through the acts of another person that which the lawyer would not be permitted to do himself or herself. 15 19 IN THE MATTER OF J. DAVID ALCANTARA, AN ATTORNEY AT LAW. D-13 September Term 1995 SUPREME COURT OF NEW JERSEY 144 N.J. 257; 676 A.2d 1030; 1995 N.J. LEXIS 1364 September 27, 1995, Argued December 1, 1995, Decided PRIOR HISTORY: [***1] On an Order to show cause why respondent should not be disbarred or otherwise disciplined. SYLLABUS (This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please note that, in the interests of brevity, portions of any opinion may not have been summarized). IN THE MATTER OF J. DAVID ALCANTARA, An Attorney at Law (D-13) Argued September 27, 1995 -- Decided December 1, 1995 PER CURIAM J. David Alcantara was admitted to practice law in New Jersey in 1988 and practices law in Ventnor, New Jersey. In 1992, Alcantara represented Wilfredo Carmona in connection with an indictment for thirddegree theft of a church bell. Carmona elected to go to trial while three co-defendants entered guilty pleas. The codefendants agreed to testify for the State against Carmona. It is alleged that Alcantara engaged in improper and unethical conduct by attempting to persuade two of the co-defendants not to testify against Carmona. Lonnie Campbell and Johnny Nieves, co-defendants of Carmona, were each represented by an attorney. As part of plea agreements, [***2] Campbell and Nieves pled guilty to third-degree theft and agreed to testify for the State at Carmona's trial. In return, the State agreed to recommend noncustodial terms. On March 20, 1992, Campbell and Nieves appeared in court for sentencing. Because they had not yet testified in the Carmona trial, Atlantic County Assistant Prosecutor Housel requested and was granted a postponement of the sentencing. Shortly thereafter, Housel discovered that Alcantara had improper conversations with Campbell and Nieves after the court appearance. Campbell told Housel that Alcantara informed both he and Nieves that the prosecution intended to abandon the plea agreement once they testified against Carmona and that they both should take the Fifth Amendment and not testify against Carmona. Campbell further stated that Alcantara gave them business cards and asked them to make appointments to come in and discuss the matter. The testimony of Nieves was consistent with that of Campbell. In addition, the attorneys for Nieves and Campbell testified that Alcantara did not request permission to speak with their clients. According to Housel, several weeks after March 20, 1992, Alcantara turned over to the Prosecutor's [***3] Office a video tape recording that showed Campbell and Nieves engaged in an alleged drug transaction. Campbell and Nieves were prosecuted and convicted for distribution of a controlled dangerous substance (CDS). The theft charge against Carmona eventually was dismissed because the prosecutor was unwilling to forego prosecuting the CDS offenses in order to obtain favorable testimony from Campbell and Nieves in the theft case against Carmona. Alcantara testified that he was approached by a hispanic male while standing in the hallway outside the courtroom and was asked by the man if he was a lawyer. The man told Alcantara that he had been charged with theft of a bell. Alcantara, realizing that this man was a co-defendant of Carmona, identified himself as Carmona's attorney. Another man wearing a green jacket also approached, but said nothing. Alcantara stated that he asked the hispanic man if he had a lawyer and that the man told him yes but that he was unhappy with his lawyer. Alcantara gave both men a business card and told them to contact their attorney so they could develop a united defense. Alcantara stated that this discussion asted less than sixty seconds. Alcantara further testified [***4] that Carmona gave him the video tape recording of the drug transaction and that, approximately two to three weeks after March 20, 1992, he delivered the video tape to the Prosecutor's Office. The District I Ethics Committee (DEC) concluded that the evidence was clear and convincing that Alcantara's testimony was not credible and that the testimony of Campbell and Nieves was credible. The DEC found that Alcantara committed unethical conduct 20 by knowingly disobeying an obligation under the rules of a tribunal (RPC 3.4(c)); requesting a person, other than a client to refrain from voluntarily giving relevant information to another party (RPC 3.4(f)); communicating with co-defendants who Alcantara knew or should have known were represented by other attorneys (RPC 4.2); violating the rules of professional conduct (RPC 8.4(a)); and engaging in conduct prejudicial to the administration of justice (RPC 8.4(d)). The DEC recommended public discipline for those violations. The Disciplinary Review Board (DRB) found that the testimony of the co-defendants was not credible and recommended dismissal of the ethics complaint. The DRB also concluded that after the co-defendants entered [***5] guilty pleas they were no longer parties to the criminal proceedings and Alcantara was, therefore, permitted to speak to them as witnesses without permission from their attorneys. HELD: J. David Alcantara is reprimanded for violating Rules of Professional Conduct 3.4(c), 3.4(f), 4.2, 8.4(a), and 8.4(b). 1. The DEC had the opportunity to observe the witnesses' demeanor and noted the consistency between their testimony and their prior statements. In addition, the evidence concerning the video tape corroborates the codefendants' testimony and contradicts Alcantara's testimony. Considered in that light, there is a high degree of circumstantial probability of trustworthiness in the testimony of Campbell and Nieves. (pp. 8-9) 2. The testimony of the attorneys and of Campbell and Nieves clearly and convincingly established that Alcantara spoke to the co-defendants with the knowledge that they were represented by counsel and without the permission of counsel. The DRB's conclusion that as witnesses, the co-defendants could be freely contacted by Alcantara is erroneous as a matter of law. When a codefendant enters a guilty plea with a lenient sentence recommendation conditioned [***6] on testifying against a co-defendant, the testifying co-defendant is an adversary of the co-defendant who has elected to stand trial. Thus, on March 20, 1992, Nieves and Campbell were adverse-party witnesses. Accordingly, it has been clearly and convincingly established that Alcantara violated RPC 4.2. (pp. 8-11) 3. The DRB's finding that there was no violation of RPC 3.4(f) because Alcantara's advice to Campbell and Nieves not to testily favorably for the State was beneficial to them is erroneous as a matter of law. The rule provides for the conjunctive, and the co-defendants were not relatives or employees or other agents of Alcantara's client. Moreover, because the indictment was still pending against Campbell and Nieves and the lenient sentence recommendation depended on their testifying truthfully against Carmona, Alcantara could not reasonably have believed that advising co-defendants to take the Fifth Amendment or not to testify truthfully would benefit them. The violation of RPC 3.4(f) has been established by clear and convincing evidence. (pp. 11-12) 4. An attorney who violates both RPC 4.2 by speaking to another attorney's client without permission [***7] and RPC 3.4(f) by requesting that person to refrain from giving testimony favorable to the State, also violates RPC 3.4(c), RPC 8.4(a), and RPC 8.4(d). (p. 12) 5. Alcantara's unethical behavior was serious. However, it should be noted that: the DRB itself did not fully appreciate that Alcantara's conduct was unethical and clearly violated RPC 4.2; the Court has never previously been required to explain the status of a defendant in a criminal prosecution as a "party" to whom access is not available as it is to non-party witnesses; and the Court has never addressed the appropriate discipline to be imposed on an attorney who violates RPC 4.2. Those considerations require that full weight be accorded to mitigating considerations. (pp. 12-13) 6. Alcantara regrets his conduct; this was an isolated incident on an otherwise unblemished professional record; and he has also performed pro bono legal services in the past. Therefore, under the circumstances, Alcantara is reprimanded for his unethical conduct. But for the fact that this is the Court's first interpretation and application of RPC 4.2, Alcantara's discipline would have been greater than now [***8] imposed by the Court. Members of the bar are cautioned that in the future the Court will ordinarily suspend an attorney for the type of violation of RPC 4.2 that occurred in this case. (p. 14) So Ordered. Chief Justice WILENTZ and Justices HANDLER, POLLOCK, O'HERN, GARIBALDI, STEIN, and COLEMAN join in this opinion. COUNSEL: Thomas J. McCormick, Assistant Ethics Counsel, argued the cause on behalf of the Office of Attorney Ethics. J. David Alcantara argued the cause Pro se. JUDGES: Chief Justice WILENTZ, and Justices HANDLER, POLLOCK, O'HERN, GARIBALDI, STEIN and COLEMAN. OPINION [*259] [**1031] PER CURIAM. Respondent Jose David Alcantara was admitted to practice law in New Jersey in 1988 and is engaged in the practice of law in Ventnor, New Jersey. He has no prior ethics history. These proceedings involve respondent's conduct during his appearance at the Atlantic County Criminal 21 Court House in Mays Landing, New Jersey, on March 20, 1992. I Respondent represented Wilfredo (Junior) Carmona, who, along with three co-defendants, were indicted for third-degree theft of a church bell. Carmona elected a trial by jury while the three co-defendants entered guilty pleas and agreed [***9] to testify for the State against Carmona. Thereafter, respondent is alleged to have engaged in improper conduct when he attempted to persuade two of the co-defendants not to testify against Carmona. The alleged improper conduct involving witnesses in a pending criminal case caused a formal ethics complaint to be filed, in which [*260] the following violations of the Rules of Professional Conduct (RPC) were alleged: RPC 3.4(a) (unlawfully obstructing another party's access to evidence); RPC 3.4(b) (counseling or assisting a witness to testify falsely); RPC 3.4(c) (knowingly disobeying an obligation under the rules of a tribunal); RPC 3.4(f) (requesting a person other than a client to refrain from voluntarily giving relevant information to another party); RPC 4.2 (communicating about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter); RPC 8.4(a) (violating or attempting to violate the [RPC]); RPC 8.4(b) (committing a criminal act that reflects adversely on the lawyer's honesty, trustworthiness or fitness as a lawyer); RPC 8.4(c) (engaging in conduct involving dishonesty, fraud, deceit or misrepresentation); [***10] and RPC 8.4(d) (engaging in conduct prejudicial to the administration of justice). The District I Ethics Committee (DEC) found that respondent committed unethical conduct by knowingly disobeying an obligation under the rules of a tribunal (RPC 3.4(c)); requesting a person, other than a client, torefrain from voluntarily giving relevant information to another party (RPC 3.4(f)); communicating with codefendants whom respondent knew or should have known were represented by other attorneys (RPC 4.2); violating the rules of professional conduct (RPC 8.4(a)); and engaging in conduct prejudicial to the administration of justice (RPC 8.4(d)). The DEC recommended public discipline for those violations. The Disciplinary Review Board (DRB) found the testimony of the co-defendants was not credible and recommended dismissal of the complaint. The DRB also concluded that after the co-defendants entered guilty pleas they were no longer parties to the criminal proceedings, and respondent was therefore permitted to speak to them as witnesses without permission from their attorneys. II Lonnie Campbell and Johnny Nieves, co-defendants of Carmona, were represented by Brad [***11] Wertheimer, Esq. and Bernard [*261] Sypniewski, Esq., respectively. They negotiated plea agreements with the State in which Campbell and Nieves were required to plead guilty to third-degree theft and testify truthfully for the State in the trial of Carmona. For its part of the plea agreement, the State agreed to recommend noncustodial sentences. [**1032] On March 20, 1992, Campbell and Nieves appeared at the Atlantic County Criminal Court for sentencing by Judge Hornstine. Because Campbell and Nieves had not yet testified in the Carmona trial, Assistant Prosecutor Theodore Housel requested Judge Hornstine to postpone sentencing Campbell and Nieves. In the presence of counsel for Campbell and Nieves, the judge granted the adjournment. It is alleged that respondent engaged in improper conversations with Campbell and Nieves after the adjournment. Housel learned of the improper conversations when he spoke to Campbell and Nieves at the courthouse later that day to prepare for the impending trial of Carmona. Housel testified that he obtained permission from Wertheimer and Sypniewski to interview Campbell and Nieves for the purpose of preparing them to testify against Carmona. After the adjournment motion [***12] was granted, Housel approached Campbell and Nieves outside the courtroom. Housel testified that as he approached Campbell and Nieves, "Campbell stated, 'Mr. Alcantara came up to me and told me that the reason that you're postponing the sentencing is so that I can testify in the case and you can . . . stick it to me afterwards' with respect to the plea agreement." According to Housel, Campbell stated he was told by Alcantara that the prosecution intended to abandon the plea agreement once Campbell and Nieves testified against Carmona. Housel returned to Judge Hornstine's courtroom and requested the court to bar Alcantara from engaging in further communication with Campbell and Nieves. Wertheimer also sought a similar order. Judge Hornstine granted both applications. [*262] Housel also testified that between two and five weeks following the March 20, 1992 incident, Alcantara turned over to the prosecutor's office a video tape recording that showed Campbell and Nieves engaging in an alleged drug transaction. Campbell and Nieves were prosecuted for distribution of a controlled dangerous substance (CDS). The prosecutor stated that the video tape was not useful in prosecuting either Campbell [***13] or Nieves because the prosecution could not corroborate that the transaction recorded on the video, in fact, involved a CDS. Nonetheless, Campbell and Nieves were eventually convicted of drug offenses and incarcerated. The theft charge against Carmona was dismissed ultimately 22 because the prosecutor was unwilling to forego prosecuting the CDS offenses in order to obtain favorable testimony from Campbell and Nieves in the theft case against Carmona. both men his business cards and told them to contact their attorneys so that they could develop a united defense. Respondent stated that this discussion lasted fewer than sixty seconds. The testimony of Campbell is consistent with that of Nieves. Campbell testified that following the sentencing adjournment, as he was leaving the courtroom, he saw Nieves speaking to a man who introduced himself as Alcantara and stated that he was representing Carmona in the stolen bell case. Alcantara told Campbell and Nieves to take the Fifth Amendment and not testify against Carmona. Respondent further testified that Carmona gave him a video tape recording that depicted Campbell and Nieves engaging in a drug transaction. Between two and three weeks after March 20, 1992, respondent delivered that video tape to the Atlantic County Prosecutor's Office. Nieves testified that, [Alcantara] started asking me questions about the case, basically, statements about testifying, not testifying against his client . . . Junior Carmona. . . . He told me not--he told me to plead the fifth and not testify against them. If they wanted, they could really stick it to us. Campbell and Nieves stated that Alcantara [***14] threatened that Carmona could incriminate them in other matters because Carmona's cousin had made a video tape recording that contained images of Campbell and Nieves engaging in a drug-related transaction. Nieves stated, "[Alcantara] told us that if Junior Carmona wanted to, he could really grow horns and be a devil." Wertheimer testified that respondent did not request Wertheimer's permission to speak with Campbell. Wertheimer also stated that he was unaware of the conversation between Alcantara, Campbell and Nieves as it was taking place. After the incident Wertheimer confronted respondent who admitted speaking with Campbell only for the purpose of introducing himself. Sypniewski testified that Nieves informed him that respondent [***16] [*264] asked Nieves not to testify for the State and warned him that the prosecutor was trying to "stick it to [Nieves]." The DEC concluded that the "evidence convinces us clearly and convincingly" that Alcantara's testimony was not credible although the testimony of Campbell and Nieves was credible. In assessing the credibility of Campbell and Nieves, the DEC placed substantial reliance on the following factors: (1) Campbell's and Nieves' versions of the incident were consistent with one another; Campbell and Nieves stated that Alcantara gave his business cards to each, and asked them to make appointments to come in [*263] and discuss the matter. Nieves testified that Alcantara terminated the conversation by stating, in effect, that their conversation never took place. (2) Nieves' testimony regarding the March 20, 1992 incident was consistent with the version he told to his lawyer immediately after the incident occurred; (3) the testimony of Campbell and Nieves regarding the video tape was corroborated by Alcantara's actual production of the video tape; and Within several minutes after respondent had spoken to Campbell and Nieves, Detective Armstrong of the Atlantic County Prosecutor's Office interviewed Campbell with regard to his conversation with Alcantara. The DEC found that Campbell's statement to [**1033] Armstrong was consistent with his testimony before the DEC. Respondent testified that as he was standing in the corridor outside the courtroom, an hispanic man approached him and asked if Alcantara was a lawyer. This man told Alcantara that he had been charged with theft of a bell. At this point, Alcantara realized that the hispanic man was a co-defendant [***15] of his client, Carmona. Respondent stated that he identified himself as the attorney for Carmona. Another man wearing a green jacket approached respondent and said nothing. Respondent stated that he asked the hispanic man if he had a lawyer, and the man responded that he had a lawyer with whom he was unhappy. Respondent gave (4) there was no way, other than through Alcantara, that either Campbell or Nieves could have obtained information regarding the video tape. The DRB, on the other hand, found that although "there is sufficient evidence in the record to find that the witnesses indeed had a conversation with respondent," it disagreed "with the DEC findings as to the substance and relevance of the [***17] conversation." The DRB found the testimony of "Campbell and Nieves was not credible" without explaining why. III Our independent examination of the record 23 persuades us to conclude that the testimony of Campbell and Nieves was credible. The DEC observed the witnesses' demeanor and noted the consistency between the testimony of Campbell and Nieves and their prior statements to their attorneys and Detective Armstrong. "Consistency of testimony, both internally and between witnesses, is an important indicator of truthful testimony." In re Seaman, 133 N.J. 67, 88, 627 A.2d 106 (1993). In addition, the evidence concerning the video tape corroborates their testimony and contradicts respondent's testimony. Considered in that light, we find a high degree of circumstantial probability of trustworthiness in the testimony of Campbell and Nieves. [*265] The DRB also concluded that even if the witnesses against respondent were credible, the charges should nonetheless be dismissed. It reasoned: RPC 4.2 states that "[i]n representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in [***18] the matter, unless the lawyer has the consent of the [**1034] other lawyer or is authorized to do so." The Board concluded that the word "party" is a term of art, which specifically denotes "adversaries"--people with opposing interests. In the "stolen bell matter," Campbell and Nieves were no longer parties or co-defendants in the matter; they were only witnesses. As witnesses, they had the right to talk to respondent without their attorneys being present, if they so desired. RPC 3.4(f) states that a lawyer shall not request a person other than a client to refrain from voluntarily giving relevant information unless the lawyer reasonably believes that the person's interests will not be adversely affected by refraining from giving such information. The Board determined that respondent's advice to the witnesses not to testify would have benefitted the witnesses' interests, rather than adversely affect them. As with Carmona, without the witnesses' plea agreement and with no other evidence available to the prosecutor, the prosecutor would have had to dismiss the charges against Campbell and Nieves. Wertheimer testified that he saw respondent in the courtroom at the time the adjournment [***19] of the sentencing motions was being argued before Judge Hornstine. He stated that respondent never requested his permission to speak to Campbell. Similarly, Sypniewski testified that respondent never asked for his permission to speak to Nieves. The testimony of the attorneys and that of Campbell and Nieves clearly and convincingly establish that respondent spoke to Campbell and Nieves with the knowledge that they were represented by counsel and without their attorneys' permission. The controlling rule provides: In representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. [RPC 4.2.] The word "party" denotes "adversaries." The DRB found that although Campbell and Nieves were co-defendants of Carmona, they were no longer adversaries but were simply witnesses because [*266] they had entered pleas of guilty. The DRB concluded that as witnesses, they could be freely contacted by respondent. This conclusion is erroneous as a matter of law. When a co-defendant enters [***20] a guilty plea with a lenient sentence recommendation conditioned on testifying against a co-defendant such as Carmona, the testifying co-defendant is an adversary of the codefendant who has elected to stand trial. Although Campbell, Nieves and Carmona remained co-defendants in the caption on the indictment, when Campbell and Nieves agreed to testify against Carmona, they became adversaries of Carmona. Thus, on March 20, their status was much more significant than that of mere witnesses; they were adverse-party witnesses. Accordingly, it has been clearly and convincingly established that respondent violated RPC 4.2. In addition, RPC 3.4(f) provides that a lawyer shall not "request a person other than a client to refrain from voluntarily giving relevant information to another party unless: (1) the person is a relative or an employee or other agent of a client; and (2) the lawyer reasonably believes that the person's interests will not be adversely affected by refraining from giving such information." The DRB found no violation of this rule because respondent's advice to Campbell and Nieves not to testify favorably for the State was beneficial to them. This conclusion is also [***21] erroneous as a matter of law. To begin with, the rule speaks in the conjunctive. Neither Campbell nor Nieves was a "relative or an employee or other agent" of respondent's client. Because the indictment was still pending against Campbell and 24 Nieves and the lenient sentence recommendation depended on their testifying truthfully against Carmona, respondent could not reasonably have believed that advising Campbell and Nieves to take the Fifth Amendment or not to testify truthfully would benefit them. Significantly, Campbell and Nieves were not sentenced on March 20, because the prosecutor [**1035] wanted their favorable testimony as a precondition to requesting lenient sentences. If Campbell and Nieves testified [*267] inconsistently with their statements to the prosecutor, then the prosecutor would have been free not to make a lenient recommendation at sentencing. In the plea bargaining process, it would be difficult to conceive of a strategy more adverse to a defendant's or co-defendant's interest than to leave a court free to impose a sentence without a recommendation of leniency. Consequently, we find that a violation of RPC 3.4(f) has been established by clear and convincing evidence. It follows [***22] that an attorney who violates RPC 4.2 by speaking to another attorney's client without permission, and violates RPC 3.4(f) by requesting that person to refrain from giving testimony favorable tothe State, also violates RPC 3.4(c), RPC 8.4(a), and RPC 8.4(d). IV Having found respondent guilty of unethical conduct, we must now determine what discipline to impose. Our statements in prior cases inform our present decision: In all disciplinary matters, public confidence in the bar requires the acknowledgment of the ethical infractions which must be sanctioned in a manner commensurate with the seriousness of the transgressions. The purpose of discipline, however, is not to punish the attorney, but to protect the public from the attorney who does not meet the standards of responsibility required of every member of the profession. In re Templeton, 99 N.J. 365, 374, [492 A.2d 1001] (1985). The quantum of discipline must accord with the seriousness of the misconduct in light of all relevant circumstances. In re Nigohosian, 88 N.J. 308, 315, [442 A.2d 1007] (1982). Mitigating factors are, therefore, relevant and may be considered. In re Hughes, 90 [***23] N.J. 32, 36, [446 A.2d 1208] (1982).[In re Kasdan, 115 N.J. 472, 489, 559 A.2d 411 (1989).] Respondent's unethical behavior was unquestionably serious. In attempting to protect his client's interest, he crossed over the line from vigorous defense advocacy and came perilously close to bringing about a perversion of justice. Nevertheless, it is fair to note that the DRB itself did not fully appreciate that under the circumstances respondent's conduct was unethical and clearly violated RPC 4.2. Further, we acknowledge that we have never previously been required to explain the status [*268] of a defendant in a criminal prosecution as a "party" to whom access is not available as it is to non-party witnesses. In addition, we have never addressed the appropriate discipline to be imposed on an attorney who violates RPC 4.2. Thus, those considerations impel us to accord full weight to mitigating considerations. In this context, we sense from the record that respondent regrets the conduct. Respondent's conduct was an isolated incident on an otherwise unblemished professional record. He has also performed pro bono legal services in the past. We are, therefore, satisfied [***24] under the circumstances to reprimand respondent for his ethical failing. But for the fact that this is our first interpretation and application of RPC 4.2, respondent's discipline would be greater than the public reprimand recommended by the Office of Attorney Ethics and now imposed by the Court. "We caution members of the bar, however, that the Court in the future will ordinarily suspend an attorney" for the type of violation of RPC 4.2 that occurred in this case. In re Magid, 139 N.J. 449, 455, 655 A.2d 916 (1995); In re Principato, 139 N.J. 456, 463, 655 A.2d 920 (1995). Respondent shall reimburse the Disciplinary Oversight Committee for appropriate administrative costs. So Ordered. [**1036] ORDER It is ORDERED that J. DAVID ALCANTARA of VENTNOR, who was admitted to the bar of this State in 1988, is hereby reprimanded; and it is further [*269] ORDERED that the entire record of this matter be made a permanent part of respondent's file as an attorney at law of this State; and it is further ORDERED that respondent reimburse the Disciplinary Oversight Committee [***25] for appropriate administrative costs incurred in the prosecution of this matter. WITNESS, the Honorable Robert N. Wilentz, Chief Justice, at Trenton, this 1st day of December, 1995. 25 RPC 3.4. Fairness to opposing party and counsel A lawyer shall not: (a) unlawfully obstruct another party's access to evidence or unlawfully alter, destroy or conceal a document or other material having potential evidentiary value, or counsel or assist another person to do any such act; (b) falsify evidence, counsel or assist a witness to testify falsely, or offer an inducement to a witness that is prohibited by law; (c) knowingly disobey an obligation under the rules of a tribunal except for an open refusal based on an assertion that no valid obligation exists; (d) in pretrial procedure make frivolous discovery requests or fail to make reasonably diligent efforts to comply with legally proper discovery requests by an opposing party; (e) in trial, allude to any matter that the lawyer does not reasonably believe is relevant or that will not be supported by admissible evidence, assert personal knowledge of facts in issue except when testifying as a witness, or state a personal opinion as to the justness of a cause, the credibility of a witness, the culpability of a civil litigant or the guilt or innocence of an accused; or (f) request a person other than a client to refrain from voluntarily giving relevant information to another party unless: (1) the person is a relative or an employee or other agent of a client; and (2) the lawyer reasonably believes that the person's interests will not be adversely affected by refraining from giving such information. (g) present, participate in presenting, or threaten to present criminal charges to obtain an improper advantage in a civil matter. HISTORY: Adopted July 12, 1984, to be effective September 10, 1984; paragraph (g) adopted July 18, 1990, to be effective September 4, 1990. 26 STATE OF NEW JERSEY v. MONIQUE MCCOY, MELODY D. GRANT, XAVIER S. BROWN IND. NO. 1715-10-91 SUPERIOR COURT OF NEW JERSEY, LAW DIVISION (CRIMINAL), MIDDLESEX COUNTY 261 N.J. Super. 202; 618 A.2d 384; 1992 N.J. Super. LEXIS 451 October 5, 1992, Decided SUBSEQUENT HISTORY: 1992, Approved for Publication. [***1] December 2, COUNSEL: Mark Cassidy, Assistant Prosecutor for the State. Allan Marain, Assistant Deputy Public Defender, for defendant Monique McCoy. Ingrid Yurchenco, Assistant Deputy Public Defender, for defendant Xavier S. Brown. JUDGES: BERMAN, J.S.C. PERSON COUNSEL. REPRESENTED BY In representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. OPINION BY: BERMAN OPINION [*203] [**384] Hypothesize the following: three individuals (Alpha, Bravo, and Charlie) 1 are arrested and charged with possession of a controlled dangerous substance seized from an automobile in [*204] which all three were riding. Bravo, in the absence of her attorney, gives a statement to Alpha's attorney, exculpating Alpha, but implicating herself. 1 Fictitious names for the hypothetical, simply adopted from the military phonetic alphabet. Alpha's attorney, in an attempt to secure a favorable plea bargain for her, provides the statement to the County Prosecutor who now seeks to use it against Bravo. The issue, of some novelty, is as follows: may the State utilize the statement of a defendant taken in violation of the Rules of Professional Conduct? [***2] 2 The rules that this issue implicates are as follows: MODEL CODE OF PROFESSIONAL RESPONSIBILITY DR-7-104(A)(1) [**385] MODEL CODE OF PROFESSIONAL RESPONSIBILITY DR-7-104(A)(2) M O D E L R U L E S O F PROFESSIONAL CONDUCT Rule 4.3 D E A L I N G W I T H UNREPRESENTED PERSON. In dealing on behalf of a client with a person who is not represented by counsel, a lawyer shall not state or imply that the lawyer is disinterested. When the lawyer knows or reasonably should know that the unrepresented person misunderstands the lawyers' role in the matter, the lawyer shall make reasonable efforts to c o r r e c t t h e misunderstanding. M O D E L R U L E S O F PROFESSIONAL CONDUCT Rule 4.2 COMMUNICATION WITH 27 2 This court is not ruling that Alpha's attorney breached the Rules of Professional Conduct, but assuming it for the purposes of this opinion. [***3] Defendant Monique McCoy ("Bravo" hereinabove) argues that the statement obtained by co-defendant's counsel is violative of either R.P.C. 4.2 or R.P.C. 4.3 and therefore should be suppressed. Assuming arguendo that defense counsel for Melody Grant ("Alpha" hereinabove) did violate a disciplinary rule, defendant's motion to suppress the statement must nonetheless be denied. When evidence is obtained in violation of the Rules of Professional Conduct, the decisional law that is of guidance in this and other jurisdictions dictates in favor of admission. State v. CIBAGEIGY Corp., 247 N.J.Super. 314, 589 A.2d 180 [*205] (App.Div.1991); State v. Riley, 216 N.J.Super. 383, 523 A.2d 1089 (App.Div.1987); State v. Porter, 210 N.J.Super. 383, 510 A.2d 49 (App.Div.1986); State v. Darby, 211 N.J.Super. 367, 511 A.2d 1222 (App.Div.1986); Barbetta v. Sciaraffa, 135 N.J.Super. 488, 343 A.2d 770 (App.Div.1975); Suarez v. State, 481 So.2d 1201 (Fla.1985). [***4] In Barbetta v. Sciaraffa, supra, 135 N.J.Super. at 495, 343 A.2d 770 the eminently respected Judge Kolovsky went so far as to view an attorney's failure to testify, even though subjecting him to disciplinary proceedings, as reversible error. In State v. Riley, supra, 216 N.J.Super. at 390, 523 A.2d 1089, one of the more recent cases dealing with exclusion based on ethical violations, the court noted, In general, if a lawyer violates the rules he may subject himself to disciplinary proceedings but we know of no per se bar to the admissibility of information he has learned based upon the ethical violation. No case that we have found either in New Jersey or elsewhere has enunciated such a general rule. On the contrary, it has been held that evidence obtained in violation of applicable disciplinary rules is indeed admissible. Riley dealt with R. 1:16-1 and the defendant's attorney contact with a juror regarding his personal bias, after entry of a guilty verdict. The statement was held admissible at hearing on Riley's petition for post conviction relief. Looking [***5] beyond New Jersey's borders, in Suarez v. State, supra, 481 So.2d at 1206, the Florida Supreme Court concluded that, "violation of the disciplinary rule alone does not require suppression of statements resulting from such violation". They concurred with the Michigan Supreme Court in their determination as to whether a voluntary and knowing statement must be suppressed solely because of a disciplinary rule violation. Citing to People v. Green, 405 Mich. 273, 274 N.W.2d 448 (1979), defendant asserted his rights had been violated and unless his statement was suppressed, no effective remedy would redress this wrong. The Court in Suarez relying on Green opined, "This argument rests upon a basic misconception of the Code of Professional Responsibility. The provisions of the code are not constitutional or statutory [*206] rights guaranteed to individual persons. They are instead self-imposed internal regulations prescribing the standards of conduct for members of the bar. Although it is true that the principal purpose of many provisions is the protection of the public, the remedy [***6] for a violation has traditionally been internal bar disciplinary action against the offending attorney. The sanctions available are by no means trivial. The attorney faces permanent disbarment. . . . The admissibility of evidence in a court of law, on the other hand, is normally determined by reference to relevant constitutional and [**386] statutory provisions, applicable court rules and pertinent common-law doctrines. Codes of professional conduct play no part in such decisions." Suarez, supra, 481 So.2d at 1206. The Suarez Court characterized the suppression remedy as "overkill" and concluded a more appropriate remedy would be Bar disciplinary action. In Suarez, the court states, [D]isciplinary action directed against the offending attorney would be a more effective deterrent than the indirect sanction of the exclusionary rule. Id. at 1207. ABSENT STATE ACTION, CONSTITUTIONAL GROUNDS ARE A N D N O T I N V O K E D 28 EXCLUSIONARY RULE TO SUPPRESS STATEMENT WOULD NOT APPLY. "The Fourteenth Amendment, which prohibits the states from denying federal constitutional rights and which guarantees due process, applies to [***7] acts of the states, not to acts of private persons or entities." Rendell-Baker v. Kohn, 457 U.S. 830, 837, 102 S.Ct. 2764, 2769, 73 L.Ed.2d 418 (1982). Private persons are provided far more leeway in their attempts to procure evidence. What may be admissible by a private party would be excluded under the Due Process Clause if state action was involved. The outer boundaries of private action are addressed by Connecticut Supreme Court Justice Hull: The most outrageous behavior by a private party seeking to secure evidence against a defendant does not make that evidence inadmissible under the Due Process Clause. [State v. Holliman, 214 Conn. 38, 570 A.2d 680 (1990) citing to Colorado v. Connelly, 479 U.S. 157, 166, 107 S.Ct. 515, 521-22, 93 L.Ed.2d 473 (1986)] Judge Dreier in State v. Porter, supra, 210 N.J.Super. at 394, 510 A.2d 49 points out: [V]iolation of the Rules of Professional Conduct do not necessarily constitute a basis [***8] for asserting State action sufficient to justify a claim of deprivation of a [*207] constitutional right. The exclusionary rule is intended to vindicate a constitutional right. If the confession otherwise meets constitutional muster, an ethical violation alone does not rise to a deprivation of a constitutional right. Defendant concedes that she is not suggesting that any rights of which she was deprived were constitutional in nature. (Db9). Accordingly, since the exclusionary rule remedies constitutional violations, those violations premised on Professional Conduct Rules do not qualify for exclusion. Additionally, in State v. Darby, supra, 211 N.J.Super. 367, 511 A.2d 1222, the court found that violation of an ethical rule by a prosecutor when gathering evidence does not necessarily violate defendant's Sixth Amendment rights, so that the evidence obtained is not inadmissible. Judge Greenberg 3 further concludes: "We do not see why ethical rules must be incorporated into the Sixth Amendment. Further, we point out that evidence given in violation of applicable disciplinary rules may be admissible." Id. at 376, 511 A.2d 1222. [***9] 3 Judge Morton Greenberg, now sitting on the 3d Circuit Court of Appeals--not his brother Judge Manuel Greenberg. A state actor may violate ethical rules and constitutional rights are not affected, thereby barring exclusion. Clearly then, when a private actor in gathering evidence obtains a statement in violation of an ethical rule, that statement will be allowed in. Accordingly, co-defendant's counsel, as private actor, received the statement during his investigation and the statement will be allowed. Lastly, defendant proposes suppression of the statement as the only available remedy when the Rules of Professional Conduct are violated. 4 Parallels are drawn by [**387] the defendant between Fourth Amendment violations resulting in exclusion of [*208] illegally obtained evidence and ethical violations with a proposed remedy of exclusion. 4 In theorizing about a civil remedy, the defendant, with reflective insight, observes in her brief: "This is hardly the type of case where negligence lawyers are waiting in line to take on contingency." Perhaps so; but this logic does not follow the law. [***10] The deterrence rationale prompting exclusion under Fourth Amendment violations cannot be substituted for violations of ethical codes. As Florida Justice Ehrich observed, deterrence of ethical violations may be effected through Bar discipline: In the absence of constitutional grounds for suppression, the only possible basis for suppression would be to discourage violation of DR 7-104(A)(1). Suppression of the statements would therefore be in the same posture as exclusion of evidence under the exclusionary rule. The exclusionary rule exists 'to deter--to compel respect for the constitutional guarantee [against illegal search and seizure] in the only effectively available way--by removing the incentive to disregard it.' Elkins v. United States, 364 U.S. 206, 217, 80 S.Ct. 1437, 1444, 4 29 L.Ed.2d 1669 (1960). The exclusionary rule thus exists because it is the only effective way to deter violations of a constitutional right. However, we have another effective way to deter violations of an ethical rule. Bar discipline can be initiated by The Florida Bar, and also may be initiated by a circuit court or a [***11] district court judge pursuant to Florida Bar Integration Rule, article XI, Rule 11.14. The goal of deterrence is therefore achieved without the 'overkill' of suppression and reversal. [Suarez v. State, supra, 481 So.2d at 1207.] Similarly, lawyers admitted to practice in New Jersey may face sanctions under the administration of a disciplinary authority if their conduct violates ethical rules. See R.P.C. 8.3. Therefore, the appropriate remedy is not suppression of the statement but review by a disciplinary board. As Suarez suggests, to exclude the evidence would amount to an "overkill" when an alternative remedy is available, notwithstanding that this remedy yields McCoy a pyrrhic triumph at best. In light of the New Jersey decisional law cited hereinabove and the persuasive out-of-state authority, the court denies defendant's motion to suppress her statement. 30 STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. IVAN SANCHEZ, DEFENDANT-APPELLANT A-99 September Term 1991 SUPREME COURT OF NEW JERSEY 129 N.J. 261; 609 A.2d 400; 1992 N.J. LEXIS 409 May 5, 1992, Argued July 23, 1992, Decided PRIOR HISTORY: [***1] On certification to the Superior Court, Appellate Division. DISPOSITION: The judgment of the appellate Division is reversed, and the matter is remanded to the Law Division. COUNSEL: Helen E. Szabo, Designated Counsel, argued the cause for appellant (Wilfredo Caraballo, Public Defender, attorney; Helen E. Szabo and Ernest G. Ianetti, Designated Counsel, on the briefs). Marsetta Lee, Deputy Attorney General, argued the cause for respondent (Robert J. Del Tufo, Attorney General of New Jersey, attorney). JUDGES: For reversal and remandment -- Chief Justice WILLENTZ, and Justices CLIFFORD, HANDLER, POLLOCK, O'HERN, GARIBALDI and STEIN. Opposed -- None. The opinion of the Court was delivered by POLLOCK, J. OPINION BY: POLLOCK OPINION [*262] delivered by [**401] The opinion of the Court was POLLOCK, J. The issue is whether the admission into evidence of the uncounselled, post-indictment statement of defendant, Ivan Sanchez, violated his constitutional right to counsel. In an unreported opinion, the Appellate Division ruled that defendant's statement was admissible, and affirmed his conviction for non-capital murder ( N.J.S.A. 2C:11-3a(1) and -3a(2)) and possession of a weapon for an unlawful purpose ( N.J.S.A. 2C:39-4b). We granted defendant's [***2] petition for certification, 127 N.J. 546, 606 A.2d 361 (1991), and now reverse and remand to the Law Division. -IAccording to the State, the underlying facts supporting the charges against defendant are that on December 16, 1986, the [*263] victim, Robert Merkerson, and defendant engaged in a fight in which Merkerson knocked out one of defendant's teeth. Three days later defendant stabbed and killed Merkerson outside a bar in Passaic. On March 24, 1987, defendant was indicted for homicide and unlawful possession of a weapon. Three months later, on June 26, Detective Howard Simbol of the Passaic Police Department, who was in charge of the investigation, learned that defendant was in custody on unrelated charges at Riker's Island Prison in New York. Detective Simbol drove to the prison with an arrest warrant to serve as a detainer. On the following day, Detective Simbol returned with Detective Thomas Mauro to interrogate defendant. The parties present sharply contrasting versions of that interrogation. The detectives testified that they went to the "counsel room" at Riker's Island, where defendant was brought to them. After [***3] ascertaining that defendant could speak English, they advised him of his "Miranda rights," including his right to counsel. According to the officers, defendant then spontaneously stated: "I know why you are here." Pointing to his mouth, defendant said: "I had to get him back for this. He knocked my tooth out three days before I stabbed him." Detective Simbol testified that he then stopped defendant from saying anything further and asked defendant if he would consent to giving a written statement. Defendant consented, read a Miranda form, initialed each of the rights on that form, and signed the waiver. The detectives then proceeded with the interrogation. In a signed statement, Sanchez detailed the circumstances of the crime, including his departure to New York, and admitted stabbing Merkerson. The detectives conceded that at no time during the entire interview did they inform defendant that he had been indicted. Apart from agreeing that the detectives did not inform him that he had been indicted, defendant's version of the interrogation conflicted with the State's. He testified that the detectives [*264] never informed him of the subject of the interrogation, that [***4] they denied his request for an attorney, and that they neither read his Miranda rights to him nor provided him with an opportunity to read the waiver before signing it. He also 31 denied stating that the victim had knocked out his tooth or that he had killed the victim because the victim had knocked out one of his teeth. Finally, he [**402] claimed that the detectives had coerced him into signing the waiver and the confession. The trial court believed the detectives and denied defendant's motion to suppress the statements. The court found that defendant had given the statements willingly, had never requested an attorney, and had knowingly and voluntarily waived his Miranda rights. In addition, the court held that the detectives had not violated defendant's right to counsel, and found "absolutely no evidence" that the detectives knew whether defendant was represented by or had retained counsel. The court noted "the pivotal consideration in making the Constitutional inquiry was whether on being advised of his rights, the defendant indicated that he wanted the assistance of Counsel * * * and whether he wanted to have Counsel available or present before any interrogation took place." [***5] The jury convicted defendant on both counts, and the court sentenced him to life with a thirtyyear parole disqualifier. The Appellate Division affirmed. -IIThe Sixth Amendment to the United States Constitution provides that "[i]n all criminal prosecutions, the accused shall enjoy the right * * * to have the Assistance of Counsel for his defence." Although the Sixth Amendment, like the Fifth Amendment, guarantees the right to counsel in pretrial interrogation, the two guarantees serve different purposes. Generally speaking, the Fifth Amendment protects an accused from selfincrimination during police questioning, and the Sixth Amendment remedies the unfairness of that questioning when the [*265] defendant is not represented. As when proving a waiver of constitutional rights generally, to prove a waiver of the right to counsel, the State must meet the heavy burden of showing that the defendant understood his or her right to counsel and knowingly, voluntarily, and intelligently relinquished it. Brewer v. Williams, 430 U.S. 387, 404, 97 S.Ct. 1232, 1242, 51 L.Ed.2d 424, 430 (1977). The purpose of the Sixth [***6] Amendment right to counsel is to enable the defendant to confront the prosecution and to ensure the integrity of the judicial process. James J. Tomkovicz, Standards for Invocation and Waiver of Counsel in Confession Contexts, 71 Iowa L.Rev. 975, 980-81 (1986); Colin E. Fritz, Note, Patterson v. Illinois: Applying Miranda Waivers to the Sixth Amendment Right to Counsel, 74 Iowa L.Rev. 1261, 1266 (1989). For decades, the United States Supreme Court has recognized that the Sixth Amendment safeguards "fundamental rights of life and liberty" and ensures that an accused is provided representation at trial. Johnson v. Zerbst, 304 U.S. 458, 462, 58 S.Ct. 1019, 1022, 82 L.Ed. 1461, 1465 (1938). The right to counsel also attaches to pretrial stages and is triggered when "adversary judicial proceedings have been initiated." Kirby v. Illinois, 406 U.S. 682, 688-89, 92 S.Ct. 1877, 1881-82, 32 L.Ed.2d 411, 417 (1972). Denying the right to counsel in pretrial proceedings would reduce [***7] the trial to no more than an appeal from interrogation. United States v. Wade, 388 U.S. 218, 226, 87 S.Ct. 1926, 1931-32, 18 L.Ed.2d 1149, 1157 (1967); Escobedo v. Illinois, 378 U.S. 478, 487-88, 84 S.Ct. 1758, 1763, 12 L.Ed.2d 977, 984 (1964); see Maine v. Moulton, 474 U.S. 159, 170, 106 S.Ct. 477, 484, 88 L.Ed.2d 481, 492 (1985) ("to deprive a person of counsel during the period prior to trial may be more damaging than denial of counsel during the trial itself"). Until recently, the Court held that the Sixth Amendment right "does not depend upon a request by the defendant," Brewer v. Williams, 430 U.S. 387, 404, 97 S.Ct. 1232, 1242, 51 L.Ed.2d 424, 438 (1977), but now it apparently requires defendants to request counsel, Patterson v. Illinois, [*266] 487 U.S. 285, 290-91, 108 S.Ct. 2389, 2394, 101 L.Ed.2d 261, 271 (1988). [***8] Unlike the Sixth Amendment, the Fifth Amendment does not expressly provide for the right to counsel. The Fifth Amendment right is a preventive measure that protects an accused from self-incrimination during police questioning. Miranda v. Arizona, 384 U.S. 436, 463-66, 86 S.Ct. 1602, 1622-24, 16 L.Ed.2d 694, 717-19 (1966). Its essential purpose is to prevent [**403] compelled self-incrimination. Johnson v. New Jersey, 384 U.S. 719, 729, 86 S.Ct. 1772, 1779, 16 L.Ed.2d 882, 890 (1966). The right arises during custodial interrogation and seeks to "insure that statements made in the governmentestablished atmosphere are not the product of compulsion." Miranda, supra, 384 U.S. at 466, 86 S.Ct. at 1623, 16 L.Ed.2d at 719. -IIIUntil its decision four years ago in Patterson, supra, 487 U.S. 285, 108 S.Ct. 2389, 101 L.Ed.2d 261, the United States Supreme Court had consistently extended the protection of [***9] the Sixth Amendment right to counsel. In Massiah v. United States, 377 U.S. 201, 84 S.Ct. 1199, 12 L.Ed.2d 246 (1964), the defendant had been indicted, had retained a lawyer, and had been released on bail. Subsequently, a police investigator surreptitiously listened to the defendant's conversations and recorded his incriminating statements. The Court found that although the federal agents had not violated the defendant's Fifth Amendment rights, eliciting the statements "after he had been indicted and in the absence of his counsel" violated the "basic protection" of the Sixth Amendment. Id. at 206, 84 S.Ct. at 1203, 12 L.Ed.2d at 250; see also United States v. Henry, 447 U.S. 264, 274-75, 100 S.Ct. 2183, 2189, 65 L.Ed.2d 115, 125 32 (1980) (placing government informant in jail cell with defendant violated Sixth Amendment). [*267] Next, in Brewer, supra, 430 U.S. at 404-06, 97 S.Ct. at 1242-43, 51 L.Ed.2d at 440-41, [***10] the Court ruled inadmissible incriminating statements made in response to the officer's comment that if the victim's body were located, she could receive a "Christian burial." It explained that the State bore a "heavy burden" of showing "'an intentional relinquishment of a known right or privilege'" when seeking to establish that the defendant had effectively waived his right to counsel. Id. at 404, 97 S.Ct. at 1242, 51 L.Ed.2d at 439 (quoting Zerbst, supra, 304 U.S. at 464, 58 S.Ct. at 1023, 82 L.Ed. at 1466). Further, "[t]his strict standard applies equally to an alleged waiver of the right to counsel whether at trial or at a critical stage of pretrial proceedings." Id. at 404, 97 S.Ct. at 1242, 51 L.Ed.2d at 440. Noting that a judge had informed the defendant of his Miranda rights at arraignment, the Court nonetheless held that the defendant had not subsequently waived his Sixth Amendment right to counsel. Later, in Edwards v. Arizona, 451 U.S. 477, 484-85, 101 S.Ct. 1880, 1885, 68 L.Ed.2d 378, 386 (1981), [***11] the Court held that once a defendant has asserted the Fifth Amendment right to counsel, police may not initiate questioning in the absence of counsel. See Minnick v. Mississippi, U.S. , , 111 S.Ct. 486, 491, 112 L.Ed.2d 489, 498 (1990) (clarifying Edwards to hold that "[w]hen counsel is requested, interrogation must cease, and officials may not reinitiate interrogation without counsel present, whether or not the accused has consulted with his attorney"). After Edwards, the Court extended that holding to a defendant's assertion of his Sixth Amendment right to counsel. Michigan v. Jackson, 475 U.S. 625, 106 S.Ct. 1404, 89 L.Ed.2d 631 (1986). The Court held that "if police initiate interrogation after a defendant's assertion, at an arraignment or similar proceeding, of his right to counsel, any waiver of the defendant's right to counsel for that police-initiated interrogation is invalid." Id. at 636, 106 S.Ct. at 1411, 89 L.Ed.2d at 642. The Court explained that "the [***12] Sixth Amendment right to counsel at a postarraignment interrogation requires at least as [*268] much protection as the Fifth Amendment right to counsel at any custodial interrogation." Id. at 632, 106 S.Ct. at 1408-09, 89 L.Ed.2d at 639. In a leading pre-Patterson case, the Second Circuit Court of Appeals found no waiver of the right to counsel by a defendant who knew that he had been indicted and who had been given Miranda warnings. United States v. Mohabir, 624 F.2d 1140 (2nd Cir.1980); accord United States v. Clements, 713 F.2d 1030, 1037 (4th Cir.1983) (suppressing confession of defendant who had been given Miranda rights but not told of indictment). Contra United [**404] States v. Brown, 569 F.2d 236, 238-39 (5th Cir.1978) (en banc) (reading Miranda rights to defendant in courtroom corridor without presence of appointed counsel results in valid waiver of Sixth Amendment right); United States v. Monti, 557 F.2d 899, 904 (1st Cir.1977) (making inculpatory statements [***13] after indictment and retention of counsel results in valid waiver of Sixth Amendment right); United States v. Cobbs, 481 F.2d 196, 199-200 (3rd Cir.) (permissible, after Miranda warnings, to interrogate defendant in custody without appointed counsel), cert. denied, 414 U.S. 980, 94 S.Ct. 298, 38 L.Ed.2d 224 (1973); United States v. Springer, 460 F.2d 1344, 1350-54 (7th Cir.) (uncounselled written confession and waiver of Miranda rights results in valid waiver of Fifth and Sixth Amendment rights), cert. denied, 409 U.S. 873, 93 S.Ct. 205, 34 L.Ed.2d 125 (1972); Coughlan v. United States, 391 F.2d 371, 372 (9th Cir.) (obtaining uncounselled confession from defendant who had been advised of Miranda rights results in valid waiver of Sixth Amendment right), cert. denied, 393 U.S. 870, 89 S.Ct. 159, 21 L.Ed.2d 139 (1968). The court noted that although immigration [***14] and naturalization service agents and an assistant United States attorney had told the defendant that he had been indicted, no one had explained to him the meaning of an indictment. Mohabir, supra, 624 F.2d at 1145, 1149. It reasoned that after an indictment, the defendant's "need for counsel is particularly acute," and "any questioning of the defendant by the government can only be 'for the purpose of [*269] buttressing * * * a prima facie case.'" Id. at 1148 (quoting People v. Settles, 46 N.Y.2d 154, 412 N.Y.S.2d 874, 879, 385 N.E.2d 612, 616 (1978)). Continuing, the court stated that "after prosecution has begun, the right to obtain the assistance of counsel at all crucial stages is essential if both the symbol and reality of a fair trial are to be preserved * * *." Id. at 1149. It found that, notwithstanding the Miranda warnings, "[t]he record here suggests that appellant did not understand the gravity of his position; he apparently hoped that he would aid his case by telling 'his side of the story.'" Ibid. Finding the [***15] Miranda warnings to be insufficient, the court held "that the government failed to carry its heavy burden of proving that appellant's purported waiver satisfies the 'higher standard' that our cases have adopted in the Sixth Amendment context." Id. at 1151. In Patterson, supra, 487 U.S. 285, 108 S.Ct. 2389, 101 L.Ed.2d 261, however, the Court changed direction. See William T. Pizzi, Waiver of Rights in the Interrogation Room: The Court's Dilemma, 23 Conn.L.Rev. 229, 252 (1991) ("Because Patterson seems so ad hoc in its reasoning, it is difficult to predict what the Court will find important or unimportant for waiver purposes in the future."); Samuel Rosenthal & Michelle A. Rice, Whittling Away the Right to Counsel, 3 Crim.Just. 2, 3 (Winter 1989) (principle inquiry of Court 33 in Sixth Amendment cases during 1988 term was subjective determination of "whether the right will assist the criminal justice process to determine guilt or innocence"); Note, Patterson v. Illinois: Applying Miranda Waivers to the Sixth Amendment Right to Counsel, supra, 74 Iowa [***16] L.Rev. at 1262 (Patterson is "diversion" from the Court's previous bright-line rules protecting individual's Sixth Amendment right to counsel); John S. Banas, III, Case Comment, Sixth Amendment -- Waiver of the Sixth Amendment Right to Counsel at Post-Indictment Interrogation, 79 J.Crim.L. & Criminology 795, 830 (1988) (majority's rationale "is erroneous because it fails to follow the underlying principles of precedent * * *"). The facts in Patterson were [*270] that the defendant had been a member of a gang involved in two fights with another gang. In the second fight, a rival gang member had died. The defendant had been arrested, had waived his Miranda rights, and had given a statement to the police about the first fight, but had denied knowing anything about the victim's death. 487 U.S. at 287-88, 108 S.Ct. at 2392, 101 L.Ed.2d at 269. While being transported to the county jail, the defendant learned that he had been indicted for murder. On learning that one member of his gang had not been indicted, [**405] he said: "Why wasn't he indicted, he did everything." 487 U.S. at 288, 108 S.Ct. at 2392, 101 L.Ed.2d at 269. [***17] A police officer gave the defendant a Miranda waiver form, which he initialed and signed. The defendant then gave an incriminating statement to the officer. Later that day, after receiving another Miranda warning, the defendant again confessed to his involvement in the murder. The trial court denied the defendant's motion to suppress his statements, and the jury convicted him. A seriously divided Court rejected the defendant's argument that the Sixth Amendment barred the police from initiating post-indictment questioning until he had received the advice of counsel. The Court repudiated a distinction between an accused's pre-indictment Fifth Amendment right to counsel and the Sixth Amendment post-indictment right. It held that because the defendant had not asked for a lawyer, the police had not violated his right to counsel. 487 U.S. at 290-91, 108 S.Ct. at 2394, 101 L.Ed.2d at 271. According to the Court, the issue was whether the defendant, by waiving his Fifth Amendment right to counsel, had also made a "'knowing and intelligent' waiver of his Sixth Amendment right [to counsel]." Id. at 292, 108 S.Ct. at 2394, 101 L.Ed.2d at 272 [***18] (citing Brewer, supra, 430 U.S. at 404, 97 S.Ct. at 1242, 51 L.Ed.2d at 439, and Zerbst, supra, 304 U.S. at 464, 58 S.Ct. at 1023, 82 L.Ed. at 1466). The critical inquiry was whether "the accused, who waived his Sixth Amendment rights [*271] during postindictment questioning, [was] made sufficiently aware of his right to have counsel present during the questioning, and of the possible consequences of a decision to forgo the aid of counsel." Id. 487 U.S. at 292-93, 108 S.Ct. at 2395, 101 L.Ed.2d at 272. Rejecting the argument that a higher standard applied to a waiver of a Sixth Amendment right to counsel, the Court found that the Miranda warnings sufficed to support a waiver of the defendant's right to counsel. In reaching this result, the Court engaged in a "pragmatic" inquiry, and asked what purposes a lawyer can serve at the particular stage of the proceedings in question, and what assistance he could provide to an accused at that stage -- to determine [***19] the scope of the Sixth Amendment right to counsel, and the type of warnings and procedures that should be required before a waiver of that right will be recognized. [Id. at 298, 108 S.Ct. at 2397, 101 L.Ed.2d at 276.] That inquiry led the majority to conclude that [t]he State's decision to take an additional step and commence formal adversarial proceedings against the accused does not substantially increase the value of counsel to the accused at questioning, or expand the limited purpose that an attorney serves when the accused is questioned by authorities. With respect to this inquiry, we do not discern a substantial difference between the usefulness of a lawyer to a suspect during custodial interrogation, and his value to an accused at postindictment questioning. [Id. at 298-99, 108 S.Ct. at 2398, 101 L.Ed.2d at 276.] The four dissenting justices attached far greater significance to the indictment. Id. at 303-04, 108 S.Ct. at 2401, 101 L.Ed.2d at 279. They wrote: [***20] "The initiation of judicial criminal proceedings is far from a mere formalism. It is the starting point of our whole system of adversary criminal justice. For it is only then that the government has committed itself to prosecute, and only then that the adverse positions of government and defendant have solidified. It is then that a defendant finds himself faced with the prosecutorial forces of organized society, and immersed in the 34 intricacies of substantive and procedural criminal law. It is this point, therefore, that marks the commencement of the 'criminal prosecutions' to which alone the explicit guarantees of the Sixth Amendment are applicable." [Id. at 304, 108 S.Ct. at 2401, 101 L.Ed.2d at 280 (quoting Kirby, supra, 406 U.S. at 690-91, 92 S.Ct. at 1882, 32 L.Ed.2d at 417-18).] Noting the "strong presumption against waivers," the dissent found the Miranda warnings inadequate to satisfy the defendant's [**406] Sixth Amendment right to counsel. The Miranda warnings [*272] amounted to a "gross understatement of the disadvantage [***21] of proceeding without a lawyer and an understatement of what a defendant must understand to make a knowing waiver." Id. at 307-08, 108 S.Ct. at 2403, 101 L.Ed.2d at 282. The dissent concluded that "without a careful discussion of the pitfalls of proceeding without counsel, the Sixth Amendment right cannot be properly waived," and that "[a]n adversary party, moreover, cannot adequately provide such advice. Consequently, once the right to counsel attaches and the adversary relationship between the state and the accused solidifies, a prosecutor cannot conduct a private interview without 'dilut[ing] the protection afforded by the right to counsel.'" Id. at 31011, 108 S.Ct. at 2404, 101 L.Ed.2d at 284 (quoting Maine v. Moulton, 474 U.S. 159, 171, 106 S.Ct. 477, 485, 88 L.Ed.2d 481, 493 (1985)). Patterson may be distinguished on its facts from the present case. The defendant in Patterson knew of his indictment when he confessed to the police, but Sanchez did not know that he had been indicted when the detectives interviewed him. In a footnote, however, the Patterson Court declined [***22] to consider whether a waiver would be effective if the defendant did not know that he or she had been indicted, writing: "Because, in this case, petitioner concedes that he was so informed * * * we do not address the question whether or not an accused must be told that he has been indicted before a postindictment Sixth Amendment waiver will be valid * * *." 487 U.S. at 295 n. 8, 108 S.Ct. at 2396 n. 8, 101 L.Ed.2d at 274 n. 8. The Court's reservation of that question may be more apparent than real. Patterson's holding is that Miranda warnings adequately alert an accused of the right to counsel and of the consequences of a decision to waive his or her Sixth Amendment rights during post-indictment questioning. 487 U.S. at 298, 108 S.Ct. at 2398, 101 L.Ed.2d at 276. "So long as the accused is made aware of the 'dangers and disadvantages of self-representation' during postindictment questioning, by use of the Miranda warnings, his waiver of his Sixth Amendment right to counsel at such questioning is 'knowing and intelligent.'" Ibid. [***23] That rationale [*273] suggests that nothing more than Miranda warnings are required during post-indictment interrogation for defendants to make a knowing and intelligent waiver of their Sixth Amendment right to counsel. We are left with a feeling of uncertainty whether the factual distinction between Patterson and the present case makes a difference. In several cases, we have concluded that the Sixth Amendment is more demanding than the Fifth Amendment. See State v. Clausell, 121 N.J. 298, 350-55, 580 A.2d 221 (1990) (noting distinction between waiver of Fifth and Sixth Amendment rights; finding no Sixth Amendment waiver had occurred because State failed to prove defendant had knowingly and intelligently waived right to counsel); State v. Stein, 70 N.J. 369, 383-86, 360 A.2d 347 (1976) (finding Fifth Amendment waiver valid, although no valid waiver of Sixth Amendment right); State v. Porter, 210 N.J.Super. 383, 389, 510 A.2d 49 (App.Div.) (noting different standards for Fifth and Sixth Amendment waiver; no Sixth [***24] Amendment violation from introduction of defendant-initiated postindictment statements given after Miranda waiver when counsel had not yet been appointed), certif. denied, 105 N.J. 556, 523 A.2d 191 (1986). But see State v. Darby, 211 N.J.Super. 367, 373, 511 A.2d 1222 (App.Div.), certif. denied, 105 N.J. 559, 523 A.2d 192 (1986). It now appears that we may have misperceived the relationship between those two amendments. Patterson states: While our cases have recognized a "difference" between the Fifth Amendment and Sixth Amendment rights to counsel, and the "policies" behind those constitutional guarantees, we have never suggested that one right is "superior" or "greater" than the other, nor is there any support in our cases for the notion that because a Sixth Amendment right may be involved, it is more difficult to waive than the Fifth Amendment counterpart. [487 U.S. at 297-98, 108 S.Ct. at 2397; 101 L.Ed.2d at 275.] [***25] Thus, Patterson holds that after indictment, a defendant may waive his or her [**407] right to counsel under the Sixth Amendment as readily as under the Fifth Amendment. [*274] -IVAs we noted five years ago, "[t]his Court has frequently resorted to our own State Constitution in order 35 to afford our citizens broader protection of certain personal rights than that afforded by analogous or identical provisions of the federal Constitution * * *." State v. Novembrino, 105 N.J. 95, 145, 519 A.2d 820 (1987). Although the language of article 1, paragraph 10 of the New Jersey Constitution is virtually identical with that of the Sixth Amendment, we have held in other contexts that the State Constitution affords greater protection of the right to counsel than is provided under the federal constitution. Those holdings constitute a body of pre-existing state law that informs our construction of the right to counsel as guaranteed by article 1, paragraph 10. See Right to Choose v. Byrne, 91 N.J. 287, 301, 450 A.2d 925 (1982) (holding "where a previously established body of state law [***26] leads to a different result, then we must determine whether a more expansive grant of rights is mandated by our State Constitution"); State v. Hunt, 91 N.J. 338, 365, 450 A.2d 952 (1982) (Handler, J., concurring) (identifying preexisting body of state law as criterion for invoking state constitution). The holding in Patterson requires that we reconsider whether our traditional commitment to the right to counsel leads to a different result in this case. See Hunt, supra, 91 N.J. at 367, 450 A.2d 952 (indicating that a state's "traditions may also provide a basis for the independent application of its constitution"); cf. State v. Williams, 93 N.J. 39, 58, 459 A.2d 641 (1983) (exceptionally-vigorous judicial tradition in this state favors open judicial proceedings). Historically, the guarantee of the right to counsel in the New Jersey Constitution antedates the adoption of the Sixth Amendment. For centuries, this State has highlighted the right to counsel. Consistent with the historical emphasis on that right, article [***27] 1, paragraph 10 of the New Jersey Constitution provides: [*275] In all criminal prosecutions, the accused shall have the right to a speedy and public trial by an impartial jury; to be informed of the nature and cause of the accusation; to be confronted with the witnesses against him; to have compulsory process for obtaining witnesses in his favor; and to have the assistance of counsel in his defense. That provision continues an earlier guarantee in article 1, paragraph 8 of the 1844 Constitution, which expressly provided that "[i]n all criminal prosecutions the accused shall have the right * * * to have the assistance of counsel in his defense." So steadfast has been our commitment that we have secured the right to counsel in settings in which that right has not been assured by federal law. For example, the right to counsel of indigent defendants has "existed in this state since 1795 -- more than 150 years before the United States Supreme Court put the indigent's right to counsel on a federal constitutional basis * * *." State in Interest of Antini, 53 N.J. 488, 490-91, 251 A.2d 291 (1969). Indeed, this State recognized [***28] an indigent's right to counsel not only before the United States Supreme Court, but before any other state had recognized that right. State v. Horton, 34 N.J. 518, 52223, 170 A.2d 1 (1961). In the context of multirepresentation of defendants by a single attorney, we also have recognized that the law of this state provided an independent basis for the recognition of the right to counsel. To assure a defendant's right to counsel, we presumed prejudice from the potential conflict of interest arising from the representation of multiple defendants, although the United States Supreme Court required an actual conflict to establish prejudice. We wrote: We recognize that our rule amounts to an absolute bar to multiple representation unless defendants are fully advised of the potential problems involved. While other courts have not chosen to follow this route when interpreting the Sixth Amendment, we are convinced that it is necessary to give full meaning to our State constitutional guarantee of the effective assistance of counsel. [State v. [**408] Belluci, 81 N.J. 531, 546-47, 410 A.2d 666 (1980).] [***29] Earlier, "to protect the proper interests of the defendant and to advance the sound administration of justice in our courts," we required the assignment of counsel for indigent defendants in municipal courts, although the United States Supreme Court [*276] had not yet addressed the issue. Rodriguez v. Rosenblatt, 58 N.J. 281, 294, 277 A.2d 216 (1971). In sum, the state constitutional guarantee of the right to counsel and our duty to supervise criminal trials provide an independent basis for deciding whether the post-indictment administration of Miranda warnings establishes that a defendant's waiver of the right to counsel was knowing and intelligent. To resolve the issue, we need not go so far as the New York Court of Appeals, which has held that "a criminal defendant under indictment and in custody may not waive his right to counsel unless he does so in the presence of an attorney." Settles, supra, 412 N.Y.S.2d at 879, 385 N.E.2d at 616. For example, a waiver may be valid if the defendant has been arraigned before a judicial officer who has advised [***30] the defendant "that he has been indicted, the significance of an indictment, that 36 he has a right to counsel, and the seriousness of his situation in the event he should decide to answer questions of any law enforcement officers in the absence of counsel." Mohabir, supra, 624 F.2d at 1153. The return of an indictment transforms the relationship between the State and the defendant. By obtaining the indictment, the State represents that it has sufficient evidence to establish a prima facie case. Once the indictment is returned, the State is committed to prosecute the defendant. From that moment, if not before, the prosecutor and the defendant are adversaries. Questioning the accused can be only "for the purpose of buttressing * * * a prima facie case." Settles, supra, 412 N.Y.S.2d at 879, 385 N.E.2d at 616; People v. Waterman, 9 N.Y.2d 561, 216 N.Y.S.2d 70, 73-76, 175 N.E.2d 445, 447-48 (1961). The spotlight is on the accused. Under those circumstances, the perfunctory recitation of the right to counsel [***31] and to remain silent may not provide the defendant with sufficient information to make a knowing and intelligent waiver. See United States v. Massimo, 432 F.2d 324, 327 (2d Cir.1970) (Friendly, J., dissenting) ("there would seem to be [*277] much ground for outlawing all statements resulting from post-arraignment of indictment interrogation * * * in the absence of counsel when the questioning has no objective other than to establish the guilt of the accused"). Such a recitation does not tell the defendant the nature of the charges, the dangers of selfrepresentation, or the steps counsel might take to protect the defendant's interests. Those steps include pretrial motions such as those to test the sufficiency of the indictment or to suppress illegally-seized evidence. They also include the negotiation, subject to the approval of the court, of a plea agreement. Given the adversarial nature of their relationship, for the State's representatives to communicate adequately that information to an indicted defendant would be difficult, nigh to impossible. As a general rule, after an indictment and before arraignment, prosecutors or their representatives [***32] should not initiate a conversation with defendants without the consent of defense counsel. Other considerations support that rule. The Rules of Professional Conduct (RPC) prohibit a prosecutor from seeking "to obtain from an unrepresented accused a waiver of important pretrial rights * * *." RPC 3.8. They also prevent a lawyer from communicating "about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so." RPC 4.2. The implication of these rules is that after the return of an indictment, prosecutors and their representatives should not initiate conversations with an uncounselled defendant. That a defendant is indigent and awaiting assignment of counsel does not free the prosecutor to proceed with an otherwise-prohibited interrogation. As Professor Gillers states, the identity of the lawyer for an indigent defendant is known: it will be the Public Defender or designated counsel. Stephen Gillers, Regulation of Lawyers 92 (1992). Conduct of an interview [**409] with a defendant by an investigating officer may not insulate the [***33] prosecutor. Even if not accountable for the unauthorized conduct of [*278] an investigating officer, a prosecutor should not ignore such conduct. Rule 3.8(e) of the American Bar Association's Model Rules of Professional Conduct (1992), although not part of RPC 3.8, provides that a prosecutor in a criminal case shall [e]xercise reasonable care to prevent investigators, law enforcement personnel, employees or other persons assisting or associated with the prosecutor in a criminal case from making an extrajudicial statement that the prosecutor would be prohibited from making under Rule 3.6 * * *. Concerning a prosecutor's duty not to obtain waivers unless they are knowing, voluntary, and intelligent, Professor Hazard writes that Rule [8.4(a)] "makes it clear that a prosecutor may not escape this duty by directing or permitting others to act in his stead. That comment implies a duty to take affirmative steps to assure that the police do not coerce a defendant into making a confession or waiving important rights." Geoffrey C. Hazard, Jr. & W. William Hodes, The Law of Lawyering: A Handbook on the Model Rules of Professional Conduct 696 (1992). Even if unprofessional [***34] conduct does not compel exclusion of illegally-obtained evidence, it can constitute an unfair practice that colors the determination whether a waiver of a right of counsel has been made knowingly and intelligently. Finally, the State argues that because "evidence of defendant's guilt flowed overwhelmingly from the eyewitnesses' accounts of the murder, admission of his confession was harmless beyond a reasonable doubt." We disagree. The test for determining whether an error is harmless "'is whether there is a reasonable possibility that the evidence complained of might have contributed to the conviction.'" Chapman v. California, 386 U.S. 18, 23, 87 S.Ct. 824, 827, 17 L.Ed.2d 705, 710 (1967) (quoting Fahy v. Connecticut, 375 U.S. 85, 86-87, 84 S.Ct. 229, 230, 11 L.Ed.2d 171, 173 (1963)); see R. 2:102 ("Any error or omission shall be disregarded by the appellate court unless it is of such a nature as to have been clearly capable of producing an unjust result * * *."). Measuring the admission of defendant's uncounselled statement against [***35] that stringent standard, we are left uncertain whether the error may have contributed to defendant's conviction. 37 [*279] We hold that the post-indictment interrogation of defendant violated his right to counsel under article 1, paragraph 10 of the New Jersey Constitution. The trial court should not have admitted his confession into evidence. We also hold that the admission of that confession was not harmless error. The judgment of the Appellate Division is reversed, and the matter is remanded to the Law Division. 38 STATE OF NEW JERSEY, PLAINTIFF-APPELLANT, v. P.Z., DEFENDANT-RESPONDENT. A-21 September Term 1996 SUPREME COURT OF NEW JERSEY 152 N.J. 86; 703 A.2d 901; 1997 N.J. LEXIS 530 October 8, 1996, Argued November 26, 1997, Decided PRIOR HISTORY: [***1] On appeal from the Superior Court, Appellate Division, whose opinion is reported at 285 N.J. Super. 219, 666 A.2d 1000 (1995). SYLLABUS (This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please note that, in the interests of brevity, portions of any opinion may not have been summarized). State of New Jersey v. P.Z.,152 N.J. 86, 703 A.2d 901 (1997) Argued October 8, 1996 -- Decided November 26, 1997 PORITZ, C.J., writing for a majority of the Court. The issue in this case is whether a caseworker from DYFS must give Miranda warnings to a parent prior to a non-custodial interview related to a child abuse investigation. In November 1993, defendant's seven-week-old daughter, C.Z., was admitted to Jersey Shore Medical Center where she was diagnosed with and treated for "Shaken Baby Syndrome." C.Z. suffered from both old and new bleeding in the brain and from retinal bleeding in both eyes. The hospital notified DYFS about C.Z.'s injuries as mandated by statute. DYFS commenced a Title Nine [***2] investigation and reported the case to the Ocean County Prosecutor's Office. children to DYFS but gave physical custody of the older child to defendant's father. C.Z. remained hospitalized. Shortly before April 5, 1994, defendant's wife informed her counselor that defendant had admitted causing C.Z.'s injuries. C.Z. had been hospitalized for five months and was expected to be released shortly. The mother's statement was therefore critical to the placement of both C.Z. and her older sister. DYFS caseworker Cheryl Ann Kobran attended a case planning conference with her supervisors and the [***3] Deputy Attorney General in charge of the Title Nine action to discuss how to proceed with the new information. It was decided that Kobran should interview P.Z. after contacting the Ocean County Prosecutor's Office to determine whether the interview would impede any pending investigation by that Office. On the morning of April 5, Kobran spoke to an investigator at the Prosecutor's Office and advised him that she planned to interview P.Z. The investigator told Kobran that, although the Prosecutor's Office could not interview defendant because he had a lawyer, there was no obstacle to DYFS questioning P.Z. The investigator also asked Kobran to report the results of her interview with defendant to the prosecutor. Later that day, Kobran and another DYFS caseworker made an unannounced home visit to defendant. Kobran told defendant she was there to ask him about his wife's statement that he had admitted causing his infant daughter's injuries. Defendant's father was present and Kobran asked him to leave the room because he was talking. The father complied and waited outside on the front porch. Initial interviews by a DYFS caseworker with defendant, his wife, and defendant's father did not reveal a plausible explanation for C.Z.'s injuries. The Attorney General instituted a civil action against defendant and his wife under Title Nine. DYFS sought temporary custody of C.Z. and her two-year-old sister, on grounds that C.Z. had been injured by "other than accidental means" and that DYFS was unable to ascertain who had caused the child's injuries. Defendant and his wife were represented by separate counsel in the Title Nine action. Defendant acknowledged that he knew why Kobran was there, but said his attorney had [***4] told him not to speak to anyone. Kobran nonetheless encouraged defendant to speak, telling him that she was there to complete the DYFS investigation and to decide where to place C.Z. upon her impending discharge from the hospital. Defendant admitted causing C.Z.'s injuries by shaking the baby two or three times because she was crying and he could not console her. He said he felt remorse for what had happened and deserved to be punished. Kobran advised defendant that his statement would be turned over to the Prosecutor's Office and left. The Chancery Division granted legal custody of both Almost six months later, on September 28, 1994, 39 defendant was charged with endangering the welfare of a child and aggravated assault, both second degree crimes. Defendant pled not guilty and his attorney moved to suppress defendant's statement to Kobran. The Title Nine action concluded on February 10, 1995, when custody of C.Z. and her sister was granted to their mother. be realized. The criminal justice system acts separately, but in tandem with the civil system, to investigate and prosecute those who abuse and neglect children. To the extent that criminal prosecution [***7] serves as a deterrent to child abuse, the criminal justice system also protects children. (pp. 9-16) At the suppression hearing, defendant claimed that his rights as guaranteed by the Fifth, Sixth, and Fourteenth Amendments to the United States Constitution had been violated by the State. The trial court determined that defendant's Fifth Amendment rights had not been violated [***5] because Kobran's interview with defendant was non-custodial. However, it considered that defendant had invoked his Sixth Amendment right to counsel when he told Kobran his attorney had advised him not to talk to her. The court found persuasive that a Title Nine action was pending, that counsel had been appointed for defendant, that the prosecutor was investigating the matter, and that the prosecutor had knowledge that the interview was taking place. 2. In Miranda, the U.S. Supreme Court determined that a custodial interrogation by law enforcement officers is inherently coercive, automatically triggering the Fifth Amendment privilege against self-incrimination. The predicate requirements of Miranda are that the defendant must be in custody and the interrogation must be carried out by law enforcement. The circumstances surrounding defendant's interview on April 5 fail to demonstrate the coercive atmosphere and restraint of freedom that comprises custodial interrogation. Defendant asserts, nonetheless, that he invoked the privilege against selfincrimination when he stated that his attorney had advised him not to speak with a DYFS investigator. Again, despite defendant's assertions to the contrary, the issue turns on his non-custodial status. The Court concludes that defendant's reference to his attorney did not, in this setting, require the DYFS investigator to terminate the interview. (pp. 16-25) The Appellate Division granted leave to appeal and affirmed. It focused on the "serious personal consequences" that flowed from a Title Nine proceeding and concluded that "there was at least some coercive element in the environment of the situation confronting defendant" because "parallel civil and criminal systems [were] both operating against [him]." It held that fundamental fairness and the Title Nine objective of child protection require that statements made to DYFS in the context of a Title Nine investigation may not be used against a party in a criminal action unless there is advice of Miranda rights and the affording of the Sixth Amendment right to counsel. The Court granted leave to appeal. HELD: There [***6] is no constitutional or other basis on which to hold defendant's April 5, 1994 statement inadmissible. The Court also finds no basis to require that DYFS caseworkers give Miranda warnings or afford a right to counsel during non-coercive, noncustodial interviews of parents subject to Title Nine investigations. 1. Title Nine was enacted to protect children from abuse and neglect. It contemplates criminal prosecution of acts of abuse and neglect that constitute crimes. It requires that DYFS immediately report all instances of suspected abuse and neglect to the county prosecutor. Title Nine responds to the terrible reality that not all children are safe with their families. At the same time, the goal of family rehabilitation and reunification is a priority unless that goal is not in the best interest of the child. The abused child's interest is paramount; only when the child can be protected within the family will the parents' interest in the care and custody of their child also 3. The state may not force an individual to choose between his or her Fifth Amendment privilege and another important [***8] interest because such choices are deemed to be inherently coercive. Defendant asserts that his statement was obtained in a coercive manner because he was faced with an implied threat that his children would not be returned unless he admitted responsibility for his youngest daughter's injuries. Although an admission of abuse may aid in the rehabilitative process, termination of custody is not automatic on invocation of the privilege. Defendant was not asked to choose between his children and the exercise of his right to remain silent. The Court concludes that defendant's statement to Kobran was not coerced in violation of his Fifth Amendment privilege against selfincrimination. (pp. 25-31) 4. The right to counsel in criminal proceedings does not attach until the return of an indictment or like process. The court below extended the right to counsel to Title Nine civil actions in which a complaint has been filed. The Court declines to expand the rights of Title Nine respondents to include protections accorded criminal defendants after they have been indicted or taken into custody. Defendant asserts that because Title Nine envisions a right to counsel once a complaint has been filed, [***9] he is entitled to have counsel present whenever a DYFS caseworker conducts a child abuse investigation. Acceptance of defendant's argument would shift the primary focus of Title Nine from the right of children to be protected from abuse and neglect to the right of parents to the custody of their children. (pp. 31- 40 37) 5. Defendant also claims that the Due Process Clause of the Fourteenth Amendment requires the suppression of his statement because it was not made voluntarily. Although defendant claims that he feared his children would not be returned if he did not confess, his subjective fear did not derive from a threat amounting to coercion. Defendant had a lawyer in the Title Nine proceeding who had advised him not to speak. He chose not to take that advice. In the totality of the circumstances, the Court holds that defendant's statement was voluntary. (pp. 37-44) 6. The court declines to apply the doctrine of fundamental fairness to require any additional procedural safeguards not now required by constitution or statute. The relationship between DYFS and the prosecutor concerned the Appellate Division in this case. The exchange of information between DYFS and the prosecutor [***10] that is statutorily required in these cases does not demonstrate such unfairness and want of consideration for justice that defendant's statement must be suppressed. Kobran's visit to P.Z. had a legitimate independent purpose and was not pretextual. If there was evidence that a DYFS worker met with defendant simply as a subterfuge to achieve law enforcement purposes, the Court might reach a different result. There was no such evidence here. (pp. 44-50) The judgment of the Appellate Division is REVERSED. JUSTICE POLLOCK, dissenting, in which JUSTICE COLEMAN joins, is of the view that it is fundamentally unfair to allow the prosecutor to introduce in defendant's criminal trial his uncounseled, inculpatory statement to a DYFS worker. JUSTICE COLEMAN, dissenting, is of the view that defendant's confession also should be suppressed under the Due Process Clause of the Fourteenth Amendment because it was coerced by the interrogator's not-so-subtle suggestion that if defendant did not cooperate, his fundamental right to his children would be jeopardized. JUSTICES HANDLER, O'HERN, GARIBALDI, and STEIN join in CHIEF JUSTICE PORITZ's opinion. JUSTICE [***11] POLLOCK has filed a separate, dissenting opinion, in which JUSTICE COLEMAN joins. JUSTICE COLEMAN has filed a separate, dissenting opinion. COUNSEL: Marc E. Roessler, Assistant Prosecutor, argued the cause for appellant (Daniel J. Carluccio, Ocean County Prosecutor, attorney; Mr. Roessler, Thomas M. Cannavo and Brent D. Miller, Assistant Prosecutors, on the briefs). James K. Smith, Jr., Assistant Deputy Public Defender, argued the cause for respondent (Susan L. Reisner, Public Defender, attorney; Mr. Smith and James Pinchak, Assistant Deputy Public Defender, on the brief). Peter D. Alvino, Deputy Attorney General, argued the cause for amicus curiae, New Jersey Division of Youth and Family Services (Peter Verniero, Attorney General of New Jersey, attorney; Andrea M. Silkowitz, Assistant Attorney General, of counsel). JUDGES: The opinion of the Court was delivered by PORITZ, C.J. POLLOCK, J., dissenting. Justice COLEMAN joins in this opinion. COLEMAN, J., dissenting. Chief Justice PORITZ, and Justices HANDLER, O'HERN, GARIBALDI and STEIN. Justices POLLOCK and COLEMAN. STEIN join in CHIEF Justice PORITZ's opinion. Jusitce POLLOCK has filed a separate dissenting opinion, in which Justice COLEMAN joins. Justice COLEMAN has filed a separate dissenting opinion. OPINION BY: PORITZ OPINION [*92] [**904] The opinion of the Court was delivered by PORITZ, [***12] C.J. We granted leave to appeal, 143 N.J. 480, 672 A.2d 1164 (1996), to consider whether a caseworker from the Child Protective Services Unit of the Division of Youth and Family Services ("DYFS" or "Division") must give Miranda warnings to a parent prior to a non-custodial interview related to a child abuse investigation. Defendant, P.Z., provided an inculpatory statement to a DYFS caseworker during an at-home interview conducted in the course of a Title Nine 1 inquiry. The caseworker reported the substance of the statement to the Ocean County Prosecutor's Office. When the prosecutor later filed criminal charges, defendant moved to suppress his statement. The trial court ruled defendant's statement inadmissible, and the Appellate Division affirmed. 285 N.J. Super. 219, 666 A.2d 1000 (1995). We reverse. 1 "Title Nine" is used generally herein to describe investigatory and other activities carried out by the Division pursuant to its duties to safeguard children under N.J.S.A. 9:6-1 to -8.73. I In November 1993, [***13] defendant's sevenweek-old daughter, C.Z., was admitted to Jersey Shore Medical Center where she was diagnosed with and treated for "Shaken Baby Syndrome." Shaken Baby 41 Syndrome was first recognized in the 1970s. Robin Elizabeth Margolis, Healthtrends, Healthspan, June 1994, at 21. Babies who have been grabbed by the chest or upper arms and violently shaken back and forth exhibit certain injuries characteristic of the syndrome. These babies may come to the attention of the medical community because of "projectile vomiting, sleepiness, poor appetite, eye hemorrhages, brain hemorrhages, and seizures." Ibid. Although they generally [**905] do not show signs of external injuries, babies who have been violently shaken may become severely brain-damaged or permanently blind. Some die. Ibid.; see also State v. Compton, 304 N.J. Super. 477, 485-87, 701 A.2d 468 (App.Div.1997) (discussing recognition of Shaken Baby [*93] Syndrome in "medical ... literature" and caselaw). C.Z. suffered from both old and new bleeding in the brain and from retinal bleeding in both eyes. The hospital notified DYFS about C.Z.'s injuries as mandated by N.J.S.A. 9:6-8.10 when there [***14] is "reasonable cause to believe that a child has been subjected to child abuse." DYFS commenced a Title Nine investigation and reported the case to the Ocean County Prosecutor's Office. Initial interviews conducted by a DYFS caseworker with defendant, his wife, and defendant's father did not reveal a plausible explanation for C.Z.'s injuries. Shortly thereafter, on behalf of DYFS and pursuant to N.J.S.A. 9:6-8.21 to -8.73 and N.J.S.A. 30:4C-12, the Attorney General instituted a civil action against defendant and his wife. DYFS sought temporary custody of C.Z. and her then two-year-old sister, M.Z., on the grounds that C.Z. had been injured by "other than accidental means" and that the Division was unable to ascertain who had caused the child's injuries. N.J.S.A. 9:6-8.21. Defendant and his wife were represented by separate counsel in the Title Nine action. The Chancery Division granted legal custody of both children to DYFS but gave physical custody of M.Z. to her paternal grandfather. C.Z. remained hospitalized. Two subsequent orders were entered in January and March. The first provided that M.Z. would remain with her paternal grandfather, that defendant and his [***15] wife would live at a different location and have no unsupervised contact with M.Z., that defendant would submit to a drug and alcohol evaluation, and that the couple would submit to counseling, psychiatric evaluation, and parenting skills classes. The second order directed DYFS to obtain recommendations from the treating therapist and from a physician about visitation and family reunification. Shortly before April 5, 1994, defendant's wife informed her counselor that defendant had admitted causing C.Z.'s injuries. C.Z. had been hospitalized for five months and was expected to be released shortly. Her mother's statement was therefore critical to [*94] the placement of both C.Z. and her older sister. DYFS caseworker Cheryl Ann Kobran attended a case planning conference with her supervisors and the Deputy Attorney General in charge of the Title Nine action to discuss how to proceed with the new information provided by defendant's wife. It was decided that Kobran should interview P.Z. after contacting the Ocean County Prosecutor's Office to determine whether the interview would impede any pending investigation by that office. On the morning of April 5, Kobran spoke to Investigator Joseph [***16] Lazzaro at the Prosecutor's Office and advised him that she planned to interview P.Z. Investigator Lazzaro informed Kobran that, although the Prosecutor's Office could not interview defendant because he had a lawyer, there was no obstacle to DYFS questioning P.Z. Lazzaro then asked Kobran to report the results of her interview with defendant to the prosecutor. Later that day, Kobran and another DYFS caseworker, Donna Martinez, made an unannounced home visit to defendant. Kobran had been working with the family and was familiar to P.Z. She told defendant she was there to ask him about his wife's statement that he had admitted causing his infant daughter's injuries. Defendant's father was present and Kobran asked him to leave the room because he was talking. The father complied with Kobran's request and waited outside on the front porch while Kobran completed the interview. Defendant acknowledged that he knew why Kobran was there, but said his attorney had told him not to speak to anyone. Kobran nonetheless encouraged defendant to speak, telling him that she was there to complete the DYFS investigation and to decide where to place C.Z. upon her impending discharge from the hospital. [***17] The caseworker also indicated concerns about M.Z.'s placement because of the new information obtained from P.Z.'s wife. Defendant admitted causing C.Z.'s injuries by shaking the baby two or three times because she was crying [**906] and he could not console her. He said that he felt remorse for what had happened and that he deserved to be punished. Kobran advised defendant [*95] that his statement would be turned over to the Prosecutor's Office and left with Martinez. Almost six months later, on September 28, 1994, defendant was charged with two crimes of the second degree: endangering the welfare of a child, in violation of N.J.S.A. 2C:24-4a, and aggravated assault, in violation of N.J.S.A. 2C:12-1b(1). Defendant pled not guilty to the charges and his attorney moved to suppress his April 5 statement to Kobran. The Title Nine action concluded on February 10, 1995 when custody of C.Z. and M.Z. was granted to their mother. A Miranda 2 hearing was held in May 1995. Defendant claimed that his rights, as guaranteed by the Fifth, Sixth, and Fourteenth Amendments to the United 42 States Constitution, had been violated by the State. The trial court ruled that defendant's statement was inadmissible [***18] at his criminal trial. The court determined that defendant's Fifth Amendment rights had not been violated because Kobran's interview with defendant was non-custodial. However, the court considered that defendant had invoked his Sixth Amendment right to counsel when he told Kobran his attorney had advised him not to talk to her. The court found persuasive that a Title Nine action was pending, that counsel had been appointed for defendant, that the Prosecutor's Office was investigating the matter, and that the prosecutor had knowledge that the "interview [was] taking place." 2 Miranda v. Arizona, 384 U.S. 436, 86 S. Ct. 1602, 16 L. Ed. 2d 694 (1966). The Appellate Division granted the State's motion for leave to appeal and affirmed the suppression of P.Z.'s statement. 285 N.J. Super. at 219, 666 A.2d 1000. The panel focused on the "serious personal consequences" that flowed from a Title Nine proceeding and concluded that "there was at least some coercive element in the environment of the situation confronting [***19] defendant" because "parallel civil and criminal systems [were] both operating against [him]." Id. at 227, 666 A.2d 1000. Despite "a paucity of case law" in support of its position, the court held [*96] broadly that "fundamental fairness and ... the Title Nine objective of child protection" require that statements made to DYFS in the context of a "Title Nine investigation may not be used against a party in a criminal action unless there is advice of Miranda rights and the affording of the Sixth Amendment right to counsel." Id. at 229, 666 A.2d 1000. II -AThe New Jersey Legislature has enacted two "separate and distinct" statutes to protect children from abuse and neglect and to provide for the termination of parental rights. New Jersey Div. of Youth & Family Servs. v. K.M., 136 N.J. 546, 558, 643 A.2d 987 (1994). Title Nine governs the adjudication of abuse and neglect cases, while Title Thirty sets forth the procedures for the permanent removal of children from their parents. See New Jersey Div. of Youth & Family Servs. v. E.B., 137 N.J. 180, 185, 644 A.2d 1093 (1994). The express purpose of Title Nine is to provide for the protection of children under 18 years of age who have had serious injury [***20] inflicted upon them by other than accidental means. It is the intent of this legislation to assure that the lives of innocent children are immediately safeguarded from further injury and possible death and that the legal rights of such children are fully protected. [N.J.S.A. 9:6-8.8.] Because child abuse and neglect are often difficult to detect, Title Nine provides that "[a]ny person having reasonable cause to believe that a child has been subjected to child abuse or acts of child abuse" must inform DYFS 3 immediately. N.J.S.A. 9:6-8.10. [*97] [**907] The Division is required to investigate the allegations, N.J.S.A. 9:6-8.11, -8.18; N.J.S.A. 30:4C-11, 12, and to take appropriate action to safeguard the child or children from further injury, N.J.S.A. 9:6-8.8, -8.11, 8.18. When warranted by the circumstances, DYFS may seek an order from the court placing the child in the protective custody of the State. N.J.S.A. 9:6-8.18. 3 Organized under the Department of Human Services, DYFS is the comprehensive social services State agency charged with the "care, custody, [and] guardianship" of children. N.J.S.A. 30:4C-4; see also N.J.S.A. 30:1-9, -12; N.J.S.A. 30:4C-26a. The Division investigates abuse and neglect complaints involving children and provides a wide range of programs and services to protect children in need, N.J.A.C. 10:120-1.1b, including: "protective services for abused and neglected children, foster and group home placements, residential placements, child care, adoption services, counseling, advocacy and case management, adult protective services and personal attendant services." N.J.A.C. 10:1201.2c. [***21] At the preliminary stage, before a complaint is filed, Title Nine permits DYFS to identify less serious cases that are suitable for adjustment. N.J.S.A. 9:6-8.35. Upon written notice to the parent or guardian, the Division may then hold a preliminary conference to resolve such cases informally. Ibid. Statements made by a potential respondent at the preliminary conference are inadmissible in any later factfinding hearing under Title Nine or in any criminal litigation prior to conviction. N.J.S.A. 9:6-8.36. When a case is unsuitable for informal resolution, DYFS is authorized to originate proceedings by filing a formal complaint alleging abuse and neglect in the Superior Court, Chancery Division, Family Part. N.J.S.A. 9:6-8.33, -8.34. Within three days, the child's parent or guardian must appear in court, at which time the court is required to inform "the parent or guardian of his [or her] right to have an adjournment to retain counsel and 43 consult with him [or her]." N.J.S.A. 9:6-8.43a. Indigent parents or guardians must be advised by the court of their right to apply for an attorney through the Office of the Public Defender. Ibid.; see also E.B., [***22] supra, 137 N.J. at 186, 644 A.2d 1093; New Jersey Div. of Youth and Family Servs. v. T.C., 251 N.J. Super. 419, 435, 598 A.2d 899 (App.Div.1991), certif. denied, 146 N.J. 564, 683 A.2d 1160 (1992). DYFS caseworkers maintain frequent contact with the family, meeting to discuss family history and dynamics, and ways to remediate problems leading to abuse or neglect. The Division may seek appropriate protective orders from the court requiring [*98] supervised visitation and rehabilitative services for both parents and children. N.J.S.A. 9:6-8.18, -8.28, -8.31, 8.50e, -8.51, -8.58. Title Nine contemplates criminal prosecution of acts of abuse and neglect that constitute crimes. 4 N.J.S.A. 9:6-8.36a specifically requires that DYFS "immediately report all [***23] instances of suspected child abuse and neglect ... to the county prosecutor." Likewise, once the Division files a child abuse complaint with the Family Part, the court must immediately send a copy of the complaint to the county prosecutor. N.J.S.A. 9:68.25a. Although DYFS records are subject to strict confidentiality requirements, an exception permits DYFS to provide information to law enforcement agencies investigating child abuse or neglect and to "[a] grand jury upon its determination that access to such records is necessary." 5 N.J.S.A. 9:6-8.10a(b)(2)(7). Title Nine also permits the prosecutor to institute a criminal action against the parent or guardian even as the child abuse action continues in the Family Part. N.J.S.A. 9:6-8.24d, 8.25c. 4 N.J.S.A. 9:6-3 provides that it is a crime of the fourth degree for a person having custody or control of a child to "abuse, abandon, be cruel to or neglectful of such child." Persons accused of abuse and neglect of a serious nature are prosecuted under the New Jersey Criminal Code (e.g., offenses of the first, second, third and fourth degrees, including assault, N.J.S.A. 2C:12-1, sexual assault, N.J.S.A. 2C:14-2, and endangering the welfare of a child, N.J.S.A. 2C:24-4). 5 On July 30, 1997, the Comprehensive Child Abuse Prevention and Treatment Act, which relaxes the confidentiality restrictions to which DYFS is subject, was enacted. L. 1997, c. 175. The Act not only allows disclosure of DYFS records in certain instances to the legal counsel of a child, parent or guardian, or to the parent or guardian himself or herself, but also allows disclosure to the public of "the findings or information about a case of child abuse or neglect which has resulted in a child fatality or near fatality." Id. § 16. [***24] The Division's regulations set forth guidelines and establish procedures for determining which cases must be referred to the prosecutor's office and how referrals are to be made. N.J.A.C. 10:129-1.1 to -1.5. The caseworker must report matters involving: [**908] the death of a child; suspected sexual abuse; any injury or [*99] condition requiring hospitalization or emergency room treatment; any injury requiring more than superficial medical attention (e.g., broken bones); repeated instances of physical violence committed against a child; substantial deprivation of necessary care over a period of time; or abandonment of a child. N.J.A.C. 10:129-1.3a(1)-(6). As soon as DYFS has information that the child's condition or injury fits one of the enumerated categories and "the caseworker has reason to believe that the condition or injury was not accidentally caused," a referral is required. N.J.A.C. 10:129-1.3d; see also N.J.A.C. 10:129-1.3e. If the prosecutor decides to bring a criminal case, the caseworker must be advised. N.J.A.C. 10:129-1.5c. -BJustice O'Hern has spoken eloquently of the intrusion of the real world into "that model of the family that our popular culture [***25] portrays." New Jersey Div. of Youth and Family Servs. v. A.W., 103 N.J. 591, 599, 512 A.2d 438 (1986). In the real world children are abused and neglected, most often in their homes where we expect them to be kept safe from harm. Title Nine responds to the terrible reality that not all children are safe with their families by providing for the removal of abused and neglected children and for appropriate protective orders when necessary to ensure their safety. The inquiry in every case focuses on the best interests of the child. At the same time, the goal of family rehabilitation and reunification--the return of the child to the family--is a priority "unless that goal is not in the best interest of the child." N.J.S.A. 30:4C-60. The goal recognizes both the value to children of being restored to their families when possible, and the rights of parents to be with and to raise their children. See In re Guardianship of J.C., 129 N.J. 1, 7-8, 608 A.2d 1312 (1992); A.W., supra, 103 N.J. at 599-600, 512 A.2d 438. The abused child's interest is paramount; only when the child can be protected within the family will [*100] the parents' interest in the care and custody of their child also be realized. The criminal [***26] justice system acts separately, but in tandem with the civil system, to investigate and prosecute those who abuse and neglect children. To the extent that the prospect of criminal prosecution serves as a deterrent to child abuse, the criminal justice system also protects children. See Douglas J. Besharov, Child Abuse: Arrest and Prosecution Decision-Making, 24 Am. Crim. 44 L. Rev. 315, 321 (1986). In some cases, the offender's removal from the home by prosecutorial authorities is in the best interests of the child. Id. at 333. This case requires us to consider the rights of a parent who is under investigation for child abuse by DYFS pursuant to Title Nine and who may be subject to criminal prosecution for the same abusive behavior. III The State contends that defendant's Fifth Amendment privilege against self-incrimination was not violated when he spoke to the DYFS caseworker on April 5, 1994. It is the State's position that the caseworker was not obligated to give Miranda warnings or, alternatively, to cease questioning defendant when he said that his lawyer told him not to speak to anyone. The State denies that defendant was coerced into admissions of child abuse [***27] by an implied threat that his children would not be returned unless he made a statement. -AThe Fifth Amendment privilege against selfincrimination, made applicable to the states through the Fourteenth Amendment, provides that "[n]o person ... shall be compelled in any criminal case to be a witness against himself." U.S. Const. amend. V. As explained in Malloy v. Hogan, 378 U.S. 1, 8, 84 S. Ct. 1489, 1493, 12 L. Ed. 2d 653, 659 (1964), the Fifth Amendment protects "the right [*101] of a person to remain silent unless he chooses to speak in the unfettered exercise of his own free will, and to suffer no penalty ... for such silence." It reflects our understanding that government is "constitutionally compelled to establish guilt by evidence independently and freely secured, and [**909] may not by coercion prove a charge against an accused out of his own mouth." Ibid. In New Jersey, the privilege is derived from the common law and is codified in our statutes and rules. State v. Reed, 133 N.J. 237, 250, 627 A.2d 630 (1993); see N.J.S.A. 2A:84A-19; N.J.R.E. 503. Its importance is not diminished by the lack of specific constitutional articulation; rather, from [***28] colonial times, "New Jersey has recognized the right against self-incrimination and has consistently and vigorously protected that right." Reed, supra, 133 N.J. at 250, 627 A.2d 630. A person invoking the privilege against selfincrimination may do so "'in any ... proceeding, civil or criminal, formal or informal, where the answers might tend to incriminate him in future criminal proceedings.'" Minnesota v. Murphy, 465 U.S. 420, 426, 104 S. Ct. 1136, 1141, 79 L. Ed. 2d 409, 418 (1984) (quoting Lefkowitz v. Turley, 414 U.S. 70, 77, 94 S. Ct. 316, 322, 38 L. Ed. 2d 274, 281 (1973)); Banca v. Town of Phillipsburg, 181 N.J. Super. 109, 114-15, 436 A.2d 944 (App.Div.1981); see New Jersey Div. of Youth & Family Servs. v. S.S., 275 N.J. Super. 173, 179, 645 A.2d 1213 (App.Div.1994). However, the privilege is not selfexecuting under either federal or state law and must be invoked by anyone claiming its protection. Murphy, supra, 465 U.S. at 428-29, 104 S. Ct. at 1142-43, 79 L. Ed. 2d at 419-20; Reed, supra, 133 N.J. at 251, 627 A.2d 630. Generally, when the privilege is not asserted and the person questioned chooses to answer, the choice to respond [***29] is considered voluntary. Murphy, supra, 465 U.S. at 429, 104 S. Ct. at 1143, 79 L. Ed. 2d at 420; State v. Fary, 19 N.J. 431, 435, 117 A.2d 499 (1955). As is well known, an exception to this general rule was created by the United States Supreme Court more than thirty years ago in Miranda v. Arizona, 384 U.S. 436, 86 S. Ct. 1602, 16 L. Ed. 2d 694 [*102] (1966), wherein the Court determined that a custodial interrogation by law enforcement officers is inherently coercive, automatically triggering the Fifth Amendment privilege against self-incrimination. "Miranda warnings" are now household words in the United States. Today even schoolchildren know that when a person in police custody is questioned by law enforcement, he must be told that he has the right to remain silent, that any statement he makes may be used against him, that he has the right to an attorney, and that if he cannot afford an attorney, one will be provided for him. Id. at 444, 86 S. Ct. at 1612, 16 L. Ed. 2d at 706-07. The predicate requirements of Miranda are that the defendant must be in custody and the interrogation must be carried out by law enforcement. [***30] Id. at 444, 86 S. Ct. at 1612, 16 L. Ed. 2d at 706. Miranda turns on the potentially inquisitorial nature of police questioning and the inherent psychological pressure on a suspect in custody. Id. at 445-58, 86 S. Ct. at 1612-19, 16 L. Ed. 2d at 707-14. The rule Miranda enunciates is prophylactic, designed to overcome the singular problems associated with custodial interrogation after a defendant is arrested or otherwise confined. Murphy, supra, 465 U.S. at 433, 104 S. Ct. at 1145, 79 L. Ed. 2d at 423; Beckwith v. United States, 425 U.S. 341, 346, 96 S. Ct. 1612, 1616, 48 L. Ed. 2d 1, 7 (1976). -BDefendant acknowledges he was not in custody when Cheryl Ann Kobran questioned him. We note that application of the totality of the circumstances test followed by both the federal and New Jersey courts would defeat a claim that he was in custody at the time of his interview. See Stansbury v. California, 511 U.S. 318, 322, 114 S. Ct. 1526, 1528-29, 128 L. Ed. 2d 293, 298 (1994); State v. Pierson, 223 N.J. Super. 62, 67, 537 A.2d 1340 (App.Div.1988). Under federal law, the "ultimate 45 inquiry is simply whether [***31] there is a 'formal arrest or restraint on freedom of movement' of the degree associated with a formal arrest." California v. Beheler, [*103] 463 U.S. 1121, 1125, 103 S. Ct. 3517, 3520, 77 L. Ed. 2d 1275, 1279 (1983) (internal quotation marks omitted). Our courts have also recognized that "custody in the Miranda sense does not necessitate a formal arrest, 'nor does it require physical restraint in a police station, nor the application of handcuffs, and may occur in a suspect's home or a public place other than a police station.'" [**910] State v. Lutz, 165 N.J. Super. 278, 285, 398 A.2d 115 (App.Div.1979) (quoting State v. Godfrey, 131 N.J. Super. 168, 175, 329 A.2d 75 (App.Div.1974)), aff'd, 67 N.J. 267, 337 A.2d 371 (1975). The critical determinant of custody is whether there has been a significant deprivation of the suspect's freedom of action based on the objective circumstances, including the time and place of the interrogation, the status of the interrogator, the status of the suspect, and other such factors. See State v. Coburn, 221 N.J. Super. 586, 59697, 535 A.2d 531 (App.Div.1987), certif. denied, 110 N.J. 300, 540 A.2d 1281 (1988); In re A.B., 278 N.J. Super. 380, 384, 651 A.2d 118 (Ch.Div.1994); [***32] see also J.F. Ghent, What Constitutes "Custodial Interrogation" Within Rule of Miranda v. Arizona Requiring That Suspect be Informed of His Federal Constitutional Rights Before Custodial Interrogation, 31 A.L.R.3d 565, 577 (1970). The circumstances surrounding defendant's interview on April 5 fail to demonstrate the coercive atmosphere and restraint of freedom that comprises a custodial interrogation. Defendant was interviewed in his home, during the day, with his father nearby. He had complete freedom to come and go as he pleased. Although two caseworkers were present, he was questioned by only one, Kobran, with whom he was familiar. The caseworker's questions were not threatening and the interview was not lengthy. In short, none of the indicia of coercion were present in the circumstances of the interview. Because defendant was not in custody when he was questioned by Kobran, we need not reach the question whether Kobran was acting as a law enforcement officer. This case is thus distinguishable from the two previous New Jersey cases which held that [*104] DYFS workers were acting as law enforcement officers when they questioned defendants who were incarcerated. See State [***33] v. Helewa, 223 N.J. Super. 40, 537 A.2d 1328 (App.Div.1988); State v. Flower, 224 N.J. Super. 208, 539 A.2d 1284 (Law Div.1987), aff'd, 224 N.J. Super. 90, 539 A.2d 1223 (App.Div.1988). In Helewa, supra, the defendant had been advised of his Miranda rights upon his arrest for sexually assaulting his two daughters. 223 N.J. Super. at 42, 537 A.2d 1328. He was subsequently interviewed by a caseworker while incarcerated in the Middlesex County Adult Corrections Center. Ibid. The court held that "the DYFS caseworker must be equated with a law enforcement officer for purposes of Miranda when conducting a custodial interview." Id. at 52, 537 A.2d 1328. Similarly, in Flower, supra, the defendant was interviewed by a caseworker when he was incarcerated in a county jail after having been arrested and charged with the sexual assault of a three-and-a-half year old child. 224 N.J. Super. at 211, 539 A.2d 1284. After observing, "[i]t is not all questioning by a social service worker that will constitute acting in a law enforcement capacity," id. at 218, 539 A.2d 1284, the court held that, in the circumstances, the caseworker should have given the defendant Miranda warnings, id. at 220, 539 A.2d 1284. In both cases, the defendants had been [***34] arrested and confined at the time of the interviews. Defendant claims he "did not lose all of his Fifth Amendment protections simply because he was not in custody at the time he was questioned." He asserts that the privilege against self-incrimination applied to the DYFS interview and that he properly invoked the privilege when he stated that his attorney had advised him not to speak with Ms. Kobran. Certainly, defendant retained his Fifth Amendment protections during his interview with Kobran. The question is whether, in the circumstances, Miranda warnings were required or whether it rested with defendant to assert his privilege. See Murphy, supra, 465 U.S. at 429-30, 104 S. Ct. at 1143-44, 79 L. Ed. 2d at 420-21. If Miranda warnings were required, defendant's reference to his attorney's advice [*105] would have been tantamount to an invocation of his right to remain silent. Again, despite defendant's assertions to the contrary, the issue turns on his non-custodial status. Had defendant been in custody at the time of the interview, under New Jersey law his "request, 'however ambiguous,' to terminate questioning" would have been sufficient to trigger his right [***35] to remain silent. State v. Hartley, 103 N.J. 252, 263, 511 A.2d 80 (1986) (quoting State v. Kennedy, 97 N.J. 278, 288, 478 A.2d 723 (1984)). Likewise, [**911] his invocation of the right to counsel "need not [have been] articulate, clear, or explicit ...; any indication of a desire for counsel, however ambiguous, will trigger entitlement to counsel." Reed, supra, 133 N.J. at 253, 627 A.2d 630 (observing also that "the state right against self-incrimination is based on the understanding that the privilege is defined by ... ancillary rights, like the right to counsel during custodial interrogation"); see also State v. Chew, 150 N.J. 30, 63, 695 A.2d 1301 (1997) (holding that "defendant's request that his mother contact his attorney was an equivocal invocation of the right to counsel that had to be clarified before questioning could take place"). However, defendant was not in custody when he answered the caseworker's questions. Although he was 46 free to remain silent and to insist upon having his lawyer present, the circumstances were not such as to require Kobran to stop the interview when defendant said that his lawyer had advised him not to discuss the matter with anyone. Later P.Z. testified at [***36] his suppression hearing that he had an agreement with his wife to inform DYFS "[t]hat I shook the baby." P.Z.'s version of the events leading up to and including the interview with Kobran confirm that defendant had decided, prior to Kobran's visit, and irrespective of his lawyer's admonition, to admit shaking his daughter. That decision was his to make. We conclude that defendant's reference to his attorney did not, in this setting, invoke his right to remain silent such that Kobran was required to terminate the interview. [*106] -CCustodial interrogations by law enforcement officers are not the only special circumstances in which the Fifth Amendment privilege against self-incrimination is selfexecuting. Murphy, supra, 465 U.S. at 434, 104 S. Ct. at 1145-46, 79 L. Ed. 2d at 423-24. Both the United States Supreme Court and our New Jersey courts have consistently held that the state may not force an individual to choose between his or her Fifth Amendment privilege and another important interest because such choices are deemed to be inherently coercive. See Lefkowitz v. Cunningham, 431 U.S. 801, 805-08, 97 S. Ct. 2132, 2135-37, 53 L. Ed. 2d 1, [***37] 6-9 (1977) (holding unconstitutional statute that required political party officer to testify without immunity before grand jury or forfeit his office and be barred from holding another party office); Turley, supra, 414 U.S. at 75-84, 94 S. Ct. at 321-25, 38 L. Ed. 2d at 281-85 (holding unconstitutional statute that compelled public contractors to testify without immunity concerning their state contracts or forfeit those contracts and be disqualified from future state dealings); State v. Clark, 58 N.J. 72, 8392, 275 A.2d 137 (1971) (holding both Fifth Amendment and public policy require that neither unmarried welfare applicant nor father of her children could be prosecuted for fornication where applicant was required to institute bastardy proceedings against father to obtain benefits); Hirsch v. New Jersey State Bd. of Med. Exam'rs, 252 N.J. Super. 596, 605-09, 600 A.2d 493 (App.Div.1991) (holding physicians could not be compelled to answer questions about drug use upon threat of suspension or non-renewal of medical license without accord of immunity), aff'd, 128 N.J. 160, 607 A.2d 986 (1992); see also Garrity v. New Jersey, 385 U.S. 493, 499-500, 87 S. Ct. 616, 620, [***38] 17 L. Ed. 2d 562, 566-67 (1967) (holding that, consistent with guarantees of Fourteenth Amendment, State may not compel police officers to answer work-related questions or lose their employment). These cases are based on the principle that the Fifth Amendment is violated "when a State compels testimony by threatening to inflict potent sanctions unless the constitutional [*107] privilege is surrendered." Cunningham, supra, 431 U.S. at 805, 97 S. Ct. at 2135, 53 L. Ed. 2d at 7. In this case, defendant asserts that his statement was obtained in a similarly coercive manner because he was faced with an implied threat that his children would not be returned unless he admitted responsibility for his youngest daughter's injuries. Defendant testified that "someone," not Kobran or Martinez, had advised him and his wife that "we would get our children back if one of us would confess--whether we did it or not--to the injuries." This "someone," it is claimed, [**912] placed undue pressure on defendant to admit child abuse in order to regain custody of his children. We begin with the general observation that, by acknowledging their abusive behaviors, parents can begin to understand [***39] and reform those behaviors, and that acknowledgment is an important step in the rehabilitation of the family. See In re H.R.K., 433 N.W.2d 46, 50 (Iowa.Ct.App.1988) ("[T]he requirement that the parents acknowledge and recognize the abuse before any meaningful change can occur is essential to meeting the child's needs."); In re S.A.V., 392 N.W.2d 260, 264 (Minn.Ct.App.1986) ("The trial court's finding that the parents need to recognize the cause of the children's injuries before any meaningful change can occur recognizes that a parent who acknowledges the need for professional help is more amenable to treatment than one who denies the need for such help."). At P.Z.'s suppression hearing, the DYFS caseworker confirmed the view that "in general" parental counseling is more effective when the parents "admit what they did wrong" and that parents who are trying to deal with their problems "ultimately do better in getting their children back." Her understanding is supported by theories about rehabilitation in other contexts. See, e.g., State v. Leggeadrini, 75 N.J. 150, 160, 380 A.2d 1112 (1977) (discussing criminal defendant's amenability to rehabilitation upon "acknowledgment [***40] of grievous wrongdoing" as mitigating factor to be taken into account in sentencing). [*108] Although an admission of abuse may aid in the rehabilitative process, termination of custody is not automatic on invocation of the privilege. We therefore consider inapplicable those cases holding unconstitutional a requirement that an individual choose between the right to remain silent and another vital interest. We note that the Supreme Courts of Minnesota and Vermont have reached similar conclusions. See In re J.W., 415 N.W.2d 879 (Minn.1987); In re M.C.P., 153 Vt. 275, 571 A.2d 627 (1989). In In re J.W., supra, the Minnesota Supreme Court was confronted with "a courtordered treatment plan requiring [the parents of neglected 47 children] to make incriminating disclosures as part of their rehabilitation therapy." 415 N.W.2d at 880. When the parents invoked their Fifth Amendment privilege, the state's attorney indicated his intention to file for termination of parental rights. Id. at 882. "This threat," the court said, "is genuine, direct, and immediate, and the penalty threatened is a 'potent sanction.'" Ibid. (citing Cunningham, supra, 431 U.S. at 805, 97 [***41] S. Ct. at 2135, 53 L. Ed. 2d at 7). The court held that the order of the lower court, "to the extent it requires appellants to incriminate themselves, violates [their] Fifth Amendment rights and is unenforceable." The Minnesota Supreme Court's holding is consistent with the decisions of the United States Supreme Court and this Court in cases where individuals were compelled to testify or lose a previously held benefit. See supra at 106-107, 703 A.2d at 911-912. Of particular relevance to this case, however, is the court's further discussion about the scope of the privilege when there is no direct threat but, instead, a possibility that therapeutic outcomes will be determinative of parental rights. The court considered the parents' choice whether or not to admit abuse unprotected by the Fifth Amendment: While the state may not compel therapy treatment that would require appellants to incriminate themselves, it may require parents to otherwise undergo treatment. Therapy, however, which does not include incriminating disclosures, may be ineffective; and ineffective therapy may hurt the parents' chances of regaining their children. These consequences lie outside [***42] the protective ambit of the Fifth Amendment. .... [*109] ... In the lexicon of the Fifth Amendment, the risk of losing the children for failure to undergo meaningful therapy is neither a "threat" nor a "penalty" imposed by the state. It is simply a consequence of the reality that it is unsafe for children to be with parents who are abusive and violent. [In re J.W., supra, 415 N.W.2d at 883-84 (footnote omitted).] Certainly, the state could decide in a particular case that a parent should be compelled [**913] to speak to a counselor, with the result that any incriminating statement could not later be used in a criminal prosecution. As the dissent points out, infra at 129-130, 703 A.2d at 923 (Pollock, J., dissenting), the Minnesota Court recognized that this is a choice left to the state. In discussing this issue, however, the dissent confuses the public policy choice faced by the State with the legal issue of admissibility. Ibid. P.Z. was not asked to choose between his children and the exercise of his right to remain silent. If he abused his daughter, and if he refused to acknowledge his acts of abuse, he would find it difficult [***43] to demonstrate that he could care for his children without harming them. This was the risk he faced. Kobran did not threaten him with termination of his parental rights if he did not confess; nor did she tell him that the only way he could get his children back was to confess. We conclude that defendant's statement to Kobran was not coerced in violation of his Fifth Amendment privilege against selfincrimination. IV The State also claims that defendant's April 5 statement was not obtained in violation of his Sixth Amendment right to counsel. The Sixth Amendment provides that "[i]n all criminal prosecutions, the accused shall enjoy the right ... to have the Assistance of Counsel for his defense." U.S. Const. amend. VI. Once the right to counsel has attached, "whether by way of formal charge, preliminary hearing, indictment, information, or arraignment," Kirby v. Illinois, 406 U.S. 682, 688-89, 92 S. Ct. 1877, 1882, 32 L. Ed. 2d 411, 417 (1972), it can be exercised by the accused at all critical stages of a criminal proceeding, see White v. Maryland, [*110] 373 U.S. 59, 59-60, 83 S. Ct. 1050, 1051, 10 L. Ed. 2d 193, 194 (1963), including questioning [***44] by law enforcement personnel, Brewer v. Williams, 430 U.S. 387, 397-401, 97 S. Ct. 1232, 1239-41, 51 L. Ed. 2d 424, 436-38 (1977). The right to counsel embodied in Article I, Paragraph 10 of the New Jersey Constitution is virtually identical to the Sixth Amendment right to counsel, and similarly attaches upon the return of an indictment or like process because, prior to that point in time, "the State's investigative effort ... is at a preliminary stage, ... the police may still be attempting ... to solve the crime[,] ... [and] the State's decision to prosecute has not solidified." State v. Tucker, 137 N.J. 259, 290, 645 A.2d 111 (1994), cert. denied, 513 U.S. 1090, 115 S. Ct. 751, 130 L. Ed. 2d 651 (1995). Tucker fixes upon the return of the indictment because that event transforms the relationship between the State and the defendant. By obtaining the indictment, the State represents that it has sufficient evidence to establish a prima facie case. Once the indictment is returned, the State is committed to 48 prosecute the defendant. [Id. at 287, 645 A.2d 111 (quoting State v. Sanchez, 129 N.J. 261, 276, [***45] 609 A.2d 400 (1992)).] Although this Court has held that the right to counsel found in Article I, Paragraph 10 of the New Jersey Constitution can provide greater protection than the Sixth Amendment right to counsel, see Sanchez, supra, 129 N.J. at 275-77, 609 A.2d 400, we have read Article I, Paragraph 10 as consonant with the Federal Constitution on the issue of when the right to counsel is triggered, Tucker, supra, 137 N.J. at 291, 645 A.2d 111. In this case, when defendant was interviewed by Kobran on April 5, 1994, he was not the subject of a criminal prosecution since, at that time, he had not been arrested, indicted or arraigned. It was not until September 28, 1994, almost six months after Kobran questioned P.Z., that an indictment was issued against him. During the pre-indictment period of criminal investigation, a law enforcement officer could have questioned defendant without implicating his Sixth Amendment or Article I right to counsel. See Kirby, supra, 406 U.S. at 688-89, 92 S. Ct. at 1881-82, 32 [*111] L. Ed. 2d at 417; Tucker, supra, 137 N.J. at 290-91, 645 A.2d 111. It follows that an interview by a social worker would not trigger the right to counsel during [***46] this period. The court below extended the Sixth Amendment right to counsel to Title Nine civil actions in which a complaint has been [**914] filed. However, the right to counsel guaranteed by both the Sixth Amendment and Article I applies by its terms to criminal prosecutions only. See Gideon v. Wainwright, 372 U.S. 335, 339-45, 83 S. Ct. 792, 794-97, 9 L. Ed. 2d 799, 802-06 (1963) (recognizing Sixth Amendment right to counsel extends to state criminal prosecutions); Johnson v. Zerbst, 304 U.S. 458, 462, 58 S. Ct. 1019, 1022, 82 L. Ed. 1461, 1465 (1938) (applying Sixth Amendment right to counsel in federal criminal prosecution); Tucker, supra, 137 N.J. at 287, 645 A.2d 111 (applying Article I right to counsel in criminal prosecution); Sanchez, supra, 129 N.J. at 276-77, 609 A.2d 400 (same). Defendant nonetheless suggests that his fundamental interest in the care and custody of his children, see Santosky v. Kramer, 455 U.S. 745, 753, 102 S. Ct. 1388, 1394, 71 L. Ed. 2d 599, 606 (1982); In re Promulgation of Guardianship Servs. Regs., 103 N.J. 619, 634, 512 A.2d 453 (1986), either requires counsel to be present when defendant is questioned by DYFS [***47] or requires his comment about his lawyer's advice to be considered an invocation of the right to counsel. Whether the question is framed in terms of rights ancillary to the right to remain silent, see Reed, supra, 133 N.J. at 250-53, 627 A.2d 630, or in terms of the Article I, Paragraph 10 right to counsel, we decline to expand the rights of Title Nine respondents to include protections accorded criminal defendants after they have been indicted or taken into custody. Title Nine does not limit the use of statements made by respondents except where DYFS holds an informal preliminary conference in less serious cases. See N.J.S.A. 9:6-8.36 (prohibiting admission "into evidence" at Title Nine hearing or in criminal trial of statements made during preliminary conference). The statute contemplates that cases involving "imminent physical harm or actual physical harm" will be directed to the Superior Court "on [*112] a priority basis." N.J.S.A. 9:6-8.35f. Title Nine specifically requires the court to advise parents of their right to counsel at the first hearing after DYFS files a complaint in Superior Court alleging abuse and neglect. N.J.S.A. 9:6-8.43a. This requirement ensures that parents [***48] have a meaningful opportunity to be heard during Title Nine proceedings and that their fundamental interest in the custody and care of their children is protected. Presumably, the Legislature considered that the right to counsel set forth in the statute provides safeguards sufficient to protect persons alleged by DYFS to have abused or neglected their children. In contrast, the Appellate Division imported Sixth Amendment protections into Title Nine civil proceedings. Defendant asks us to do the same. He asserts "that [because] both the governing statutes and our own State Constitution envision a right to counsel once a complaint has been filed in a Title Nine case," he is entitled to have counsel present whenever a DYFS caseworker conducts a child abuse investigation. In our view, acceptance of defendant's argument would shift the primary focus of Title Nine from the right of children to be protected from abuse and neglect to the right of parents to the custody of their children. Those rights are not in equipoise. Only when the family can be rehabilitated and the children safely returned can the parents' rights be fully realized. There is in these cases a complex of interests to [***49] be considered, suggesting to a court that some caution is appropriate. Forcing a DYFS caseworker to choose between providing Miranda warnings and foreclosing the use in criminal proceedings of information obtained in the course of an abuse and neglect investigation will not inure to the protection of children. We decline to tip the balance by requiring additional protections for the parents of abused children to be imported from our criminal jurisprudence into Title Nine proceedings. V The State also asserts that suppression of defendant's 49 statement to Kobran is not required by the Due Process Clause of [*113] the Fourteenth Amendment of the United States Constitution because defendant made the statement voluntarily. Long before Miranda v. Arizona, supra, the United States Supreme Court held that certain "interrogation techniques ... are so offensive to a [**915] civilized system of justice that they must be condemned under the Due Process Clause." Miller v. Fenton, 474 U.S. 104, 109, 106 S. Ct. 445, 449, 88 L. Ed. 2d 405, 410 (1985) (citing Brown v. Mississippi, 297 U.S. 278, 56 S. Ct. 461, 80 L. Ed. 682 (1936)). Miranda established a [***50] per se rule to counteract the inherently coercive nature of custodial interrogations by law enforcement; it did not eliminate the due process requirement that all statements given during an interrogation must be voluntary. See id. at 109-10, 106 S.Ct. at 449, 88 L.Ed.2d at 410-11. would be cut off, and her children taken away from her, if she did not 'cooperate.'" Id. at 534, 83 S. Ct. at 920, 9 L. Ed. 2d at 926. The Court described the circumstances of the arrest as follows: To determine whether a statement was made voluntarily, both the federal and New Jersey courts consider whether it was "the product of an essentially free and unconstrained choice by its maker," in which case the statement may be used against the defendant, or whether the defendant's "will has been overborne and his capacity for self-determination critically impaired," in which case use of the statement "offends due process." Schneckloth v. Bustamonte, 412 U.S. 218, 225-26, 93 S. Ct. 2041, 2047, 36 L. Ed. 2d 854, 862 (1973); see State v. Galloway, 133 N.J. 631, 654, 628 A.2d 735 (1993). This issue can be resolved only after an assessment of the "totality of the circumstances" surrounding the statement. Arizona v. Fulminante, 499 U.S. 279, 285-86, 111 S. Ct. 1246, 1251-52, 113 L. Ed. 2d 302, 315 (1991); Galloway, supra, 133 N.J. at 654, 628 A.2d 735 (observing also [***51] that, in New Jersey, the State must prove voluntariness beyond a reasonable doubt). This test is much like the test used to determine whether a defendant is in custody under the Fifth Amendment, except that a voluntariness review includes consideration of "both the characteristics of the accused and the details of the interrogation." Schneckloth, supra, 412 U.S. at 226, 93 S. Ct. at 2047, 36 L. Ed. 2d at 862; see also State v. Miller, 76 N.J. 392, 402, 388 A.2d 218 (1978) (listing relevant factors such as "age, [*114] education and intelligence, advice as to constitutional rights, length of detention, whether the questioning was repeated and prolonged in nature, and whether physical punishment or mental exhaustion was involved"). The Court held that a confession made under such circumstances was coerced and could "not be deemed 'the product of a rational intellect and a free will.'" Ibid. (citation omitted). P.Z. claims that his statement was not made voluntarily. He relies on two cases in which confessions were suppressed after specific threats by police officers that a defendant's children would be taken away. In Lynumn v. Illinois, 372 U.S. 528, 83 S. Ct. 917, 9 L. Ed. 2d 922 (1963), the defendant made an oral admission during the course of an arrest. The admission was procured after the arresting officers told the defendant "that [***52] state financial aid for her infant children These threats were made while she was encircled in her apartment by three police officers and a twice convicted felon who had purportedly "set her up." There was no friend or advisor to whom she might turn. She had had no previous experience with the criminal law, and had no reason not to believe that the police had ample power to carry out their threats. [Ibid.] Similarly, in United States v. Tingle, 658 F.2d 1332 (9th Cir.1981), the court held that a confession obtained after FBI Special Agents led defendant to believe that "she would never see her son again," id. at 1334 n.2, was coerced even though the defendant signed a "standard FBI Advice of Rights form," id. at 1333. The interrogation was conducted [***53] by two agents in their car. They told defendant that she faced a maximum of forty years imprisonment for the crimes of which she was suspected. Id. at 1336. One of the agents used his knowledge that the defendant had a two-year-old child to suggest to the defendant that "she had 'a lot at stake.'" Id. at 1334. The court found that "the purpose and objective of the interrogation was to cause Tingle to fear that, if [*115] she failed to cooperate, she would not see her young child again for a long time." Id. at 1335. Applying the totality of the circumstances [**916] analysis, the court concluded that Tingle's confession was "not 'the product of a rational intellect and free will' and was involuntary." Id. at 1337 (citation omitted). The circumstances in Lynumn and Tingle are distinguishable from the circumstances in this case. Here, in examining the relevant characteristics of the accused, we find that defendant had obtained a high school equivalency diploma and was employed. He was represented by counsel in the Title Nine proceedings and was assured of a hearing on the issue whether the family should be reunited. Although defendant claims that he feared his children would not [***54] be returned if he did not confess, his subjective fear did not derive from a threat amounting to coercion under the Fifth Amendment. A defendant's state of mind is not dispositive of whether that defendant's "will has been overborne and his capacity for self-determination 50 critically impaired." Schneckloth, supra, 412 U.S. at 225, 93 S. Ct. at 2047, 36 L. Ed. 2d at 862. Defendant was not in custody when he was interviewed, and his statement was not obtained in a coercive environment. A caseworker with whom he was familiar questioned defendant in his home, with his father nearby. Defendant was free to ask Kobran and Martinez to leave, and did not suggest that they do so. Most important, defendant had a lawyer in the Title Nine proceeding who had advised him not to speak. He chose not to take that advice after discussion with his wife and joint agreement to a "plan" by which he would admit to acts of abuse. The sole purpose of the interrogations conducted in Lynumn and Tingle was to aid law enforcement in preparing a criminal case against defendants. The officers in those cases frightened the defendants into confessing by threatening them with the loss of [***55] their children. The circumstances of this case are markedly different. As we have previously discussed, the Division's objective is to protect children from abuse and neglect and not to promote law enforcement. Kobran's purpose in urging defendant [*116] to cooperate and to talk about how the injury to C.Z. occurred was salutary: she sought information in aid of C.Z.'s placement. Child abuse investigations are emotionally charged and difficult. They are critical to the child who has been or may be injured. Too often there is no explanation for serious injuries, and the child's parents are the focus of the inquiry. The Division cannot make decisions about uniting the family or alternative placement without thoroughly investigating whether it is safe to return the child to the home environment. Toward this end, DYFS caseworkers conduct home visits and interview parents in order to probe into the origins of the child's injuries. That is what the Division did in this case. 6 6 We observe that Kobran's interview with defendant does not constitute a violation of RPC 4.2, which prohibits a lawyer from communicating with a represented party about the subject matter of the representation without the consent of that party's lawyer. The rule is directed at lawyers not at parties. Model Rules of Professional Conduct Rule 4.2 cmt. (1992) (noting that "parties to a matter may communicate directly with each other" without violating the rule). [***56] We emphasize that Kobran's discussion with the Prosecutor's Office prior to her visit to P.Z. was intended solely to find out whether the visit would impede any investigation by that office, and not to further the prosecutor's investigation. 7 In the totality of these circumstances--primarily, defendant's level of education and his representation by counsel in the Title Nine proceedings, the atmosphere in which the interview was conducted, and Kobran's purpose in conducting the interview--we hold that defendant's statement was voluntary. 8 7 In contrast, the court in Flower, supra, found that the only purpose motivating a DYFS investigator when she interrogated the defendant in prison was to assist in the defendant's prosecution. 224 N.J. Super. at 218, 539 A.2d 1284. In those circumstances, the court properly held that Miranda warnings were required. 8 We express no opinion, however, about how the recently enacted Comprehensive Child Abuse Prevention and Treatment Act will affect this analysis. L. 1997, c. 175; see supra note 5. Under the Act, DYFS is "not ... required to provide diligent efforts to reunify the child with a parent" in cases where a parent has been convicted of killing or attempting to kill, or assaulting or attempting to assault, one of his or her children. L. 1997, c. 175, § 5. Section 17 of the Act allows a petition to terminate the parental rights of a parent convicted of one of the enumerated crimes to be filed pursuant to N.J.S.A. 30:4C-15. L. 1997, c. 175, § 17. To the extent that the purpose of DYFS investigations undertaken pursuant to this Act are altered, the totality of the circumstances analysis may be affected. [***57] [*117] [**917] VI The Appellate Division held that "fundamental fairness" and "the Title Nine objective of child protection" prevent the use of "statements to DYFS during the pendency of the Title Nine investigation ... against a party in a criminal action unless there is advice of Miranda rights and the affording of the Sixth Amendment right to counsel." 285 N.J. Super. at 229, 666 A.2d 1000. We have, however, determined that the Title Nine right to counsel adequately protects parents' fundamental interest in the care and custody of their children. We decline to apply the doctrine of fundamental fairness to require any additional procedural safeguards not now required by constitution or statute. New Jersey's doctrine of fundamental fairness "'serves to protect citizens generally against unjust and arbitrary governmental action, and specifically against governmental procedures that tend to operate arbitrarily.'" Doe v. Poritz, 142 N.J. 1, 108, 662 A.2d 367 (1995) (quoting State v. Ramseur, 106 N.J. 123, 377, 524 A.2d 188 (1987) (Handler, J., dissenting)). In those rare cases where government action does not comport with "commonly accepted standards of decency of conduct to which government must adhere," State [***58] v. Talbot, 71 N.J. 160, 168, 364 A.2d 9 (1976), and where 51 existing constitutional protections do not provide adequate safeguards, this Court has not hesitated to declare that government must be restrained, see Poritz, supra, 142 N.J. at 108, 662 A.2d 367 (discussing cases in which fundamental fairness has been used to require procedural protections that were "not constitutionally compelled"); Bruce D. Greenberg, New Jersey's "Fairness [*118] and Rightness" Doctrine, 15 Rutgers L.J. 927, 945-46 (1984) (analyzing this Court's use of fairness and rightness doctrine to provide protections "beyond what due process demands"). The doctrine of fundamental fairness has supported procedures to protect the rights of defendants at various stages of the criminal justice process, even when such protections are not constitutionally required. This Court has also applied standards of decency and fairness to governmental action that is constitutional but that, nonetheless, includes elements of oppression or harassment requiring court intervention. Poritz, supra, 142 N.J. at 108-09, 662 A.2d 367. The "common denominator" in our cases is a threshold determination that someone has been or may be "subjected to [***59] potentially unfair treatment and there was no explicit statutory or constitutional protection to be invoked" against that treatment. Id. at 109, 662 A.2d 367. Thus, fundamental fairness "prohibits conduct by law enforcement officials that perverts the judicial process and turns it into a prosecutorial tool." State v. Sugar, 84 N.J. 1, 14, 417 A.2d 474 (1980). In cases where there is an interrelationship between criminal and civil actions against the same person, courts must be "sensitive to the potential for the State's deliberately manipulating a civil procedure in order to obtain evidence against a criminal defendant." State v. Kobrin Securities, Inc., 111 N.J. 307, 317, 544 A.2d 833 (1988). In Kobrin Securities, this Court expressed concern that the civil discovery process not be used to compel a defendant to provide information in support of the State's case in a parallel criminal proceeding. We concluded that the use of information so obtained would constitute "such unfairness and want of consideration for justice as to require reversal." Ibid. (citations and internal quotations marks omitted). In child abuse cases DYFS, the civil authority, must provide information about suspected abuse [***60] and neglect to the county prosecutor, the criminal authority. N.J.S.A. 9:6-8.36a. By regulation, the prosecutor is required to consult with DYFS about whether a criminal investigation is necessary and to inform DYFS [*119] when a decision is made to initiate criminal proceedings. N.J.A.C. 10:129-1.5c; see supra at 98-99, 703 A.2d at 907-908. This relationship between DYFS and the prosecutor concerned the Appellate [**918] Division in this case and in Helewa, supra. We reject the contention that because "parallel civil and criminal systems are both operating against a defendant at the inception of proceedings in either court," State v. P.Z., supra, 285 N.J. Super. at 227, 666 A.2d 1000, P.Z. must be accorded rights not now required by constitution or statute. We are sensitive to the potential for manipulation adverted to in Kobrin Securities but do not find it in the exchange of information between DYFS and the prosecutor. Indeed, under this system, the requirement that the prosecutor seek input from DYFS may well work to a defendant's advantage in those cases where keeping the family together is in the best interest of the child. This relationship between the civil and criminal [***61] authorities does not demonstrate "such unfairness and want of consideration for justice" that defendant's statement to Kobran must be suppressed. Kobrin Securities, supra, 111 N.J. at 317, 544 A.2d 833 (internal quotation omitted). We base this conclusion on the total circumstances of P.Z.'s interview. Defendant was not subjected to arbitrary procedures that were oppressive, harassing or that egregiously deprived him of his rights, either to remain silent or to have the custody and care of his children. At the time of the interview, Kobran was acting within the scope of her duties to investigate and establish a placement plan for defendant's infant daughter who was shortly to be released from the hospital. We have previously described the particulars of the interview, concluding that it was neither oppressive nor coercive. Kobran's purpose in conducting the interview was never challenged by defendant: she wanted to hear his response to his wife's allegations so that she would be better able to decide where to place defendant's daughter on her imminent release from the hospital. It was certainly possible that defendant would deny shaking his daughter or even that he would claim his [***62] wife had abused C.Z. [*120] Most important, there is no indication that Kobran interviewed defendant with the purpose of aiding in his criminal prosecution or, as Justice Pollock suggests in his dissent, that she had a "hidden agenda" to obtain an "incriminating statement" from P.Z. Infra at 128-129, 703 A2d at 922-923 (Pollock, J., dissenting). The decision to interview defendant had been made at a DYFS case planning conference after the meeting participants, including Kobran, her superiors, and lawyers from the civil division in the Attorney General's Office, discussed the information obtained from defendant's wife. In that a referral had been made to the Prosecutor's Office, there was certainly a possibility that a criminal investigation had begun. However, the record contains no reference to regular interaction between the civil and criminal authorities, let alone "manipulation" by DYFS to obtain information specifically to help the criminal authorities. To the contrary, Kobran's phone call to Investigator 52 Lazzaro after the case planning conference suggests that she did not know what the Prosecutor's Office had done or was doing in P.Z.'s case because she did not know whether [***63] the proposed meeting with defendant would impede the prosecutor's investigation. Although the prosecutor anticipated being informed about the results of Kobran's visit to P.Z., the visit had a legitimate independent purpose and was not pretextual. The record persuasively demonstrates that Lazarro's comments to Kobran did not precipitate her visit to P.Z. or cause her to inform the prosecutor about P.Z.'s statement. The determination to interview P.Z. was made prior to her phone call to Lazarro and Kobran was obligated by statute to provide the results of her investigation to the prosecutor. If there was evidence that a DYFS worker met with defendant simply as a subterfuge to achieve law enforcement purposes, we might well reach a different result. There was no such evidence. These circumstances do not demonstrate an egregious deprivation of defendant's rights requiring application of the doctrine of fundamental fairness to suppress defendant's statement to Kobran. [*121] VII We find no constitutional or other basis on which to hold defendant's April 5, 1994 statement inadmissible. We also find no basis to require DYFS caseworkers to give Miranda [**919] warnings or afford a right to [***64] counsel during non-coercive, non-custodial interviews of parents subject to Title Nine investigations. The judgment of the Appellate Division is reversed. JUSTICES HANDLER, O'HERN, GARIBALDI, and STEIN join in CHIEF JUSTICE PORITZ's opinion. JUSTICE POLLOCK has filed a separate dissenting opinion, in which JUSTICE COLEMAN joins. JUSTICE COLEMAN has filed a separate dissenting opinion. DISSENT BY: POLLOCK; COLEMAN DISSENT POLLOCK, J., dissenting. Occasional disagreement on an appellate tribunal is inevitable. As regrettable as disagreement may be, the exposition of different views may serve the public interest. My perception of the facts and law lead me to a conclusion opposite from that of the majority. Consequently, I respectfully dissent. From my perspective, the only issue on this appeal is whether the State may admit in a criminal prosecution defendant's uncounselled oral statement made to a Division of Youth and Family Services (DYFS) investigator after invoking his right to counsel. Critical to this determination are the facts that both the DYFS caseworker and the Prosecutor knew that defendant's wife had incriminated him and that defendant was represented by counsel. [***65] The Appellate Division affirmed the Law Division's holding that admission of the statement would be unfair. 285 N.J. Super. 219, 228, 666 A.2d 1000 (1995). I would affirm. Under the facts of this case, I believe it would be fundamentally unfair to allow the Prosecutor to introduce defendant's uncounseled inculpatory statement to the DYFS caseworker. The State would remain free to prosecute defendant on other evidence. It should not, however, be permitted to introduce the words that it induced him to utter in an ostensible attempt to determine whether it would return custody of his child to him and his wife. Having identified the specific issue presented by the appeal, it might help to identify other issues that the appeal does not present. Identification of those irrelevant issues reveals flaws in [*122] the majority opinion. For example, not at issue is whether defendant was in custody when questioned by the DYFS caseworker, Cheryl Kobran, at defendant's home. Ante at 103-104, 703 A.2d at 910. Contrary to the majority opinion, the fact that defendant's interrogation was non-custodial, however, does not moot "the question whether Kobran was acting as a law enforcement officer." Ante at 103, 703 A.2d at 910 [***66] . Also not at issue is whether an admission of abuse may aid in the rehabilitation of abusive parents or whether termination of custody is automatic if a parent invokes his or her privilege against self-incrimination. Ante at 107-108, 703 A.2d at 912. Rehabilitation of abusive parents may be of vital concern in a custody case; it should have no bearing on the determination of the admissibility of a defendant's statement in a criminal prosecution. Similarly not involved is the question whether "the Title Nine right to counsel adequately protects parents' fundamental interest in the care and custody of their children." Ante at 117, 703 A.2d at 917. As adequate as that protection may be, it is irrelevant to determining the admissibility of defendant's statement in his criminal prosecution. Also beside the point is the absence from the record of any "reference to regular interaction between the civil and criminal authorities, let alone 'manipulation' by DYFS to obtain information specifically to help the criminal authorities." Ante at 120, 703 A.2d at 918. The rarity, if such is the case, of an untoward arrangement between the prosecution and DYFS does not justify the arrangement [***67] when it occurs. I. An act of suspected child abuse affects two State interests. First, acting through DYFS, the State is primarily interested in protecting the child. DYFS pursues that interest through an action under N.J.S.A. 53 9:6-1 to -8.73 ("Title 9" action). Second, law enforcement officials have an interest in prosecuting the abuser for offenses such as endangering the welfare of the child and child abuse. [*123] The statutory scheme contemplates cooperation between DYFS and prosecutors. Statutes and administrative regulations govern the relationship between DYFS caseworkers and State law enforcement officials. The purpose of the regulations is to establish a framework for "liaison and improved communication and cooperation between the Division's District Offices and the several [**920] Prosecutor's Offices in order to further the mutual goals of protecting the child and proper law enforcement." N.J.A.C. 10:129-1.1(a)(4). Under its regulations DYFS must: [R]efer to county prosecutors all cases that involve suspected criminal activity on the part of a child's parent, caretaker or any other person.... [I]t is anticipated that in most of the cases referred extensive police involvement [***68] will not be warranted and indeed that in many cases no police involvement will be required. [N.J.A.C. 10:129-1.1(a).] DYFS must maintain the confidentiality of all records or reports of child abuse, and they make disclosure only in specifically enumerated circumstances. See N.J.A.C. 10:129-2.1. For example, DYFS may release records and reports to "[a] police or other law enforcement agency investigating a report of child abuse or neglect." N.J.A.C. 10:129-2.1(b)(2). Before filing a Title 9 action, DYFS may conduct an investigation and a preliminary conference with a suspected abuser. Reflecting sensitivity to potential conflicts arising from a Title 9 action and a criminal prosecution, the Legislature has specifically barred any statement that DYFS may obtain in a preliminary conference from admission into evidence in a resulting criminal prosecution. N.J.S.A. 9:6-8.36. Consistent with the legislative mandate, Section 409.4 of the DYFS caseworker's field manual, II Field Operations Casework Policy and Procedures Manual, advises caseworkers "[i]n cases where the police are already involved," the Prosecutor may request that the caseworker "not attempt [***69] to interview an alleged perpetrator." The Manual explains, "Generally the reason for such requests is the necessity for law enforcement to proceed according to prescribed legal procedures for conducting a criminal [*124] investigation which includes ... advising the alleged perpetrator of his rights." Section 409.5 entitled, "Interviewing the Perpetrator in a Custodial Setting" states that the reason for communicating with the County Prosecutor's Office "is to ensure that the interview will not interfere with a criminal investigation and/or violate the person's Fifth Amendment rights against self-incrimination...." Finally, Section 507.1 entitled "Advising Perpetrator of Case Findings" instructs DYFS caseworkers that "whenever a case has been referred to the county prosecutor's office, the Case Manager must check with the county prosecutor or his designee prior to advising the perpetrator of the case findings." The Manual explains: The reason for this is similar to the reasons for delaying an interview with a perpetrator (IIC 409.4). That is, notification of the findings may impede the criminal investigation, may lead to destruction or suppression of evidence, and may prevent [***70] the county prosecutor's office from being able to prove a criminal charge. Thus, both the Legislature and DYFS recognize the delicate balance among DYFS's protection of a child's best interests, the Prosecutor's interest in enforcing criminal laws prohibiting child abuse, and a parent's privilege against self-incrimination. This Court should be no less sensitive in recognizing that certain statements admissible in a Title 9 proceeding may not be admitted in a criminal prosecution. Society's paramount concern for the safety of children vests DYFS with considerable latitude when investigating suspected acts of child abuse. A criminal prosecution, by comparison, implicates countervailing considerations, such as the right of a defendant to counsel and the exclusion from evidence of a coerced statement. Properly pursued, cooperation between DYFS and law enforcement officers can further the best interests of children and assist in the enforcement of criminal law. As this case illustrates, however, cooperation can also lead to coercion. Under the majority opinion, DYFS investigators may obtain statements from parents ostensibly to decide whether to return their children to them, [***71] but actually to convict the parents of child abuse. Prosecuting [*125] parents on the basis of such statements may freeze the flow of information that DYFS needs to protect the best interests of children. [**921] II. The majority holds that defendant's uncounselled statement is admissible in his criminal prosecution. Critical to the majority's reasoning is its conclusion that 54 "[t]he circumstances surrounding defendant's April 5 interview fail to demonstrate the coercive atmosphere and restraint of freedom that comprises a custodial interrogation." Ante at 103, 703 A.2d at 901. In reaching that conclusion, the majority admits that if defendant was in custody at the time of the interview, the invocation of his right to counsel would preclude admission of his statement. Because it finds that defendant was not in custody, the majority concludes that he was not coerced. For me, that conclusion views the facts of this case too antiseptically. The essential facts are that in the fall of 1993, defendant's four- or five-month old daughter, C.Z., was hospitalized with injuries consistent with "Shaken Baby Syndrome." Acting on behalf of DYFS, the Attorney General instituted a Title 9 action. Public [***72] defenders represented defendant and his wife. N.J.S.A. 9:6-8.43(a). On DYFS's motion, the Family Part entered an order granting DYFS legal custody of the couple's two minor children, C.Z. and M.Z. C.Z. remained in the hospital. The court awarded defendant's father physical custody of M.Z. and prohibited defendant and his wife from unsupervised contact with her. The court also ordered defendant to undergo drug and psychological testing. Finally, the court directed defendant and his wife to participate in counseling and parent training. Initially, both parents denied any responsibility for C.Z.'s injuries. Then, defendant's wife told Cheryl Kobran, a DYFS caseworker, that defendant had admitted to her that he was responsible for the injuries. Faced with the imminence of C.Z.'s release from the hospital, DYFS called a conference attended by Kobran, [*126] her supervisor, the District Office Manager, a Case office Worker, a Litigation Specialist (a liaison between DYFS and the Attorney General), and a Deputy Attorney General. At that conference, Kobran was directed to interview defendant to ascertain if defendant would confirm his wife's version of the facts. Kobran's supervisor and the [***73] Deputy Attorney General instructed Kobran "to call the Prosecutor's Office, to advise them of [Kobran's] intent to interview [defendant], in an effort not to impede any investigation that they may have had going on." Consequently, Kobran spoke with Investigator Lazarro of the Prosecutor's Office. According to Kobran, Lazarro told her that "[b]ecause [defendant] has a lawyer, [the Prosecutors] cannot interview him, but said that there is no obstacle to [DYFS] interviewing him, and asked that I call [the Prosecutor's Office] with my findings." Without communicating with defendant's attorney, Kobran and another caseworker made an unannounced visit to defendant's home. After defendant's father admitted them to the home, Kobran asked him to leave the room and then, with the other investigator, confronted defendant alone. Defendant thought that the purpose of the meeting was to discuss whether he and his wife would regain custody of their children. Still, he told Kobran that his counsel had advised him not to speak to her. If the State intended to introduce evidence of any statement made by defendant, Kobran should have stopped the interview until after defendant had spoken [***74] with his counsel. Pursuant to the Prosecutor's authorization, however, Kobran "encouraged him to speak with me, because I said that we were there to finish the Division's investigation regarding the matter of [C.Z.'s] injuries. And also, we really needed to deal with the crisis at hand, which was where [C.Z.] was going to be going, because she was ready for discharge from the hospital. And also, [M.Z.]. As a result of this information, we had concerns about [M.Z.'s] protection." [*127] Defendant knew of DYFS's preliminary plan to put C.Z. in a foster home on her release from the hospital. Finally, Kobran told defendant that if he cooperated with DYFS, he might be able to resolve the "crisis." Significantly, Kobran did not inform defendant that any statement he made could be used against him in a criminal prosecution or that one reason for her visit was to induce him to confirm his wife's version of the facts. [**922] After remaining quiet for some time, defendant began to talk. He was upset and remorseful. As Kobran testified, defendant said that C.Z. had cried, that he could not console her, and that he shook her two or three times out of frustration. In suppressing defendant's statement, [***75] the trial court accepted defendant's testimony that he had made the statement because it meant "my kids were going to come home, or so I thought anyway." As the trial court found, defendant had "no reason to think, at least at this point, that he's going to be charged with anything, but we know that the Prosecutor has been involved, at that point, a good long period of time. They are looking at this case. And certainly, there's a possibility here that he's a target." Later, the trial court explained, "No Criminal Complaint's really filed, but [the Prosecutor is] there." The issue before the Court is not whether DYFS may use defendant's statement to resolve the issue of custody of C.Z., but whether the Prosecutor may introduce the statement in its prosecution for child abuse. In resolving this issue, I accept the majority's characterization that defendant was not in "custody" in the constitutional sense. Ante at 104, 703 A.2d at 910. That characterization, however, does not predetermine that Kobran's interrogation was free from coercion or that admissibility of defendant's statement would not be 55 fundamentally unfair. The announced purpose of Kobran's visit was to [***76] determine whether the State would return custody of C.Z. to defendant and his wife. For most parents, the fear of losing custody of a child would produce a coercive effect. According to Kobran, that is precisely the effect it produced on defendant. [*128] When Kobran confronted defendant, moreover, she knew that defendant's wife had told DYFS that defendant had caused C.Z.'s injuries. The admissibility of the wife's statement is not before us, but the record indicates that the State could subpoena the wife to testify at defendant's prosecution. The Rules of Evidence specifically provide that "[T]he spouse of the accused in a criminal action shall not testify in such action except to prove the fact of marriage unless ... (b) the accused is charged with an offense against the spouse, a child of the accused or of the spouse, or a child to whom the accused or the spouse stands in the place of a parent." N.J.S.A. 2A:84A-17(2)(b); N.J.R.E. 501(2)(b). Although the State contends that the purpose of the DYFS interview was to discover the cause of C.Z.'s injuries, the record supports the conclusion that another purpose was to elicit an incriminating statement from defendant. At least that [***77] is how the Prosecutor's Office perceived the purpose of the interview. Unknown to defendant at the time he spoke with Kobran, she was acting both for DYFS and for the County Prosecutor. Even assuming, as the majority contends, that the DYFS caseworker was acting primarily to protect the best interest of C.Z., it remains that the caseworker also was acting on behalf of the County Prosecutor. In sum, Kobran was a dual agent. For the purpose of resolving whether defendant's statement is admissible in the criminal prosecution of defendant, Kobran's more relevant role is as the agent of the Prosecutor. Only after Kobran elicited the challenged statement from defendant did she reveal her hidden agenda. The prior conference between Lazarro and Kobran, in which Lazarro requested Kobran to report any statement made by defendant, is sufficient to constitute Kobran as the Prosecutor's agent for the purpose of deciding whether to suppress the defendant's statement in his criminal prosecution. Under the circumstances, the Court should scrutinize Kobran's conduct as tantamount to that of a law enforcement officer. See State v. Helewa, 223 N.J. Super. 40, 50, 537 A.2d 1328 (App.Div.1988). [*129] The majority [***78] takes a different view of the facts. It asserts that "there is no indication that Kobran interviewed defendant with the purpose of aiding in his criminal prosecution...." Ante at 120, 703 A.2d at 918. The majority stresses that the "Division's objective is to protect children from abuse and neglect and not to promote law enforcement" and that "Kobran's discussion with the Prosecutor's Office prior to her visit to P.Z. was [**923] intended solely to find out whether the visit would impede any investigation by that office, and not to further the prosecutor's investigation." Ante at 116, 703 A.2d at 916. Yet, the majority refuses to suppress defendant's statement because of its perception that suppression would force DYFS caseworkers "to choose between providing Miranda warnings and foreclosing the use in criminal proceedings of information obtained in the course of an ... investigation...." Ante at 112-113, 703 A.2d at 914. If, as the majority contends, a DYFS caseworker should be unconcerned with promoting prosecutions, the caseworker should be equally unconcerned with the admissibility of a parent's statement in a criminal prosecution. By emphasizing that Kobran was concerned not [***79] only with the child's best interests but with the admissibility of defendant's statement in the criminal prosecution, the majority implicitly confirms Kobran's status as a dual agent. The proof of the pudding is in the eating. Here, the proof is that the Prosecutor, having authorized Kobran to take a statement from defendant, now wants to introduce that statement in the prosecution of defendant. To justify admission of defendant's statement, the majority relies on a decision of the Minnesota Supreme Court involving application in a custody case of a parent's Fifth Amendment privilege against selfincrimination. In In re J.W., 415 N.W.2d 879 (Minn.1987), the Minnesota Supreme Court held that the Fifth Amendment protected parents from a court order compelling them to incriminate themselves as a condition precedent to obtaining custody of their children. Id. at 883. The Court found that "[a]ssertion of a constitutional right does not make a person a less [*130] fit parent, any more than it makes a person a less good citizen." Ibid. Recognizing, however, that the parents' failure to admit their fault may hinder the usefulness of therapy, the Court concluded that the failure could [***80] "hurt the parents' chances of regaining their children." Ibid. Under the Fifth Amendment, the State may well be able to consider a parent's failure to explain their child's injuries when considering custody. J.W.'s conclusion, however, is irrelevant to determining whether it is fundamentally unfair to permit the Prosecutor to introduce in evidence a statement, which would be inadmissible if obtained by the Prosecutor. Demonstrating concern for the delicate balance between protecting the best interests of children and prosecuting culpable parents, the Minnesota Court observed further: If the state believes talking to the psychologist about the nephew's death 56 would help [the parents] become good parents, the state could abandon its pursuit of criminal prosecutions and apply to the court for a grant of immunity for the parents. The parents could then, without fear of prosecution or prison, participate in meaningful therapy. [Id. at 884.] Thus, the Minnesota Court recognized that the State might better serve the public interest by forsaking admission of parental statements in a criminal proceeding for frank disclosure in a custody action. To this [***81] extent, J.W. supports the exclusion, rather than the admission of defendant's statement. In the present case, if defendant had made his statement at a preliminary conference or while he was in custody, his statement would be inadmissable at his criminal trial. Because defendant did not make his statement in a preliminary conference, the prohibition of N.J.S.A. 9:6-8.36 does not apply. Moreover, in the sense that Kobran's interrogation took place in defendant's home, and not the Prosecutor's office or DYFS's office, defendant was not in "custody" as the DYFS manual defines that term. Strictly speaking, therefore, Section 409.5 of the DYFS manual does not apply. The purpose of both the statute and the manual, however, is to prevent the State's exploitation of the parent-child relationship [*131] by coercing a parent to make a statement not to determine the child's best interests, but to convict the parent of child abuse. Id. at 83, 275 A.2d 137. Notwithstanding the Court's reference to the "Fifth Amendment," the opinion is best understood as a finding that admission of the defendant's uncounseled statements was fundamentally unfair. The doctrine of fundamental fairness protects against unjust or oppressive governmental action. Doe v. Poritz, 142 N.J. 1, 107-08, 662 A.2d 367 (1995). It "serves, depending on the context, as an augmentation [***83] of existing constitutional protections or as an independent source of protection against state action." State v. Ramseur, 106 N.J. 123, 377, 524 A.2d 188 (1987). (Handler, J., dissenting). The doctrine applies "where not to do so will subject the defendant to oppression, harassment, or egregious deprivation." State v. Yoskowitz, 116 N.J. 679, 712, 563 A.2d 1 (1989) (Garibaldi, J., concurring and dissenting). Essentially, the doctrine [*132] of fundamental fairness operates throughout the criminal justice process to assure procedural fairness in the absence of constitutional or statutory protection. Poritz, supra, 142 N.J. at 108-09, 662 A.2d 367. When a civil action and a criminal prosecution interrelate, courts must be particularly "sensitive to the potential for the State's deliberately manipulating a civil procedure in order to obtain evidence against a criminal defendant." State v. Kobrin Securities, Inc., 111 N.J. 307, 317, 544 A.2d 833 (1988). I respectfully submit that it is fundamentally unfair for the State to admit into evidence in this criminal prosecution defendant's uncounseled oral statement to the DYFS caseworker who represented that she was trying to determine whether DYFS would return custody [***84] of defendant's child to him and his wife. Consequently, I dissent. III. Justice COLEMAN joins in this opinion. In an analogous case, this Court declared inadmissible in the prosecution of a woman for fornication written statements she had made when seeking welfare for her illegitimate [**924] children. State v. Clark, 58 N.J. 72, 275 A.2d 137 (1971). When she applied for welfare, [***82] the local welfare department instructed her to file a bastardy complaint against the children's father. Id. at 77, 275 A.2d 137. In the complaint, the woman made incriminating statements admitting that she and the father had engaged in sexual relations. Id. at 79, 275 A.2d 137. Like defendant in this case, the woman was not in custody when she made the statements. Similarly, the governmental agency failed to advise the woman of her privilege against selfincrimination. Id. at 79-80, 275 A.2d 137. The State, however, introduced her testimony in evidence when prosecuting her and the father for fornication. Id. at 82, 275 A.2d 137. This Court reversed the conviction, finding the uncounseled statements inadmissible because of "Fifth Amendment implications involved, in association with strong considerations of public policy." COLEMAN, J., dissenting. I concur in Justice Pollock's dissenting opinion. I write separately because I believe defendant's confession should be inadmissible in the criminal proceedings for an additional reason. This case involves the admissibility of a confession that resulted from a noncustodial interrogation during an ostensible Title Nine civil investigation. The trial court excluded the confession under a Sixth Amendment analysis based on defendant invoking the right to counsel. The Appellate Division excluded the confession based on the twin principles of fundamental fairness and the public policy of furthering the Title Nine "objective of child protection by promoting disclosures and admissions of abuse at the earliest possible time." State v. P.Z., supra, 285 N.J. Super. at 229, 666 A.2d 1000. It also used a Fifth Amendment waiver analysis and a Sixth Amendment right to counsel approach in concluding that "statements to DYFS during the pendency of the Title Nine investigation may not be used against a party in a 57 criminal action" unless Miranda has been followed. [***85] Ibid. I believe that defendant's confession should be suppressed for want of voluntariness [*133] in the Fourteenth Amendment confession context rather than simply in a Fifth Amendment Miranda waiver context. those fundamental rights may be justified only by the most important of state interests, and even then, the State must use the narrowest means which can be designed to achieve the public purpose, here, the protection of abused or neglected children. Under the majority's opinion, that has not occurred in this case. The Due Process Clause of the Fourteenth Amendment provides that no state shall "deprive any person of life, liberty, or property, without due process of law." U.S. Const. amend. XIV, § 1. That amendment "secures against state invasion ... the right of a person to remain silent unless he [or she] chooses to speak in the unfettered exercise of his [or her] own will." Malloy v. Hogan, 378 U.S. 1, 8, [**925] 84 S. Ct. 1489, 1493, 12 L. Ed. 2d 653, 659 (1964). Whenever a liberty interest is at stake, due process must be followed before interfering with that interest. The question then becomes what due process is required. It has been described as an elusive concept whose "exact boundaries are undefinable." Hannah v. Larche, 363 U.S. 420, 442, 80 S. Ct. [***88] 1502, 1514, 4 L. Ed. 2d 1307, 1321 (1960). It is both a flexible and "dynamic concept," Callen v. Sherman's, Inc., 92 N.J. 114, 134, 455 A.2d 1102 (1983), whose "sense of fairness cannot be imprisoned in a crystal." Id. at 136, 455 A.2d 1102. Under the Due Process Clause, "certain interrogation techniques, either in isolation or as applied to the unique characteristics of a particular suspect, are so offensive to a civilized system of justice that they must be condemned." Miller v. Fenton, 474 U.S. 104, 109, 106 S. Ct. 445, 449, 88 L. Ed. 2d 405, 410 (1985). An interrogation technique becomes offensively intolerable when "self-direction is lost and compulsion, of whatever nature or however infused, propels or helps to propel [***86] the confession." Culombe v. Connecticut, 367 U.S. 568, 602, 81 S. Ct. 1860, 1879, 6 L. Ed. 2d 1037, 1058 (1961). Consequently, the test for involuntariness in the Due Process Clause context focuses on both police or governmental overreaching and the suspect's free will. Under our accusatorial system of justice, in contrast to an inquisitorial system, a coerced confession is inadmissible because its involuntariness makes it unreliable. Jackson v. Denno, 378 U.S. 368, 382-86, 84 S. Ct. 1774, 1783-86, 12 L. Ed. 2d 908, 919-21 (1964); State v. Jordan, 147 N.J. 409, 425-28, 688 A.2d 97 (1997); State v. Hampton, 61 N.J. 250, 264-65, 294 A.2d 23 (1972). Since the formation of our constitutional form of government, the right of a parent to raise and educate his or her children has been regarded as a fundamental right. Santosky v. Kramer, 455 U.S. 745, 753, 102 S. Ct. 1388, 1394, 71 L. Ed. 2d 599, 606 (1982); Roe v. Wade, 410 U.S. 113, 152-53, 93 S. Ct. 705, 726-27, 35 L. Ed. 2d 147, 176-77 (1973); Stanley v. Illinois, 405 U.S. 645, 651, 92 S. Ct. 1208, 1212-13, 31 L. Ed. 2d 551, 558-59 (1972); Pierce v. [*134] Society of Sisters, [***87] 268 U.S. 510, 534-35, 45 S. Ct. 571, 573, 69 L. Ed. 1070, 1077-78 (1925); In re Promulgation of Guardianship Servs. Regulations, 103 N.J. 619, 634, 512 A.2d 453 (1986); In re Guardianship of Dotson, 72 N.J. 112, 122, 367 A.2d 1160 (1976) (Pashman, J., concurring). That interest is "'implicit in the concept of ordered liberty.'" Paul v. Davis, 424 U.S. 693, 713, 96 S. Ct. 1155, 1166, 47 L. Ed. 2d 405, 421 (1976) (quoting Palko v. Connecticut, 302 U.S. 319, 325, 58 S. Ct. 149, 151-52, 82 L. Ed. 288, 292 (1937)). A state's interference with Defendant relies on two out-of-state cases to support his contention that his confession was coerced based on the interrogator's not-so-subtle suggestion that if he did not cooperate, his fundamental right to his children would be jeopardized. This argument is persuasive. In Lynumn v. Illinois, 372 U.S. 528, 83 S. Ct. 917, 9 L. Ed. 2d 922 (1963), a confession was found to have been coerced because the interrogator told a mother that state financial aid for her children would be terminated, that her children could be taken from her, and that she would receive a long prison term unless she admitted to selling marijuana to an informant. Id. at 531-34, 83 S. Ct. at 919-20, 9 L. Ed. 2d at 925-26. [*135] In United States v. Tingle, 658 F.2d 1332 (9th Cir.1981), a mother of a two-year-old child confessed to participating in a robbery after her interrogator threatened that she would not see her child for a long time if she did not cooperate [***89] and warned her of the long term of imprisonment which could be imposed. The court held: We think it clear that the purpose and objective of the interrogation was to cause Tingle to fear that, if she failed to cooperate, she would not see her young child for a long time. We think it equally clear that such would be the conclusion which Tingle could reasonably be expected to draw from the agent's use of this technique. The relationship between parent and child embodies [**926] a primordial and fundamental value of our society. When law enforcement officers deliberately prey upon the maternal instinct and inculcate fear in a mother that she will not see her child in order to elicit "cooperation," they exert the "improper influence" proscribed by Malloy. [Id. at 1336.] 58 Both Lynumn and Tingle involved noncustodial interrogations in criminal cases. Both confessions were suppressed under the Due Process Clause. The same rule prevails when interrogations occur in civil cases regardless of whether criminal charges are likely to follow. See, e.g., Mathis v. United States, 391 U.S. 1, 4, 88 S. Ct. 1503, 1504-05, 20 L. Ed. 2d 381, [***90] 384, 1968-2 C.B. 903 (1968) (involving questions asked by Internal Revenue Service agent during routine tax investigation); United States v. Mata-Abundiz, 717 F.2d 1277, 1279 (9th Cir.1983) (involving questions asked during Immigration and Naturalization Service investigation); State v. Clark, 58 N.J. 72, 83, 275 A.2d 137 (1971) (involving welfare, bastardy and police proceedings). A party to Title Nine litigation is permitted to speak with another party involved in that litigation who is known to be represented by counsel. However, a prosecutor may not use a DYFS worker as an agent to circumvent the rules of professional responsibility that forbid the prosecutor from directly speaking to such a party. See ABA Comm. on Ethics and Professional Responsibility, Formal Op. 95-396 (1995) (holding a lawyer may not direct an investigative agent to communicate with a represented person in circumstances where the lawyer would be prohibited [*136] from doing so). Because defendant's wife had informed DYFS that he had admitted to shaking the child, the interrogation of defendant in isolation and without his attorney was designed to obtain evidence for the prosecution independent of DYFS's needs necessitated [***91] by the Title Nine proceedings. Thus, when Kobran interrogated defendant, her "role changed and became essentially like that of an agent of the State." Estelle v. Smith, 451 U.S. 454, 467, 101 S. Ct. 1866, 1875, 68 L. Ed. 2d 359, 372 (1981); State v. Helewa, 223 N.J. Super. 40, 47, 537 A.2d 1328 (App.Div.1988). Significantly, while acting like an agent of the prosecutor, Kobran told defendant essentially that unless he cooperated, he would lose his fundamental right to the custody and the rearing of his children. The absence of legal counsel and Kobran's request that defendant's father leave them alone, contributed to the coercive nature of the interrogation. See Blackburn v. Alabama, 361 U.S. 199, 207-08, 80 S. Ct. 274, 280-81, 4 L. Ed. 2d 242, 249 (1960) (holding that the absence of legal counsel, friends and family members are factors bearing on whether there was coercion). "The aim of the requirement of due process is ... to prevent fundamental unfairness in the use of evidence whether [that evidence is] true or false." Lisenba v. California, 314 U.S. 219, 236, 62 S. Ct. 280, 290, 86 L. Ed. 166, 180 (1941). Here, the degree [***92] of unfairness was enhanced by the fact that although Kobran knew defendant had counsel in the Title Nine action, which was constitutionally mandated because the stakes were so high, New Jersey Div. of Youth and Family Servs. v. E.B., 137 N.J. 180, 186, 644 A.2d 1093 (1994), she nonetheless, while acting as an agent of the prosecutor, ignored his expressed desire to have counsel present during her interrogation. Governmental activities that are coercive may preclude a confession from being used as evidence when it was involuntarily obtained within the meaning of the Due Process Clause of the Fourteenth Amendment. Colorado v. Connelly, 479 U.S. 157, 167, 107 S. Ct. 515, 522, 93 L. Ed. 2d 473, 484 (1986). Under the totality of the circumstances, I am persuaded that defendant's confession [*137] was coerced. When a confession is coerced, it should be excluded from the State's case-inchief because it is deemed to be involuntary and therefore unreliable. Consequently, I would modify the judgment of the Appellate Division and affirm the suppression of the confession. 59 STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. ROBERT BISACCIA, DEFENDANTAPPELLANT. STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. ANTHONY PROTO, DEFENDANT-APPELLANT. STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. SAMUEL LOUIS CORSARO, DEFENDANT-APPELLANT. STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. LOUIS FULCO, DEFENDANT-APPELLANT. STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. CHARLES MUCCIGROSSO, DEFENDANT-APPELLANT. STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. NICHOLAS DESTEFANO, DEFENDANT-APPELLANT. A-3638-92T4, A-3697-92T2, A-3865-92T2, A-5439-92T4, A-5441-92T4, A-5448-92T4 SUPERIOR COURT OF NEW JERSEY, APPELLATE DIVISION 319 N.J. Super. 1; 724 A.2d 836; 1999 N.J. Super. LEXIS 57 January 13, 1999, Argued and Submitted March 2, 1999, Decided SUBSEQUENT HISTORY: publication March 2, 1999. [***1] Approved for PRIOR HISTORY: On appeal from the Superior Court of New Jersey, Law Division, Essex County. COUNSEL: Charles H. Landesman, Designated Counsel, argued the cause for appellant Robert Bisaccia (Ivelisse Torres, Public Defender, attorney; Mr. Landesman, on the brief). Alan Zegas argued the cause for appellants Anthony Proto and Samuel Louis Corsaro (Mr. Zegas, attorney; Weissbard and Wiewiorka, former attorneys; Harvey Weissbard, on the brief). Mark E. Tabakman, Designated Counsel, argued the cause for appellant Charles Muccigrosso (Ivelisse Torres, Public Defender, attorney; Mr. Tabakman, on the brief). Ivelisse Torres, Public Defender, attorney for appellants Louis Fulco and Nicholas DeStefano (Michael C. Kazer, Designated Counsel, on the brief for appellant Fulco; Jeffrey L. Weinstein, Designated Counsel, on the brief for appellant DeStefano). Robert E. Bonpietro, Deputy Attorney General, argued the cause for respondent in the argued cases (Peter Verniero, Attorney General, attorney; Mr. Bonpietro, on the briefs). Peter Verniero, Attorney [***2] General, attorney for respondent in the submitted cases (Robert E. Bonpietro, Deputy Attorney General, on the briefs). JUDGES: Before Judges STERN, BRAITHWAITE and WECKER. The opinion of the court was delivered by STERN, P.J.A.D. OPINION BY: STERN OPINION [*5] [**838] delivered by The opinion of the court was STERN, P.J.A.D. The six appellants ("defendants") were indicted with ten other individuals and two corporations in a seventycount indictment, the last fifty-one of which were severed for purposes of trial. The six appellants and defendant Casiere were jointly tried on the first [*6] nineteen counts of the indictment. 1 Count one charged defendants with conspiracy to commit racketeering, N.J.S.A. 2C:41-2d and 2C:5-2. Count two charged all six with racketeering, N.J.S.A. 2C:41-2b, -2c. Count three charged Bisaccia as a leader of organized crime, N.J.S.A. 2C:5-2g. Count four charged the defendants except Proto with conspiracy involving the hijacking of a trailer load of cigarettes, N.J.S.A. 2C:5-2. Counts five and six charged the same defendants with robbery, N.J.S.A. 2C:15-1 and 2C:2-6, and kidnapping the driver, N.J.S.A. 2C:13-1b and 2C:2-6, while count seven charged Fulco and Muccigrosso with receipt [***3] of the stolen cigarettes, N.J.S.A. 2C:20-7 and 2C:2-6. [**839] Count eight charged Bisaccia and DeStefano with conspiracy to commit theft by extortion, N.J.S.A. 2C:5-2, and count nine charged them with the substantive crime, N.J.S.A. 2C:20-5a and 2C:2-6. Count ten charged Bisaccia and Corsaro with conspiracy to commit arson and burglary of the Attorney General's office in Fairfield, N.J.S.A. 2C:52, and count eleven charged them with conspiracy to rob the Coin Depository Corp. in Elizabeth, N.J.S.A. 2C:5-2. Counts twelve and thirteen charged Bisaccia and Corsaro with conspiracy to commit extortion, N.J.S.A. 2C:5-2, and the substantive theft by extortion relating to J & M Pest Control, N.J.S.A. 2C:20-5a, -5g; 2C:2-6. Count fourteen charged Bisaccia, Corsaro and Proto with 60 conspiracy to commit theft by extortion with respect to the use of waste dumpsters owned by the Savino Companies, N.J.S.A. 2C:5-2, and count fifteen charged Bisaccia, Corsaro and Proto with the substantive offense, N.J.S.A. 2C:20-5a, -5g; 2C:2-6. Counts sixteen and seventeen charged them with conspiracy to commit theft, N.J.S.A. 2C:5-2, and theft from the Savino Companies, N.J.S.A. 2C:20-3a; 2C:2-6. Count eighteen charged [***4] Bisaccia, Corsaro and Proto with a conspiracy involving commercial bribery of Ross Esporrin, an employee of Keithley Construction Corp., with respect to the use of the Savino dumpsters, N.J.S.A. 2C:5-2, and count nineteen charged them with the substantive crime of commercial bribery, N.J.S.A. 2C:21-10c, -10d; 2C:2-6. 1 Casiere was acquitted of all charges and is not referred to herein. [*7] Counts one and two were dismissed during trial as to Fulco and Muccigrosso. Counts four, five and six were dismissed as to all defendants insofar as the cigarette hijacking crimes included an armed robbery and kidnapping. Bisaccia, Corsaro and Proto were found guilty of the racketeering conspiracy and racketeering. Bisaccia was found guilty on count three as a leader of organized crime. All defendants except Proto who was not charged in count four were found guilty of the conspiracy to receive the hijacked cigarettes. Fulco and Muccigrosso were found guilty on count seven with regard to receiving stolen cigarettes. Corsaro was [***5] found guilty on count ten, the conspiracy with regard to the Attorney General's office. Bisaccia, Corsaro and Proto were found guilty of counts fourteen, sixteen, seventeen, eighteen and nineteen concerning the theft from the Savino Companies and commercial bribery of Esporrin. Bisaccia received a sentence aggregating forty years with twenty years before parole eligibility. Corsaro received an aggregate sentence of twenty-six years with thirteen years before parole eligibility. Fulco was sentenced to ten years imprisonment with five years before parole eligibility. Proto was sentenced to terms aggregating sixteen years with eight years before parole eligibility. DeStefano was sentenced to seven years imprisonment, and Muccigrosso received concurrent sentences aggregating seventeen years with eight-andone-half years before parole eligibility. I. his exposure to newspaper accounts [***6] regarding defendant Muccigrosso. On February 11, 1993, the trial judge interviewed M.C. outside the presence of the jury. According to M.C., the jurors regularly discussed newspaper [*8] reports about the trial, but M.C. could only name two jurors who initiated such discussions. M.C. also claimed that there were "always [news]papers in the [jury] room." On February 20, 1993, the judge found M.C.'s allegation of rampant juror misconduct to be "inherently and expressly unreliable, untrustworthy and lacking any credible ring of truth whatsoever." Thus, the judge declined to voir dire the jury regarding M.C.'s allegations. In the interim, following a report that a juror's car was shot at on the evening of February 16, 1993, the State moved on February 17, 1993, to have the jury sequestered. After granting the motion, the trial judge discharged the juror whose car was shot at and met with the remaining jurors in chambers, [**840] outside the presence of defendants and counsel, to discuss the sequestration. At the meeting, juror number 8, M.B., told the judge that he could not "make a fair decision here." The judge made no inquiry as to M.B.'s comment and advised M.B. that he would remain on the [***7] jury. At a subsequent meeting the next morning attended by the judge, jury and Court Administrator, M.B. again addressed the judge on the same subject. The record reflects the following exchange: [M.B.]: As I was trying to say to you yesterday, your Honor, you know, I haven't been to court in some time, I have been on the job, when you are on the job you hear things you don't want to hear, and like I said, I want to make a fair decision, but-THE COURT: Our purpose in meeting here now is not to go into the merits of the case, that is not our purpose, the purpose of this meeting deals with the problems that arise out of sequestration. Those are the problems. [M.B.]: Could I meet with you at another time, you and the seven lawyers, then? THE COURT: We will reserve on that. 2 Jury selection commenced on March 2, 1992, and the trial commenced on June 11, 1992. The case was submitted to the jury on March 3, 1993. On February 9, 1993, shortly before summations were to begin, the trial judge received a letter from M.C., a juror who had been excused during the trial because of 2 A recess had been taken in January due to the health of defendant Proto. At the February 18, 1993 meeting, two jurors also 61 voiced concern about being followed by a man who, according [***8] to one of the jurors, was "always in the courtroom." According to the other juror, the man had "approached [him] in the car wash," about two weeks earlier and asked him was "this your kid." The juror reported that he "walked away from" the man. [*9] The transcript of the February 18, 1993 meeting was made available to all counsel the next day. While the proceedings on February 19, 1993, were thereafter devoted to argument regarding former juror M.C., defense counsel also asked to be heard regarding the previous day's in camera meeting between the judge and jury and specifically regarding the "[M.B.] issue." The judge declined to hear argument at that time, saying that he would entertain argument on the M.C. matter and would address the M.B. matter in the future. The next day, Saturday, February 20, 1993, the court announced its decision denying further jury inquiry regarding M.C.'s letter and ordered defense counsel to begin summations. Defense counsel moved for a mistrial on the grounds of the judge's February 18, 1993 meeting with the jurors and M.B.'s statement that he could not be fair and wanted to speak to the judge. The judge refused to hear the motion that day. During [***9] the course of this discussion, the judge for the first time told defense counsel about his prior meeting with the jurors on February 17, 1993, and told them that he would make the transcript available to them. Despite defendants' arguments that they were not prepared to present their summations on that day, the summations commenced on February 20, 1993. During the next few days, at breaks in the summations, defense counsel continued to move for a voir dire of juror M.B. and to be heard on other issues regarding the meetings. The judge stated that he would hear these motions after summations were completed. At the conclusion of the prosecutor's summation on March 1, 1993, defense counsel argued that the entire jury should be interrogated regarding the meetings of February 17 and 18, 1993, or, in the alternative, that a mistrial should be declared. The statements of M.B. during the meetings was one of the grounds for these motions. Particularly in light of the fact that defendant Fulco had endeavored in open court on February 20, 1993 to question M.B. directly as to why he could not be fair, the [*10] prosecutor conceded in his argument that M.B. should be interviewed. According to the [***10] prosecutor: Obviously, if [M.B.] said that he could [not] he fair, he probably--not probably, he should be interrogated in [sic] especially in light that Mr. Fulco jumped on that Saturday and yelled right at him, [M.B.], come forward. He should be inquired as to whether or not those actions by Mr. Fulco had any--play any part in his ability to be fair. . . . The judge denied the application to question M.B. The judge stated that he had previously [**841] conducted three interrogations of the jury regarding their exposure to mid-trial publicity, and had frequently instructed the jury not to discuss the case with anyone. He presumed the jurors followed his instructions. With regard to M.B., the judge held: the Court is of the sound view that an insufficient foundation has been established to warrant any further investigation. To entertain a voir dire of this juror and other jurors, based on this colloquy [between the judge and M.B.], would, in my judgment, be one--an application which is unfounded and without any merit. The judge stated that it was apparent to him based on M.B.'s demeanor, that M.B.'s statements "were motivated [by] nothing [***11] other than an attempt to gain the sympathy of the Court relative to the need for his continued confinement as a sequestered juror." He emphasized that M.B. only claimed he could not be fair after he learned that he was to be sequestered. Subsequently, the State suggested that because of defendants' objections to M.B., he should be "designated as the alternate juror." Defendants objected; they believed that M.B. should be removed from the jury altogether and had possibly tainted the entire jury. The judge denied both requests and the alternate was selected "by random" drawing. On the second day of deliberations, March 4, 1993, the jury sent out the following note to the trial judge at 3:07 p.m.: "we, the jurors, are at a standstill. Juror Number 8 and 9 have determined a certain verdict and [are] not willing to discuss any matter with any of us. We feel that we need someone to intervene so that we can continue our deliberation. Thank you." Most counsel requested that the judge instruct the jury to continue its deliberations. Bisaccia's counsel moved for a mistrial. The judge denied [*11] the mistrial motion because he did not believe that the note showed that the jury could not be fair [***12] and impartial. However, he reminded the jurors of their obligation to deliberate with each other. At 6:05 p.m. the same day, the jury sent another note to the judge: 62 [W]e have a juror that is in fear of his life. He feels he cannot render a fair decision. We have tried numerous attempts at deliberating, to no avail. We would like to know if at all possible the alternate can take his place. Also, we would like to adjourn for today. Thank you. The record does not reveal the identity of the juror. The attorneys for defendants Fulco and DeStefano asked that a mistrial be declared on the basis that the juror's remark had "tainted" the entire jury. The other defense counsel requested that the jury be instructed that it must continue to deliberate. In addition, Bisaccia's attorney asked that the jury be interrogated. The prosecutor recommended that the juror in question "be excused from service" because he had indicated that he could not render a verdict based on the evidence. The judge denied the mistrial motion and the motion to dismiss the juror. He reasoned that the juror's refusal to deliberate was "nothing other than an attempt by a juror to avoid the responsibility [***13] of deliberation; to avoid the unpleasantries of sequestration; to attempt to get off the jury. . . ." Instead, he instructed the jury: Now, I'd like--I'm going to say something to the jury and I'd like all of you to listen to me. Each one of you has taken an oath in this case at the very beginning. Part of that oath is if the occasion warrants deliberations, to deliberate in accordance with the Court's instruction. Deliberate in accordance with the evidence in this case. Plus, I indicated to you yesterday, your verdict cannot be true unless it is strictly and solely in accordance with the evidence. You have a responsibility now and a duty to deliberate. . . . And I instruct you to continue with your deliberations and you will continue in accordance with the manner that I've instructed you. II. Among other things, defendants argue that the trial judge improperly failed to voir dire juror M.B. after he reported that [**842] he [*12] could no longer be "fair." They also argue that the judge abused his discretion by refusing to conduct a voir dire when the jurors reported that one juror was in "fear of his life." They also argue that a mistrial should have been granted. [***14] We agree that the judge improperly declined to make necessary inquiries on these subjects. The Sixth Amendment of the United States Constitution and Article I, paragraph 10 of the New Jersey Constitution guarantee criminal defendants "the right to ... trial by an impartial jury." State v. Williams, 93 N.J. 39, 60, 459 A.2d 641 (1983); State v. Scherzer, 301 N.J. Super. 363, 486, 694 A.2d 196 (App.Div.), certif. denied, 151 N.J. 466, 700 A.2d 878 (1997). Thus, "a defendant is entitled to a jury that is free of outside influences and will decide the case according to the evidence and arguments presented in court in the course of the criminal trial itself." Williams, supra, 93 N.J. at 60, 459 A.2d 641. As a result, the trial judge must take action to assure that the jurors have not become prejudiced as a result of facts which "could have a tendency to influence the jury in arriving at its verdict in a manner inconsistent with the legal proofs and the court's charge." Scherzer, supra, 301 N.J. Super. at 486, 694 A.2d 196 (quoting Panko v. Flintkote Co., 7 N.J. 55, 61, 80 A.2d 302 (1951)). "The test is 'not whether the irregular matter actually influenced the result but whether it had the capacity [***15] of doing so.'" Scherzer, supra, 301 N.J. Super. at 486, 694 A.2d 196 (quoting Panko, supra, 7 N.J. at 61, 80 A.2d 302). In State v. Bey, 112 N.J. 45, 74-92, 548 A.2d 846 (1988), a capital murder case, our Supreme Court emphasized the need for determining whether jurors were exposed to prejudicial outside influences. There the Court held that the trial court's refusal to voir dire the jury about newspaper articles concerning defendant violated defendant's right to a fair trial and required reversal. Id. at 81, 548 A.2d 846. It concluded that where there is a realistic possibility that prejudicial information reached the jurors, the court should conduct a voir dire to determine whether any exposure [*13] occurred and, where it occurred, to determine what was learned and whether the jurors remained capable of fulfilling their duties in an impartial manner. Id. at 86-87, 548 A.2d 846. The Court made clear that: The procedure of questioning an impaneled jury when prejudicial publicity threatens the fairness and integrity of a defendant's trial should not be invoked begrudgingly. While we do not mean to suggest that any publicity relating to the defendant or the proceedings will automatically require [***16] that the jury be polled, a court might properly choose to err on the side of caution when ruling on such motions. The procedure is prophylactic in nature, designed to 63 uncover potential prejudice to extremely significant constitutional rights that might otherwise go wholly undetected, and to do so at a time when corrective measures remain possible, that is, before ordering a new trial has become the only option. Hence the polling procedure operates to safeguard the rights of the accused and vindicate societal interests in the fair and efficient administration of the criminal justice system. Further, ... the mid-trial voir dire imposes a minimal burden on the court system. Id. at 89-90, 548 A.2d 846(citations omitted). Bey, supra, deals with the need to voir dire the jury concerning publicity where it is unclear whether the jury has been exposed to mid-trial publicity. See also State v. Harris, 156 N.J. 122, 150-54, 716 A.2d 458 (1998). However, where, as here, there is the possibility of actual juror taint or exposure to extraneous influences (including jury misconduct and "comments made to jurors by outside sources"), the judge must voir dire that [***17] juror and, in appropriate circumstances, the remaining jurors. State v. Scherzer, supra, 301 N.J. Super. at 486-91, 694 A.2d 196 (where the judge's conduct of jury inquiries was found to be adequate). In State v. Wormley, 305 N.J. Super. 57, 68-70, 701 A.2d 944 (App.Div.1997), certif. denied, 154 N.J. 607, 713 A.2d 498 (1998), at a lunch break during the first day of trial, a juror told the judge that she knew the State's primary witness and was familiar with the circumstances of the crime. Id. at [**843] 68, 701 A.2d 944. The juror denied that she had revealed her knowledge to the other jurors. Id. at 69, 701 A.2d 944. The judge excused the juror without questioning the other jurors. Id. On appeal following conviction, we held that the judge's failure to make inquiry of the remaining jurors was reversible error, even though the judge was [*14] not asked to voir dire them. Id. We reasoned that even though the dismissed juror denied conveying her knowledge to the other jurors, "there was a strong likelihood that, even indirectly or unintentionally, she may well have." Id. at 70, 701 A.2d 944. In State v. Scherzer, supra, we recently summed up the law in this area: The thrust of the New Jersey and federal cases [***18] on mid-trial allegations of jury misconduct is that the trial judge must make a probing inquiry into the possible prejudice caused by any jury irregularity, relying on his or her own objective evaluation of the potential for prejudice rather than on the jurors' subjective evaluation of their own impartiality. Although the trial judge has discretion in the way to investigate allegations of jury misconduct, an adequate inquiry on the record is necessary for the purposes of appellate review. Id. at 487-88, 694 A.2d 196 (citation omitted; emphasis added). Stated differently, [W]hen a circumstance arises suggesting that a juror may in fact be tainted . . . . the trial court, upon being apprised of such a circumstance, is obliged to interrogate the juror in the presence of counsel and to determine if there is a taint and if so, if any other jurors have been infected thereby. Pressler, Current N.J. Court Rules, comment 2 on R. 1:16-1 (1999). We conclude that the trial judge should have questioned M.B. about his statements that he could no longer be fair, particularly after indicating that during the trial's recess he had heard things he [***19] did not want to hear. M.B.'s statement revealed that he may have been exposed to outside information. The jury had recently come back from an almost month long break in the trial. It was at least possible that M.B. may have been exposed to prejudicial information during that time and may have shared that information with other jurors. Moreover, while the judge understood M.B.'s statements may be read to be a mere reaction to sequestration or an effort to get out of jury duty, which in itself required further inquiry, there were other inferences warranting development. Without the judge questioning M.B. about what he meant by his statements, we have no way of knowing what his exposure may have been or how prejudicial that exposure was. As the Court stated in Bey, supra, 112 N.J. at 89-90, 548 A.2d 846, without a voir dire, "potential prejudice to extremely significant constitutional rights ... might otherwise go wholly undetected." [*15] The prior voir dire referred to by the judge as a basis for not interviewing M.B. on this occasion all occurred before the January 1993 break and the indication that during the break he may have heard something unduly prejudicial to at least one of the 64 [***20] parties. The failure to interview M.B. takes on added significance in light of the juror notes received by the judge during deliberations. While a judge cannot make inquiry into the deliberative process as such, or the mental processes by which a juror reaches his or her decision, State v. LaFera, 42 N.J. 97, 106, 199 A.2d 630 (1964), State v. Kociolek, 20 N.J. 92, 100, 118 A.2d 812 (1955) (involving post-verdict applications), the fact that the jurors reported that M.B. (juror number 8) at first declined to deliberate and that a juror, perhaps M.B., was "in fear of his life," required at least inquiry into whether one or more jurors were concerned about extraneous matters other than the evidence and law as charged by the judge. See State v. Valenzuela, 136 N.J. 458, 643 A.2d 582 (1994); LaFera, supra; Kociolek, supra; State v. Vergilio, 261 N.J. Super. 648, 655-56, 619 A.2d 671 (App.Div.), certif. denied, 133 N.J. 443, 627 A.2d 1147 (1993) (inquiry required of distraught juror who sought to talk with judge). New Jersey courts have permitted and, indeed, have required voir dire inquiry of jurors, even while deliberating, about the possibility and impact of outside or [***21] non-evidentiary extraneous considerations or influences [**844] affecting the ability of a juror to be fair and impartial. See State v. Hightower, 146 N.J. 239, 248-49, 265-67, 680 A.2d 649 (1996); State v. Grant, 254 N.J. Super. 571, 580-87, 604 A.2d 147 (App.Div.1992). 3 See also Valenzuela, supra (requiring the court to determine why a juror was unable to continue deliberating); Vergilio, supra (requiring voir dire of distraught juror). 3 In Grant one voir dire occurred during deliberations when a juror indicated she could not be "fair" and one occurred after trial when a juror reported that another juror advised the panel of her husband's professional opinion about the significance of some evidence. [*16] The issue now before us, therefore, is the remedy to be employed when there is doubt about the integrity of the deliberative process, there is an indication that at least one juror may have been affected by outside influences, and the trial judge conducted no inquiry to ascertain [***22] whether there were such influences and the reasons therefor. III. In State v. Reevey, 159 N.J. Super. 130, 387 A.2d 381 (App.Div.), certif. denied, 79 N.J. 471, 401 A.2d 228 (1978), defendant alleged at trial that one of the jurors was sleeping during summations and instructions. The trial judge took no action. We held this was error, stating that "at the very least under the circumstances of this case the trial judge should have conducted a hearing and questioned this juror as to whether she was in fact dozing or sleeping, or whether she was listening to the summations and the charge but merely had her eyes closed." Id. at 134, 387 A.2d 381. We, therefore, remanded to the trial court with instructions to hold a hearing concerning the allegation that the juror was sleeping during trial. Id. at 135, 387 A.2d 381. Other appellate courts have also remanded for a hearing following conviction when the trial court had failed to investigate an allegation of juror misconduct or other juror irregularity. In Remmer v. United States, 347 U.S. 227, 228-30, 74 S. Ct. 450, 451, 98 L. Ed. 654, 65556, 1954-1 C.B. 146 (1954), the United States Supreme Court held that the trial court erred in failing to hold a hearing on an allegation [***23] that an unnamed person had offered a juror money in exchange for a favorable verdict. The Court stated that such contact or tampering with a juror was presumptively prejudicial but not "conclusive." 347 U.S. at 229, 74 S. Ct. at 451, 98 L. Ed. at 656. The Government was, therefore, permitted to establish, after a hearing, that such contact with the juror was "harmless to the defendant," id. at 229, 74 S. Ct. at 451-52, 98 L. Ed. at 656, and the Court remanded to the trial court for such a hearing. [*17] As the United States Supreme Court later said in a case in which a juror submitted a job application to the prosecutor's office and the prosecutor did not reveal same during the course of trial: [D]ue process does not require a new trial every time a juror has been placed in a potentially compromising situation. Were that the rule, few trials would be constitutionally acceptable. The safeguards of juror impartiality, such as voir dire and protective instructions from the trial judge, are not infallible; it is virtually impossible to shield jurors from every contact or influence that might theoretically affect their vote. Due process means a jury capable and willing to decide the [***24] case solely on the evidence before it, and a trial judge ever watchful to prevent prejudicial occurrences and to determine the effect of such occurrences when they happen. Such determinations may properly be made at a hearing like that ordered in Remmer and held in this case. Smith v. Phillips, 455 U.S. 209, 217, 102 S. Ct. 940, 946, 71 L. Ed. 2d 78, 86 (1982) (footnote omitted). 65 The Supreme Court therefore concluded in Smith that the post-conviction hearing conducted by the state court was adequate to determine that the juror was not biased and the verdict was based exclusively on the evidence. See United States v. Herndon, 156 F.3d 629, 637 (6th Cir.1998) ("remand[ing] the case for a Remmer hearing in which Herndon will have an opportunity to prove actual bias" based on "extraneous" influence on juror). [**845] In United States v. Angulo, 4 F.3d 843, 846 (9th Cir.1993), one juror reported that she received a threatening telephone call in the course of trial and discussed the call with the rest of the jury. The trial judge dismissed the juror who had received the call but refused to question the remaining jurors about possible bias. Id. On appeal, [***25] the Ninth Circuit found "the potential for bias is so strong that the judge was obliged at a minimum to hold a hearing," id. at 847, and remanded to the district court "to hold an evidentiary hearing to determine whether the jurors who knew of the threat were able to act impartially and without bias." Id. at 848. The court added that "[t]he government will be required to show that the threatening telephone call was harmless beyond a reasonable doubt to defendants. . . . If the government cannot make that showing, a new trial should be ordered." Id. at 848 (citation omitted). See also United States v. Barrett, 703 F.2d 1076, 1082-83 (9th Cir.1983). [*18] We recognize that there are problems inherent with a remand almost six years after the verdict. Whether or not M.B. was the juror in "fear," that juror will have to be identified and the impact and effect of what was said to the other jurors will have to be considered in assessing whether defendants received a fair trial. However, the issues now before us were raised during trial and not as a result of post-conviction revelations, see R. 1:16-1; State v. Koedatich, 112 N.J. 225, 286-90, 548 A.2d 939 (1988); State v. Athorn, [***26] 46 N.J. 247, 216 A.2d 369, cert. denied, 384 U.S. 962, 86 S. Ct. 1589, 16 L. Ed. 2d 674 (1966), and the fact that six years have passed since the verdict was rendered does not by itself prohibit the inquiry. In State v. Marshall, 148 N.J. 89, 690 A.2d 1, cert. denied, 522 U.S. 850, 118 S. Ct. 140, 139 L. Ed. 2d 88 (1997), our Supreme Court denied defendant's request for a postconviction inquiry regarding the existence of extraneous influences on the jury verdict. The Court did so in the absence of sufficient "showing" of such influence and not because seven years had passed since the verdict. 148 N.J. at 280, 690 A.2d 1. Our Supreme Court has recently reminded us that, in order to "promote the finality of jury verdicts" and "aid the deliberative process itself, allowing each juror the freedom to discuss his or her thoughts," generally "we ought not reconvene the jury that convicted ... [a] defendant." State v. Harris, 156 N.J. 122, 154, 716 A.2d 458 (1998). There the issue dealt with the trial court's failure to poll the jury about mid-trial publicity because of its presumption that the jury would follow its prior instructions not to read anything about the case. [***27] Id. at 152, 716 A.2d 458. But, independent of the difference between media publicity and whatever gave rise to the juror's concerns in this case, the Harris Court also recognized that jurors can be questioned after trial in "extraordinary" circumstances "when there is a strong representation that a defendant may have been harmed by juror misconduct." Id. at 154, 716 A.2d 458 (citing State v. Koedatich, supra) (which referred to the "extraordinary procedure" based on a "strong showing," 112 N.J. at 291-92, 548 A.2d 939). While here there is no indication a juror disregarded instructions concerning [*19] discussing the case or reading about it, the record reflects the real possibility that the juror deliberations were affected by an outside influence. Therefore, the failure to voir dire in the circumstances presented to the trial judge calls for the "extraordinary procedure," Harris, 156 N.J. at 154, 716 A.2d 458, of a remand to interview the jurors. In State v. Miller, 178 Ariz. 555, 875 P.2d 788 (1994), a dismissed alternate juror left a note on the windshield of one of the remaining jurors, which said either "[h]e's guilty" or "[m]y vote is guilty." Id. at 790. The trial court refused the defense request [***28] to take testimony or question the sitting jurors. Ibid. The Arizona Supreme Court held that the trial court abused its discretion in failing to hold an evidentiary hearing. Id. The Court recognized the difficulty of ordering a hearing on this issue almost four years after the original trial, stating: The arguments against ordering a hearing at this late date are understandable. Memories fade with time. Assuming the jurors can be reassembled, testimony obtained now might be suspect, and its reliability subject to challenge. Moreover, the [**846] judge who saw the witnesses and heard the case on its merits has long since retired. Ordering a hearing now will leave another judge who had no involvement in the trial with the difficult task of determining whether the communication prejudiced the verdict. Id. at 790. In these circumstances, the court remanded to the trial court "to determine whether a hearing at this late date is feasible. If so, the judge is to proceed with the hearing and make appropriate findings consistent with this 66 opinion. If not, the judge must set aside the verdict and order a new trial." Id. at 793. Accordingly, the Miller court held [***29] that "[o]n the remand ..., the trial judge must award a new trial unless the state can prove beyond a reasonable doubt that the contact did not impact the verdict." Id. at 793; see also Remmer v. United States, supra, 347 U.S. at 229, 74 S. Ct. at 451, 98 L. Ed. 2d at 656; United States v. Angulo, supra, 4 F.3d at 848. Here, the trial judge is still on the bench, and we are satisfied that the mere passage of time should not by itself preclude a remand. We, therefore, conclude that a remand is [*20] required for proceedings similar to those in Miller, and that unless the State demonstrates that the jury was not tainted (see Remmer, supra, 347 U.S. at 229, 74 S. Ct. at 451, 98 L. Ed. 2d at 656; State v. Miller, supra, 875 P.2d at 792, n. 2), and that the deliberating jury rendered a decision based exclusively on the evidence, free of taint by improper or extraneous influences, State v. Miller, supra, 875 P.2d at 793, "the trial judge must award a new trial." Ibid. IV. If the trial judge grants a new trial, only three other issues raised on this appeal need be addressed by us. Most of the others will become moot by virtue of the new trial [***30] and the additional proceedings which can be conducted in advance thereof, or will turn on the actual developments at the new trial. Similarly, issues of severance will have to be reconsidered by the trial judge in light of the acquittals of those not convicted on counts one and two and the charges remaining against them. In essence, we find no basis to preclude retrial on all charges on which the defendants were convicted as we reject the assertions by individual defendants of evidentiary insufficiency of specific counts. State v. Reyes, 50 N.J. 454, 459, 236 A.2d 385 (1967); State v. Ball, 268 N.J. Super. 72, 133, 632 A.2d 1222 (App.Div.1993), aff'd, 141 N.J. 142, 661 A.2d 251 (1995), cert. denied sub nom. Mocco v. New Jersey, 516 U.S. 1075, 116 S. Ct. 779, 133 L. Ed. 2d 731 (1996). There are three discrete legal issues, however, which we feel should be settled before another lengthy trial is conducted. A. We reject defendants' contention that conspiracy cannot provide a basis, or "predicate act," for racketeering. In this respect we agree with the trial judge's careful analysis, and interpret N.J.S.A. 2C:411(a)(1) to include a conspiracy. Federal courts have [***31] so interpreted 18 U.S.C.A. § 1961(1)(A), see, e.g., United States v. Echeverri, 854 F.2d 638, 648-49 (3d Cir.1988); United States v. Benevento, 836 F.2d 60, 72 (2d Cir.1987), cert. [*21] denied, 486 U.S. 1043, 108 S. Ct. 2035, 100 L. Ed. 2d 620 (1988); United States v. Manzella, 782 F.2d 533, 537 (5th Cir.), cert. denied, 476 U.S. 1123, 106 S. Ct. 1991, 90 L. Ed. 2d 672 (1986), and our statute was designed to "cover a broader spectrum of behavior" than the "pattern of racketeering activity" prohibited by the federal RICO Act. See State v. Ball, 141 N.J. 142, 167, 661 A.2d 251 (1995), cert. denied sub nom. Mocco v. New Jersey, 516 U.S. 1075, 116 S. Ct. 779, 133 L. Ed. 2d 731 (1996). Moreover, our statute, N.J.S.A. 2C:41-1a(2), incorporates the federal statute which, by case law, has been interpreted to include conspiracies. B. We agree with the trial judge that Judge Donald S. Coburn's role as Essex County Prosecutor in defending the appeal of defendants Bisaccia and Corsaro from a prior conviction and in defending their subsequent federal habeas corpus petition in that matter does not require suppression of the wiretaps [**847] he authorized in the subsequent [***32] investigation resulting in this indictment. 4 This investigation did not commence while Judge Coburn was still a prosecutor, nor was it conducted by his former office, see State v. Tucker, 264 N.J. Super. 549, 555, 625 A.2d 34 (App.Div.1993), certif. denied, 135 N.J. 468, 640 A.2d 850 (1994); State v. McNamara, 212 N.J. Super. 102, 108-09, 514 A.2d 63 (App.Div.1986), certif. denied, 108 N.J. 210, 528 A.2d 30 (1987), and we need not decide if Judge Coburn would be disqualified if he were still County Prosecutor when this investigation commenced or had direct involvement in the prior prosecutions. See Notice to the Bar, "Recusal Policy of the Chief Justice," 134 N.J.L.J. 1030 (September 3, 1996). 4 See State v. Stefanelli, 78 N.J. 418, 396 A.2d 1105 (1979); Bisaccia v. Attorney General, 623 F.2d 307 (3d Cir.1980). C. Defendant Corsaro had been under investigation for cigarette tax violations and was arrested (and may have been [*22] arraigned) for receiving stolen cigarettes before approval was obtained for [***33] consensual interceptions by Nicholas DiSabatino of conversations he had with Corsaro. He had counsel at the time. The trial judge ruled that the recordings were not admissible against Corsaro "relative to the theft of the cigarette charge," but were admissible "with respect to other offenses which were uncovered during the conversations between DiSabatino and Corsaro." We agree with the trial judge that recordings of uncounselled statements with respect to unrelated crimes or offenses for which defendant has not been arrested or charged need not be suppressed. 5 See United States v. Kidd, 12 F.3d 30 (4th Cir.1993), cert. denied, 511 U.S. 1059, 114 S. Ct. 1629, 128 L. Ed. 2d 352 (1994); United States v. Mitcheltree, 67 940 F.2d 1329, 1342-43 (10th Cir.1991); United States v. Giovanelli, 747 F. Supp. 875, 885-86 (S.D.N.Y.1989) (confidential informant's recording of defendant on trial for State offenses admissible with respect to later charged federal racketeering charges; defendant had not been charged with racketeering when recordings were made); United States v. Napolitano, 552 F. Supp. 465, 480-81 (S.D.N.Y.1982) (defendant's statements recorded by informant after [***34] indictment and conviction on various charges admissible in RICO prosecution when the statements were made before defendant was charged in RICO prosecution); 6 see also State v. Tucker, 137 N.J. 259, 277-78, 645 A.2d 111 (1994), cert. denied, 513 U.S. 1090, 115 S. Ct. 751, 130 L. Ed. 2d 651 (1995). We add that while RPC 4.2 has been interpreted and amended since the interceptions in question, it remains clear that it applies in the criminal context only after adversarial proceedings have begun by arrest, complaint or indictment on the charges which are the subject of the communication. The holding [*23] of State v. CIBAGEIGY Corp., 247 N.J. Super. 314, 320-21, 325, 589 A.2d 180 (App.Div.1991), appeal dismissed, 130 N.J. 585, 617 A.2d 1213 (1992), superseded by In re Opinion 668, 134 N.J. 294, 633 A.2d 959 (1993), to this effect has been noted with approval in the commentary to the Report of the Committee which recommended the 1996 amendments to RPC 1.13 and RPC 4.2. See Report of Special Committee on RPC 4.2, 145 N.J.L.J. 318 (1996). 7 See also State v. P.Z., 152 N.J. 86, 116 n. 6, 703 A.2d 901 (1997). 5 The State acknowledges that the ruling would not permit use of the recordings as "evidence against defendant [Corsaro] on the count of conspiracy to commit receiving stolen property, nor on the corresponding predicate acts for racketeering and conspiracy to commit racketeering." [***35] 6 No attorney could ethically counsel defendant with respect to ongoing crimes. See, e.g., In re Nackson, 114 N.J. 527, 555 A.2d 1101 (1989). 7 State v. CIBA-GEIGY, supra, 247 N.J. Super. at 316, 589 A.2d 180, also noted "the general proposition under existing New Jersey law that evidence obtained in violation of a disciplinary rule need not be suppressed." V. If the trial judge denies a new trial, the defendants may seek to have the appeal reinstated, and we will further consider all the issues raised. Defendants shall also order a transcript of the remand proceedings, and the parties shall advise the Clerk within thirty days of the trial court's order if they [**848] desire to file supplemental briefs directed to the remand proceedings. The matter is remanded to the Law Division for further proceedings consistent with this opinion. 68 STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. DENNIS PORTER, DEFENDANT-APPELLANT No. A-3693-82T4 Superior Court of New Jersey, Appellate Division 210 N.J. Super. 383; 510 A.2d 49; 1986 N.J. Super. LEXIS 1255 April 15, 1986, Submitted May 13, 1986, Decided SUBSEQUENT HISTORY: [***1] Approved for Publication May 23, 1986. Certification denied by State v. Porter, 105 N.J. 556, 523 A.2d 191, 1986 N.J. LEXIS 1472 (1986) Certification denied by State v. Porter, 105 N.J. 557, 523 A.2d 191, 1986 N.J. LEXIS 1473 (1986) Certification denied by State v. Porter, 109 N.J. 58, 532 A.2d 1121, 1987 N.J. LEXIS 603 (1987) PRIOR HISTORY: On appeal from Superior Court of New Jersey, Law Division, Passaic County. COUNSEL: Thomas S. Smith, Acting Public Defender, attorney for appellant (Michael J. Witt, Designated Counsel, of counsel and on the brief). W. Cary Edwards, Attorney General of New Jersey, attorney for respondent (Jane F. Tong, Deputy Attorney General, of counsel and on the brief). JUDGES: Pressler, Dreier and Bilder. The opinion of the court was delivered by Dreier, J.A.D. OPINION BY: DREIER OPINION [*387] [**50] Defendant has appealed from his conviction on three counts of first degree armed robbery, N.J.S.A. 2C:15-1, and two counts of possession of a weapon for an unlawful purpose, N.J.S.A. 2C:39-4. He was sentenced to a term of 20 years with a 10 year parole ineligibility, consecutive to his present sentence for armed robbery, conspiracy, possession of a weapon for an unlawful purpose and aggravated assault. [**51] He was also sentenced to two concurrent 20-year terms for the other two contemporaneous armed robberies and to a concurrent 10-year term for the merged possession counts. Defendant was alleged to have participated [***2] in an armed robbery of Gonzalez' Nightclub in the City of Passaic on November 17, 1980, during which the other perpetrators were armed with a handgun, described by defendant as inoperable, and a tree branch. Since the inculpating statements of the others involved were not admissible in this case, defendant's participation was established primarily on the basis of his confession. On this appeal defendant has urged eleven bases for reversal: POINT I. The court below erred in admitting defendant's confession into evidence since it was the fruit of unethical conduct by the Passaic County Prosecutor's office. POINT II. The court below abused its discretion in prohibiting the defense from crossexamining the state's witness, Barry Skwiersky, Esquire, concerning his conduct in taking defendant's confession. POINT III. The defendant was deprived of his right to a speedy trial guaranteed by the state and federal constitutions. POINT IV. The court below erred in failing to merge the convictions of possession of weapons into the convictions of robbery. POINT V. The court below erred in failing to charge the jury that the state had the burden to prove that the gun was [***3] operable in order to find the defendant guilty of robbery in the first degree and guilty of possession of a firearm for unlawful purposes. POINT VI. [*388] The court below abused its discretion in allowing testimony of defendant's prior convictions to impeach his credibility. POINT VII. 69 The allowance of testimony of defendant's prior conviction of burglary to impeach his credibility was error under the doctrine of collateral estoppel and/or because of defendant's minority at the time of its commission. POINT VIII. The admission of the uncertified transcript prepared from defendant's taped confession was error under Evidence Rule 70. POINT IX. The admission of the tree branch was error since the state failed to lay a proper foundation for its introduction. POINT X. The twenty-year sentence imposed upon defendant was manifestly excessive and an abuse of discretion. POINT XI. The defendant's convictions must be vacated because of the aggregate effect of all the errors below. I The central issue in the case is the admissibility of defendant's confession made and recorded while he was jailed in Middlesex County for a separate offense. Two days [***4] after the robbery, defendant and three others were apprehended by the Edison Police as suspects in a then-recent motel robbery. During questioning, defendant mentioned his complicity in the Passaic robbery whereupon an Edison police officer telephoned Passaic Detective Osbuth. Osbuth and another officer first visited defendant in the Middlesex County jail on November 20, 1980, but defendant was unwilling to speak with them. On a subsequent visit defendant again was reticent, but Detective Osbuth left his telephone number in case defendant later decided to respond. In mid-January, defendant telephoned Detective Osbuth and left a message that he wished to speak with him. A few days later, on January 16, 1981, Detective Osbuth, two other police officers [**52] and Assistant Passaic County Prosecutor Barry Swiersky interviewed defendant at the Middlesex County jail. Defendant was unrepresented at the interrogation, although Swiersky "felt certain that somebody [*389] must have been assigned to him" with respect to the Middlesex County matter. Osbuth and Swiersky both testified that defendant had been advised of his Miranda rights at least twice prior to the interview, [***5] and it was apparent that he understood them. He was also read his rights from a form by a police officer before the taping began, and the rights were again meticulously reviewed by Swiersky at the beginning of the taped interview. Defendant specifically and unequivocally waived his right to consult an attorney prior to giving his statement. Defendant contradicted the State's version of the events in material detail. He denied initiating the conversation with Swiersky and further claimed that his confession was based upon facts gleaned from a rapid examination of codefendants' statements. He also contended that the State had made off-the-record sentencing promises. Swiersky denied any such inducements. The trial judge denied defendant's motion to suppress and made credibility determinations in favor of the State. He further found that the interview had been initiated by defendant. As to the reliability of the confession, the judge found "incredible Mr. Porter's testimony that after being shown these statements, he was able to piece together this detailed version of what transpired." He ruled the statement admissible. The admission of a confession may be challenged under [***6] either the Fifth or Sixth Amendments to the United States Constitution. Under the Fifth Amendment, the statement must be excluded if it was not made voluntarily. Oregon v. Elstad, 470 U.S. 298, , 105 S.Ct. 1285, 1292, 84 L.Ed.2d 222, 231 (1985); State v. Williams, 197 N.J. Super. 127, 130 (App.Div.1984), certif. den. 99 N.J. 233 (1985). The Sixth Amendment precludes admission of the confession if it was made at a time when defendant had a right to counsel and did not effectively waive that right. Maine v. Moulton, U.S. , 106 S.Ct. 477, 88 L.Ed.2d 481 (1985). We have no reason [*390] to disturb the trial judge's factual findings; they effectively eliminate any Fifth Amendment attack upon the admission of this confession. We must, however, review the Sixth Amendment arguments in view of recent pronouncements of the United States Supreme Court and trends evident in our sister states. The issue here is whether under the Sixth Amendment the waiver of counsel is effective when a defendant is represented by counsel in other criminal proceedings for which he is then incarcerated, but the right to counsel has not yet attached [***7] with respect to the charge which is the subject of the waiver. The majority view, which accords efficacy to a waiver in such circumstances, builds upon Edwards v. Arizona, 451 U.S. 477, 101 S.Ct. 1880, 68 L.Ed.2d 378 (1981) and Oregon v. Bradshaw, 462 U.S. 1039, 103 S.Ct. 2830, 77 L.Ed.2d 405 (1983) and presages the more 70 recent United States Supreme Court treatment of this issue in Moran v. Burbine, U.S. , 106 S.Ct. 1135, 89 L.Ed.2d 410 (1986), discussed infra. This analysis is exemplified by State v. O'Neal, 238 Kan. 183, 708 P.2d 206, 208-209 (1985) (accused may effectively waive right to counsel during any police investigation so long as waiver is knowing and intelligent), as well as Lofton v. State, 471 So.2d 665, 667 (Fla.Dist.Ct.App.1985) (rejecting the "Rogers or so-called 'New York Rule'"). And see People v. Ellis, 132 Ill.App.3d 778, 87 Ill.Dec. 594, 477 N.E.2d 720 (App.Ct.1985); and State v. Campbell, 367 N.W.2d 454 (Minn.1985). An intermediate view, which would disallow a waiver only if resulting from improper police conduct, is expressed in State v. Quinn [***8] , 64 Md.App. 668, 498 A.2d 676, (Md.Ct.Spec.App.1985) (waiver after defendant [**53] had invoked right to counsel was improperly induced by police officer who showed defendant a copy of charges containing codefendant's implication of defendant as "the one who pushed the" robbery). The minority New York rule resolves the question by determining whether defendant had a "so-called indelible right to [*391] counsel" at the time of his waiver. People v. Bertolo, 65 N.Y.2d 111, 116, 480 N.E.2d 61, 64, 490 N.Y.S.2d 475, 478 (Ct.App.1985). The rule was established by People v. Rogers, 48 N.Y.2d 167, 173, 397 N.E.2d 709, 713, 422 N.Y.S.2d 18, 22 (Ct.App.1979), where the court determined that "even when the interrogation concerns unrelated matters," . . . once a defendant is represented by an attorney, the police may not elicit from him any statements, except those necessary for processing or his physical needs. Nor may they seek a waiver of this right, except in the presence of counsel. Accord, People v. Bartolomeo, 53 N.Y.2d 225, 423 N.E.2d 371, 440 N.Y.S.2d 894 (Ct.App.1981). But cf. People v. Colwell [***9] , 65 N.Y.2d 883, 482 N.E.2d 1214, 493 N.Y.S.2d 298 (Ct.App.1985), (unrepresented waiver held effective where defendant was represented on other charge on appeal after conviction); People v. Mehan, 112 App.Div.2d 482, 490 N.Y.S.2d 897, at 899900 (App.Div.1985) (indelible right did not attach with regard to New York charges to a defendant arraigned in New Jersey, where New York investigators were incorrectly informed by defendant that he had not been assigned New Jersey counsel). We have yet to determine in New Jersey if acceptance of an uncounselled waiver by a suspect who is represented in another pending matter violates the substantially similar provisions of the Sixth Amendment of the United States Constitution and N.J.Const. (1947), Art. I, par. 10. The United States Supreme Court has recently reiterated that Fifth and Sixth Amendment rights are not sufficiently similar that a valid Fifth Amendment waiver necessarily constitutes an enforceable waiver of Sixth Amendment rights. Michigan v. Bladel, U.S. , 106 S.Ct. 1404, 89 L.Ed.2d 631 (1986). Most instructive, however, is Moran v. Burbine, supra, where the Court held [***10] that the defendant's waiver and confession, made while an attorney retained by defendant's family sought to provide representation but was misled by police, violated neither the Fifth nor Sixth Amendment rights of defendant. There the Court held that the police misconduct toward the attorney made [*392] defendant's statements no less voluntary and that the right to counsel did not attach where the questioning was before the initiation of "adversary judicial proceedings," citing Maine v. Moulton, supra, decided but three months earlier. Cf. State v. Farrow, 61 N.J. 434, 449 (1972), cert. den. 410 U.S. 937, 93 S.Ct. 1396, 35 L.Ed.2d 602 (1973). A resolution of this issue under Moran would thus require a two-pronged analysis, first a determination of whether defendant was represented by counsel at the time of the interrogation and, second, a determination whether adversary judicial proceedings had been initiated. Both questions often are directly linked to the "first appearance" (formerly called a "preliminary hearing"), R. 3:4-2. Cf. State v. Melendez, 165 N.J. Super. 182, 183-186 (App.Div.1979). R. 3:4-2 provides that at the [***11] first appearance before the court for an indictable offense an indigent defendant is referred to the Office of the Public Defender. It is clear from a reading of R. 3:27-1 that the representation, ordinarily initiated prior to a defendant's plea, continues in the matter through and including any direct appeal as well as an initial post-conviction proceeding, appeal therefrom, and such other proceedings as would warrant the assignment of counsel pursuant to court rules. See also N.J.S.A. 2A:158A-5. 1 1 Of course, if private counsel is engaged and generally represents a defendant, the terms of the specific arrangement would supersede the statutory obligations of assigned counsel. Accordingly we limit our holding to cases in which a defendant is not represented by retained counsel on any pending charge at the time of the waiver. We expressly do not address the efficacy of the waiver where there is retained counsel. [**54] Although defendant was in custody (a relevant consideration for a Fifth [***12] Amendment analysis), the interrogation during which defendant confessed was prior to the filing of any complaint 71 concerning the Passaic matter, and thus necessarily prior to his first appearance before the court. Neither the court rules nor statute require assignment of counsel at this early investigatory stage. Indeed, it would be intolerable if the [*393] police were subject to more than the Miranda obligations imposed by the Fifth Amendment at this investigatory stage. The restrictions on interrogation should be no different merely because defendant was represented in another matter. See Lofton v. State, supra, 471 So.2d at 667 (defendant's incriminating statement regarding sexual battery investigation held admissible although made after unrepresented waiver where he had been previously assigned public defender for unrelated burglary charge). We determine that New Jersey will not follow the New York Sixth Amendment waiver rule in the situation before us. For present purposes we apply Moran v. Burbine, supra, and determine that defendant was unrepresented when he waived his right to counsel, since his right to assigned counsel on the Passaic charge had [***13] not yet ripened at the time of his confession and the scope of representation by counsel assigned in the Middlesex County matter did not encompass the unrelated Passaic charge. Cf. State v. Farrow, supra, 61 N.J. at 449; State v. Melendez, supra, 165 N.J. Super. at 183. Since on a sufficient record the trial judge also determined that defendant was not improperly induced to waive his right to counsel, we find no basis for determining that there was any improper conduct or any violation of defendant's Sixth Amendment rights in the taking or admission of his confession. Defendant also argues that ethical violations by the prosecutor require exclusion of defendant's statement. 2 The first alleged violation is of the standard, now embodied in RPC 3.8(c), prohibiting a prosecutor from seeking "to obtain from an unrepresented accused a waiver of important post-indictment pretrial rights." In this case the waiver was pre-indictment and [*394] was determined factually to have been voluntarily made by the accused. 2 This issue was also implicated in State v. Darby, 103 N.J. 493 (1986), where the Supreme Court in summary order, granted certification and remanded to this court the issue of a "defendant's Sixth Amendment claim that his right to counsel was violated by the post-conviction interrogation . . . by representation of the prosecutor," citing the comment to RPC 3.8 and United States v. Callabrass, 458 F.Supp. 964 (S.D.N.Y.1978). [***14] In addition, defendant has claimed that there was a violation of the ethics rule, now embodied in RPC 4.2, forbidding communication with a party known by a lawyer to be represented by another attorney "in the matter," unless the lawyer either has the consent of the other attorney "or is authorized by law to do so." Although it was apparent that defendant was represented by an attorney in the Middlesex County case, such representation was not "in the matter" of the Passaic charges. Also, a prosecutor has the general duty to aid in the investigation of a crime. N.J.S.A. 2A:158-5. He is only precluded, as noted in our discussion of RPC 3.8(c), from obtaining waivers of post-indictment pretrial rights from an unrepresented accused. The prosecutor thus was "authorized by law" to engage in the questioning that occurred in this case. We, therefore, also find no ethical impropriety on the part of the assistant prosecutor. We also note in passing that violation of the Rules of Professional Conduct do not necessarily constitute a basis for asserting State action sufficient to justify a claim of deprivation of a constitutional right. The exclusionary rule is intended [**55] [***15] to vindicate a constitutional right. If the confession otherwise meets constitutional muster, an ethical violation alone does not rise to a deprivation of a constitutional right. II Defendant next claims that he was precluded from fully cross-examining Swiersky concerning his knowledge of whether defendant had counsel at the time the confession was given. The court stated that such line of questioning would open the door to a showing that defendant was in jail for committing crimes in Middlesex County. We note that a reasonable alternative would have been for the court to have limited the questioning to whether defendant was represented in "another [*395] matter." Although this latter procedure was preferable, we have determined under Point I that defendant's representation by an attorney on the unrelated Middlesex County charge had little if any relevance to this proceeding. Any error, therefore, was harmless. R. 2:10-2. III Defendant's claim of a violation of his right to a speedy trial is specious. The four part test of Barker v. Wingo, 407 U.S. 514, 530, 92 S.Ct. 2182, 2191, 33 L.Ed.2d 101, 117 (1972), has little application in this case, notwithstanding [***16] the considerable delay in the trial of the matter. See State v. Szima, 70 N.J. 196, 201, cert. den. 429 U.S. 896, 97 S.Ct. 259, 50 L.Ed.2d 180 (1976). As recently noted in United State v. Loudhawk, 474 U.S. , , 106 S.Ct. 648, 654, 88 L.Ed.2d 640, 652 (1986), "the Speedy Trial Clause's core concern is impairment of liberty; it does not shield a suspect or a defendant from every expense or inconvenience associated with criminal defense." Defendant's liberty was already impaired because of the separate offense for which he was incarcerated. There was no separate arrest for the Passaic charge. If we 72 measure the delay from the time of defendant's confession, January 16, 1981, we note a significant delay of two years and two weeks to the commencement of the trial on February 3, 1983. Yet defendant did not assert his right to trial until June 24, 1982, an assertion only reiterated by counsel October 22, 1982 by a notice of motion. The trial commenced just over three months later. We find no substantial prejudice. State v. Pace, 171 N.J. Super. 240, 253 (App.Div.1979), certif. den. 84 N.J. 384 (1980). IV We agree that [***17] defendant's convictions for possession of the weapons, a handgun and stick, with the purpose to use them unlawfully against the victims of the robbery should have [*396] been merged, not only with each other, but with the robbery convictions. Under the facts of this case they were necessary to the multiple convictions for armed robbery. The separate sentence for the merged weapons conviction must be vacated, together with the Violent Crime Compensation Board penalty assessed for these charges. N.J.S.A. 2C:1-8a(1); State v. Hardison, 204 N.J. Super. 1, 11-12 (App.Div.1983), certif. den. 99 N.J. 154-55 (1984), aff'd on other issues, 99 N.J. 379, 382 (1985). V Defendant's remaining substantive points are clearly without merit and need not be separately discussed. R. 2:11-3(e)(2). As to Point X, we note that the trial judge failed to state specifically that he was "clearly convinced that the aggravating factors substantially outweigh the mitigating factors," N.J.S.A. 2C:43-6b, when he set a 10-year term of parole ineligibility. See State v. Martelli, 201 N.J. Super. 378, 385 (App.Div.1985). The judge stated, however, that there were no [***18] mitigating circumstances, but that there [**56] were several aggravating circumstances, i.e.: the nature and circumstances of the offense, robbery while armed [not the mere fact of the offense, which would have been barred as an aggravating factor, State v. Yarbough, 100 N.J. 627, 633-644 (1985)] the seriousness of the psychological and emotional harm of all the victims. The risk that the defendant could commit another offense. The extent of his prior criminal record. And the need to deter the defendant and others. He found that the preponderance of factors required a maximum term. A fair reading of the three pages of remarks by the trial judge on sentencing also shows substantial compliance with the provisions of N.J.S.A. 2C:43-6b. While we are in full accord with the statement in State v. Martelli, supra, at 382-83, that separate considerations govern the imposition of a maximum sentence and a period of parole ineligibility, we do not read Martelli as requiring the recitation of the statutory formula, if the finding is implicit. Here there was a detailed analysis of the crime, the defendant and the reasons for sentencing. [*397] [***19] We, therefore, find a sufficient showing that the sentencing judge was "clearly convinced that the aggravating factors substantially outweigh the mitigating factors." The convictions for the weapons offenses shall be merged into the armed robbery convictions, and the separate concurrent 10-year sentence for the weapons offenses as well as the $ 25 Violent Crime Compensation Board penalty imposed therefor shall be vacated. Except as so modified, the judgments of convictions are affirmed. 73 STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT, v. ISSAC LENIN, DEFENDANT-APPELLANT. DOCKET NO. A-6499-03T4 SUPERIOR COURT OF NEW JERSEY, APPELLATE DIVISION 406 N.J. Super. 361; 967 A.2d 915; 2009 N.J. Super. LEXIS 71 March 11, 2009, Submitted April 7, 2009, Decided SUBSEQUENT HISTORY: [***1] Approved for Publication April 7, 2009. Certification denied by N.J. v. Issac, 2009 N.J. LEXIS 1260 (N.J., Oct. 26, 2009) PRIOR HISTORY: On appeal from the Superior Court of New Jersey, Law Division, Middlesex County, Indictment Number 02-02-00179. COUNSEL: Yvonne Smith Segars, Public Defender, attorney for appellant (Ruth Bove Carlucci, Assistant Deputy Public Defender, of counsel and on the brief). Bruce J. Kaplan, Middlesex County Prosecutor, attorney for respondent (Simon Louis Rosenbach, Assistant Prosecutor, of counsel and on the brief). JUDGES: Before Judges AXELRAD, PARRILLO and MESSANO. The opinion of the court was delivered by PARRILLO, J.A.D. OPINION BY: PARRILLO OPINION [*367] delivered by [**918] The opinion of the court was PARRILLO, J.A.D. In 1997, two separate juries were unable to reach a verdict as to defendant Issac Lenin's guilt of the murder with which he was charged. In 2002, after new evidence was received from a confidential informant, defendant was re-indicted on charges of first-degree murder, N.J.S.A. 2C:11-3(a)(1) or (2); possession of a weapon for an unlawful purpose, N.J.S.A. 2C:39-4(d); and hindering apprehension or prosecution, N.J.S.A. 2C:29-3(b). This time, a jury convicted him of all three offenses. [**919] Defendant now appeals, arguing that statements of his, recorded by a confidential informant, violated his [***2] constitutional right to counsel; that an FBI agent's "behavioral assessment" lacked sufficient scientific reliability to justify admission; that a police officer's testimony concerning defendant's guilt and credibility denied him his right to a fair trial; and that the prosecutor's improper remarks in opening and summation denied him a fair trial. For the following reasons, we affirm. At around 10:30 a.m. on Monday, April 24, 1995, Deborah Fowler was found dead in the basement of a vacant home at 343 Townsend Street in New Brunswick, where defendant occasionally slept on a mattress. Her face was bloody and battered so badly that the police officers could not even determine the victim's gender. The blood was still wet in places, including where it had splashed on the wall behind her head. It was later determined that the victim suffered a broken jaw and nose and numerous blunt force injuries to the head, face and neck. She had also been manually strangled. The blunt force trauma injuries were consistent with a ball peen hammer, discovered later that afternoon with human blood on it in the backyard [*368] of an abutting property, inasmuch as its semi-circular shape matched the curved lacerations [***3] on Fowler's face. Cause of death was a combination of manual strangulation and blunt force trauma. It was believed the homicide took place where the victim was found, because blood on her body showed gravitational draining. Time of death was estimated to be thirty-six to forty-eight hours before discovery of the body. The autopsy also revealed high levels of alcohol, cocaine and morphine in the victim's system, ingested no more than four hours before her death. Fowler did not display any defensive wounds. In the days preceding her death, Fowler was seen in the vicinity of 343 Townsend Street, in the company of defendant, who worked construction. On Friday evening, April 1, 1995, Ernest Wilson, a fellow construction worker, accompanied defendant and Fowler to his girlfriend's apartment where the four ingested cocaine and drank beer. When, thereafter, Wilson refused to allow defendant to use the bathroom to have sex with Fowler, defendant complained, "If she don't give me none, I'm going to take it." Out of defendant's hearing, Fowler told Wilson's girlfriend, Tracy Lyles, that she was 74 going to get defendant's money and that "he wants some but I'm not going to give him none." Defendant [***4] and Fowler left the apartment around 10:00 p.m., at Lyles' request. Lyles recalled defendant wearing a tool belt that night with a ball peen hammer, which, according to Wilson, defendant also carried in his belt at work. a neighborhood liquor store, reported that he had just discovered the body of a dead woman when he entered the house at 343 Townsend Street to use a bathroom, and asked someone to call the police. An elderly man volunteered, using a pay phone at a nearby bakery, and the police responded. Sometime in April 1995, Israel Lopez saw defendant bring a mattress into 343 Townsend Street, and, late one Friday night in April, observed defendant with a "darkskinned lady" whom he later identified as Fowler from a photograph. On Friday, April 21, at about 10:30 p.m., Luis Dastas, who lived across the street from 342 Townsend, saw defendant go into the house with a black woman. 1 [*370] Later that afternoon, New Brunswick police interviewed defendant, who repeated his account of discovering the body when he entered the house to use a bathroom, but emphatically denied ever having been in the house before. The house was indeed abandoned with no working plumbing. However, just a few days earlier, in applying for financial assistance from the City of New Brunswick, defendant reported to a social worker that he lived in an abandoned house on Townsend Street. 1 Dastas did not testify as such at defendant's two previous trials, supposedly because he thought the police "had" defendant and would "put him away," and that he would get himself in trouble. He also admitted that in 1997, he was facing a life sentence for aggravated sexual assault but received a seven-year sentence. He denied receiving any leniency in exchange for his 1997 testimony. At the time of this trial, he was back in prison for having violated Megan's Law. He had seven convictions in all. [*369] Michael Rodriguez, a sixteen-year old drug dealer who worked the French/Townsend [**920] Street area, [***5] knew Fowler for many years and described her "like an aunt." On Saturday, April 22, at around 6:30 p.m., he sold her a $ 20 bag of cocaine on Townsend Street, after which she walked down the street toward the railroad bridge. Rodriguez next saw Fowler at 8:30 p.m., coming from the same direction with defendant. She bought another $ 20 bag of cocaine while defendant stood a few feet away. At 10:30 p.m., he sold her a third $ 20 bag of cocaine, but defendant was not with her at the time. Earlier that day, Eddie Warren saw defendant near a liquor store, carrying a ball peen hammer on a belt. Later that evening, around 8:00 p.m., Warren was on his way to see his girlfriend when he saw Fowler and defendant near the railroad tracks. Fowler asked Warren for a cigarette, but defendant remained under the railroad bridge, about eight or nine feet from the two. Not long afterwards, according to the medical examiner's estimated time of death, defendant, by his own admission years later, struck Fowler repeatedly with a hammer, because she pushed him in the face and tried to take his wallet. Although, at the time, he denied any involvement in the homicide or even knowing the victim, defendant was [***6] actually the first to report finding the dead body. On the Monday following Fowler's death, April 24, 1995, at about 9:00 a.m., defendant walked into Months later, on August 23, 1995, after discovering discrepancies in the statements of defendant and other witnesses, Sergeant Ronald Kushner and Orlando Roman from the Middlesex County Prosecutor's Office interviewed defendant. He denied knowing Fowler and, again, denied being inside 343 [***7] Townsend Street before April 24. Roman then confronted defendant with information (from witnesses Ernest Wilson and Tracy Lyles) placing him with Fowler on the evening of the homicide or the night before, buying her cigarettes and trying to have sexual relations with her. Defendant denied these reports, but eventually admitted seeing Fowler at Lyles' house, but insisting she remained behind after he left. When asked the location of his other hammer, defendant denied having one. Defendant was arrested that same day for Fowler's murder. The investigation remained open even after two juries in 1997 could not reach a verdict. Years later, on December 5, 2001, Kushner received a call from Detective Michael McHale of the Sarasota, Florida Police Department, who reported that one of his confidential informants, Pedro Dominguez, had information about the Fowler murder from defendant, when the two were together at the county jail. Specifically, defendant had told Dominguez in Spanish that "[defendant] had killed a girl here on Townsend [Street] in [New] Brunswick, that he had hit her on the head [**921] with a hammer in the forehead." 2 Defendant also told Dominguez that [*371] he had discarded the hammer, [***8] but that police officers had found it, and that the site of the murder was a vacant house. Finally, defendant told Dominguez that he had entered a store to report a dead woman, that somebody telephoned the police department, and that police officers answered the call. 2 There is some indication that Dominguez heard "Townsend" as "thousand", and actually referred to the street as "1000 Street." As a result, Kushner and another investigator 75 traveled to Florida on January 21, 2002, to meet McHale and Dominguez, a Cuban national who, at the time, was in federal custody awaiting deportation proceedings. After the officers interviewed Dominguez, arrangements were made to transfer Dominguez to the state prison where defendant was incarcerated. Once the two men were reunited, Dominguez was fitted with an electronic transmitter, in the hope of capturing incriminating information on tape. Eventually, their conversations generated hours of dialogue including one in which defendant disclosed how he murdered Fowler. Specifically, defendant related that Fowler took his wallet and would not return it, so "Man, I let her have it. I let her have it and you know how it happened." Defendant continued, "She [***9] was found dead. I don't even want to tell the story." (I) Defendant's principal contention is that his surreptitiously recorded statements to the State's undercover informant were in violation of his Sixth Amendment right to counsel, as recognized in Massiah v. United States, 377 U.S. 201, 84 S. Ct. 1199, 12 L. Ed. 2d 246 (1964). We disagree and hold that the right to counsel does not survive dismissal of formal criminal charges against the accused, absent collusion or chicanery on the part of the prosecution. The Sixth Amendment to the United States Constitution provides that "[i]n all criminal prosecutions, the accused shall enjoy the right ... to have the Assistance of Counsel for his defence." U.S. Const., Amend. VI. The purpose of this right is "to enable the defendant to confront the prosecution and to ensure the integrity of the judicial process." State v. Sanchez, 129 N.J. 261, 265, 609 A.2d 400 (1992). The right to counsel attaches at the [*372] pretrial stages and is "triggered when 'adversary judicial proceedings have been initiated.'" Ibid. (quoting Kirby v. Illinois, 406 U.S. 682, 688-89, 92 S. Ct. 1877, 1881-82, 32 L. Ed. 2d 411, 417 (1972)). "Adversary judicial proceedings" begin by way of "formal [***10] charge, preliminary hearing, indictment, information, or arraignment." Kirby, supra, 406 U.S. at 689, 92 S. Ct. at 1882, 32 L. Ed. 2d at 417. In Massiah, supra, a defendant had been indicted, had retained a lawyer, and had been released on bail. Id. at 201, 84 S. Ct. at 1200, 12 L. Ed. 2d at 248. While he was free on bail, a federal agent surreptitiously listened to incriminating statements made by defendant. Ibid. Over the defendant's objection, evidence of the statements was introduced against him at trial. Ibid. The Court held that eliciting the statements "after [defendant] had been indicted and in the absence of his counsel" violated the Sixth Amendment. Id. at 206, 84 S. Ct. at 1203, 12 L. Ed. 2d at 250; see also United States v. Henry, 447 U.S. 264, 265, 100 S. Ct. 2183, 2184, 65 L. Ed. 2d 115, 119 (1980); Maine v. Moulton, 474 U.S. 159, 161, 106 S. Ct. 477, 479, 88 L. Ed. 2d 481, 486 (1985). [**922] Unlike those cases where an indictment was pending when the incriminating statements were elicited, ibid., here, the judge dismissed defendant's murder indictment without prejudice on January 23, 1998, after defendant was tried twice on that and related charges in 1997 without conviction. [***11] Defendant was not reindicted until February 13, 2002, shortly after he was recorded making incriminating statements. Although no New Jersey case has addressed the right to counsel in this precise situation, other jurisdictions considering the issue have uniformly rejected defendant's position. In United States v. Mapp, 170 F.3d 328, 333 (2d Cir.1999), cert. denied sub. nom Moore v. United States, 528 U.S. 901, 120 S. Ct. 315, 145 L. Ed. 2d 200 (1999), the defendant, Moore, was in a state prison on charges unrelated to the case on appeal. Shortly thereafter, he was charged by the state with murder; however, that charge was dismissed at the state's request, due to evidentiary [*373] and speedy trial problems. Ibid. While Moore was still in state prison, federal prosecutors obtained a writ authorizing Moore's transfer to a courthouse to take fingerprints. Ibid. As part of that transfer, Moore was intentionally placed in a holding cell with Sainsbury, a man authorities suspected was also tied to the murder, and who was then cooperating with authorities. Ibid. Moore did, indeed, make incriminating statements about the murder and other crimes, with which he was charged by federal authorities. Ibid. On [***12] appeal of the resulting federal convictions, Moore argued that, in arranging for the meeting with Sainsbury, the state and federal authorities had improperly colluded to deprive him of his Sixth Amendment right to counsel. Ibid. The court disagreed, ibid., holding that the Sixth Amendment right to counsel does not attach until a prosecution has commenced. Id. at 334. Moreover, the Sixth Amendment is "offensespecific," meaning that it does not prohibit the questioning of an individual regarding other crimes that have not been charged. Ibid. The federal prosecution of Moore was not commenced until six months after his conversation with Sainsbury, and, thus, his right to counsel to defend those charges had not yet attached. Ibid. Nevertheless, Moore argued that, because state and federal officials created a "seamless web of incarceration and prosecution," the right to counsel that attached upon the filing of the state murder charges survived the dismissal of those charges and prevented questioning outside the presence of counsel. Ibid. Yet the district court had conducted a thorough hearing on the extent of the federal and state collaboration in the dismissal of the 76 state case and the [***13] initiation of the federal case, and found no collusion. Ibid. Consequently, the court found no violation of Moore's Sixth Amendment right to counsel. Ibid. In a case similar to Mapp, in United States v. Montgomery, 262 F.3d 233, 245 (4th Cir.), cert. denied, 534 U.S. 1034, 122 S. Ct. 576, 151 L. Ed. 2d 448 (2001), the defendant Holland was charged in state court with murder. State authorities nol prossed the [*374] charges several months later. Ibid. The nol pross was not an acquittal or a pardon of the murder and did not preclude a prosecution for the same offense. Id. at 246. A year later, three years prior to any charges being initiated, federal authorities taped an incriminating conversation Holland had with an informant. Id. at 245-46. Holland argued that since he "still faced jeopardy" after the state nol prossed the state murder charge, his Sixth Amendment right to counsel had never been extinguished. Id. at 246. The Fourth Circuit held that "[a]doption of this argument would provide a once-indicted [**923] defendant with a permanent constitutional shield[,]" and that "[n]either the Sixth Amendment nor the Supreme Court's explication of the rights guaranteed by it countenance such a result." [***14] Ibid. The court continued: "When an indictment is dismissed (or nol prossed) and a defendant discharged, the respective positions of the government and defendant undergo a most important change--they cease to be adversarial. Thus, after dismissal of the state murder charge, Holland no longer faced an 'expert adversary.'" Ibid. Consequently, Holland's Sixth Amendment right to counsel was not denied. Id. at 246-47. Recently, the Eleventh Circuit joined in finding that conversations recorded by federal authorities after the same state charges were dismissed did not violate the defendant's Sixth Amendment rights. United States v. Toepfer, 317 Fed. Appx. 857, 2008 U.S. App. LEXIS 14811 at *3-4 (11th Cir. 2008). Similarly, the district court of Kansas held, "[W]here no charges have been filed or remain pending regarding the subject of interrogation, the Sixth Amendment right to counsel simply does not attach, and defendant's incriminating statements may be used against him." United States v. Garcia, 861 F. Supp. 996, 1006 (D.Kan.1994), aff'd, 69 F.3d 549 (10th Cir.1995). We fail to see the significance of the distinction defendant draws in Mapp and its progeny, namely that the questioning of the individuals [***15] in those cases occurred in circumstances in which the [*375] right to counsel had not yet attached. In Mapp, when the statements were taken, the state charges against the defendant had been dismissed, and no federal charges had been filed. Here, when defendant's statements were taken, the state charges had been dismissed, and there had been no re-indictment by the State. If plaintiff is placing significance on the duality of state-federal prosecutions, he fails to explain the difference, or why it should matter. The fact remains that when defendant was in jail in Florida on unrelated charges, no charges were pending against him for the Fowler murder. Other courts have addressed similar issues where there was no federal/state distinction. In United States v. Bartelho, 129 F.3d 663, 675 (1st Cir.1997), cert. denied, 525 U.S. 905, 119 S. Ct. 241, 142 L. Ed. 2d 198 (1998), the defendant was charged with robbery in July 1994, and the charges were dropped in October 1994. In March 1995, while the defendant was incarcerated on other charges, he made statements to a fellow inmate, who was a government informant. Id. at 674-75. The defendant was re-indicted on the same charges in May 1995. Id. at 675. [***16] The defendant maintained that the government deliberately dismissed the robbery charges against him before he was incarcerated with the informant, thus orchestrating an opportunity to obtain information at a time when he would not have a right to counsel. Ibid. The court stated that "[d]eliberate chicanery by the government intended to subvert an accused's Sixth Amendment rights, by delaying formal charges, may give rise to a right to counsel before charges are brought." Ibid. However, because the trial judge found no manipulation, the court held that the defendant's Sixth Amendment rights were not violated. Ibid. In Lindsey v. United States, 911 A.2d 824, 827 (D.C.2006), cert. denied, 128 S. Ct. 804, 169 L. Ed. 2d 607 (2007), the defendant was charged with murder in 1992, but, after several months, the government dismissed the charges against him. In 1994, he was incarcerated on drug charges. Ibid. In 1997, while the defendant was still in prison, federal agents [**924] visited him and [*376] told him that they had new evidence relating to the murder and that they believed he was involved. Id. at 828. The defendant confessed, and several months later he was arrested and indicted for the murder. Ibid. [***17] He claimed, on appeal, that his Sixth Amendment right to counsel had been violated, but the court disagreed because judicial proceedings were not pending against him when he was questioned. Id. at 834. The court disagreed with the defendant's contention that his Sixth Amendment right to counsel survived the dismissal of a previous prosecution and held that it must be reasserted "in the absence of bad faith by the government." Id. at 834, 836. In a case most similar to the present matter, the defendant in State v. Perry, 204 W. Va. 625, 515 S.E.2d 582, 584 (1999), was charged with arson. After the preliminary hearing, the magistrate dismissed the case for lack of sufficient evidence to support the charges. Ibid. The State maintained that after the charges were 77 dismissed, the investigation remained open, but was not actively pursued. Ibid. Two years later, authorities obtained a confession from a co-conspirator, who agreed to wear a wire while speaking to the defendant. Ibid. The defendant made incriminating statements, and he was charged with the same offenses that previously had been dismissed. Ibid. The defendant argued that his right to counsel attached in 1995, when he had first been charged. [***18] Ibid. The court disagreed, holding that unless a criminal defendant can show that the government has obtained a dismissal of adversarial judicial criminal proceedings against him or her in order to circumvent his or her constitutional rights, once such criminal proceedings have been dismissed, the right to the assistance of counsel granted by the Sixth Amendment ... no longer applies. [Id. at 592.] The dismissal of an indictment without prejudice cannot be considered a "mere formality" and is not without significance, as defendant posits in seeking to extend his right to counsel permanently, beyond its expiration. On the contrary, "[t]he return of an indictment transforms the relationship between the State and the defendant." Sanchez, supra, 129 N.J. at 276, 609 A.2d 400. In [*377] State v. Tucker, 265 N.J. Super. 296, 319, 626 A.2d 1105 (App.Div.1993), aff'd, 137 N.J. 259, 645 A.2d 111 (1994), cert. denied, 513 U.S. 1090, 115 S. Ct. 751, 130 L. Ed. 2d 651 (1995), we held that the Sixth Amendment right to counsel attached only "at or after the time that adversary judicial proceedings have been initiated against the defendant." Citing Kirby, supra, 406 U.S. at 689, 92 S. Ct. at 1882, 32 L. Ed. 2d at 417, in defining the initiation [***19] of adversary judicial proceedings as one initiated by "formal charge, preliminary hearing, indictment, information or arraignment[,]" Tucker, supra, 265 N.J. Super. at 320, 626 A.2d 1105, we determined that the right to counsel in New Jersey is triggered by the return of the indictment. Id. at 325, 626 A.2d 1105. We also held that the Sixth Amendment right "cannot be invoked once for all future prosecutions." Id. at 322, 626 A.2d 1105 (quoting McNeil v. Wisconsin, 501 U.S. 171, 175, 111 S. Ct. 2204, 2207, 115 L. Ed. 2d 158, 166 (1991)); see also State v. Harris, 181 N.J. 391, 435, 859 A.2d 364 (2004), cert. denied sub nom. Harris v. New Jersey, 545 U.S. 1145, 125 S. Ct. 2973, 162 L. Ed. 2d 898 (2005). Here, the dismissal of defendant's murder indictment without prejudice, after successive mistrials and without any prospects of developing additional evidence, was entirely proper. [**925] State v. Abbati, 99 N.J. 418, 437, 493 A.2d 513 (1985). Unforeseen and unexpectedly, that additional evidence surfaced four years later in the fortuitous circumstance of defendant being confined with and befriending a confidential informant in a Florida county jail. No indictment was pending at the time the informant was wired, and there is no evidence that law enforcement authorities [***20] orchestrated the circumstances, colluded with each other, or engaged in chicanery to circumvent defendant's Sixth Amendment rights. Nor is the evidence suspecible of any suggestion that the State engineered the dismissal of the original indictment to allow its investigation to continue while defendant was not represented. Absent such proof, we conclude that there was no right to counsel once defendant's murder indictment was dismissed, and his surreptitiously recorded statements thereafter were properly admitted in his 2004 trial on the newly indicted murder charge. [*378] (II) Defendant next contends that the admission of the State expert's behavioral assessment testimony was error. We agree, but find it harmless under the circumstances. In its in limine motion, the State proffered the testimony of special FBI agent Mark Safarik, who conducted a crime scene analysis from a behavioral perspective and deduced therefrom the dynamics between the victim, the offender and the location of the incident. Following a N.J.R.E. 104 hearing, the trial judge excluded the evidence under N.J.R.E. 702 as lacking in scientific reliability. On the State's motion for reconsideration, the judge heard additional testimony [***21] from Safarik, explaining, among other things, that crime scene analysis was generally accepted in the law enforcement and forensic communities. The judge then ruled that Safarik could testify about the characteristics of the victim and the crime scene, but not the offender. Accordingly, Safarik testified before the jury that the lack of defensive wounds on the victim indicated that she was not aware of the threat the offender posed. In the same vein, the expert concluded that Fowler probably was in the basement voluntarily given that entry into the house required passing through a very small gate, walking the length of a long pathway, and then entering a door at the end of that pathway. Fowler had no broken fingernails or debris under her fingernails, both signs that would indicate an effort to grab an object to avoid being taken someplace or an effort to defend herself. Some of the expert's other opinions, however, went beyond the parameters permitted. For instance, Safarik said the evidence showed neither sex nor money to be a reason for the killing, which he opined was motivated instead by "an interpersonal aggression," and committed 78 in a manner consistent with overkill. Safarik then [***22] explained why he thought that Fowler was manually strangled. In Safarik's view, whoever killed Fowler was very angry, because her killer struck her many more times with a blunt object than was necessary to kill her. Finally, the expert observed [*379] that a "weapon of opportunity" is one that "would be immediately accessible to the offender from the--his immediate vicinity or on his person." Quite apart from the fact that a portion of the expert's testimony transgressed the permitted boundaries, none of it should have been admitted. Under N.J.R.E. 702, for expert proof to be admitted: 1) the intended testimony must concern a subject matter that is beyond the ken of the average juror; 2) the field [**926] testified to must be at a state of the art such that an expert's testimony could be sufficiently reliable; and 3) the witness must have sufficient expertise to offer the intended testimony. Hisenaj v. Kuehner, 194 N.J. 6, 15, 942 A.2d 769 (2008); State v. Kelly, 97 N.J. 178, 208, 478 A.2d 364 (1984). Under the second prong, behavioral science "should be evaluated under the test for admission of scientific evidence[,]" State v. Fortin, 162 N.J. 517, 525, 745 A.2d 509 (2000), namely, whether the technique or mode of analysis has sufficient [***23] scientific basis to produce uniform and reasonably reliable results and will contribute materially to the ascertainment of the truth. State v. Cary, 49 N.J. 343, 352, 230 A.2d 384 (1967). Reliability of scientific evidence, in turn, may be demonstrated in a number of ways: 1) expert testimony as to the general acceptance of those in the profession of the premises on which the proffered expert based his or her analysis; 2) by authoritative scientific and legal writings indicating that the scientific community accepts the premises underlying the proffered testimony; and 3) by judicial opinions that indicate the expert's premises have gained general acceptance. Kelly, supra, 97 N.J. at 210, 478 A.2d 364. As to the latter, no New Jersey case has ruled on the reliability of crime scene or behavioral analysis. The present matter affords no better an opportunity for resolution of the issue. Simply stated, the record is far too sparse and undeveloped 3 to permit an informed de novo review, State v. [*380] Harvey, 151 N.J. 117, 16667, 699 A.2d 596 (1997), cert. denied, 528 U.S. 1085, 120 S. Ct. 811, 145 L. Ed. 2d 683 (2000); cf. Hisenaj, supra, 194 N.J. at 12-13, 942 A.2d 769, of whether the field of behavioral assessment and crime scene analysis is at [***24] a state of the art such that Safarik's testimony may be considered sufficiently reliable. Suffice it to say, the State has not borne its burden of demonstrating the scientific reliability of its expert proof. See Hisenaj, supra, 194 N.J. at 15, 942 A.2d 769. 3 Although it is clear that the State submitted articles and case law to the trial court, none of the articles were submitted on appeal, and the references to the case law in the trial transcripts are fleeting. There is yet another reason why Safarik's testimony was inadmissible. It fails to meet the threshold requirement under N.J.R.E. 702 that it be beyond the ken of the average juror, a finding the trial judge made with no analysis. On this score, the "opinion of a dulyqualified expert may be presented to a jury if it will genuinely assist the jury in comprehending the evidence and determining issues of fact[,]" State v. Odom, 116 N.J. 65, 70, 560 A.2d 1198 (1989), as where "it relate[s] to a relevant subject that is beyond the understanding of the average person of ordinary experience, education, and knowledge." Id. at 71, 560 A.2d 1198. "If the expert's testimony on such a subject would help the jury understand the evidence presented and determine the facts, it may be [***25] used as evidence." Ibid. Here, Safarik was not testifying as to a subject matter peculiarly within his expertise or knowledge and unrecognizable or unfamiliar to the layperson, as, for instance, practices in an unknown sub-culture, such as the drug or gang subculture. See State v. Nesbitt, 185 N.J. 504, 515, 888 A.2d 472 (2006) ("We do not presume that ordinary members of the public ... are versed in the many ways in which a seller of crack cocaine can act in concert with others in the business of distributing drugs on the street"); State v. Torres, 183 N.J. 554, 579, 874 A.2d 1084 (2005) (finding that the organization and structure of gangs is a proper topic for expert testimony). [**927] Quite the contrary, Safarik was simply testifying about logical conclusions the ordinary juror could draw from human behavior. For instance, his opinion that the victim knew her attacker and freely accompanied him to the abandoned house [*381] amounts to no more than common sense, since a jury could easily infer that one does not usually enter an abandoned building with a stranger unless it is against her will. Similarly obvious is that strangulation coupled with multiple blows to the face with a hammer demonstrates "overkill" committed by [***26] an extremely angry perpetrator. These, and others, were all logical inferences the average juror could draw from the facts of record without the need for expert guidance by one knowledgeable of, or experienced in, behavioral assessment. That said, we are satisfied the admission of such evidence was harmless error. State v. Macon, 57 N.J. 325, 337-38, 273 A.2d 1 (1971). In the first place, the matters addressed by Safarik were supported by other competent evidence and witnesses. The county medical examiner testified that Fowler was manually strangled; that Fowler was hit repeatedly with a blunt object; and that Fowler had no defensive wounds. Other witnesses saw defendant in the company of Fowler only hours 79 before the murder; one witness saw defendant bring a mattress into the Townsend Street house; another witness testified that defendant, only a short time before the murder, provided the address of an abandoned house on Townsend Street as his address; and various witnesses had observed defendant with a hammer similar to the one likely used in the murder. In any event, none of Safarik's expert testimony opined on the ultimate question of defendant's guilt, see State v. Baskerville, 324 N.J. Super. 245, 246-47, 735 A.2d 39 (App.Div.1999), [***27] certif. denied, 163 N.J. 10, 746 A.2d 456 (2000), or really actually mattered, given the "ample independent testimony" that defendant killed Fowler. State v. Singleton, 326 N.J. Super. 351, 354, 741 A.2d 168 (App.Div.1999). As noted, defendant was tried twice previously without conviction. The obvious difference in the third trial was Dominguez, to whom defendant confessed. Given the logistics and the language barrier of the non-English speaking Cuban exile, Dominguez' testimony was reliable, because he could only have known of the details through defendant. Coupled with the other witnesses' [*382] testimony, there was ample evidence to convict defendant. Under the circumstances, we harbor no reasonable doubt that Safarik's testimony contributed to the verdict, Macon, supra, 57 N.J. at 337-38, 273 A.2d 1, and, consequently, find the admission of Safarik's testimony harmless error. (III) Defendant's remaining issues are without merit and deserve only brief mention. Contrary to defendant's contention, Kushner, the lead investigator in the case, did not impermissibly testify as to defendant's guilt or credibility. He simply responded to defense counsel's challenge that the State ignored other viable suspects and focused narrowly on [***28] the wrong man, his client. In explaining why defendant was pursued as the "main suspect," Kushner said defendant lied to investigators, at first denying knowing Fowler or having been in Lyles' house, but then admitting these facts. Nowhere, however, did Kushner opine as to defendant's guilt or even his general credibility. See State v. Frisby, 174 N.J. 583, 594-95, 811 A.2d 414 (2002). Indeed, the witness simply invoked the evidence of defendant's inconsistencies and implausibilities to explain why he was singled out amongst the others [**928] as the prime suspect. Considering the defense's open invitation, see State v. Corsaro, 107 N.J. 339, 345, 526 A.2d 1046 (1987), we discern no error, much less plain error. State v. Hock, 54 N.J. 526, 257 A.2d 699 (1969), cert. denied sub nom. Hock v. New Jersey, 399 U.S. 930, 90 S. Ct. 2254, 26 L. Ed. 2d 797 (1970). Lastly, defendant points to several comments in the prosecutor's opening and closing statements that were improper. In our view, none of them deprived defendant of a fair trial. Defendant first complains that the prosecutor twice asked for justice by rendering a guilty verdict, implying that defendant caused the nine-year delay and that only a conviction will serve justice. We disagree. [***29] No fair reading of the challenged remarks can be deemed to have blamed defendant for the delay. Moreover, the prosecutor asked for "justice [in the form of a conviction] [*383] based on the evidence." We perceive nothing improper in equating "justice" with a verdict based on the record evidence. Defendant next takes issue with the prosecutor's warning the jury about the State's imperfect proofs and argues that such a remark impermissibly bolsters the credibility of the State's witnesses. Again, we disagree. The prosecutor neither vouched for the credibility of his witnesses nor referred to evidence outside the record. Rather, he simply telegraphed discrepancies or inconsistencies in the various witnesses' accounts due to blurred memories over time, and to weaknesses in his case involving witnesses with criminal convictions or motives to implicate the defendant. There is nothing improper in doing so. Defendant's final complaint is that the prosecutor willfully distorted the evidence, noting that Fowler's son Quadir had seen Fowler and defendant together 20, 30 or 40 times, when, in fact, Quadir testified that he saw them together only twice. We do not perceive this misstatement, however, to [***30] be so egregious as to have deprived defendant of a fair trial. The salient point was whether defendant knew the victim and, thus, most likely willingly entered the home with him. Quadir did testify that he had seen his mother in defendant's company, albeit only twice. Wilson and Lyles testified that Fowler had spent several hours in defendant's company the day before she was killed. Further, Rodriguez testified that he saw the victim on the night she was killed in the company of defendant, whom he knew. Warren testified that he was "pretty sure" that it was defendant he saw with the victim under the railroad bridge on the day the victim was killed. Other witnesses testified that, on Friday, they saw defendant enter the home with a black woman. Thus, there was ample evidence that the victim was acquainted with defendant. Furthermore, the judge clearly and expressly instructed the jury that it is their recollection of the facts that controls and that counsel's comments are not evidence. We presume, of course, that the jury faithfully [*384] followed the court's instructions. State v. Manley, 54 N.J. 259, 271, 255 A.2d 193 (1969). Affirmed. 80 RPC 4.3. Dealing with unrepresented person; employee of organization In dealing on behalf of a client with a person who is not represented by counsel, a lawyer shall not state or imply that the lawyer is disinterested. When the lawyer knows or reasonably should know that the unrepresented person misunderstands the lawyer's role in the matter, the lawyer shall make reasonable efforts to correct the misunderstanding. If the person is a director, officer, employee, member, shareholder or other constituent of an organization concerned with the subject of the lawyer's representation but not a person defined by RPC 1.13(a), the lawyer shall also ascertain by reasonable diligence whether the person is actually represented by the organization's attorney pursuant to RPC 1.13(e) or who has a right to such representation on request, and, if the person is not so represented or entitled to representation, the lawyer shall make known to the person that insofar as the lawyer understands, the person is not being represented by the organization's attorney. HISTORY: Adopted September 10, 1984, to be effective immediately; amended June 28, 1996, to be effective September 1, 1996. 81 RPC 1.13. Organization as the client (a) A lawyer employed or retained to represent an organization represents the organization as distinct from its directors, officers, employees, members, shareholders or other constituents. For the purposes of RPC 4.2 and 4.3, however, the organization's lawyer shall be deemed to represent not only the organizational entity but also the members of its litigation control group. Members of the litigation control group shall be deemed to include current agents and employees responsible for, or significantly involved in, the determination of the organization's legal position in the matter whether or not in litigation, provided, however, that "significant involvement" requires involvement greater, and other than, the supplying of factual information or data respecting the matter. Former agents and employees who were members of the litigation control group shall presumptively be deemed to be represented in the matter by the organization's lawyer but may at any time disavow said representation. (b) If a lawyer for an organization knows that an officer, employee or other person associated with the organization is engaged in action, intends to act or refuses to act in a matter related to the representation that is a violation of a legal obligation to the organization, or a violation of law which reasonably might be imputed to the organization, and is likely to result in substantial injury to the organization, the lawyer shall proceed as is reasonably necessary in the best interest of the organization. In determining how to proceed, the lawyer shall give due consideration to the seriousness of the violation and its consequences, the scope and nature of the lawyer's representation, the responsibility in the organization and the apparent motivation of the person involved, the policies of the organization concerning such matters and any other relevant considerations. Any measures taken shall be designed to minimize disruption of the organization and the risk of revealing information relating to the representation to persons outside the organization. Such measures may include among others: (1) asking reconsideration of the matter; (2) advising that a separate legal opinion on the matter be sought for presentation to appropriate authority in the organization; and (3) referring the matter to higher authority in the organization, including, if warranted by the seriousness of the matter, referral to the highest authority that can act in behalf of the organization as determined by applicable law. (c) When the organization's highest authority insists upon action, or refuses to take action, that is clearly a violation of a legal obligation to the organization, or a violation of law which reasonably might be imputed to the organization, and is likely to result in substantial injury to the organization, the lawyer may take further remedial action that the lawyer reasonably believes to be in the best interest of the organization. Such action may include revealing information otherwise protected by RPC 1.6 only if the lawyer reasonably believes that: (1) the highest authority in the organization has acted to further the personal or financial interests of members of that authority which are in conflict with the interests of the organization; and (2) revealing the information is necessary in the best interest of the organization. 82 (d) In dealing with an organization's directors, officers, employees, members, shareholders or other constituents, a lawyer shall explain the identity of the client when the lawyer believes that such explanation is necessary to avoid misunderstanding on their part. (e) A lawyer representing an organization may also represent any of its directors, officers, employees, members, shareholders or other constituents, subject to the provisions of RPC 1.7. If the organization's consent to the dual representation is required by RPC 1.7, the consent shall be given by an appropriate official of the organization other than the individual who is to be represented or by the shareholders. (f) For purposes of this rule "organization" includes any corporation, partnership, association, joint stock company, union, trust, pension fund, unincorporated association, proprietorship or other business entity, state or local government or political subdivision thereof, or non-profit organization. HISTORY: Adopted September 10, 1984, to be effective immediately; amended June 28, 1996, to be effective September 1, 1996. 83 STATE OF NEW JERSEY, PLAINTIFF-RESPONDENT v. CIBA-GEIGY CORPORATION, DEFENDANTAPPELLANT No. A-2289-90T1F Superior Court of New Jersey, Appellate Division 247 N.J. Super. 314; 589 A.2d 180; 1991 N.J. Super. LEXIS 118 January 16, 1991, Argued April 10, 1991, Decided SUBSEQUENT HISTORY: [***1] Approved for Publication April 23, 1991. As Corrected April 24, 1991. Appeal granted by State v. Ciba-Geigy Corp., 126 N.J. 338, 598 A.2d 895, 1991 N.J. LEXIS 694 (1991) Appeal dismissed by State v. Ciba-Geigy Corp., 130 N.J. 585, 617 A.2d 1213, 1992 N.J. LEXIS 1285 (1992) PRIOR HISTORY: On appeal from the Superior Court, Law Division, Mercer County. COUNSEL: Frederick A.O. Schwarz, Jr., pro hac vice, Cravath, Swaine & Moore, argued the cause for appellant (Lowenstein, Sandler, Kohl, Fisher & Boylan, attorneys). Mark Paul Cronin, Deputy Attorney General, argued the cause for respondent (Robert J. Del Tufo, Attorney General of New Jersey, attorney). JUDGES: LONG, R.S. COHEN and STERN. OPINION BY: STERN OPINION [*316] [**180] Our Rules of Professional Conduct, RPC 4.2 Communication with Person Represented by Counsel, provides: In representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. Based on this rule, defendant CIBA-GEIGY moved for a protective order prohibiting the State from initiating ex parte communications with defendant's employees. An indictment against defendant is now pending trial. seeks an order only with respect to "interrogation of CIBA-GEIGY employees whose acts or omissions the State sought to impute to CIBA-GEIGY for the purpose of establishing corporate criminal liability". The trial judge denied the motion concluding that the rule did not prohibit the Attorney General from conducting ex parte interviews of current or former employees of a corporate defendant, even though that corporation is represented by counsel. The court expressly ruled that those communications could include employees whose acts or omissions the State sought to impute to the defendant. We granted leave to appeal and accelerated oral argument. I. CIBA-GEIGY does not contest the general proposition under existing New Jersey law that evidence obtained in violation of a disciplinary rule need not be suppressed. See State v. Riley, 216 N.J.Super. 383, 390, 523 A.2d 1089 (App.Div.1987); State v. Darby, 211 N.J.Super. 367, 376, 511 A.2d 1222 (App.Div.1986), [*317] certif. denied 105 N.J. 559, 523 A.2d 192 (1986); 1 State v. Porter, 210 N.J.Super. 383, 393-94, 510 A.2d 49 (App.Div.1986), [***3] certif. denied 105 N.J. 556, 523 A.2d 191 (1986). Therefore, we question whether there is an issue for appropriate consideration in the criminal, as opposed to some future disciplinary, proceedings. 2 However, the State does not raise this procedural defense; it seeks to avoid any disciplinary wrongdoing, and defendant seeks to protect its interests. Further, no published opinion appears to decline consideration of the issue based on appropriate forum, the trial court ruled upon the merits of defendant's application in this case, and the parties are entitled to know their rights and responsibilities with respect to the immediate concern. The Advisory Committee on Professional Ethics would probably be required to decline consideration of the issue because it involves "a pending action where its opinion might affect the interests of the parties. . . ." R. 1:19-2. Accordingly, there is a real dispute between the parties affecting a pending case, and we consider the issues raised. [**181] Before us, defendant argues [***2] that it 84 1 As stated by Judge Greenberg in Darby, supra, ". . . it does not follow that if a prosecutor violates an ethical rule in gathering evidence he necessarily violates a defendant's Sixth Amendment rights so that the evidence obtained is inadmissible. We do not see why ethical rules must be incorporated into the Sixth Amendment. Further, we point out that evidence given in violation of applicable disciplinary rules may be admissible." 211 N.J.Super. at 376, 511 A.2d 1222. [***4] 2 Defendant makes an argument under the Sixth Amendment to the United States Constitution and N.J. Const. (1947), Art. I, par. 10, but contends that RPC 4.2 "is broader than the underlying constitutional guaranties." II. There is no doubt that RPC 4.2 applies to corporations. Nor is it limited to civil proceedings. 3 The real issue before us, [*318] therefore, is whether any employees, and if so which employees, are "parties" for purposes of the rule. 3 As will be developed hereafter, the commentary to the Model Rule expressly refers to imputation of criminal as well as civil liability. Defendant essentially urges that the State wants to speak with employees who would not be "interviewed as witnesses but as corporate employees whose acts the State is trying inappropriately to impute to the corporation." According to the defendant, it "does not wish to 'restrict the flow of information' available to the State, and [it] [***5] is willing to make available to the State any of its present or former employees who wish to be interviewed." In fact, a party cannot generally ask a witness "to refrain from voluntarily giving relevant information to another party," RPC 3.4(f). All that defendant requests (in addition to the witnesses' "right to accept or refuse to be interviewed", a right which is acknowledged by the State, see State v. Roszkowski, 129 N.J.Super. 315, 317-318, 323 A.2d 531 (App.Div.1974), certif. denied 66 N.J. 325, 331 A.2d 25 (1974); State v. Boiardo, 172 N.J.Super. 528, 412 A.2d 1084 (Law Div.1980); United States v. Addonizio, 313 F.Supp. 486, 491 (D.N.J.1970), aff'd U.S. v. Addonizio, 451 F.2d 49 (3d Cir.N.J.1971), cert. denied 405 U.S. 936, 92 S.Ct. 949, 30 L.Ed.2d 812 (1972)), is the right of defendant's counsel to be present at all such interviews. In defendant's words, [**182] [t]his procedure will strike the proper balance between protecting the corporation's [***6] interests and allowing the State to conduct additional post indictment interviews. In thus promoting the interests of fairness, this procedure will not impose any unfair burden upon the State -- it will be able to interview any CIBA-GEIGY employees who wish to be interviewed. This procedure also complies with the ethical rules while the State's insistence on ex parte procedures does not. Our rule was patterned after the model A.B.A. rule, see American Bar Association Model Rules of Professional Conduct, and the commentary thereto notes that the rule prohibits ex parte contact "with persons having a managerial responsibility on behalf of the organization, and with any other person, whose act or omission in connection with that matter may be imputed to the organization for purposes of civil or criminal liability, or whose statement may constitute an admission on [*319] the part of the organization." See, e.g., Public Service Electric & Gas Company v. Associated Electric & Gas Ins. Services, Ltd., 745 F.Supp. 1037, 1039-1042 (D.N.J.1990) (quoting commentary). While the commentary is supportive of defendant's position, RPC 4.2 does not expressly [***7] distinguish between certain types or levels of officers or employees and others employed by a corporation. 4 4 In adopting the New Jersey Rules of Professional Conduct, our Supreme Court did not adopt the A.B.A. commentary and, therefore, it should not be "considered as a formal part of the rules." The "introduction" to our Rules notes, however, that "reference should be made to the official ABA Comments" "[f]or assistance in interpreting these rules." See PRESSLER, Current N.J. COURT RULES, (Gann 1991), Introduction to Rules of Professional Conduct at 286. The defendant also relies upon Upjohn Co. v. United States, 449 U.S. 383, 101 S.Ct. 677, 66 L.Ed.2d 584 (1981). However, that case is distinguishable because it concerns the attorneyclient privilege which was held applicable to communications of employees of a corporate party at all levels. 5 This case does not concern communications between a corporate employee and the corporation's counsel but [***8] with communications between a prosecutor, or attorney for the corporation's adversary, and a corporate employee who may or may not have previously communicated with counsel. 5 The decision does not appear to rest on 85 constitutional grounds, but it is clear that New Jersey enjoys an attorney-client privilege. See e.g. Matter of Nackson, 114 N.J. 527, 531-532, 555 A.2d 1101 (1989). There is a distinction between the attorney-client privilege discussed in Upjohn, supra, and the protection afforded by RPC 4.2. See Wright by Wright v. Group Health Hospital, 103 Wash.2d 192, 691 P.2d 564 (1984). The Upjohn court expanded the definition of "client" for the purposes of the attorney-client privilege, but "[t]he purpose of the disciplinary rule, on the other hand, is to protect the corporation so its agents who have the authority to prejudice the entity's interest are not unethically influenced by [***9] adverse counsel." Id. 691 [*320] P.2d at 570. Thus, Upjohn deals with the policy objections with respect to communications between a corporate employee and its counsel, a subject having little relationship with the purposes of the disciplinary rule: First, the privilege applies only to confidential communications with counsel . . ., it does not immunize the underlying factual information -- which is in issue here -- from disclosure to an adversary. . . . Second, the attorney-client privilege serves the societal objective of encouraging open communication between client and counsel . . ., a benefit not present in denying informal access to factual information. Thus, a corporate employee who may be a 'client' for purposes of the attorney-client privilege is not necessarily a 'party' for the purposes of DR 7-104(A)(1) [the disciplinary rule]. Niesig v. Team I, 76 N.Y.2d 363, 371-372, 559 N.Y.S.2nd 493, 497 [558 N.E.2d 1030] (N.Y.1990) (emphasis in original). See also Stempler v. Speidell, 100 N.J. 368, 495 A.2d 857 (1985) (defendant [***10] could interview decedent's treating physician and [**183] plaintiff could be required to authorize same). 6 6 Stempler v. Speidell did not involve a corporate employee. Defendant acknowledges the right of the State to interview witnesses and to subpoena witnesses before the grand jury. It apparently acknowledges that employees can be called to testify before the grand jury, subject of course to their Fifth Amendment rights, although not before a prosecutor. See e.g. In re Addonizio, 53 N.J. 107, 116, 248 A.2d 531 (1968); State v. Hilltop Private Nursing Home, Inc., 177 N.J.Super. 377, 426 A.2d 1041 (App.Div.1981); see also Matter of Nackson, 221 N.J.Super. 187, 205, 534 A.2d 65 (App.Div.1987), aff'd 114 N.J. 527, 555 A.2d 1101 (1989). In distinguishing between pre-indictment and post-indictment situations, the defendant appears to acknowledge that the [***11] right to counsel attaches only after formal legal or adversarial proceedings are commenced, see e.g. Patterson v. Illinois, 487 U.S. 285, 108 S.Ct. 2389, 101 L.Ed.2d 261 (1988); Michigan v. Jackson, 475 U.S. 625, 106 S.Ct. 1404, 89 L.Ed.2d 631 (1986); Maine v. Moulton, 474 U.S. 159, 106 S.Ct. 477, 88 L.Ed.2d 481 (1985); Moore v. Illinois, 434 U.S. 220, 98 S.Ct. 458, 54 L.Ed.2d 424 (1977); Kirby v. Illinois, 406 U.S. 682, 92 S.Ct. 1877, 32 L.Ed.2d 411 (1972); Massiah v. [*321] United States, 377 U.S. 201, 84 S.Ct. 1199, 12 L.Ed.2d 246 (1964); State v. Earle, 60 N.J. 550, 552, 292 A.2d 2 (1972); State v. Darby, supra, 211 N.J.Super. at 372-376, 511 A.2d 1222. 7 See also R. 3:16; R. 7:4-4(a). At that time, the defendant becomes a "party." As noted in United States v. Ryans, 903 F.2d 731, 740-741 (10th Cir.1990), [***12] the commencement of formal proceedings and the shift "from the investigation to accusation" also shifts "the balance of interests at stake", thereby affecting the right to ex parte interviews once "adversary proceedings [have] begun." 7 See also Brewer v. Williams, 430 U.S. 387, 97 S.Ct. 1232, 51 L.Ed.2d 424 (1977) (statements from accused outside the presence of counsel not admissible), reh'g denied 431 U.S. 925, 97 S.Ct. 2200, 53 L.Ed.2d 240 (1977); State v. Clausell, 121 N.J. 298, 580 A.2d 221 (1990). Once the adversarial criminal process has begun the State may not take a statement from a defendant in the absence of counsel or a waiver. State v. Hartley, 103 N.J. 252, 284-286, 511 A.2d 80 (1986). State v. Kennedy, 97 N.J. 278, 478 A.2d 723 (1984). The cases dealing with waiver after assignment of counsel do not definitively consider RPC 4.2 or RPC 4.3. See State v. Porter, supra. But see State v. Darby, supra; RPC 3.8. [***13] As noted in a recent comment, Krulewitch, "Ex Parte Communications with Corporate Parties: The Scope of the Limitations on Attorney Communications with One of Adverse Interest," 82 Northwestern Law Rev. 1274, 1275 (1988), under the prior disciplinary rule, DR 7-104(A)(1), the forerunner of RPC 4.2 (which contains substantially the same language): An attorney cannot communicate with the individual who is the opposing party. If the case involves several different 86 parties that are all individuals, . . . the application of the rule is sufficiently clear. When a corporation is a party to a suit, however, the term 'party' suddenly becomes ambiguous. The rule fails to define the term 'party' when applied to a corporate entity. Since a corporation is an artificial entity, it is often impossible to point to any one person or thing that represents the corporation. When the corporation becomes involved in a law suit, the corporate entity is the party, not the employees or the agents. The fundamental conundrum is this: if the corporation is a faceless entity run by agents and employees, and yet the agents and employees are not the corporation, then who or what is a 'party' [***14] under DR 7-104(A)(1)? [footnotes omitted]. [*322] There are a number of reasons for suggesting that the word "party" cannot include any employee of a corporate defendant. For example, a defendant employee of the corporate defendant could not be represented by the corporations's attorney in the action. See e.g., In re Garber, 95 N.J. 597, 472 A.2d 566 (1984); In re Abrams, 56 N.J. 271, 276, 266 A.2d 275 (1970); In re Russell, 59 N.J. 315, 282 A.2d 42 (1971). This is at least true in the absence of a knowing waiver post-indictment on the record by both parties. See R. 3:8-2; State v. Bellucci, 81 N.J. 531, 410 A.2d 666 (1980). "It is inherently wrong to represent both the employer and the employee if the employee's interest may, and [**184] the public interest will, be advanced by the employee's disclosure of his employer's criminal conduct." In re Abrams, supra, 56 N.J. at 276, 266 A.2d 275. Reading the rule to prohibit ex parte interviews might treat the employee as [***15] if represented by the corporation's attorney. Further, this approach, requiring notice to corporate counsel, would apply to corporate officers and employees, even if independently represented or an adverse party in the proceeding, such as in a stockholder's or worker's compensation case. Our judicial policy is to promote the admission of evidence and, therefore, to construe privileges narrowly, see State v. Briley, 53 N.J. 498, 251 A.2d 442 (1969); see also In re Farber, 78 N.J. 259, 394 A.2d 330 (1978), cert. denied New York Times Co. v. N.J., 439 U.S. 997, 99 S.Ct. 598, 58 L.Ed.2d 670 (1978); Kurdek v. West Orange Educ. Bd., 222 N.J.Super. 218, 226, 536 A.2d 332 (Law Div.1987). Further, it may be difficult for the prosecutor to tell whether a corporate employee's statements can be imputed to the defendant before an initial interview occurs, and there is nothing to suggest that our disciplinary rule was designed to require ex parte or in camera hearings to obtain judicial permission or authorization [***16] for a pretrial interview. Perhaps the simplest and, in many ways, the appropriate approach would be to hold that the word "party" means exactly [*323] what it says, the corporate entity named as a party in the litigation. Cf. R. 4:16-1(c) relating to representatives of a corporate "party." This "plain language" construction is consistent with the wording of RPC 4.2, promotes the search for truth and avoids many of the problems caused by any other approach. The "plain language" construction, and the other "bright line" extreme prohibiting all ex parte interviews of corporate employees, produce the benefit of avoiding the risk of a disciplinary rule violation and make it easier for an attorney to know when an interview can be conducted and when it cannot. The "plain language" construction finds no support, however, in authority and is inconsistent with the purpose of the Rule as explained in the A.B.A. explanatory commentary. See n. 3 supra. See also Curley v. Cumberland Farms, Inc., 134 F.R.D. 77, 79 (D.N.J.1991). The other "bright line" extreme, prohibiting all ex parte interviews, has been endorsed in this federal district by Judge Politan [***17] in Public Service Electric & Gas Co., supra, 745 F.Supp. 1037, which prohibited all ex parte communications with a corporation's former employees. But, as noted in Magistrate Simandle's subsequent opinion adopted by Judge Brotman in Curley v. Cumberland Farms, Inc., 134 F.R.D. 77, 86 (D.N.J.1991) the other cases which applied that approach to former employees were subsequently "vacated and withdrawn by the deciding courts, and are of no precedential value." These opinions dealing with former employees have limited value in this context because ex-employees can rarely, if ever, make an admission which can bind, or take action which can be imputed to, a former principal. See Curley, 134 F.R.D. at 88-91; Amarin Plastics, Inc. v. Maryland Cup Corp., 116 F.R.D. 36 (D.Mass.1987). See also Evid.R. 63(8), 63(9). Compare, Fed.Rules Evid. Rule 801(d)(2)(D). Moreover, as the New York Court of Appeals recently noted in Niesig v. Team I, 76 N.Y.2d 363, 559 N.Y.S.2d 493, 496, n. 3, 558 N.E.2d 1030, 1033 [*324] n. 3 (N.Y.1990), [***18] the only opinion which by then had adopted the "blanket rule" prohibiting ex parte interviews with all employees was "'depublished' by the California Supreme Court and thus is without precedential significance." 8 Further, as Magistrate Simandle has noted, "[i]f the framers of RPC 4.2 wished to ethically restrain all contact with a corporation's employees (let alone ex- 87 employees), the rule would undoubtedly have been fashioned differently." 134 F.R.D. at 89. 8 That opinion was not one cited by Magistrate Simandle. Niesig was decided about two months prior to P.S.E. & G. In Curley, Judge Brotman adopted Magistrate Simandle's interpretation that RPC 4.2 applied to employees with management responsibility, or whose "act or omission is [**185] believed to be so central and obvious to a determination of corporate liability that the person's conduct may be imputed to the corporation," 134 F.R.D. at 91. or whose statements may constitute admissions against the organization [***19] which employs them. 134 F.R.D. at 91-92. Last year in Niesig v. Team I, supra, the New York Court of Appeals found that the "blanket rule" prohibition test was too extreme. As Judge Kaye stated: The single indisputable advantage of a blanket preclusion -- as with every absolute rule -- is that it is clear. No lawyer need ever risk disqualification or discipline because of uncertainty as to which employees are covered by the rule and which not. The problem, however, is that a ban of this nature exacts a high price in terms of other values, and is unnecessary to achieve the objectives of DR 7-104(A)(1) [the predecessor to R.P.C. 4.2 which contains substantially the same language]. [559 N.Y.S.2d at 497, 558 N.E.2d at 496]. However, the Court found that the "proposed intermediate tests . . . give too little guidance, or otherwise seem unworkable." Id., 559 N.Y.S.2d at 498, 558 N.E.2d at 1035. For example, the "control group" test urged by the civil defendants in that case, which included "only the most senior management [***20] exercising substantial control over the corporation," id. at 497, 558 N.E.2d at 1034, was found to "overlook[] the fact that corporate employees other than senior management also can [*325] bind the corporation." Id. at 498, 558 N.E.2d at 1035. The Court of Appeals therefore concluded: The test that best balances the competing interests, and incorporates the most desirable elements of the other approaches, is one that defines 'party' to include corporate employees whose acts or omissions in the matter under inquiry are binding on the corporation (in effect, the corporation's 'alter egos') or imputed to the corporation for purposes of its liability, or employees implementing the advice of counsel. All other employees may be interviewed informally. Unlike a blanket ban or a 'control group' test, this solution is specifically targeted at the problem addressed by DR 7-104(A)(1). The potential unfair advantage of extracting concessions and admissions from those who will bind the corporation is negated when employees with 'speaking authority' for the corporation, and employees who are so closely identified with the interests of the corporate party as to be indistinguishable [***21] from it, are deemed 'parties' for purposes of DR 7-104(A)(1). Concern for the protection of the attorney-client privilege prompts us also to include in the definition of 'party' the corporate employees responsible for actually effectuating the advice of counsel in the matter. [Id. at 498, 558 N.E.2d at 1035]. We are not the Supreme Court which can amend or clarify its rule, and we fully recognize that the broader we define the word "party", the more we narrow pretrial discovery of facts. 9 However, we know no better way than the New York Court of Appeals to balance the purpose of the Rule with the realities and practicalities of conducting litigation. That balance may at first, as in New York, be somewhat difficult to apply. It may even deter some ex parte communications, see Niesig, supra, 559 N.Y.S.2d at 499, 558 N.E.2d at 1036. If the Rule deters some ex parte civil discovery, there is no great social or policy sacrifice; it will promote other types of discovery, such as by deposition upon notice to the adversary. In the criminal setting, it may prevent some ability of the prosecutor to interview potential [***22] witnesses (who are employees of a corporate defendant) before trial, but the Rule only deals with a "party," that is after the commencement of an adversarial proceeding. Moreover, most criminal cases filed against a [*326] corporation are commenced by complaint or indictment after investigation -- corporations do not generally commit "street crimes" -- and by then the investigation clearly should have been developed through the employee witnesses or otherwise. Accordingly, we find no reason to interpret RPC 4.2 more broadly than intended nor more narrowly than necessary to permit proper pretrial investigation. On balance, we give the Rule the same interpretation as rendered by the New 88 York Court of Appeals in Niesig. 9 Our Rules have express provisions relating to depositions of corporations through designated officers, directors or managing agents. See R. 4:14-2(c); 4:16-1(b). Remanded for further [***23] with this opinion. proceedings consistent 89 132 N.J.L.J. 573 November 2, 1992 1 N.J.L. 1705 November 2, 1992 ADVISORY COMMITTEE ON PROFESSIONAL ETHICS Appointed by the New Jersey Supreme Court OPINION 668 Ex Parte Communication with Former Employees of Corporate Defendants We are asked whether a lawyer may ethically conduct ex parte interviews of former employees of corporations that are adverse parties in litigation and what limitations, if any, are imposed upon such interviews by the Rules of Professional Conduct. The applicable Rules are: RPC 4.2 Communication with Person Represented by Counsel In representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. RPC 4.3 Dealing with Unrepresented Person In dealing on behalf of a client with a person who is not represented by counsel, a lawyer shall not state or imply that the lawyer is disinterested. When the lawyer knows or reasonably should know that the unrepresented person misunderstands the lawyer's role in the matter, the lawyer shall make reasonable efforts to correct the misunderstanding. The inquiry may well have been prompted by uncertainty generated by the holding of the Appellate Division in State v. CIBA-GEIGY Corp., 247 N.J. Super 314 (1991) which dealt with ex parte interviews of current employees of a corporate litigant. Although it appears that the Supreme Court granted a motion for leave to appeal from that decision, we are advised that the matter was thereafter dismissed. A careful review of the Appellate Division decision leads us to conclude that its rationale applies with equal force to the conduct of ex parte interviews of former employees of a corporate litigant. 90 Indeed, in its analysis of the scope of protection afforded by RPC 4.2, the Court rejected the polar extremes - the "plain language" construction which would limit the definition of the word "party" to the corporate entity named in the pleadings and its antithesis - the view which would prohibit all ex parte interviews including those of former employees, as enunciated by Judge Politan in Public Service Electric and Gas Co. v. Associated Electric & Gas Ins. Services, Ltd ., 745 F.Supp. 1037, 1039-42 (D.N.J. 1990). Having rejected the "bright line" views, the Appellate Division expressly adopted the position taken by the New York Court of Appeals in Niesig v. Team I, 76 N.Y. 2d 363, 559 N.Y.S. 2d 493, 496, n.3, 558 N.E. 2d 1030, 1033, n.3 (1990) quoting therefrom in haec verba: The single indisputable advantage of a blanket preclusion - as with every absolute rule - is that it is clear. No lawyer need ever risk disqualification or discipline because of uncertainty as to which employees are covered by the rule and which not. The problem, however, is that a ban of this nature exacts a high price in terms of other values, and is unnecessary to achieve the objectives of DR 7-104(A)(1) [the predecessor to RPC 4.2 which contains substantially the same language]. [559 N.Y.S. 2d at 497, 558 N.E. 2d at 496] * * * The test that best balances the competing interests, and incorporates the most desirable elements of the other approaches, is one that defines 'party' to include corporate employees whose acts or omissions in the matter under inquiry are binding on the corporation (in effect, the corporation's 'alter egos') or imputed to the corporation for purposes of its liability, or employees implementing the advice of counsel. All other employees may be interviewed informally. Unlike a blanket ban or a 'control group' test, this solution is specifically targeted at the problem addressed by DR 7-104(A)(1). The potential unfair advantage of extracting concessions and admissions from those who will bind the corporation is negated when employees with 'speaking authority' for the corporation, and employees who are so closely identified with the interests of the corporate party as to be indistinguishable from it, are deemed 'parties' for purposes of DR 7-104(A)(1). Concern for the protection of the attorney-client privilege prompts us also to include in the definition of 'party' the corporate employees responsible for actually effectuating the 91 advice of counsel in the matter. 2d at 1035]. [ Id. at 498, 558 N.E. Immediately following the foregoing excerpts from Niesig v. Team I the Appellate Division said: We are not the Supreme Court which can amend or clarify its rule, and we fully recognize that the broader we define the word "party" the more we narrow pretrial discovery of facts. [n.9]. However, we know no better way than the New York Court of Appeals to balance the purpose of the Rule with the realities and practicalities of conducting litigation. That balance may at first, as in New York, be somewhat difficult to apply. It may even deter some ex parte civil discovery, there is no great social or policy sacrifice; it will promote other types of discovery, such as by deposition upon notice to the adversary. n.9 Our Rules have express provisions relating to depositions of corporations through designated officers, directors or managing agents. See R. 4:14-2(c); R. 4:16-1(b). [ State v. CIBA-GEIGY Corp., supra, 247 N.J. Super at 325. Now, all of this is strictly subject to the risk of possible intrusion upon privileged matters, the caveat expressed in the last sentence in the quotation from Niesig v. Team I, supra, 76 N.Y. 2d 363, 559 N.Y.S. 2d 493. The right to conduct ex parte interviews of former employees is not a license to penetrate privileges. See Stempler v. Speidell 100 N.J. 368 (1985) laying down conditions upon which a treating physician may be interviewed (instead of being deposed). In AAMCO Transmissions, Inc. v. Michael A. Marion, 1991 U.S. Dist. LEXIS 13326 (E.D. Pa. 1991) the Court rejected a claim of an RPC 4.2 violation, noting that there had been no showing as to how counsel could have known that the person contacted would possess information subject to the attorney-client privilege. Id. at 6. In footnote 2, the Court observed: "Plaintiffs rely upon Oak Industries v. Zenith Industries , 1988 WL 79614 (N.D. Ill. 1988). In that case, the ex parte contacts at issue were with Plaintiffs' former general counsel, an individual who clearly could be expected to possess information subject to the attorney-client privilege." In short, ex parte interviews of current or former corporate employees involve potential hazards which can often be avoided by The risks are agreement with counsel for the corporate party. 1 serious. 1 And always avoided by deposition. 92 The need for RPC 4.2's protection to extend to individuals having access to litigation confidences was noted in the case of Amarin Plastics, Inc. v. Maryland Cup Corp., 116 F.R.D. 36, 40 (D. Mass. 1987), where the Court, discussing another case, said: Moreover, the court stressed that even if the employee had been considered a former employee, DR 7-104 would still apply because he was a "former confidential employee, a confidential consultant and a member of MGM's litigating team for this case." Id. Once the employee had resigned as vice president, he signed a consulting agreement that required him to assist in the litigation; he continued to work with the lawyers in preparation for litigation; and was privy to confidential information regarding the litigation. His consulting duties included such sensitive tasks as helping to draft interrogatories and assisting counsel at depositions, and in fact he was listed as an expert witness for the opposing party. (citation omitted) (emphasis added). See also ABA Committee on Professional Ethics and Grievances Formal Opinion 47 (decided under the Canons of Ethics) (attorney ought to be disqualified where he learned the substance of privileged communications concerning the matter through an informal interview) and Cf. Gray v. Commercial Union Ins. Co., 191 N.J. Super 590 (App. Div. 1983) mere access to confidential communications leads to an irrebuttable conclusion that such secrets had been obtained, and must result in disqualification of counsel). Prophylaxis is always sound policy where the unrepresented former employee is to be interviewed ex parte, and this is the theme of RPC 4.3. We have noted the safeguards prescribed by the Supreme Court in Stempler, supra, 100 N.J. 368, and other Courts have been equally circumspect. In Morrison v. Brandeis University, 125 F.R.D. 14 (D. Mass. 1989) the Court granted a motion for leave to interview present and former employees of the defendant but prescribed the following guidelines: 1. When plaintiff's counsel initially contacts any person as to which authorization to interview has herein been given (hereinafter, "any person"), she shall immediately disclose her capacity as counsel for the plaintiff in the above-styled litigation and the purpose of the contact, i.e. to request and interview. 2. Whether or not to grant the request for an interview is completely up to the person, and the person's decision shall be respected. 3. Any request by any person that the interview take place only in the presence of his or personal attorney and/or the presence of Brandeis' attorney shall be honored. 93 4. Brandeis shall advise all persons within the group which plaintiff's counsel has herein been given authorization to interview that they may, if they wish, agree to be interviewed by plaintiff's counsel to discuss matters which relate to this case and that disciplinary or other adverse action will not be taken by Brandeis against any person who consents to an interview. Finally, ABA Formal Opinion 91-359 (1991) dealt with the precise subject matter and reached essentially the same conclusions. In summary, ex parte interviews of former employees of a litigant are not per se improper under the Rules of Professional Conduct, but one sails rather close to the wind in undertaking such measures. The risks ought to be weighed carefully before doing so. Given the impracticality of fashioning a "bright line," these situations do not lend themselves to empirical resolution. Obvious questions are presented in every case. Is (or was) the former employee part of the corporate "litigation team" involved in the litigation? Was he or she privy to confidential communications? How long ago did employment cease? Is there any possibility that the former employee may become a party? How can the lawyer prove compliance with RPC 4.3? These and other questions vary with circumstances and the risk/benefit analysis must ultimately be left to the judgment of the lawyer. * * * 94 IN THE MATTER OF OPINION 668 OF THE ADVISORY COMMITTEE ON PROFESSIONAL ETHICS A-4/5 September Term 1993 Supreme Court of New Jersey 134 N.J. 294; 633 A.2d 959; 1993 N.J. LEXIS 1306 September 27, 1993, Argued December 14, 1993, Decided PRIOR HISTORY: [***1] On review of an opinion of the Advisory Committee on Professional Ethics. COUNSEL: Mark Paul Cronin, Deputy Attorney General, argued the cause for appellant Attorney General of New Jersey (Fred DeVesa, Acting Attorney General, attorney; Mr. Cronin and Joseph L. Yannotti and Jack M. Sabatino, Assistant Attorneys General, of counsel and on the briefs). Bennet D. Zurofsky argued the cause for appellants, New Jersey Employee Lawyers Association, Peter Van Schaick, Esquire, and Max Manshel, Esquire (Reitman Parsonnet, attorneys). Theodore W. Geiser argued the cause for respondent Advisory Committee on Professional Ethics (Connell, Foley & Geiser, attorneys). Theodore V. Wells, Jr., argued the cause for amicus curiae Association of Criminal Defense Lawyers of New Jersey (Mr. Wells, attorney; Rosemary E. Ramsay, on the brief). Stephen D. Cuyler submitted a brief on behalf of amicus curiae Cuyler, Burk & Matthews (Cuyler, Burk & Matthews, attorneys; Mr. Cuyler, Richard A. Crooker, and Maria C. Hermida, on the brief). JUDGES: For remandment--Chief Justice WILENTZ, and Justices CLIFFORD, HANDLER, POLLOCK, O'HERN, GARIBALDI and STEIN. Opposed--None. OPINION BY: PER CURIAM OPINION [*296] [**960] In Opinion 668, 132 N.J.L.J. 573 (1992), the Advisory Committee on Professional Ethics (ACPE) addressed whether the rationale of State v. CIBA-GEIGY Corp., 247 N.J.Super. 314, 589 A.2d 180 (App.Div.), appeal [***2] granted, 126 N.J. 338, 598 A.2d 895 (1991), appeal dismissed, 130 N.J. 585, 617 A.2d 1213 (1992), which dealt with ethical restraints on ex parte interviews of current employees of a corporate litigant, applied with equal force to the conduct of ex parte interviews of former employees of a corporate litigant. In its analysis of the issue, the ACPE did not undertake its own review of the ethical principles stated in CIBA-GEIGY. The ACPE concluded that the rationale of CIBA-GEIGY applied with equal force to the conduct of ex parte interviews of former employees of a corporate litigant. We agreed to review the ACPE Opinion under Rule 1:19-8. 133 N.J. 414, 627 A.2d 1126. Because we have reservations about the scope of the CIBA-GEIGY decision, we have decided to reserve decision on the underlying ethical issues until we receive the report of a committee that will assess the concrete effects of a rule that we might adopt rather [*297] than decide issues in the abstract. Today we set forth interim rules of conduct that will provide guidance to the bench and bar pending our final resolution of the issues. The committee should not consider those rules as binding [***3] on it; its recommendations should be independent of them except for such weight as the committee concludes their merits deserve. I This review primarily concerns the application of Rule of Professional Conduct (RPC) 4.2 to corporations. That ethics rule restrains a lawyer for one party from speaking [**961] directly to another party who is represented by counsel. RPC 4.2 provides: In representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. That rule is easily understood and readily applicable in the familiar context of a suit between two represented individuals, such as buyer and seller of real estate or husband and wife in a divorce matter. An attorney for the buyer simply may not communicate with the seller without the consent of the seller's attorney. But when the 95 other party to a suit is a corporation, application of the rule becomes murky. Because a corporation cannot speak except through natural persons, the question is which persons associated with the corporation might [***4] be considered parties for the purposes of the rule. The American Bar Association's (ABA) current commentary to RPC 4.2 would seemingly give the restraint on direct communication a broad sweep. The commentary states: In the case of an organization, [RPC 4.2] prohibits communications by a lawyer for one party concerning the matter in representation with [(a)] persons having a managerial responsibility on behalf of the organization, and with [(b)] any other person whose act or omission in connection with that matter may be imputed to the organization for purposes of civil or criminal liability or [(c)] whose statement may constitute an admission on the part of the organization. [*298] [Lawyers' Manual on Professional Conduct (ABA/BNA) 01:158 to 01:159 (1990).] However, earlier commentary to RPC 4.2 did not suggest so broad an interpretation. The 1981 ABA proposal stated: This Rule prohibits communication concerning the matter in representation by a lawyer for one party with [the] managing agents of a party that is a corporation or organization, for such persons speak for the organization. It does not prohibit communication with lower echelon employees who are not [***5] representatives of the organization. Whether a specific employee is a representative of a client can depend on the circumstances, particularly whether the employee has significant managerial responsibility in the matter in question. [Model Rules of Professional Conduct RPC 4.2 cmt. (Proposed Final Draft 1981).] The 1983 Debevoise Committee Report, which recommended to the Court that it adopt RPC 4.2, based its recommendation on the 1981 version of the ABA commentary. See Report of the New Jersey Supreme Court Committee on the Model Rules of Professional Conduct, 112 N.J.L.J. July 28, 1983, Supp. 1-2. In September 1984, the Supreme Court adopted generally the ABA's Model Rules of Professional Conduct. The Court has not, however, adopted the ABA's later commentaries to RPC 4.2 that followed the submission of the Debevoise Committee Report. See Pressler, Current N.J. Court Rules, note on R. 1:14 (1993). Absent a literal text or conclusive commentary, courts and commentators elsewhere have adopted or recommended a variety of approaches for determining which persons may be considered "parties" for purposes of RPC 4.2. Some of the more familiar are [***6] the "control group test," the "managing speaking agent test," or the "alter ego test." See Felicia Ruth Reid, Comment, Ethical Limitations on Investigating Employment Discrimination Claims: The Prohibition on Ex Parte Contact with a Defendant's Employees, 24 U.C.Davis L.Rev. 1243, 1285-95 (1991). The control group is defined as those top management persons who [have] the responsibility of making final decisions and those employees whose advisory roles to top management are such [*299] that a decision would not normally be made without those persons' advice or opinion or whose opinions in fact form the basis of any final decision. [Fair Automotive Repair, Inc. v. Car-X Serv. Sys., Inc., 128 Ill.App.3d 763, 84 Ill.Dec. 25, 31, 471 N.E.2d 554, 560 (Ill.App.Ct.1984).] The Illinois court concluded that a broader test would bar too much relevant information from the factfinding process. Id., 84 Ill.Dec. at 32, 471 N.E.2d at 561. The Washington Supreme Court adopted the second approach, the "managing speaking agent test," in Wright by Wright v. Group Health Hospital, 103 Wash.2d 192, 691 P.2d 564 (1984). That test precludes access [***7] to only those employees with the power to bind the organization, and was said by that court to represent the ABA's approach as evidenced by the 1983 commentary to the ABA rule. Id. 691 P.2d at 568-69. The purpose of that approach is to shield corporate employees with sufficient authority to bind the corporation from improper advances by adversary counsel. Id. at 569. In the CIBA-GEIGY case, the Appellate Division ruled that the interpretation that best addressed the concerns sought to be advanced by the RPC was the "alter ego" test adopted by the New York Court of 96 Appeals in Niesig v. Team I, 76 N.Y.2d 363, 559 N.Y.S.2d 493, 558 N.E.2d 1030 (1990). Relying on Niesig, the Appellate Division held that after the commencement of an adversarial proceeding against a corporation, opposing counsel could not directly interview any corporate employees "'whose acts or omissions in the matter under inquiry are binding on the corporation * * * or imputed to the corporation for purposes of its liability, or employees implementing the advice of counsel.'" 247 N.J.Super. at 325, 598 A.2d 895 (quoting Niesig, supra, 559 N.Y.S.2d at 498, 558 N.E.2d at 1035). [***8] We granted the State leave to appeal from the Appellate Division's ruling in CIBA-GEIGY, 126 N.J. 338, 589 A.2d 180, but later dismissed the appeal as moot when the underlying criminal case was concluded by a plea. 130 N.J. 585, 617 A.2d 1213. [*300] II In the course of the argument of this review and the argument of the CIBA-GEIGY appeal, the Court perceived that many questions were left unanswered by each of the formulations. For example, in the CIBAGEIGY case, corporate counsel did not contend before us that RPC 4.2 insulated from the investigatory processes of government those employees whom he described as "fact witnesses" but rather insulated from pretrial interviews only those employees whose acts or omissions may be imputed to the corporation or whose statements might constitute an admission on behalf of the company. Although that interpretation may at first glance appear to be a narrowing construction, it might well have the effect under New Jersey law of precluding access to virtually every employee of an organization and may not have been the interpretation intended by the CIBA-GEIGY court. Under New Jersey's very broad concepts [***9] of admissibility of evidence, a statement by a party's agent or servant concerning a matter within the scope of the agency or employment made during the existence of the relationship is admissible in evidence against the party. Evid.R. 803(b)(4). Hence, under either of the above prongs, i.e., whether imputed to the corporation or constituting an admission, most statements by a corporate employee might fall within the prohibited group. (Former employees are not, strictly speaking, covered by the Evidence Rule.) How, too, can an attorney conduct an interview when the right to conduct the interview depends on facts and circumstances not apparent until after the interview has occurred? Because many subtle and complex problems of evidentiary law arise relating to corporate liability, both in the civil and criminal context, we deem it wise to defer final resolution of the issues until we have had the benefit of a committee process that can better advise us how to balance the competing interests involved. Were we to adopt a blanket rule prohibiting interviews with all employees whose statements might be admissible against a corporation, virtually no pre-filing investigations of [***10] claims against corporations could be conducted without [*301] the consent of corporate counsel. Real problems have been posed concerning how an attorney preparing, for example, an employment-discrimination case would be able to satisfy himself or herself that the complaint was well-founded in fact and was not frivolous. On the other hand, we agree that a corporation should not be at a trial disadvantage by virtue of its corporate status. Hence, those employees trusted with conducting [**963] a suit or claim on behalf of a corporation should receive the same ethical respect from adversary counsel under RPC 4.2 as an individual would in managing his or her own claim. We also believe, although we are not yet certain of this point, that a category of employees may exist whose conduct is so directly linked to the corporation that adversary counsel should not have unrestricted ex parte access to such individuals. On that score, we must consider the extent to which government lawyers may in criminal matters conduct interviews of the employees of the corporation without offending the corporation's Sixth Amendment right to counsel. Once perceived incapable of committing a crime, corporations have [***11] long since been subject to criminal process. See New York Cent. & Hudson River R.R. Co. v. United States, 212 U.S. 481, 29 S.Ct. 304, 53 L.Ed. 613 (1909) (imposing statutory penalty on corporation for wrongful act of agent). Although a corporation may not invoke a privilege against self-incrimination, attorneys for corporations may rely on the attorney-client privilege in certain circumstances to prevent disclosure of communications made to them. Upjohn Co. v. United States, 449 U.S. 383, 101 S.Ct. 677, 66 L.Ed.2d 584 (1981). Courts must determine how the unique nature of the corporation can fairly be related to other principles of law, such as fair trial or right to counsel. We have not had occasion to address the question of the scope of the provisions of N.J.S.A. 2C:2-7 that impose liability on a corporation for the acts of its agents and afford a due-diligence defense in certain circumstances. We have an intuitive sense that when the organization's liability would be based on an individual's [*302] conduct, ex parte contact with [***12] the individual should afford some measure of protection to the alter ego that will suffer the punishment. A corporation's Sixth Amendment right to counsel may be implicated if government prosecutors might, after indictment, unqualifiedly interview the individual whose conduct establishes the guilt of the corporation. The example that most frequently comes to mind is the "valve-turner," one who opens the valve at the petroleum company that discharges hazardous waste into a waterway. That conduct, in and of itself, may be the 97 basis of the corporation's liability, criminal and civil. We believe, for the present, that in the post-indictment, postfiling stages of litigation, adversary counsel should not have the unqualified right to interview such an employee. A concern was expressed at oral argument that that rule prohibiting access to such an employee would unnecessarily hamper the trial preparations of government prosecutors even after indictment. "By obtaining the indictment, the State represents that it has sufficient evidence to establish a prima facie case." State v. Sanchez, 129 N.J. 261, 276, 609 A.2d 400 (1992). Hence, the State will know in almost [***13] every instance whom it may and may not freely interview. We would temper the Rule, however, by interpreting the RPC to require, in that context, notice rather than consent. The Association of Criminal Defense Attorneys (Association) advanced that position. Recognizing that the relationship between corporate counsel and corporate employees is particularly sensitive in the criminal field, the Association has argued before us that the corporate attorney has only the right to be present at such interviews. A corporate attorney could not (because of a conflicting position as counsel for the corporation) act as counsel to such employees in a criminal matter. The party requesting the interview should seek to accommodate the reasonable concerns of other counsel, such as unavailability or other scheduling problems. Corporate counsel may not, however, stonewall the inquiry. Corporate counsel would be expected to have the right to clarify an inquiry for the witness but not to terminate the interview. At the [*303] request of the employee, corporate counsel might, subject to ethical restraints, answer any questions the employee might have. Such an interview should not be a mini-deposition. In civil [***14] cases, allowing informal interviews of employees serves to decrease the number of costly formal depositions. Jerome N. Krulewitch, Comment, Ex Parte Communications with Corporate Parties: The Scope of the Limitations on Attorney Communications with One of Adverse Interest, 82 Nw.U.L.Rev. 1274, 1283-84 (1988). We confirm, as did the ACPE, the ethical restrictions that are imposed on a lawyer [**964] conducting such an interview, particularly an ex parte interview. The attorney conducting the interview must inform the party being interviewed of the purpose of the interview; that it is in an adversary context; and that he or she may wish counsel. See RPC 4.3. Corporate counsel are equally aware of the ethical restrictions that are imposed on the representation of the multiple interests of the corporation and the employee. RPC 3.4(f)(1, 2). Evidence in such an interview might serve to exculpate the corporation and inculpate the individual. A corporation might need to provide separate counsel for such an employee. To sum up, we shall for the present limit the application of RPC 4.2 in the organizational context to (a) the control group, which, [***15] for now, we interpret to mean those employees of the organization entrusted with the management of the case or matter in question, and (b) the employee or employees whose conduct, in and of itself, establishes the organization's liability. With respect to that latter class of employees, we interpret the RPC to require notice to, rather than consent from, the organization's attorney and to be in effect after filing of an indictment or civil complaint. Any deliberate delay in filing to circumvent the ethical restraints of the RPC will not be countenanced. For now, those ethical restraints apply to the interview of present and former employees in the two classes. Finally, we will refer these issues, as well as the application of the RPC, pre-indictment and pre-litigation, to a special committee for the purpose of preparing a report that will more fully assess [*304] the policy implications in these varied contexts. At heart, the rule requires a balance of fairness and practicality in the conduct of adversarial matters. 98 APPENDIXJ REPORTS OF THE NEW JERSEY SUPREME COURT SPECIAL COMMITTEE ON RPC 4.2 In deciding In re: Opinion 668 o f the Advisory Committee on Professional Ethics,. 134 N.J. 294 ( 1993), the Supreme Court created a special committee to investigate the underlying ethical issues that surro und efforts to conduct ex parte communications with current and fonner corporate employees. The committee has submitted its report, which recommends amendments to RPC 1. 13, RPC 4.2, and RPC 4.3. The Court has approved the report· for publication and comment. No other action has been taken in respect o f the report and its recommendations. Any members of the bar seeking to comment on the committee's report should submit those comments, in writing, to me by June 15, 1995, at the following address: Clerk of the Supreme Court, Hughes Justice Complex, CN 970, Trenton, New Jersey 08625. Stephen W. Townsend, Esquire Clerk of the Supreme Court Dated: March 20, 1995 February 21, 1995 I MEMORANDUM TO: Honorable Sylvia B. Pressler Honorable Edwin H. Stern David H. Ben-Asher, Esq. Jack M. Sabatino, Esq. Barbara Ann Sellinger, Esq. Debra L . Stone, Esq. Sharon B. Ransavage, Esq. M. Karen Thompson, Esq. Alan Zegas, Esq. George C . Jones, Esq. FROM: J oseph J. Barraco, Esq. SUBJECT: R.P.C. 4.2 Committee Report Pursuant to our telephone conference call of last Thursday I am sending a facsimile copy of the final draft of the Committee's Report (28 pages including this cover page) which embodies the changes agreed to during the Conference call and a proposed commen! to each rule drafted by Judge Pressler. Note: l am not sending a copy of the appendices to the Report. There are no changes to the appendices. --- In accordance with the telephone conference call, the Report wlll be filed as amended herein. After discussion with Judges Pressler and Stem I am sending a copy to each member so that you can review the changes and additions. However, in a~cordance with the agreement of the Committee members there will be no SEARCHABLE FULL. TEXT AVAILABLE ONLINE AT www.gannlaw.com 99 ... ... ..,.... . f~ APPENDIXJ further substantive revisions to the Report. If any member believes that this Report is not consistent with what was agreed upon during the Conference call please call Judge Pressler or Judge Stem by Friday afternoon. J.J.B. TABLE OF CONTENTS I. Introduction 11. Committee Charge III. Committee Membership IV. Committee Deliberations V. Discussion of Caselaw VI. Suggestions for Change VII. Committee Recommendations APPENDIX I Committee Charge APPEND,IX 2 Suggestions for Change ' ·· .... a. Written Presentations to Committee 1. Association of Criminal Defense Lawyers a. Initial Submission b. Subsequent Position 2. George Grochala, Esq 3. Commercial Union Trust Company b. Oral Presentations to the Committee I. New Jersey County Prosecutor's Association-Daniel J. Carluccio, Esq., Ocean County Prosec'\)tOr 2. First Assistant U.S. Attorney Paul Fishman 3. Association of Criminal Defense Lawyers-Alan Silber, Esq. · 4. New Jersey Corporate Council Association-David S . Machlowitz, Esq., Assistant General Counsel, Siem ens Corporation 5. Richard J. Jeydel, Esq., Senior .Vice-Pres ident and General Counsel, Kanematsu, U.S.A. ·lnc. 6. Attorney .General's OfficeDeputy Attorney General Mark C ronin 7. Employee Lawyers Association--Bennett Zurofsky. Esq 8. Richard Crooker, Esq. SEARCHABLE FULL TEXT AVAILABLE ONliNE AT www.gannlaw.com 100 REPORTS OF THE SPECIAL COMMITTEE ON RPC 4.2 I. INTRODUCTION In . light of In the Matter of O pinion 668 of the Advisory Com mittee on Professional Ethics, l34 N.J. 294 (1993), a Committee, comprised of persons representing the diverse interests of corporations, plaintiffs, prosecutors and private defense counsel, was established by the Supreme Court. The Co mmittee solicited input from a broad spectrum of interested parties and held a public hearing. The discussions of the Committee, prior to preparing its recommendations, were far reaching. Ultimately the Committee was able to reach a unanimous consensus on its recommendations, which it believes will go far to resolve the problems regarding ex parte communications. The Committee would ma intain the absolute bar to ex parte communications with represented parties, but has deve loped a practical approach for ascertaini ng such representation and to resolve the complex question regarding the ability of an attpmey to talk with organizational employees. The Committee believes that an attorney shou[d not be able to communicate ex pane with an organizational employee significantly involved in determining the organization's leg al position in a matter. An initial communication designed to ascertain such representation, or ent!tlement to such representation, wo uld be authorized. The Committee is recommending that the tenn organization in RPC 1.13. be defined to include corporate; as well as non-corporate, entities. The Committee is . also recommending that organizational representation be extended only to the litigation control 'group. The litigation control group would be defined to include 1 current and former agents for, or significantly involved in, the detennirtation of the organization's legal position In the matter, whether the matter is in litigation or not. It would inClude those who had been part o f the litig~tion control group as well as those .who currently are. Significant involvement would be d efined to require involvement greater thim merely providing factual information or data regarding the matter in·question. The Committee is recommending that RPC 4.2 be amended ·to make clear·that, in addition to not communicating with a person a lawyer knows is represented, a lawyer has a responsibility of due diligence in ascertaining whether a person is represented. Finally, the C ommittee is proposing an amendment to RPC 4.3 to ·require that a lawyer, where the lawyer ascertains a person is not represented or entitled.to be represented by a11 organization's counsel, . tell the person he or she is not represented by the orga nization's counsel. II. COMMITIEE CHARGE In In the Matter of Opinion 668 of the Advisory Committee l?" Professional Ethics, 134 N.J. 294 (1993), the Supreme Court was a sked to review Opinion 668, 132 N .J.L.J. 573 (1992), of the Advisory Committee on Professional Ethics . Opinion 668 concluded that the rationale in State v. Ciba-Geigy Co rp., 247 N.J. Super. 314 (App. Div. 1991), which aealt w ith the ethical restraints on ex parte interviews of <;:urrent employees of a corpora te litigant, applied with e quai ·force to the conduct of 'e x parte interviews of former employees ofa corporate litigant The Supreme Court expressed reservations about the scope of State v. Ciba-Geigy a nd decided to reserve ·decision of. the underlying ethical issues until it received a report of a special committee which it charged with assessing the concrete effec ts of any rule that the C oun might adopt. In the Matter of Opinion 688, supra, at 296297. SEARCHABLE FULL T EXT AVAll:.ABLE ONUNE AT www.gannlaw.com 101 APPENDIXJ On December 16, 1994, Stephen W. Townsend, C lerk of the Supreme Court, on behalf of the Court, sent a letter to Judge Sylvia B. Pressler, Chair ofthe Supreme Court Committee on Civil Practice, and Judge . Edwin H. Stem, Chair of the · Supreme Court Committee on C riminal Practice, asking them to fonn a select committee comprised of members of their respective committ~es supplemented by ad hoc members to review issues raised in In the Matter of Opinion 668. [Note I] The Court asked for the Committee's advice as to whether and what extent it might change the current fonnulation o f the RPC .to clarify its scope and breadth in various contexts. The Court specifically a~ked that the Committe.e .not feel bound by current definitions·as to wha~ constituted ethical or unc;thical behavior. To focus Committee review, the letter set forth a number of inquiries for Committee consideration: ·· • Should the rationale in State v. Ciba-G~}~Y apply to e" parte interviews of fo mter employees? • Since a statement by a party's .agent .or servant conct<rnlng a matt~r within the scope of the agency or employment, made during the existence Qf a relati(Jnship, normally is admissible in evidence against a party, see Evid.:It 803(b}(4j, is such a statement "binding on" or "imputed to" the corppr.atio~ o.r does the RPC apply only to a limited class of witnesses? • What distinction, if any, should be made betwe~n interviewing an employee whose conduct ·may directly impute liability to the corp9ration,, as in th,e case of a "valve-turner," or. an employee who merely observes such conduct? * Would the analysis be different if either 0 fthe witnesses were to state that the president of the company had been present and ordered that the valve be turned? • In a civil RICO maiter or a criminal conspira,cy, is a ,government attorney precl uded from inteiViewing a member of the organization whose acts may b e imputed to the'-Qrganization? ,1 • Is the consent of'the attomey .for the organization ncces.s ary? • At what point does the RPC come into play? * In the civil context does· the RPC apply befor~ the commencement of litigation? • If it does, how may an attorney investigate a client's ciaill)? . • What is the proper scope of the tenn "organization"? • Should the concept of organization be extended to cover non-corporate .organizations, such as business proprietorships? • What is the relationship between the Sixth A mendment right to counsel and the RPC? ,. To whom does the right belong, i.e., the corporation, the employee or both? • Since Sixth Amendment rights apply at every critical stage . of the proceedings, what are the critical stages in a crimina! investigation that trigger the 'right? III. COMMITTEE MEMBERSHIP Judges Pressler and S tem formed a committee comprised of members of the Supreme Court Committees on C ivil and Criminal Practice. Membership on the Committee was supplemented with private practitioners representing corporations, as both in·house and out-of-house counsel, and plaintiffs attorneys. The members of the Committee are: Sylvia Pressler, J .A.D. SEARCHABLE FULL TEXT AVAILABLE O NLINE AT www.gannlaw.com 102 REPORTS OF THE SPECIAL COMMITTEE O N RPC 4.2 Edwin H. Stem, J.A. D. David Ben-Asher, Esq. Jack M. Sabatino, Esq. [Note 2} Barbara Ann Sellinger, Esq., Chief Labor and Litigation Counsel, Nabisco Inc. Debra L. Stone, Esq., Deputy Director of Operations, Division of Criminal Justice, Attorney General's Office Sharon B. Ransavage, Esq., Hunterdon County Prosecutor M. Karen Thompson, Esq. Alan Zegas, Esq. George C. Jones, Esq. S:rAFF: Joseph J. Barraco, Esq., Criminal Practice Division, Administrative Office of the Courts IV. COMMITTEE DELIBERATIONS The Comrrittee reviewed the caselaw and literature on.the issues involved. The Committee sought input from a broad spectrum of interested parties, both public· and private .. The Committee sent specific letters to a number of parties inviting written suggestions or oral testimony at a public hearing held June 8, 1994. The following parties were contacted: · New Jersey Cotporate Counsel Association ATLA --New Jersey · • Association of Criminal Defense ·Lawyers ofNew Je~sey New Jersey County Prosecutor's Association New Jersey State Bar Association-- Civil Tria] Section -- Corporate/Business Section Criminal Law Section -~ Products Liabilityffoxic Torts Section United State Attomey Michael Chertoff Bennet D. Zurofsky, Esq. Theodore W. Geiser, Esq. Theodore V. Wells, Jr., Esq. Stephen D. Cuyler, Esq. Frederick A. b ."Schwartz, Jr., Esq. The Committee also published notice of the public hearing in the New Jersey Law Jom;nal and N ew Jersey . Lawyer inviting written submissions or oral presentations at the hearing. V. DISCUSSION OF CASELAW Rule of Professional Conduct (RPC) 4.2 prohibits an attorney from having ex parte communications with a party who is represented by counseL The "rule provides: In representing a client, a lawyer shall not communicate about the subject of the representa tion with a party the lawyer knows to be represented by another la wyer in the matter, unless the lawyer has the consent of the o ther lawyer or is authorized by law to do so. SEARCHABLE FULL. TEXT AVAilABlE ONLINE AT www.gaMiaw.com 103 APPENDIX J Although easily applied to typical lawsuits between individuals, application of RPC 4.2 becomes difficult when a party to a suit is an organization. [Note 3] Confusion stems from an organization's. inability to speak except through natural persons. Defining which people associated with an organization are considered parties by RPC 4.2 becomes critical in determining the scope of the rule's prohibition of ex parte contact. The Special Supreme Court Committee on RPC 4.2 considered various judicial interpretations of the application ofRPC 4.2 to corporations, placing emphasis on policy concerns and potential ramificati9ns of each interpretation. This section surveys definitions adopted by judicial authorities, including blanket prohibitions on ex parte contacts, "facts and circumstances" tests, the "control group test", the "alter-ego test'', the "managing speaking agent test", and the New Jersey Supreme Court's temporary ruling In the Matter of Opinion 668 Of the Advisory Committee on Professional Ethics. [Note 4} These rules strive to balance fairness to all parties with the practicalities of litigation. . A b lanket prohibition on ex parte contact poses the simplest interpretation of RPC 4.2 and provides maximum protection to corporations. [Note 5] '[his rule, which requires formal proceedings before any employee is. interviewed, was adopted by two federal courts in cases concerning former employees. [Note 6] In a subsequent·case the court decided not to follow ·the decision in PSE&G. [Note 7] Interpretations of RPC 4.2 which allow blanket prohibitions on e x parte communication have been criticized for being over-broad. [Note 8] Blanket prohibitions on ex: parte contact are also criticized because fonner employees can rarely bind or take action which could be attributed to a corporation. [Note 9] Some federal district courts have adopted a -flexible interpretation of RPC 4.2 which require a judge.to evaluate the "facts and circumstances" of each case. [Note lOJ Finding it irriNSsible to fashion an interpretation of RPC 4.2 whi~;h could govern all cases [Note 11), these courts require an independent analysis of each situation that arises. Judges are directed to inqui~e into whether (1) the employee's statement concerns a matter within the scope of an employee's employment and (2) whether corporate counsel's presence is necessary to ensure effective representation ofthe organization. [Note 12] The chief criticism of the "facts and circumstances" test is that it offers attorneys no guidelines for legal conduct. Because severe penalties-attach to a finding of an ethical violation, attorneys . require guidelines in ex parte situations {Note 13) The "control group" test, adopted by an Illinois Court of Appeals limits RPC 4.2's application to the control group, defined as: [T}hose top management persons who had the responsibility of making final decisions and those employees whose advisory roles to top management are such that a d ecision would not normally Qe made without· those persons'. advice or opinion or whose opinions in fact form the basis of any final decision. (Note 14] The Illinois Court of Appeals held that the "control-group" test, originally used to define the scope of the attorney-client privilege as it pertained to corporations, [Note 15) was also applicable to the ethics rule. [Note I 6] According to the Illinois court [Note 17], a narrower test would inadequately protect corporate parties, and a broader rule would bar too much information from the fact-finding process. [Note 18] However, the "control-group'' test has not g ained w idespread acceptance, perhaps because the United States Supreme Court rejected the standard in the context ofthe attorney-client privilege. [Note 19] The "managing speaking agent" test provides a more widely accepted approach to the interpretaJion of RPC 4.2. (Note 20] This test prohibits ex parte contact with SEARCHABLE FULL T EXT AVAilABLE ONLINE AT www.gannlaw.com 104 REPORTS OF THE SPECIAL C OMMITTEE ON RPC 4.2 employees who "have man aging authority sufficient to give them the right to speak for, and bind, the corporation." [Note 2 i) This test does not include former employees. [Note 22] Nor does the "managing speaking agen(' test shield a corporation's non-management employees whose acts create liability. (Note 23) Nevertheless, the "manag ing speaking agent test" provides a corporation with greater protection than the "contro l·group" test because it includes m iddle and lower level employees who make managerial decisions . [Note 24] Adherents of the "managing speaking agent" test contend that the rule comports with the purpose of the disciplinary rule, protecting the corporation's agents who can bind the corporation from be ing uneth ically influenced by opposing counsel. [Note 25] The "alter-ego" test demonstrates another attempt to both adequately protects corporations and facilitate litigation. [Note 26] Although similar to the "managing speaking agent" test, the "alter-ego'' test delineates three types of employees protected by RPC 4.2. These a re: corporate employees whose acts or o missions are binding on ~he corporation (effectively, the corporation's ''alter~gos") ; employees whose acts or omissions may be im puted to the corporation for purposes of liability; and employees implementing the advice of counsel. fNote 27] The New Jersey Appellate Division further noted that these prohibitions on ex parte cOnduct fail to apply before forma l legal or adversarial proceedmgs have begun. (Note 28) Thus, a defendant becomes ''a partY" for purposes of RPC 4.2 only after the formal commencement·ofproceedings . (Note 29] . ' Certain aspects of the "alter-ego" tes t remain ambiguous. For instance, the courts have not clearly stated the whether an attorney would be barred from approaching fact witnesses under the alter-ego test. [Note 30] If the courts find this to be the case, New Jersey's broad concepts of admissibility of evidence: might effectively preclude access of opposing counsel to most employees. fNote 31} Another concern is that an attorney may ·not know whether an interview is prohibited because the prohibition hinges on facts that remain unknown until the interview occurs. [Note' 32] The New Jersey Appella·re Division noted chat these dangers exist, and that they may deter some ex parte communicati~)J)S . fNote 33) After analyzing several alt.e mative tests, the New Jersey Supreme Court adopted interim g~idelines until ·this C ommittee fully assessed the concrete effects of the adoption of the various rules. [Note 34J The interim application of R P.C 4.2 utilizes asp ects .of the "control group" test and the "alter-ego" test, prohibit·ing ex parte contact with (l) the "contro l group," which was interpn:tcd as "those employees of the organization entrusted with the management of the case o r ·.matter in question'1 and (2) "employees whose conduct, in and ofitselr. establishes the organization's liability." [Note J 5) Regarding the second·group of employees with whom ex parte contact is prohibited, the New Jersey Supreme Court explained that RPC 4.2 only requires n otice to, rather than consent from, the organization's attorney. [Note 36] Finally, the New Jersey Supreme Court noted that its interim. rules should nol be binding on the Commi«ee: the Committee should only·consider the parts of the interim test that it finds meritorious as it co"mes to an independent determination c oncerning RPC 4 .2's application lo corporations. [Note 37) · SEARCHABLE FULL T EXT AVAILABL_E O NUNE AT www.gannlaw.com 105 .· APPENDIXJ VI. SUGGESTIONS FOR CHANGE A number of interested parties submitted written material. or made oral presentations to the Committee. [Note 38] The positions expressed varied widely. [Note 39] Some of the positi~ns expressed over RPC 4.2 should be construed to: • Prohibit ex parte interviews without notice to corporate counsel. • Prohibit ex paite communications with all current and former employees having managerial responsibility on behalf of the corporation; whose acts or o missions could be imputed to the corporation; or whose statements constitute admissions. * Give corporations· the same protections as individuals. Pre·fndictment interviews would be allowed of any employee. Post-Indictment interviews wo uld be allowed except with present or former directors or managerial agents who can bind the corporation. * Permit ex parte interviews; except interviews of persons directing the litigation. • Re<:juire that anorneys not make misrepresentations during , ex parte interviews. * Not.. ~pply to Justice Department anomeys who are bound by that Department's regulations. VII. COMMITTEE RECOMMENDATIONS RPC 4.2 prohibits a lawyer in representing a client from corrununicating about the subject of the representation with a party the lawyer knows to be represented by another lawyer .in the matter "unless the lawyer lias the consent of the other lawyer or is authori~ed by law to do so." The Committee adheres strictly to the stated prohibition against communication with represented persons while at the same time defining "represented persons" in the context of corporate, or other organizational, representation. The question then · is to make clear which corporate, or other organization's, agents and employees are properly deemed to be represented by counsel so as to preclude an attorney representing a client adverse to' the interests of the corporation, or other organization, from either communicating with that employee or having the obligation. to notice counsel of ·an intended conununication. The Committee decided initially to define the term "organization" in RPC 1.13 so as to insure there was no confusion about what type of entity was covered by the RPC. The Committee included in the definition corporate, as well as noncorporate entities;· since it was of the opinion that there was no valid reason for distinguishing, for purposes of the RPC, between corporate and other non.. corporate entities. Thus, the Committee included in its definition corporations, partnerships, associ~tions, joint stock companies, unions, trusts, pension funds, unincorporated associations, proprietorships, other business entities, state or local governments, or political subdivisions thereof, and non-profit organizations. The Committee then defined to . whom corporate, or non-corporate, representation extended. The recommendati'on is that representation extend to the litigation control group. The litigation control group is defined to include current and former agents and employees responsible for, or significantly involved in, the determination of the organization's legal position in the matter, whether or not in litigation. It also includes both current and former members of that group. SEARCHABLE FULL TEXT AYAIL~Bl..E. ONLINE AT www.garinlaw.com 106 REPORTS OF THE SPECIAL COMMITTEE ON RPC 4.2 Signi fie ant involvement requires involvement greater that merely supplying factual information regarding the matter in question. The Committee tied representation to those involved in making a detennination regarding the organization's legal position in the matter. The definition would not require that litigation !JCtually be pending, but rather would include situations where litigation is imminent or probable. Implicit in the C ommittee's recommendation is a rejection of the concept of defining control group in terms of the subject matter of the .controversy. The Committee was of the opinion that a definition expressed in terms of subject matter of the controversy would simply include too many people wht., as a practical matter, could not realistically l>c considered as repr.:sented by the organization's counsel and whose interests arc most likely not only not congruent with the organization's but also, in many cases, in conflict with it. Rather, the control group is defined in terms of the concept o f significant involvement in the determination of the organization's legal position in the matter. Thus, the recommended definition does not tie representation as much to speci fie individuals, i.e. directors or officers, as it ties representation to those who are involved in making decisions regarding the organization's legal position. ln this regard the Committee is of the opinion that whether the agent or employee is a present or former agent or employee is not significant. The key is not the agent's or employee's status but role in determining the organization's legal position. The Committee's definition does not specifically make a distinction between interviewing an agent or employee whose conduct may directly impute liability to the organization, as in . the case of a valve-turner, · or an agent or employee who observes such conduct. The fact that an agent or employee may impute liability, in an~ of itself, does not determine whether he or she is represented by the organization's counsel, thus implicating the ex parte communication bar. The Committee's definition also envisions that a so-called fact witness should not be assumed to be an agent or employee to whom a communic:;ation bar would auto·matically apply. Only in those situations where the fact witness would a lso be . significantly involved, in ways other than just supplying information, in determining the organization's legal position would the . bar apply. This is consistent with the Committee's decisi.on that the status of the agent or employee is not as .important as'·role in determining the organization's legal position. The Committee is recommending changes to RPC 4.2 to make it clear that in addition to a l;Jwye~ not communicating with a p·erson the lawyer knows is represented, a lawyer also has .a responsibility of "reasonabl~ diligence" in asserting whether a person is represented. Of course, if the sole pwpose of the c·ommunication is to ascertain representation, the contact would not be prohibited. The proposed amendment would indicate that.reasonable diligence includes, but is not limited to, a specific inquiry of the person as to whether he o'r she is represented by counsel. Additionally, an amendment is proposed to RPC 4.3 to require the lawyer, in addition to inquiring regarding representation, where the lawyers ascertains that the person is not represented, or en!itled to be represented by the organization's attorney, tell the person that, as far as the lawyer understands, the person is not represented by the organization's attorney. SEARCHABLE FULL TEXT AVAILABLE ONLINE AT www.gannlaw.com 107 APPENDIX J RPC t.J3 Organiza~ion as the Client (a) A lawyer employed or retained to represent t~e organization as distinct from its directors, officers, employees, members, shareholders or other constituents. Nevertheless, for the purposes of RPC 4.2 and 4.3, the organization's lawyer shall also be deemed to represent the litigation control group which shall be deemed to include current and fanner agents and employees responsible for, or significantly involved in, the determination of the organization's legal position iT) the matter, whether or not in litigation, provided, however, that "significant Involvement" requires involvement greater, and other than, the supplying o f factual infonnation or data respecting th\! matter.' (b) ... No Change (c) . .. No Change (d) ... No Change (e) ... No Change. (f) For purposes of this rule "organization" includes any corporation, partnership, ass.oCiation, joint stock company, union, trust, pension fund, unincorporated association, proprietorship or other business entity, state or local government or political subdivision thereof, or 'non-profit organization. COMMENT ON PROPOSED R.P.C. 1.13 The amendment of paragraph (a) of this rule lies at the heart of the Conunittee's proposal for ~efining those persons w:ho •. for the purpose ofR.P.C. 4.2, are deemed to be represeh~ed by the organization's jittorney and hence who may ·not be communicated with by an attorney representing the interest of another in the subject matter. The basic concept is to define those persons as the "organization's litigation control group." The substantive content of that phrase is provided by the ensuing series of qualifiers. T he Committee is aware that.although the subject m atter of the representation is frequently a matter in litigation; it need not be. The representation of the organization may be in respect of a transactional matter, or a matter in prelitigation stages or in an alternative dispute forum, or a matter under investigation. II was the Committee's . intention to make the subject matter· entitled tp the protection of this rule as broad as "the subject of ·t he representation" is under R.P.C. 4.2. The inclusion of the word "litigation" in the phrase "litigation control group" was intended to emphasize that membership in the control group is essentially defined by the person's significant involvement in or. the responsibility for determining the organization's legal position in the subject matter. That is to say, it does not include persons whose actions bind the organization or are imputable to the organization or who are responsible for other aspects of organizational policy unless they meet the "legal position" test. In order to avoid any ambiguity otherwise resulting from that word, the term "matter" has been defined as a "matter whether or not in litigation." The gamut of representational undertakings is thereby intended to be included. · In further defining membership in the litigation control group, the Committee proposes to include both present and former agents and employees. "Agents" is used because there may be other persons meeting the litigation control gro up definition who are not on the payroll, such as for example, certain stockholders or SEARCHABLE fULL TEXT AVAILABLE QNLIN£ AT www.gannlaw.com .. 108 REPORTS OF THE SPECIAL COMMITTEE ON RPC 4.2 consultants. While it is clear that the litigation control group is a fluid concept and that its membership will not necessarily be the same for every subject matter, it is also clear that its membership may change during the pendency of the subject matter. The word "fonner" is intended to make clear that the rule covers a \I persons who were, as well as those who currently arc, members of the litigation contro l group . The Committee decided not to attempt to define the phrase "responsible for o r significantly involved in the determination of the organization's legal position" beyond the definiti on provided by the rule itself. There are obviously a great many variables, the issue is fact-sensitive, and the Committee was concerned that an illustrative listing of indicia of the involvement would be counterproductive. It was, moreover, the Committee's sense that as a practical matter, there would be consensus within the legal community on most factual complexes. Paragraph (f) is proposed co be added 10 the rule to provide an expansive definition of organizations covered thereby. The Committee saw no reason to distinguish, in this regard, between a corporation and any other commercia l o r non-commercial organization. RPC 4.2 Communica.tion with Person Represented by Counsel ln representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows, or by the exerci~e of reasonable diligence should know, to be represented · by . another ·lawyer in the matter, including members of organization's litigation control group as defined by RPC 1.1 3, unless the lawyer has the consent of the other lawyer or is authoriz ed by law to d o so[.], or unless the sole purpose of the communication is to ascertain whether the person is in fact represented . Reasonable diligence shall include, but not be limited to, a specific inquiry of the p erson as to whether that person is represented by counsel. COMMENT ON PROPOSED R.P.C. 4.2 The Committee proposes several amendments to this rule. First, o.f course, is inclusion of members of the organization's litigation control group. among those protected by the communications bar. Second is the generally applicable provision that the corrununications bar extends not only to persons the attorney knows to be repr~sented but also to that' it includes those the attorney should know, by an exercise of due diligence, to be represented. The reasonable-diligence obligation dictates a single exception to the communications bar ·which is provided by the amendment; namely a communication may be· made whose sole purpose is to ascertain the fact of representation. Note, however, that such a direct inquiry of the person invo)ved will not in every case satisfy the ~equiremem of "reasonable diligence." The attorney making the inquiry will, moreover, have to exercise a great deal of caution and circumspection in making the inquiry of a person who may be or presumptively is a member ofan organization's litigation co ntrol group. This problem is further addressed in the proposed amendment to R.P.C. 4 .3. SEARCHABLE FULL TEXT AVAILABLE ONLINE AT www.gannlaw.com 109 APPENDIXJ RPC 4.3 Dealing with Unrepresented Person; Employee of Organization In dealing on behalf of a client with a person who is not represented by counsel, a lawyer shall not state or imply that the lawyer is dis interested. When the lawyer knows or reasonably should know that the unrepresented person misunderstands the lawyer's role in the matter, the lawyer shall make reasonable efforts to correct the misunderstanding. If the person is a director, officer, employee, member, shareholder or other constituent of an organization concerned with the subject of the lawyer's representation but no( a person defined by RPC I.IJ(a), the lawyer shall also asce.rtain by reasonable di ligence whether the person is acrually represented by the organization's anomey pursuant to RPC 1.1 3(e) or who has the right to such representation on request, a nd, if the person is not so represented or entitled to representation, the lawyer shall make known to the person that insofar as the lawyer understands, the perso.n is not ·being represented by the organization's attorney. COMMENT ON R.P.C. 4. 3 The proposed addition to this rule is based on the understanding that while the organization's representational undertaking does not automatically include representat_ion of officers, directors, employees, shareholders or others -- and indeed, there may a conflict of interest in su.ch duai representation -- never1heless, absent such a conflict, the organi:r.ation's attorney may be representing such a person consistent with the authorization of R.P.C. I.IJ(e). The amendment is intended to make clear the obligation of the adverse attorney to ascertain by reasonable diligence whether any such persons who are not also members of the litigation cc.m'trol group are in fact ·so represented or have a right to such reprcsentatioil.. An adverse attorney so determining has the additional obligation of advising the person that insofar as the attorney understands. the organization's lawyer does not represent that person. Nore I : See letter from Stephen W. Townsend co Judges Pressler and Seem in f-ppcndu. I . Nore 2 : When appointed to the Committee. Mr. Sabat ino was the Direcror of the D'""'on o( l.&"" Nore 3 : The Committee is proposing that the term "organiz.arion" be defined IS inclu<hnl: an} corporation, pannership. association, joinc stock company. union. trust, pension fund. umncorpor~tc:d association, proprietorship or other business entity, slllte or local government or puht•cal sutw:hvuoon thereof, or non -profit organization. Note 4 : In the Maner of O pinion 668 of the Advisory Committee on Profess•onal 294 ( 1993). (thoc~. 1).:1 I'.J . Note 5: See Felici a Ruth Reid, Eth ical limitations On Investigating Emp loyment iJu.cn mmallon C laims: The Prohibition on E" Parte Contact Wilh A Defendant's Employees, 24 U.C o~.,,~ l. Rc•·· 1243, 1277 (1991 ). Note 6: Public Ser.-. Elec. & Gas v. Associated Elee. and Gas Ins. Servs.• 745 F. Supp '.037 (0 N.J. 1990); Cagguila v. Wyeth Laboratories, Inc., 127 F.R.O. 653 (E.O. Pa. 1989) Note 7: Curley v. Cumberland Farms, 134 F.R.D. 77, 81 (0. N.J . 1991 ). Note 8 : ld. at 86·. Note 9: Slllte v. Ciba-Geigy, 247 N.J. S uper. 314,321 (App. Div. 1991) . Note 10 : Monison v. Brandeis ur· rcrsity, 125 f .R.D. 14 (D. Mass. 1989}. SEARCHABLE FULL TEXT AVAILABLE ONLINE AT WWW.gannlaw.com l . 110 REPORTS OF THE SPECIAL COMMITTEE ON RPC 4.2 Note II: Mompoint v. Lotus Corp., llO f.R .D. 414 (D. Mass. 1986). Note 12: ld. Note I 3: Jerome N. Krulewnch. Ex Pane Communications With Corporate Panies: The Scope Of The Limitations On Attorney Communica tions With One O f Adverse Interest, 82 Nw. U. L. Rev.. 1272, 1295 ( 1990}. Note 14: Fair Automotive Repair, Inc. ,., Car-X Scrv. Sys.,lnc., 471 N.E.2d ·554, 560 (Ill. App. Ct. . 1984~ Note 15: Consolidatio n C oal Co. v. Bucyrus- f.rie Co., 432 N.E.2d 250 (111. 1982}. Note 16: Fair Automotive Repair, Inc. v. Car- X Scrv. Sys., lnc., 471 N.E.2d S54, 560 (Ill. App. Ct. 1984). Nole 17: ld. Note 18: Jd. Note 19: Upjohn C o v. United States, 449 U.S. 383. 101 S.Ct. 617, 661....Ed. 2d 584 ( 1981}. Note 20: Chancellor v. Boeing Co .. 678 F. Supp. 250,253 (D. Kan. 1988}; frey'<. Depanment of Health and lUtman Se rvs .. 106 f .R. D. :32, 35-36 (E.D.N.Y. 1985); Shealy v. Laidlaw Bros., Inc ., 34 Fair Empl. Prac. C as. (BNi'-) 1223 (O.S.C. 1984); Wright v. Group Health. Hosp., 103 Wash.2d 192, 691 P.2d 564 (Wash. 1984}. Note 21: Wright v. Group Heallh Hospital, 691 P.2d 564; 569 (1984}. Note 22: ld. Note 23: Reid, supra, note 5, at 1243. .... Note 24 Krulewitch, suprn, note IJ. at IJOO. Note 25: Wright v. Group Health Hosp., 691 P. 2d 564,510 ( 1984). Note 26: State V. C iba-G eigy, 247 N.J.Super. 314. 325 (App. Div. 1991 ); See also Niesig v. Team I. 558 N.E.2d JOJ O, 1035 (1990) ; Str.twscr v. Exxon Corp .• 843 P.2d 613 (Wyo. 1992). Note 27: Niesiq v. Team I, 558 N.E.2d 1030, 1034 (N.Y. 1990). Note 28: State v. Ciba-Geigy. 247 N.J .Super. 314, 320 (App. Div. 1991). Note 29: ld. Note 30: In the M aner of Opinion 668 Of the Advisory Comr.tittee On Professional Ethics, i 34 N.J. 294, 300 (199 3). · . Note 31 : ld. Note 32: ld. Note 33: State v.' Ciba-Geigy, 247 N.J.Super. 314, 325 (App. Div. 1991). Note 34: In the Mauer of Opinion 668 Of the Advisory Committee On Professional Ethics, 134 N.J. 294 (1993). · Note 35: ld. at 302. Note 36: I d. Note 37: ld ..at 296. Note 38: Copies of all written ~1Jbmissions are on file wilh Joseph J. Barraco, Esq ., C hief of Crim inal Court Services of the Adminislr.~tive Office of the Couns; Criminal Practice Division. Note 39: A s ummary of all written and oral presentation s arc cont.tined in Appendi>< SEARCHABLE FULL TEXT AVAILABLE ONLINE AT 2. www.gannlaw.com 111 APPENDIXJ APPENDIX 1 SUPREME COURT OF NEW JERSEY Dece mber 16, 1993 Hon. Sylvia B. Pressler, Chair Civil Practice Committee Court Plaza North 25 Main Street- 5th Flo·or Hackensack, NJ 07601-70 I 5 Hon. Edwin H. Stem, Chair Criminal Practice Committee Suite 1101, North Tower 158 Headquarters Plaza Morristown, NJ 07960-3965 Rc: In the Mauer of Opinion 668 of the Advisory Committee on Professional Ethics A-415 September Term I 993 Dear Judges Pressler and Stem: The Court recently reviewed the above opinion of the Advisory Committee on Professional Ethic~ (ACPE). It has decided to adopt interim rules of ethical conduct pending review of the issues by a select committee to be chaired by yourselves. The Court believes that your Committees are most closely involved in the varied circumstances in which the subject issues ·arise. The ethical inquiry concerns RPC 4.2, Communication with · Person Represented by Counsel. The RPC provide"s: In representing a client, a lawyer shall not communicate about the subject of the representation with ·a party the lawyer knows to be represented by another lawyer in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. The nub of the inquiry to the ACPE was whether the rationale of State v. CIBA. GEIGY Corp., 247 N.J. Super. 314 (App. Div. 1991 ), which dealt with ex parte interviews of current employees of a corporate litigant, applied with equal force to the conduct of ex parte interviews of Fonner employees of a corporate litigant: In the course of the review of ACPE Opinion 668, as well as the appeal of the CIBA-GEIGY matter that was later dismissed as moot, the Court came to realize that questions exist about the CIBA-GEJG Y opinion. The Court found little disagreement about application of the RPC to the managing agents of the corporation, particularly those whose acts might bind the corporation, as in entering a plea to an indictment. After that, the lines are more difficult to draw. SEARCHABLE FULL TEXT AVAILA BLE ONLINE AT www.gannlaw.com 112 REPORTS OF THE SPECIAL COMMITI' EE ON RPC 4.2 In its appeal to us, CIBA-GEl GY did not argue that the ethical restraints applied to what it described as "fact witnesses," who were equally available to both parties, rather only to employees "whose acts or omissions may be {imputed} to the corporation or whose statements might constitute an admission on behalf of the company." The CIBA-GElGY decision had precluded p ost-indictment interviews of corporate employees "'whose acts or omissions in the matter under inquiry are binding on the corporation (in e ffect, the corporation's "alter egos") or imputed to the corporation for purposes of its liability, or employees implementing the advice of counsel. All other employees may be interviewed informally."' CIBA-GEJGY, supra, 247 N.J. Super. at 325 (quoting Niesiq, a New York Coun of Appeals ruling). Are there relevant differences between New York and New Jersey agency law? t:Jnder principles of New Jersey evidentiary law, a statement by a party's agent or servant concerning a matter within the scope of the ag ency or employment, made during the existence of the relationship, is admissible in evidence against the party. Evid. R. 803(b)(4). Is 'such a statement "binding on" or "imputed to" the corporation or does the RPC apply only to a very limited class of witnesses? For example, is there a distinction to be made between witnesses who referred to as "fact witnesses" or other types of employee-witnesses? The hypotheticals that arose in both cases concerned what distinction, if any, might exist between interviewing an employee whose conduct may directly impute liability IQ a corporation (as in the case of an employee who turns a valve discharging a hazardous substance into public waters) or an employee who observes such conduct. Would a different analysis apply if either of the two such witnesses were to state that the president of the company h~ been present and had ordered that the valve be turned? Other questions that have arisen concern when the RPC should come into play.· For example, in CIBA-GEIGY it was not argued that the RPC came into play before indictment. In the civil context, does the RPC ·apply before the commencement of litigation? If the RP€ applies before the commencement of civil litigation, how may an attorney, who must certifY that a suit is grounded in fact and .law to avoid a initiation of fiivolous litigation, investigate a client's cla im? Another question concerns the meaning of the·word "organization. •• The ABA Commentary to 'RPC 4.2 (adopted after lhe Supreme Co.urt of New Jersey had adopted the RPC) sug~ests that in the case of an organization, the 'RPC prohibits communications by a lawyer for one party c oncerning the matter in representation "with any other person whose act or omission in connection with that matter may be imputed to the organization for purposes of civil or criminal liability • • • ." Should the concept of organization be extended to· cover non-corporate organizations, such as business proprietorships and the like? For example, if a sole proprietorship owned a fleet pf taxi cabs,: which employees .of the taxi-cab company would an attorney not be permitted to interview? Would it only be the driver of the taxi involved in an accident in controversy? Would the rule be different in the case of a taxi fleet owned by a corporation? ln other contexts, such as a civil RICO matter or a criminal conspiracy, would a government attorney be precluded fr9m interviewing a member of the organizatio n "whose act or omission in connection with that m aner may be imputed to the organization" without the consent of the attorney for the organization, and who might such an attorney be? SEARCHABLE fULL TEXT AVAILABLE ONUNE AT www.gannlaw.com 113 APPENDJXJ Finally, the relationship of the RPC to the Sixth-Amendment right to counsel remains to be considered. Historically, the Sixth Amendment guarantees to the accused the right to have counsel· present at every critical stage of the proceedings. To whom does the Sixth Amendment right belong? What are the "critical stages" in a criminal investigation? How should the Sixth Amendment infonn our interpretation of the RPC? The purpose of your assignment is to help the Cou~ detennine whether and to what extent it might change the current formulation oft he RPC to clarify its scope and breadth in the.c;e various contexts. The Court does not want your findings and recommendations to be. circumscribed in· any way by present definitions of what c onstitutes unethical or impennjssible practice. The Court wants to know what your opinion is, as reflected in.whatever recommendation~ you make, concerning what the public interest requires. Specifically, the Court expects that the Committee's report will explain the relationship between the purposes of the Rule and its applications in specific contexts, such as those of the employee who may be a "fact witness," a "valve-turner," or an "eavesdropper" who ·.overhears statements by another agent or employee at the . organization, Obviously the organization is equally damaged if a non-employee sees or hears inculp atory evidence. What policy of the RPC requires permissio.~ to interview in the case of an employee but not in the case of an outsider? The Court understands the Rule to embody principles of fairness in the advers~;~ry relationship designed to prevent situations in which a represented party may be taken advantage ·of by adverse counsel through exploiting the client alone or the making of 'improvident sen lements, ill-advised disclosures, or unwarranted concessions. Concemiq_g the procedures that you. will use, the Court leaves fhat up to you entirely. Jt assumes that you would appoint representative members of each of your committees and form a select committee for the purpose of responding to this inquiry. You may wish to add ad hoc me~bers. The parties and amici in the matters that have been before us should be allowed to present briefs or argument, in your discretion. You may wish to gather the views of federal prosecutorial officials and investigative officials who frequently confront such issues. Whether a public hearing is appropriate is something for you to decide. The public interest · is the matter at issue, and the Court wishes to make sure th'at all information relevant to that issue is presented to it. I am sending you, under separate cover, all the parties in this matter, plus a transcript of the oral argument before the Court, You may wish to review the papers in the CIBA-GETGY matter. If it is at all possible, the Court would prefer that your report would be submitted by June 30, 1994. If you have any questions about this assignment, please let me know. Very truly yours, lsi Stephen' Townsend APPENDIX 2 SUGGESTIONS FOR C HANGE SEARCHABLE FULL TEXT AVAILABLE ONLINE AT www.gannlaw.com / 114 R E PORTS OF THE SPECIAL COMMITTEE ON RPC 4.1 a. Written Present<~ t ions to Committee A number of interested parties prepared written materials which wen: sent to the C mrunittee. A summary of their recommendations are set forth herein. l. Association of Criminal Defense Lawyers a . Initial Submission The Association's position is that RPC 4.2 should be construed to prohibit ex parte communications with all current or form er corporate employees: (a) who have managerial responsibility on behalf o f the organization, (b) whose acts or omissions may be imputed to the organization for purposes of criminal. or civil lia bility, or (c) whose statements constitute admissions. The Association adv.anced the position that s ince corporations are faced with the same liability as individuals, i.e. acts or state ments of the corporate employee can be used to hold a corporation liable in the same manner that the acts or state ments of a person can be used against that person, corporat ions should be entitled to the same protections as i_n di vidua rs and the protections o f RPC 4.2 should apply. Under this interpretation an attorney could speak to those persons or employees who simply witness an event but not to those whose participation is the basis o f liability. In terms of when RPC 4 .2 protection arise, the A~DL argued that the timing should not necessarily tum on the fil ing of a lawsuit or ihe issuance of an in dictment. Jn the latter context RPC 4.2 should be interpreted to apply to a preindictment investigation. b: Subsequent Position (Note I J The Association argued that RPC 4.2 supplemented the Sixth Amendment right to counsel and provides greater protection to a client's effective representation by insuring that counse·l for adverse parties communicate with his o r her own counsel and not with him or her directly. The Association's position was that the. "represented party," in the corj:lorate setting, should be construed broadly. i.e. those individuals through whom the corporatio n could be held criminally or civilly liable. Expanding upon at what point RPC 4 .2 should apply the ACDL afgucd that a bright line cut-off of the filing o f an indictment or· a civil complamt was noi logical. Rather, the ACDL, citing Judge G lasser's reasoning in U nited States v. Hammad, 678 ·f.Supp. 397 (E.D.N.Y. 1987), limited its suppon to circumstances where the c lient knows the case or investigation exists and has specifically retained counsel for that case or investigation. and the government has been put on notice that the client has retainc:c! counsel for that case or investigation. ·S ilber Letter, supra, at 4. The ACDL also urged the Conunittee to formulate a neutral p rocedure to reso lve conflict-of interest problems, such as where an individual w ho can b ind a SEARCHABLE fULL TEXT AVAILABLe ONLINE AT www.gannlaw.com 115 APPENDIX J corporation may be represented by counsel for the corporation whose primary obligation is to the corp9ration a~d not to the individual client. Finally, the ACDL, responding to a suggestion made by First Assistant U.S. Attorney Fishman that newly proposed federal rules would govern the conduct of Department of Justice lawyers, argued that federal prosecutors should not be exempted from New Jersey ethical rules. 2. George Grochala , Esq. [Note 2) Mr. Grochala urged the Committee to reject the "bright line" test set forth in PSE&G, supra, and adopt a more lenient view toward conducting ex parte interviews of past employees. The reason urged for adopting such a position was to assure that the adverse litigant would be able to conduct cost effective discovery without incurring excessive costs which could bankrupt the client. 3. Commercial Union Insurance Company [Note 3] Commercial Union is a party to numerous insurance coverage actions in which policyholde.rs seek a declaration that insurers are obligated to defend and/or indemnify them against claims. To de fend or prosecute properly they are required to determine facts concerning past industrial practices. Gathering these facts requires unfettered access to individuals, such as fanner employees of the policyholder. At times, corporate policyholders evoke RPC 4.2 as an ethical pretext for barring or restricting ex .parte interviews with former e mployees. Commer~icd Union recommended that: (1) RPC 4.2 not prohibit ex parte interviews of former employees; (2) RPC only be read to require that attorneys or their agents: (a) make no misrepresentations during ex parte interviews, and (b) if, during the course of an interview, an attorney or age~t becomes aware that there is a misunderstanding, the attorney or agent must make efforts to correct the ·misunderstanding. b. Oral Presentations in Committee I. New Jersey County Prosecutor's Association -- Prosecutor Esq., Ocean County Prosecutor Dani~l J. Carlu~cio, Prosecutpr Car:luccio told the Committee that prosecutors have dual identities: they are lawyers bound by ethical rules and are representatives of the State charged with pursuing criminal investigations. He urged adoption of a "bright-line" rule . which would provide similar protections to . a corporation that ·an individual receives. Thls would ass ure equ-.Iity of treatment and would not frustrate a prosecutor's ability to conduct an inves tigation. Pre-indictment a prosecutor would be allowed to interview any employee, without regard to level, at any time without notice to corporate counsel. If a person w.as represented by counsel the prosecutor would be required to let counsel know. Post-indictment a ·prosecutor would be free to talk to a corporate employee, without notifying corporate counsel, unless the individual interviewed is a present or former direc tor, officer or high managerial agent who can bind the corporation. Of course, prosecutors would still be subject to rules governing interviewing low level employees represented by counsel. SEARCHABLE FULL TEXT AVAILABLE ONUNE AT www.gartnlaw.com 116 REPORTS OF TIJE SPECIAL COMMlTIEE ON RPC 4.2 Prosecutor Carluccio also urged that if ethica l rules arc transgressed by prosecutors that the remedy not be supp ression of evidence against the corporation . Rather, the consequences should be on the prosecutor. 2. Paul Fishman, Esq., First Assistant U.S. Attorney [Note 4] First Assistant U.S. Attorney Fishman informed the Committee tha t the Department of Justice attorneys were still operating under the dictates of the "Thomb4rgh Memorandum". [Note 5] The "Thornburgh Memorandum" declares that Department o f Justice attorneys engaged in law enforcement activity are exempt from the strictures of DR?-104 and State's ethical rules. Subsequent to the "Thornburgh Memorandum" the Department of Justice proposed regulations preempting the application of state and local law and rules to the extent they relate to contacts by attorneys for the govenunent with represented parties or represented persons in criminal and civil investigations and litigation. 3. Association of Criminal Defense Lawyers- Alan Silber, Esq. The position expressed by the ACDL at the public hearing is summarized in the Association's.written submissions to the Committee. See pages 6-8, supra. 4. David S. Machlowitz, Esq., Assistant General Counsel, Siemens Corporation; Vice President, New Jersey Corporate Counsel Associ;.tion In- house lawyers take the position that they represent the corporation's employees. Mr Machlowitz suggested that in the criminal context the scales arc already tipped against corporations as they are already required, in many instances, to. make many compelled disclosures to government u nder righl-toknow statutes. Thus, in as m uch as corpora te counsel represents all employees who are part of the cOJporation, fonner and present, corporate counsel is entitled to notice prior to communication with any employee. When there is a confl ict between the employee's interests and the corporation's, corporate counsel advises rhe employee that be f!T she may need independent counsel. 5. Richard K. Jeydel, Esq., Senior Vice President and General Counsel, Kanematsu U.S.A. Inc. Mr. Jeydel teslified that the great bulk of cases in the civil area are corporation against corporation. If the ethical rules are changed to permit ex parte interviews discovery practice will be fundamentally changed. Instead of reducing discovery, as has been the case in recent years, discovery will expand. Mr. Jeydel argued that corporations should get notice when employees are being intenriewed, not only to restrict access, but to as~ ure the corporation, as well as, the employee is represented. Regarding the guidelines set forth in 668,. Mr. Jeydel said that using either prong of the test set forth by the Court would present problems. The control group test was not useful as determining who constituted the control group would be SEA RCHABLE fULL TEXT AVAILABLE ONLINE AT www.gannlaw.com 117 APPENDIXJ difficult. The acts or omissions prong had si~ilar problems as the lawyer seeking the interview would initially need to detennine where to make the inquiry. In terms o f when the RPC should apply Mr. Jeydel argued there should be no distinction between whether litigation had been filed or not, as the party seeking the contact controls when to file litigation, or bring criminal charges. Mr. Jeydel reconunended that n otice to corporate counsel be required whenever ex p arte communications is being sought for any employee, present or fanner. Absent notice no contact should be allowed unless the employee is the person initiating the contact. Notice would allow corporate counsel to determine whether there is a potential conflict between the corporation's incerest and the employee. 6. Deputy Attorney General Mark Cronin, Attorney General's Office Mr. Cronin expressed-the opinion that until the mid 1980's; RPC 4.2 was clear, concise, and easy to understand. In the mid 1980's, the disciplinary t:Ules were converted to the Modd Rules for Professional Conduct and the language was not changed in any significant respect. Howeve·r, without any discussion or documentation, a comment to the rule was written stating that the rule meant that an attorney could n ot speak to any· employee whose acts or statements were attributable to the company for p urposes of determining that ·company's liability. This was a 180 degree change in the meaning of the ru Ie. An intervening factor occurred in the late 1960's-early 1970's ·when the evidence rules were changed in virtually every jurisdiction so that hearsay statements. rqade by any employee, not just by certain employees who spoke for a company, could be used against that company. Shortly therea fte r, the Model Rule began to be interpreted differently. The new interpretation stated, in effect, that since the courts and legislatures have declared that hearsay statements of che employee may be admitted against the employer, it would now be unethical for attorneys to obtain those statements. ~r. Cronin criticized this result bec~use it impliedly repealed the evidence rule and rejects the public policy of New Jersey as codified by the Legislature and Supreme Court. It also codifies the policy which the Sup ...eme Court and Legislature have consistently rejected whenever they have studied this issue. Most who interpret the rule so that it would inhibit the discovery of information o n an ex parte or informal basis fly in the face of a line ofcases and legislative pronouncements dating back to the 1960's . .Mr. Cronin also testified that RPC 1.13 defines the role of. corporate· counsel, and that it specifically provides that an attorney who represents an organization does not represent the Board of Directors, the officers, the employees, or agents. In the criminal context, it is an unwaivable conflict to represent a ~efendant and a witness. Where a corporation is a target of a criminal investigation, every employee is a potential witness. Corporate counsel does not, by virtue of RPC 1.13, represent those employees. In addition, because it is a· conflict, an attorney cannot r epresent those employees without risking his or her license. If one accepts that the attpmey-client relationship does not eltist with the employee, RPC 4.2 does not apply to the interview of that witness. T he pro per rule is RPC 4.3, which has built-in protections that protect the person a lawyer is speaking to. Sf>ARCHABLE fULL TEXT AVAILABLE 01':1LINE AT www.gannlaw.com 118 REPORTS OF THE SPECIAL COMMITTEE ON RPC 4.2 Mr. Cronin also pointed out that RPC 4.2 does not protect any person who may bl! effected by the disclosure of certain information. He also pointed out that RPC 3.4(() states that the employer, or attorney representing the employer, can request that an employee voluntarily refrain from discussing the matter with opposing counsel. Mr. Cronin recommended that the rule be taken at its face value. "Party" should mean "the person to whom an attorney is talking;" "represented" should mean "that the person has a lawyer;" and "matter" should mean "has an acti~n pending". 'When a corporation is involved, an attorney would not be .able to speak to those members of the corporation who actually have responsibility for directing the . litigation. 7. Bennett Zurofsky, Esq. , Employee Lawyers Association ·t I Mr. Zurofsky testified that corporations are separate entities from their employees and that this separation is reflected in the ethical rules. ~PC 1.13 states that a lawyer employed by a!l organization represents the organization, as distinct from its directors, officers, employees, members, shareholders, or other consti{tlents. The rule also lists circumstances where the attorney has a duty to breach the confidence of those. people where it is in the best interests of the corporation to do so, even if that person is the person who directs the litigation . Mr. Zurofsky testified that when interpreting RPC 4.2, one should also refer to RPC 1.13, and that the definitions ofboth should be exactly the same. He endorsed the Supreme Court's definition of the control group, which is "tllose employees of the organization entrusted with the management of the case or matier in question". Mr. Zurofsky fu'rtiler defined matter in question as "the legal matt~r·". as opposed to management of the underlying matter, such as the valve opening, etc., which gives rise to the dispute. He also believed that the rule did not apply to former employees of the corporation. Mr. Zurofsky's basic thrust was that a corporation should not receive more protection than an individual with an acknowledged right to counsel. 'i' 8. Rich Crooke~, Esq. Mr. Crooker advocated a "bright line rule" where there would be no application of RPC 4.2 ,to former employees of a corporation. He felt that !)doptiori of a narrower rule would th\vart truth finding. In addition, cost and efficiency concerns ~ould be better served by a bright line rule, whiCh would lead to less fonnality in gathering information, and also to less filtering of the truth. A broad notice requirement would lead to more depositions, which would greatly increase the cost of information gathering related to litigation. The alternative to his suggestion would provide an incentive for over· reaching by corporate counseL Note 1: Subsequent to the public hearing Alan Silber, Esq., in a letter to the Cpmmittee dated June I 6, 1994, set forth further elaboration of the ACDL's position response to some arguments made at the public hearing. in Note 2: The position of Mr. Grochala was set forth in a letter to the Committee dated May 2, 1994. SEAJt!,:HABLE FULL TEXT AVAILABLE ONLINE AT www.gaMlaw.com .J 119 1 APPENDIXJ Note 3: The position of Commercial Union Insurance Company was set forth in a letter to the Comm ittee by James A. Young, Esq. dated May 20, 1994. Note 4: Due to a malfunctioning of recording equipment lhe testimony o f Mr. Fishman and Mr. Silber was lost. A summary of Mr. Fishman's testimony was prepared using hand-written notes taken at the hearing. Since Mr. Silber's testimony was largely contained in written materials presented to the Committee, no additional summary was prepared. Note 5: Memorandwn to All Justice .Department Litigators From Dick Thornburgh, Attorney General, Ju':le 8, I 989 ("Thornburgh Memorandum"). NOTIC ES TO THE BAR Rule Barring Cqntact With Litigation Control Group Represented by Counsel Communications with Persons Represented by Counsel of After the publication of the initial rcpqrt· the Special Committee o n RI'C 4 .2. the Supreme Court re ceived comments that led to the reconstitution of -the Committee.. On May 6, 1996, the Special Committee fi ied a supplemental report with the Court, recommending addi.tional changes io RPC 4.2 and RPC I . l 3. The Court has adopted the amendment to RPC 4.3 that was recommended by the Special Cor:nmittee in the initial report. The supplemental report of the Special Committee is being published with this Notice and the Court's Order adopting the amendments to the Rules of Professional Conduct. Please note that the amendments take effect S eptember I, 1996. Stephen W. Townsend, Esquire C lerk of the Supreme Court July 15, 1996 SUPREME COURT OF NEW JERSEY IT IS ORDERED that the fo llowing amendmcf1IS to the Rules of Professional Conduct are hereby adopted, to be effective September 1, 1996: 1.13 . 4.2 4.3 For the Court: Acting Chief Justice Dated: June 28, 1996 RPC 1.13 Organization as the C lient (a) A lawyer employed or retained to represent an organization represents the organization as distinct from its directors, officers, employees, members, S EARCHABLE FULL TEXT AVAILABLE ONLfNE AT www.gannlaw.com , 120 REPORTS OF THE SPECIAL COMMITTEE ON RPC 4.2 shareholders or other constituents. For the purposes of RPC 4.2 and 4.3, however, th.e organization's lawyer shall be deemed to represent not only the organizational emiry but also the members of its litigation control group. Members of the litigation control group shall be deemed to include current agents and employees responsible for, or significantly involved in, the detennination of the organization's legal position in the matter whether or not in litigation, provided, however, that "significant involvement" requires involvement greater, and other than, the supplying of factual information or data respecting the maner. Former agents and employees who were members of the litigation control group shall presumptively be deemed to be represented in the matter by the organization's lawyer but may at any time disavow said representation. (b) .. . No Change (c) ... No Change (d) ... No C hange (e) .. . No Change · (f) For purposes of this rule, orgamzation includes any corporation, partnership, association, joint stock company, union,, trust, pension fund, unincorpor..1ted association, proprietorship or other business entity, state or local government or political subdivision thereof, or non-profit organization. Note: Adopted September l 0, 1984, tQ be effective immediately; amended June 28, 1996, to be effective September I, 1996. RPC 4 .2 Communication with Person Represented by Counsel . . In representing a client, a lawyer shall not communicat€·about the subject of the _representation with a (partyJ person the lawyer knows, or by the exercise of reasonable diligence should know, to be represented by another lawyer in the matter, incl~ding members of an organization's litigation control group as defined by RPC 1.13, unless the lawyer has the consent of the other lawyer, or is authorized by law to do so[.], or unless the sole propose of the communication is to ascertain whether the person is in fact represented. Reasonable diligence shall include, but not be limited to, a specific inquiry of the person as to whether that person is represented by counsel. Nothing in this rule shall, however, precludt;; a lawyer from counseling or representing a member or forrner member of an· organization's litigation control group who seeks independent legal advice. Note: Adopted September I 0, 1984, to be effective immediately; amended June 28, 1996, to be effective September 1, 1996. RPC 4.3 Dealing with Unrepresented Person; Employee of Organization In dealing on behalfof a client with a person who is not represented by counsel, a lawyer shaiJ not state or imply that the lawyer is disinterested. When the lawyer knows or reasonably should know that the unrepresented person misunderstands the lawyer's role in the matter, the lawyer shall make reasonable efforts to' correct the misunderstanding. If ·the person is a ·director, officer, employee, member, shareholder or other constituent of an organization concerned with the subj ect of the lawyer's representation but not a person defined by RPC 1.13(a), the lawyer shall also ascertain by reasonable diligence whether the person is actually represented by the organization's attorney pursuant to RPC 1.13(e) or who has a right to such representation, the lawyer shall make known to the person that SEARCHABLE FULL TEXT AVAILABLE ONLINE AT www.gannlaw.com _______ 121 - ..._.. --... APPENDIXJ insofar as the lawyer understands, the person is not being represented by the organization's attorney. Note: Adopted September l 0, 1984, to be effective immediately; amended June 28, 1996, to be effective September I, 1996. SUPPLEMENTAL REPORT SPECIAL SUPREME COURT COMMITTEE ON R..P.C. 4.2 May 6, 1996 Background On February 27, 1995 the Special Committee submitted its Report to the Supreme Court for consideration. The Supreme Court published che Report for comments. Sec Report of the Special Supreme Court Committee on R.P.C. ·4 .2, 139 N.J.L.J. 1161, 1193 (March 20, 1995). The Court received a .number of comments to the Committee's Report. These comments were·referred b~ck co the Committee. The Committee.c(lnsidered all comments received by the Court and is recommending further.changes to R.P.C. 1.13 and 4.2, set forth hereafter, as a supplement to the Committee's original Report. No further amendment is being propo~ed to R.~.C. 4.3 R.P.C. 1.13 Organization as the Client (a) A lawyer employed or retained to represenr an organization represe nts the organization as distinct from its directors, employees, members, shareholders-or other constituents. For the purposes of RPC 4.2 and 4.3, howeve r,. the organization's lawy~r shall be deemed to represent not only the organizational entity but also the members of its litigation control group. Members of the litigation control group shall be deemed to include current agents and employees responsible for, or significantly involved in, the detennination of the organization's legal position in the matter whether or noc in litigation, provided, · however, that "significant involvement" requires involvement greater, and other than, the supplying of factual information or. data respecting the matter. Former agents and -employees who were members of the litigation control group shall presumptively be deemed to be represenied in the maner by the organization's lawyer but may at any time disavow said representation. (b) ... No Change (c) ... No Change (d) ... No Change (e) ... No Change (f) For purposes orthis rule organization includes ·any corporation, partnership, association, joint stock company, union, trust, pension fun<L unincorporated association, proprietorship or other business entity, state or local government or political subdivision thereof, or non-profit organization. RPC 4.2 Communication with Person Represented by Counsel. In representing a client, a lawyer shall not communicate about the subject of the representation with a [party] person the lawyer knows, or by the exerc ise o f reasonable diligence should know, to be represented by another lawyer in the matter, including members of an organization's litigation control group as defined by RPC 1. 13, unless the lawyer has the consent of the other lawyer, or is authorized by law to do so{.J, or unless the sole purpose of the communication is SEARCHABLE FULL T EXT AVAILABLE ONLINE AT www.gaMiaw.com 122 REPORTS OF THE SPI<:CIAL COMMITTEE ON RPC 4.2 to ascertain whether the person is in fact represented. Reasonable diligence shall include, but not b e limited to, a specific inquiry of the person as to whether that person is represented by counsel. Nothing in this rule shall, however, preclude a lawyer from counselin g or representing a member or former member of an organization's litigation control group who seeks independent legal advic~ . COMMENT: In its initial recommendation, the Committee proposed that fonne r employees who were members of the organization's litigation control group should be regarded as represented by the organization's attorney for purposes o f R.P.C. 4.2 and 4.3. The Commitwe has received a g reat many objections to the inclusion of fo nner employees. The Committee continues to be of the view that, at least p resumptively, inclusion of fanner employees is appropriate. While the Committee appreciates the divergent view of the objecto rs, it nevertheless points out that its, definition of those who arc represented by the organization's attorney is considerably narrower than either the American Bar Association or the proposed New Jersey Bar Association rule. Therefo re, the Committee starts off insulating a much smaller group than the other proposals. Consequently, including former employees in the litigation contro l group still leaves an appreciably smaller number of people who are insulated because they are deemed to be the c lients of the entity's attorney. T he Committee is, however, concemei:l that categorizing·Jonner members of the control group congruently with current members of the control group may raise unintended and inappropriate difficulties. First, the Committee is-convinced · that a member o f a control g roup, whether current or former, obviously h~s the rig ht to seek his or her own representation in the matter and must be free to do so, and attorneys must be free to represent them. The potential for a conflict of interest between the entity and an individual member of the control g roup is too significant not to take into account. This has been spe cifically provided for by the pro(>Qse d last sentence of R.P.C. 4.2. Moreover, while the Committee recognizes that ordinarily former members of the control group are friendly to the continuing interests of the organizati ~n as the organization defines it, that is not always the case. Some former members may s~e the mselves as whistle-blowers or as otherwise in a position of conflict with the org anization. There may very well be fiduciary privileges and obligations as between and among former and' current members of the control group and the organization militating, among themselves against disclosing confidences. The Committee has conc luded, however, that those obligations must remain matters as among the control group members and the organi-Zation and should not necessarily, unless substantive law otherwise requires, prevent the attorney for a n advcrsarial party frorn counseling or interviewing a former: employee or imping \= on the right of the former employee who wishes not only to seek indepenaent adv ice, but also to make himself available in whichever way he may choose to interests hostile to the corporation. For these reasons, the Committee now ·proposes that the fo rmer members of the litigation control group be deemed presumptively represented by the organization; SEARCHABLE FUL L TEXT AVAILABLE ONLTNE AT www.gannJaw.com 123 APPENDIX J but that they have the right to disavow that representatio n. Accordingly, and atto rney making the communications pursuant to R. P.C. 4.3 to determine representation may inquire as to whether the former employee disavows organizational rep resentatio n or not. O rdinarily a criminal matter does not arise until a comp laint or indictment has been filed or warrant has been issued, cf. State v. Ciba-Geigy Corporation, 24 7 N.J. 'Super. 314, 325-326 (A pp. D iv. I 991 ), and, as noted above, our defi nition of litigation control group is narrow and does not include people who merely have factual in formation or data respecting the matter... The subject matter o f a potential criminal cause may, however, be comprehended within a pending civil matter, resulting in the possibility that the subject of the representation will be the same in both. Government lawyers should be a ware of this possibility. In inquiring as to the fact of representa tion, as required _by R.P.C. 4 .2 , an attorney might wish to consult the script sugges ted by In re Prudential Insurance Com pany o ( America Sa les Practices Litigation, 911 F.S upp. 148, 152 footnote 5 (D.N.J. 1995) and In re Environmental Ins urance Declaratory Judgment Actions, 252 N.J . Super. 510, 523· 524 (Law Div. 199 1). • Except for the ·changes noted above, the Committee adheres to its origina l report for ., the reasons therein set forth . Com mittee Membership Sylvia B. Press ler, J.A. D. Edwin H. Stem, J.A.D . David H . Ben-Asher, E sq. George C. Jones, Esq. Donald A. Klein, Esq. Jack M. Sabatino, Esq. Barbara Ann Sellinger, Esq. Debra L. Stone, Esq. ~haron B. Ransavage, Esq . M. Karen Thompson, Esq . Alan Zeg as, Esq. Staff: Josep h J. Barraco, Esq. SEARCHABL E FULL T EXT AVAILABLE ONLINE AT www.gannlaw.com I 124 . . SUPPLEMENTAL REPORT SPECIAL SUPRE:ME COURT COl\1MITTEE •,, ON R.P.C. 4.2 Afay 6, 1996. 125 Background On February 27, 1995 the Special ~ommittee submitted its Report to the Supreme Court for consideration. The Supreme Court published the Report for comments. See Report of the Special S upreme Court Commillee on R.P.C. 4.2, 13~ N.J.L.J . 1161, 1193 (March 20, 1~95). The Court received a munber of comments to the Committee 's Report. These comments w ere referred back to the Committee. The-Committee considered all comments received by the Court and is recommending further changes to R.P .C . I. !3 and 4.2, set forth hereafter, as a supplement to the Committee' s original Report. No further amendment' is being proposed to R.P.C. 4.3. . .. 1 126 RPC I. U (a} Organi7.ation as the Client A lawyer employed or retained to represent an organization represents the organization as distinct from its directors. officers, employees, members, shareholders or other constituents. EQ.uhe purposes of RPC 4.2 and 4 .3, however. the organization's Iawver shall be deemed to represent not only the organizational entity but al so the members of its liti gation control grOt! P- Members of the litigation control grou p shall be dee med to include current a gents and em ployees responsible for. or significantl y involved in. the determination of the organiz.ation's legal pos.jtion in the matter whether or not in liti gation. provided. however. that "~ i gnificant involvement" requires invol vement greater. and .other than. the supplying Qf factual infonnation or data ·respecting the matt~r. Former agents and employees who were ...... '\ members of the litigation control group shall presum ptively be deemed to be represented in the matter by the organizatiQn's lawyer but may at any time disavow said representation. (b) ... No Change (ill ... No Change (d) ... No Change ~ !1) ... No Change For purpost:::; of this rule "org~:~,nizalion" indudes ~my corpor<tlion. partnership. association. joint stock company. union. trust. pension fund. unincorporated · associatiOI.h proprietorship or other business entity. state or local govemment or political subdivision thereof. or non-profit organization. 2 127 • I RPC 4.2 Communication with Person R epre sent~d hy Counsel In representing a client. a lawyer shall not communicate about the subject of the representation with a [party] person the lawyer knows.J>r by the I' I e~G,ise of rea_sp~ dili gence should knoJY..,. to be represented by ano ther lawyer in the matter,_ including members of an org ani zatio n's fuigation control grou p a s defiued bv RPC 1.13. unless the lawyer has the c o nsent of the othe-r lawyer.. or is authorized by law to do so[.]. or unless the sole· purpose of the c o mmunication is to as_pertain whether the person is in fact repr<:< sented. Ik..asonable d ili gence shaH inc lude. but not be limited to. a s pecific inqui ry of the person as to whether that person is represented by counsel. Nothing in this rule sh_all. however. preclude a lawye_r fro m counseljng or representing a member or former member of an Qrganization's litigation control group who seeks ind~pendent legal advice . 3 .. 128 coMMENT: In its initial recommendation, the Committee proposed that former employees who were members of the organization's litigation control group should be regarded as represented by the organization's attorney for purposes of R .P.C. 4.2 and 4 .3. The Committee has received a gn::at many objections to the:: inclu~ion of forme::r e::mpluyees. The Committee continues to be of the view that, at least presumptively, inclusion of former employees is appropriate. While the Committee appreciates the divergent view of the objectors, it nevertheless points out that its definition of those . who arc represented by the organization's attorney is considerably narrower than either the American Bar Association or the proposed New Jersey Bar Association rule. Therefore, the Committee starts off insulating a much smaller group than the .o ther proposals. Consequently,'· including former employees in the litigation control group still leaves an appreciably smalJer number of people who ar~ insulated because they are deemed to be'the clients of the entity's attorney. · The Committee is, however, concerned thafcategori?.ing former rnemhers of the control • group congmenrly with current members of the control group may raise unintended and inappropriate difficu'ltie~. First, the Committee is convinced that a member of a control group, whether current or former. obviously has· the right to seek his or her own representation in·.the matter and must be free to do so, and attomeys must be free to represent them. The potential for a conflict of interest between the entity and an individual member of the control group is too significant not to take into account. This has been specifically provided for by the proposed last sentence of R.P.C. 4.2. 4 129 Moreover, while the Committee recognizes that ordinarily former memhers of the contro l group are friendly to the continuing interests of the organization as the organization defines it, that is not always the case. Some fonner members may sec themselves as whistle-blowers or as otherwise in a position of conflict with the organization. There m~y very well be fiduciary privileges and obligations as between and among former and current members o f the control group and the organization militating, among the mselves against disclosing confidences. The Committee has concluded, ho¥:'ever, that those obligations must remain matters as among the control group members and the organization and should not necessarily~ unless substantive law otherwise requires, prevent the attorney for an :1dvcrsarial party from counseiing or interviewing a former employee or impinge on the right of the fonner employee who wishes not only to seek independent advice, but also to make himself available m whichever way he may choose to interests hostile to the corporation. For these reasons, the Committee now proposes that the former members of the litigatior control' group be deemed presu mptively represented by the organization. but that they have the rig ht to disavow that representation. Accordingly, an attorney making the communicatiom pursuant to R.P.C. 4 .3 to determine representation may ·tnqutre as to whether the forme~ employee disavows organizational representation or not. Ordinarily a c riminal matter does not arise until a complaint or indictment has· been filec' or warrant has issued, cf. State v. Cjba-Geigy Corporation, 247 N.J. Super. 314, 325-326 (App Div. 1991 ), and, as noted above, our definition o f " litigation control group" is narrow and doc~ not include people who merely have "fach1al information or data respecting the matter. .. " Thf 5 130 suhject matter of a potential criminal cause may, however, he comprehended within a pending civil matter, resulting in the possibility that the subject of the representation will be the same in .both. Government lawyers should be aware of this possibility. In inqu iring as to the fact of representation, as required by R.P.C : 4.2. an attorney might wish to c~nsult the .,script" suggested by l!.Lre PJudcntial Insurance Com pany of America.Sales Practices Litigation, 911 [. Supp. 148, 152 footnote 5 (D.N.J. 1995) and In re Environmental Insurance Decla ratory Jud gment Actions, 252 N.J. Super. 510, 523-524 (Law Di v. 1991). Exce pt for the changes noted above, the Committee adher~s to its original report for the reasons therein set forth . Col111Tlittee Me-mbe1·ship Sylvia B. Pressler, J.A .D ., Edwin H. Stem, J.A.D. David H . Ben-Asher; Esq. George C. Jones, Esq. Donald A. Klein, Esq. Jack M. Sabatino, Esq. Barbara Arm Sellinger, Esq. Debra L. Stone, Esq. Sharon B. Ransavage, Esq. M. Kar~n Thompson, Esq. Alan Zegas, Esq. Staff: .Joseph J. B a rraco, Esq. 6 131 Page 3 1ST STORY of Le v e l 1 print ed in FULL f ormat . Copyright 1996 Ame r ican Lawyer Newspape rs Group, Inc. New Jersey Law Journal 1 t.--f ~- 1J _ 5 L . J" . $> G ( 7/;~Yj; /} · 1996 SECTION: NOTICES TO THE BAR; Pg. 86 LENGTH : 2 1 2 1 words ~~ADLINE : Rule Barring Contact Wi tll Litigation Cont r ol Group Re present e d by Couns.el BODY: Communi c a t ions with Perso n s Represe n t ed by Co un s el· . ( After the publication o f t he initial report o f t h e Special Committee on RPC 4.2 , the Supreme Court recei ved comme n t s t hat led t o the r e constitution o f the Committee. On May 6, 1996, t he Special Committe e filed a s upplement a l r e port with the Court, r e commending additio n al change s to RPC 4 .2 and RPC 1 . 13 . The Court has adopted those a me n d ments as recommend ed the Special Co mmittee . In addition, the Co u r t has a d o p ted the amendment to RPC 4.3 t hat was r e c omme nded b y t he Special Committee in it~ ini tial report. by The supplement~·! report of the Special Commi t t e e is b e i n g publishe d .with thi s Notice and the Court's Order adopting the a me n d me n t s to the Rules of Professional Conduct. Plea s e note t h a t the a mendments t ake e ffect S e p t effiber 1, 1996 . St e phen W. Towns end, E squi're Cl e rk of t he Supreme Court July 15, 1996 SUPREME COURT OF NEW J ERSEY I IT I S ORDERED that t h e following amendment s to the Rules of Prof e s sional Conduc t a r e h ereby adopted, · to be effective September 1, 1996: 1.13 4.2 4.3 For the Court: Acting Chief Justice Da t e d : June 28, 1 9 96 RPC 1.13 Organization as the Client (a) A l awyer employed or retained to r epresent an organization represents th a s distinct .from its directors, officers, employees, members; ~rganization 132 Page4 New Jersey Law Journal. July 15, 1996 shareholders or other consti t uents . For the purposes o f RPC 4.2 and 4 .3 , however, t he organ i zati on 's l a wyer shall b e deemed to represent not o n l y the organizat i onal e n tity but also the members o f its litigat ion control g r o up . Members o f the litigat ion control group shall be deemed to include c u rre n t agents and employees responsible for, o r significantly involved in, the determinat i on of the organization' s legal position in the ma tter whether or n o t in litigat i on, provided, howev er, t h a t > significant involveme nt" requires involvement greater, and other than, the supplying of factual info rmation or data respect ing the ma tter. Former a gents an d emplo yees who we r e members o f the litigation c on trol group s hall presu mptively b e d e emed to b e r e presented in . the matter by t he organizat ion ' s lawyer b u t may at any time disavow .sa i d r epresentatio n . (b) No Change (c ) No Change {d ) . No Cha nge (e) No Change {f ) For purpos es o f this rule > organizatio~ includes any corporat i on, p a rtne rship, association , joint stock company, union , t rust·, pension f und, uninco rporated a s s o ciation , proprietorship o r other business . entit y , s t at e or l ocal government o r p o litical s ubdiv isio n thereof , or n on-profit organizat ion . No te: Adopted September 10 , 1984 , to be effective immediately ; amended J une 28, 1 996, t o be effe ctive September 1, 1996 . RPC 4.2 Communication wi th Pe r son Repres ented by Counsel . In r e presenting a c lient, a lawyer shall not. communicat.e about the sub j ec t of the representation with a [party] person the lawyer knows, ·o r by the exerci se of ·reasonable d i ligence should know,· to be represented by anothe r lawyer. in _t he matter , including members of an organization' s litigation c o ntro l group as defined by RPC 1. 13 . unless the l awyer has the c o n s ent of the o ther lawyer ,· o r is authorized by law to do so[.}, or unless the s o le purpose of the communicati on is to ascertain whether the person is in fact repres ented. ·Reasonable diligence· shall include, but not be limited to, a spec i f i c inquiry of the person as to whether that person i s represented by counsel. Not~ing in thi s rule shall , however, preclude a lawyer from counseling or representing a member or former member of an organization's litigation control group who seeks independent legal adv ice . Note : Adop t ed September 10, 1984, to b e effectiv e immediately; amended June 28, 1996, to be effective September l , 1 9 96 . RPC 4.3 Dealing with Unrepresented Person; Employe~ of Organization In dealing on behalf of a client with a person who is not represented by counsel , a lawyer shall not state or imply that the lawyer i s disinterested . When the lawyer knows or reasonably should know that the unrepre~ented person misunderstands the lawyer's role in the matter, t he lawyer shall make reasonabl e efforts to corre c t the· misunder standing. I f the person is a director, officer, employee, member, s hareholder or .other cons t ituent of an organization concer n ed with the .subject of the lawyer's representation but not a person defined b y ·RPC 1.13 (a}, the lawyer ·s hall . als o . ascertain by reasonable diligence. whether the person is actually represented by the organization's attorney pursuant. to RPC 1.13(e) or who has a right to such representation on request, and, if the person is not so repres ented or entitled to representation, the lawyer shall make known 133 Page 5 New Jersey Law Journal, July 15, 1996 to the person t hat insofar as the lawyer understands , the person i s n o t being represented by the org aniza tion ' s attorney . Note: Adopted September 10, 1984, to be effective immed iately; amended June 28, 1996, to be e ff ective September 1, 199 6 . SUPPLEMENTAL REPORT SPECIAL SUPREME COURT COMMITTEE ON R . P.C. 4.2 May 6, 1996 Ba ckground On February 27, 1995 the Special Committee submitted its Report to .the Supreme Court for consideration. The Supreme Court published the Report for comments. See Re port of the Special Supreme Court Committee o n R. P.C. 4.2, 139 N.J.L.J. 1161, 1193 (March 20, 1995). The Court received a number of comments to the Commi ttees_ Report. These c omments were referred back t o the Committee. The Commi ttee cons idered all comments received by the Court and is recommending · further changes to R.P.C. 1 .1 3 and 4 .2, set forth hereafter, a s a s uppleme nt to the Committees o r iginal Report. No f urther amendment is be~ng prop osed to R.P . C. 4.3 . RPC 1.13 Organization as the Client (a) A lawye r e mp loyed or r etained to represent an organization represents the organization as distinct from its direct·ors ~ office_r s •. employees, members, s hareholders or other constituents. For the purposes of RPC 4.2 and 4.3, however, the organization's lawyer shall be deemed t o represent not only the o rganizational entity but also the ~e mbers o f its litigation control group. Members of the litigation control group shall be deemed to include current agents and employees,~esponsible for, o r sig ni fi cantl y involved in, the determination of the organ ization's legal position in the matte r whether o r not in litigation, provided, however, that > significant .invql v ement " r equires involvement g reater, and o t her tha n, the suppl yi ng of factu a l information .or data re specting the matter. Fo rmer agents and employees who were members of the · litigation control group sha ll presumptively b e d eemed t o b e r ep res ented in the matter by the organization's lawyer but may at any time disa·vow said representation. (b) No Change (c) No Change (d) No Change (e) No Change (f) For purposes of this rule > organization includ es any corporation. partnership, association, joint stock company, union, trust, pension fund, unincorporated association, proprietorship -or other business entity, state o r · local government o r political subdivision thereof, or non - profit organizati~n. RPC 4.2 Communication with Person Represented · by Couns el In r epr es enting a cli~nt, a lawyer sha l:l not ;;ommunicate about the subject of the represe.ntation with a {partyJ person the lawyer k nows, or b y the exercise of reasonable diligence should know , to be rep resented by another lawyer in the matter, including members of an organization 's litigation control group as defined by RPC 1.13, unless the lawyer has t he c ons ent o f the other lawye r or is authorized by law to do so[ . ), or unless the sole purpose of the communic~t i on is to ascertain whether t he person is in fact represented ~ Reas onable dilige nce shall include, but not be limi ted to, a specific inquiry of the person as to whether that person is represented by counsel. Nothing in this rule shall, .. 134 Page 6 New Jersey Law Journal , July 15, 1996 howe ver, p r e c lude a l a wyer f r om couns eling or repre s e n t ing a membe r or f o rme r member of a n organi z a t i on 's l i t i g ation control group who seeks i n depe n de nt l e gal advice . COMMENT: I n i ts initial r e c ommendation , t he commi t t e e propo s e d that f ormer e mploye e s who were me mbers of the organizat i o n's ·li t i g a t ion contro l group should be r e g a r d ed a s r e p re sented b y the o r g a n i zation's attor ne y f o r purpos e s of R.P . C . 4.2 a nd 4. 3 . The Committee has r e c eived a g r e at ma ny o b j ecti o n s to the inclus ion o f f ormer employees. Th e Commi t t e e cont inues to be of the view t h a t, at l e a st p r e s umptively , inclus i o n o f f o rmer empl o yees i s appropria t e. Whi le t h e Co mmit t e e a pprec ia t es the d i v e rgent v i e w of t he obj ect ors , i t neve r t h e l ess p o i n t s out tha t its . de f i n i t ion o f t h o se who a r e represen ted by t h e organizat i on's a t t o rney i s conside r ably n a rrower than either t h e American Bar Asso c i ation o r the prop o s e d New J e r s e y Ba r As s ocia tion rule . Therefore, t h e Committe e starts o ff ins u l a t ing a much s mall e r g r oup than the othe r proposals. Consequently, including f orme r e mploy e e s in the l i t iga t ion c ontrol g r oup s t ill leaves an a ppreciably smalle r number of people who are i n s ul ated b e c a u s e they a re dee me d to b e t h e client s o f t-h e ent i ty's att o rney. The Committee i s , however, c o nce r n e d that c a t e gorizing former membe rs o f t h e c ontrol g roup congrue ntly with current me mbers o f the cont rol group may rai s e unintended and i n appropri a t e d ifficult i e s . . First, the' · ~ommitt ee i s c onvinc e d t h a t a member of a c o ntrol group, whe ther c urrent or f orme r , obviously has t he r i g ht to s e e k his o r her own r e p r es entat i on i~ t h e matter a nd must be free to d o s o , a nd a t t o rneys mus t be f r e e t o repre s e n t them. The p o t e ntial for a conflict o f inter e s t betwe en t h e ent i ty a nd an i nd ividual member of the cont r ol group is too s ignific ant not t o take int o account . This h a s been s p ecifically p rovided for by the p r opos ed last sente n c e of R . P.C . 4.2 . Mo r eover , while the Commit t e e r ecogni ze s that o r d inar i l y former membe rs o f the control group are friendly t o the cont inuing interest s o( the orga n ization as the organization de f ines it, that is n o t a lways the case. Some f orme r membe rs may s e e thems elves as whi s tle-blo we r s or a s otherwi se in a pos ition o f conflict wi th the organi z ation. There ma y very wel l be fid u c i a ry privileges a nd obli g a t ions a s between and among f ormer and c u rrent me mbers of the c ontr ol g r oup and the organization militating , a mong themse lves a g a i nst disclosing confidences . ·The Committ e e has c o n c luded, h o weve r , that thos e obligatio n s mus t remain matte r s as among t he contro l group members and the organization a n d should n o t nec e s s a rily, unless ·substantive l a w othe r wi se r e quires, prevent the attorne y for a n advers a r ial party f rom counse ling or inte-rvi e wing a f o r mer employe e or impinge on t h e right o f the forme r employe e who wi s hes not on ly t o seek independent a dvice, b ut also t o make himself available in whichev e r wa y h e may choose to inte rests hos tile t o the corporation. For thes e r easo n s , the Committee now propo s e s that the former membe r s o f t h e litigation c o ntrol g r oup b e deemed pre sump tively repres e nted by the o r g anization, but that they have the right t o disavow that r e presentation . Acco rdingly , an attorney making the communica t ions pursuant to R . P . C . 4 : 3 · t o determine representation may inquire a s t o' whether t h e forme r employee disavows organizatio n al represe ntation or not. 135 Page 7 New Jersey Law Journal, July 15, 1996 Ordinarily a criminal matter doe s not arise until a complaint o r indictment has bee n fi l ed or warrant has i s sued, cf. State v . Ciba - Geigy Corporation, 2 4 7 N.J. Super. 314, 325 -326 (App. Div. 1991), and, a s not ed above, our definition of > litigat ion c ontrol group is narrow and does not inc lude peoplP. who me rely have > factual informat i on or data r e specting the matt er . . The subject matter of a potential criminal c ause ma y , however, be comprehended within a pend ing civil matter, resulting in the possibility that the s ubject of the representation wi ll b e the same in both. Go vernment lawyers should be awa re of thi s possibility . In inquiring as to the f a c t of repre sentation, as required by R.P . C. 4 . 2, an a ttorney might wish to c onsult the > s c ript sugge sted by In re Prudential Insurance Company of Ame rica Sales Pra c tices Litigation, 911 F. Supp ,. 1 4 8 , 1 5 2 footn o te S {D.N.J. 1995) ·and In r e En vi ronme ntal Insurance Declaratory Judgme n t Actions, 2 5 2 N.J. S uper. 510, 523 ·· 524 (Law Di v. 1991) . Except for the c hange s not ed above, the Commi t tee adheres to its original report for the. reasons t h e rein set forth. Committee Membership . Sylvia B. Pressler, J.A.D . Edwin H. Stern, J.A.D. David H. Ben - Asher, Esq. George C. Jones, Esq. Donald A. Kle in, Esq. Jack M. Sabatino •. Es ~ . Barbara Ann Sellinger, Esq. Debra L. Stone, Esq. · Sharon B. Ransavage, Esq. M. , Karen Thompson, Esq. Alan Zegas, Esq. Staff: Joseph J. _Barraco, Esq . LANGUAGE: ENGLISH LOJ\D - DATE' July 29, 1996 4 136 ROBERT KLIER, SR. AND MARIANNE KLIER, HUSBAND AND WIFE, PLAINTIFFS-APPELLANTS, v. SORDONI SKANSKA CONSTRUCTION COMPANY, A DELAWARE CORPORATION, A.G. MAZZOCCHI, INC. (FOR DISCOVERY PURPOSES ONLY), THE TAUBMAN COMPANY (FOR DISCOVERY PURPOSES ONLY), THE PRUDENTIAL REALTY COMPANY (FOR DISCOVERY PURPOSES ONLY), HOBBS & BLACK ASSOCIATES (FOR DISCOVERY PURPOSES ONLY) AND SHORT HILLS ASSOCIATES (FOR DISCOVERY PURPOSES ONLY), DEFENDANTS-RESPONDENTS, AND SORDONI SKANSKA CONSTRUCTION COMPANY, A DELAWARE CORPORATION, THIRDPARTY PLAINTIFF, v. A.G. MAZZOCCHI, INC., THIRD-PARTY DEFENDANT. A-2854-98T2 SUPERIOR COURT OF NEW JERSEY, APPELLATE DIVISION 337 N.J. Super. 76; 766 A.2d 761; 2001 N.J. Super. LEXIS 29 December 6, 2000, Argued January 26, 2001, Decided SUBSEQUENT HISTORY: [***1] Approved for Publication January 26, 2001. As Amended February 1, 2001. PRIOR HISTORY: On appeal from the Superior Court of New Jersey, Law Division, Essex County, L6414-95. COUNSEL: Sidney Shaievitz argued the cause for appellants (Shaievitz & Berowitz, attorneys; Mr. Shaievitz, on the brief). Daniel K. Newman argued the cause for respondent Sordoni Skanska Construction Company. Respondents A.G. Mazzocchi, Inc., The Taubman Company, The Prudential Realty Company, Hobbs & Black Associates and Short Hills Associates have not filed a brief. JUDGES: Before Judges KEEFE, EICHEN 1 and STEINBERG. The opinion of the court was delivered by STEINBERG, J.A.D. 1 Judge Eichen did not participate in oral argument. However, the parties consented to her participation in the decision. OPINION BY: STEINBERG, J.A.D. OPINION [*80] delivered by [**763] The opinion of the court was STEINBERG, J.A.D. Plaintiffs, Robert Klier, Sr. and Marianne Klier, 2 his wife, appeal from an order dismissing their complaint with prejudice as to defendant Sordoni Skanska Construction Company (defendant or Sordoni) "for failure to state a cause of action against defendant," and from [***2] the denial of their subsequent motion seeking to vacate the prior order and restore the case to the trial list. They also appeal from a previous interlocutory order that denied their application to have unrestricted ex parte communications with all former employees of A.G. Mazzocchi, Inc. (Mazzocchi), Charles Imbimbo, George Daniel and Robert Gordon, without the express consent of defendants' attorney. We reverse each order and remand for further proceedings. 2 Marianne Klier's claim is a derivative per quod claim. Accordingly, all references to plaintiffs in this opinion shall refer to Robert Klier, Sr. This case arises out of a construction site accident. In January 1993, defendant entered into a contract with Prutaub Joint Venture, the owner of the mall at Short Hills, for demolition, asbestos removal, remodeling and expansion, preparation of three department store pads and the addition of three parking decks. In March 1993, defendant entered into a subcontract with Mazzocchi for certain demolition [***3] work. On January 11, 1994, the day of the accident that led to this lawsuit, plaintiff was a laborer employed by Mazzocchi. He had been hired out of Laborer's Local Union 526. Although he had previously worked at the site for other subcontractors of Sordoni, it was his first day on the job for Mazzocchi. Plaintiff and Gordon, a laborer from the same union and local, were directed to report to Imbimbo, who was Mazzocchi's foreman. They were joined by Daniel, a carpenter hired out of Carpenter's Union Local [*81] 620 by Mazzocchi about a week and one-half before the accident. Plaintiff, along 137 with Gordon, Daniel and Imbimbo were demolishing a large overhang or canopy on the south side of Bloomingdale's Department Store. 3 The underside of the canopy was lath and mortar, with connection stringers wired to structural components. The demolition procedure involved the cutting of each wire and the use of wrecking bars, a sawsall, lump hammers and a twoby-four to pry away the soffit. 3 The description of the accident was taken from the report of plaintiff's engineer, William Poznak. The record contains no eyewitness account of the accident. [***4] When the soffit was loose, partly lying on the ground, Imbimbo told plaintiff, Gordon and Daniel to remove tools that were lying under it. While they were doing so, and while plaintiff and Gordon were under the canopy, Imbimbo, without warning, started prying at the attached soffit with an eight or ten-foot two-by-four. The soffit suddenly broke loose and fell, hitting plaintiff, causing him to sustain serious personal injuries. The case was scheduled for trial on September 29, 1998. On that date, immediately prior to trial, the judge to whom the case had been assigned stated that he had "serious concerns about the cause of action." Noting that the case would take approximately two weeks to try, the judge said, "[i]t seems to me that it would be good administration to determine whether there is a cause of action. At least in my view." The judge stated that he recognized that he could require the plaintiff to present his case, and, if there was a motion at the conclusion of plaintiff's case, he [**764] would "accept the truth of oral statements made on behalf of the plaintiff and . . . draw all inferences which may reasonably be drawn against the motion to dismiss." He [***5] proposed to "shortcut that procedure and to have [plaintiff's attorney] put on the record the best case that he hopes to produce here. And I will apply the rule that I--that is applied at the conclusion of the plaintiff's case which I have already enunciated. And I will hear argument and [*82] make a determination as to whether or not, in my view, there is something which should go to the jury." The judge said that he had used that procedure before and he felt, "[i]t is good administration from the judicial point of view. I also think it is good from the parties' point of view," since the trial would be long and expensive. Although there appears to have been a discussion in chambers, off the record, regarding the procedure proposed by the judge, on the record plaintiff's attorney began to state his case without objection to the procedure. However, in the course of his argument, he stated that he was not "prepared to argue this motion" because he had not brought his file or the report of his expert. The argument was postponed to afford counsel an opportunity to prepare, and to submit his expert's report. On October 1, 1998, after hearing further argument, the motion judge [***6] refused to hold defendant, the general contractor, liable for the "egregiously stupid" act of Imbimbo, who was an employee of Mazzocchi, the subcontractor, who caused the canopy to collapse by prying at its soffit. Plaintiffs filed a motion seeking reconsideration, supported by a supplemental engineering report. The judge heard oral argument on the motion, and noted that, "It strikes me that this [report] . . . is a net opinion." The judge reserved decision and, without any further opinion, later entered an order denying the motion. On this appeal, plaintiffs raise the following arguments: POINT I THE TRIAL COURT'S PROCEDURE IN INITIATING AND CONDUCTING, SUA SPONTE, A PROCEDURE TO DISMISS PLAINTIFFS' CASE FOR FAILURE TO STATE A CLAIM UPON WHICH RELIEF CAN BE GRANTED WAS IMPROPER AND IS GROUNDS FOR REVERSAL POINT II PLAINTIFFS' LIABILITY EXPERT'S REPORT AND SUPPLEMENTAL REPORT DID NOT CONSTITUTE NET OPINIONS POINT III THE DISMISSAL OF THIS SUIT FOR FAILURE TO STATE A CAUSE OF ACTION SHOULD BE REVERSED WHERE: A. THE RISK OF INJURY TO KLIER WAS R E A S O N A B L Y FORESEEABLE B . T H E RELATIONSHIP OF THE PARTIES IMPLICATED WORKPLACE SAFETY CONCERNS [*83] C. THERE WERE VIOLATIONS [ * * * 7] OF OSH A SAFETY REGULATIONS WHICH PROXIMATELY CAUSED PLAINTIFF'S ACCIDENT D. THERE WERE 138 OPPORTUNITIES TO TAKE CORRECTIVE MEASURES E. THERE WERE VIOLATIONS OF SAFETY CODES AND STANDARDS WHICH PROXIMATELY CAUSED PLAINTIFF'S ACCIDENT F. NEGLIGENT INSPECTION BY SORDONI WAS A PROXIMATE CAUSE OF PLAINTIFF'S ACCIDENT G. SORDONI, AS T H E S I N G L E REPOSITORY OF RESPONSIBILITY FOR THE SAFETY OF ALL WORKERS ON THE PROJECT, HAD A NONDELEGABLE DUTY TO MAINTAIN A SAFE WORKPLACE AND BORE RESPONSIBILITY FOR ALL OSHA VIOLATIONS [**765] ON THE JOB; VIOLATION OF AN OBLIGATION IMPOSED BY OSHA PERTAINING TO SAFETY SUPPORTS A TORT CLAIM POINT IV PLAINTIFFS' COUNSEL SHOULD HAVE UNRESTRICTED ACCESS TO ALL PRESENT AND FORMER EMPLOYEES OF MAZZOCCHI NOT REPRESENTED BY COUNSEL We first consider plaintiffs' contention that the trial judge erred in sua sponte instituting the summary procedure and dismissing their complaint. We agree. Our rules of court must be "construed to secure a just determination, simplicity in procedure, fairness in administration and the elimination of unjustifiable expense and delay." R. 1:1-2. The cornerstone of our judicial system [***8] is that justice is the polestar and the procedures utilized by the courts must "be moulded and applied with that in mind." N.J. Highway Authority v. Renner, 18 N.J. 485, 495, 114 A.2d 555 (1955). Our ultimate goal is not, and should not be, swift disposition of cases at the expense of fairness and justice. Rather, our ultimate goal is the fair resolution of controversies and disputes. R. H. Lytle Co. v. Swing-Rite Door Co., Inc., 287 N.J. Super. 510, 513, 671 A.2d 602 (App. Div. 1996). Eagerness to move cases must defer to our paramount duty to administer justice in the individual case. Audubon Volunteer Fire Co. No. 1 v. Church Constr. Co., 206 N.J. Super. 405, 406, 502 A.2d 1183 (App.Div.1986). Stated another way, while the concepts of "judicial administration" and fairness are not necessarily incompatible, the desire to facilitate judicial administration must take a back seat to our primary goal which is to adjudicate cases fairly and impartially. Shortcuts should not be utilized at the expense of justice. [*84] The minimum requirements of due process of law are notice and an opportunity to be heard. Doe v. Poritz, 142 N.J. 1, 106, 662 A.2d 367 (1995). [***9] The opportunity to be heard contemplated by the concept of due process means an opportunity to be heard at a meaningful time and in a meaningful manner. Ibid. Indeed, our rules of court contemplate that motions be made in writing. R. 1:6-2(a). Moreover, ordinarily, motions must be filed and served not later than sixteen days before a specified return date. R. 1:6-3(a). Our summary judgment rule requires a motion seeking that relief to be filed not later than twenty-eight days before the time specified for the return date. R. 4:46-1. In addition, a party seeking summary judgment must file a brief and, at the very minimum, a statement of material facts in support of the motion. R. 4:46-2(a). The purpose of these rules is obvious, that is, to afford the party against whom relief is sought notice of the application, together with a meaningful opportunity to respond. The procedure resorted to by the trial judge in this case defeated those purposes. For example, had defendants filed a motion, plaintiffs would have had the opportunity [***10] to respond to the objection to their expert's opinion. Instead, plaintiff came to court prepared to pick a jury, but rather, was required to defend a motion, brought by the court sua sponte, to dismiss his complaint. We recognize that the judge gave plaintiffs' attorney two days to produce his expert's report and further argue against the motion. 4 We conclude that that opportunity was insufficient to remedy the defect in the judge's procedure. Had plaintiffs' attorney been given sufficient advance notice of the application for dismissal, he would have had a meaningful opportunity to contact his expert and supply a supplemental report, as he did on his motion for reconsideration. We cannot condone a procedure whereby a judge sua sponte, without notice to a party, resorts to a "shortcut" for the purposes of "good administration" and circumvents [*85] the basic 139 [**766] requirements of notice and opportunity to be heard. 4 In that two day period, a religious holiday intervened. Defendants' [***11] reliance on Enourato v. New Jersey Building Authority, 182 N.J. Super. 58, 440 A.2d 42 (App.Div.1981), aff'd, 90 N.J. 396, 448 A.2d 449 (1982), is misplaced. Although we held in Enourato that a Law Division judge has the power to dismiss a case on the same day the complaint was filed, we also observed that "only an extraordinary situation could justify such a procedure." Enourato, supra, 182 N.J. Super. at 64-5, 440 A.2d 42. We cautioned that "[o]rdinarily a trial judge should not dismiss an action as summarily" as was done in that case. Id. at 64, 440 A.2d 42. Only because the situation before the judge was truly emergent in nature, coupled with the public importance of the question involved, including the large amount in controversy, did we conclude that the trial judge properly exercised his discretion in dismissing a complaint challenging legislation establishing the New Jersey Building Authority that threatened a proposed bond sale the next day. Id. at 65-66, 440 A.2d 42. Simply put, we conclude that the mere fact that the trial in this case may be long and expensive is not an extraordinary [***12] situation justifying the summary procedure instituted by the judge. We next consider defendants' contention that plaintiffs' attorney consented to the procedure adopted by the judge. While this appeal was pending, based upon conflicting affidavits and certifications of opposing counsel as to whether plaintiffs' attorney consented to the procedure, we "remanded to the trial court for the purpose of resolving the issue of whether plaintiffs' attorney consented to the procedure followed by the trial court." We intended that the remand proceeding be conducted by the same judge who originated the procedure. Instead, the remand was presided over by a different judge who reviewed the transcripts, and the conflicting certifications and concluded that plaintiffs' attorney implicitly consented to the proceedings by failing to voice an objection. We disagree. Initially, at the very least, in light of the conflicting certifications and affidavits the judge should have [*86] conducted a plenary hearing. However, we decline to remand at this time for a plenary hearing. To do so would give our tacit approval to the procedure utilized. In addition, we are persuaded by the certification of plaintiffs' [***13] attorney that the judge "did not request consent; he merely explained what he was about to do and we then proceeded to the courtroom to go on the record. It was not for me to consent or protest." Plaintiffs' attorney was placed in a difficult position in light of the unorthodox procedure utilized by the judge, and, under these circumstances, we decline to hold that he tacitly consented to this procedure. We also note that the prior remand was necessitated, in part, because there appeared to be an unrecorded discussion in the judge's chambers regarding the procedure proposed by the judge. We have previously noted that "[c]ounsel and the trial judge have a mutual obligation to make a record and to request and provide for the record a notation of events occurring in chambers, either by way of actual transcript, or summarization on the record so that a reviewing court will have the benefit thereof." State v. Green, 318 N.J. Super. 361, 380, 724 A.2d 254 (App.Div.1999), aff'd. o.b. 163 N.J. 140, 747 A.2d 1234 (2000), citing Fehnel v. Fehnel, 186 N.J. Super. 209, 217, 452 A.2d 209 (App.Div.1982). While we recognize that it is impractical [***14] to require a record, or transcript of mundane, innocuous in-chambers discussions, we hold that when the discussion concerns important subjects such as the procedure to be utilized, a record must be made or a summary placed on the record as to what transpired in chambers. Only then is effective appellate review insured. We next consider plaintiffs' contention that the motion judge erred in [**767] denying their motion to allow ex parte communication with Imbimbo, Gordon and Daniel, who were former employees of Mazzocchi, without notice to counsel for defendant. The motion judge concluded that the acts of the employees could be imputed to Mazzocchi, and, in turn to defendant, as the general contractor, under agency principles; and also concluded that they "may have been significantly involved in the determination of [*87] [Mazzocchi's] legal position," and their involvement "was greater than simply eyewitnesses to the accident" since "they were actively involved in the work . . . which gave rise to the events in question. . . ." The standard for an attorney's communication with a person represented by counsel is set forth in R.P.C. 4.2, [***15] which provides, in pertinent part, as follows: In representing a client, a lawyer shall not communicate about the subject of the representation with a person the lawyer knows, or by the exercise of reasonable diligence should know, to be represented by another lawyer in the matter, including members of the organization's litigation control group as defined by R.P.C. 1.13, unless the lawyer has the consent of the other lawyer. The rule governing representation by an attorney when the client is an organization is set forth in R.P.C. 1:13(a), which provides, in pertinent part, as follows: 140 For the purposes of R.P.C. 4.2 . . . the organization's lawyer shall be deemed to represent not only the organizational entity but also the members of its litigation control group. Members of the litigation control group shall be deemed to include current agents and employees responsible for, or significantly involved in, the determination of the organization's legal position in the matter whether or not in litigation, provided, however, that "significant involvement" requires involvement greater, and other than, the [***16] supplying of factual information or data respecting the matter. Former agents and employees who were members of the litigation control group shall presumptively be deemed to be represented in the matter by the organization's lawyer but may at any time disavow such representation. In seeking access to Imbimbo, Gordon and Daniel, plaintiffs assert that they are fact witnesses, and are not members of an organization's litigation control group. Defendant counters that plaintiffs should not be permitted access to Imbimbo, Gordon and Daniel because the statements of these witnesses could be imputed to Mazzocchi for the purpose of liability. 5 The judge [*88] determined that under "traditional agency principles" the acts of Imbimbo, Gordon and Daniel "conceivably" could have been imputed to Mazzocchi. 6 The judge concluded that there was "a very genuine factual issue as to the risk of imputed liability to Mazzocchi as a result of the actions taken by Imbimbo, Cooper 7 and Daniel at the scene on that particular occasion." The judge then determined that Imbimbo and Cooper [sic], "were or may have been significantly involved in the determination of [Mazzocchi's] legal position in [***17] this matter, that their involvement . . . was greater than simply eyewitnesses to the accident, that they were actively [**768] involved in . . . the demolition work . . . which gave rise to . . . the injuries to the plaintiff." He then determined that there was "a reasonable basis to conclude that [defendant] may be held . . . liable along with [Mazzocchi] for the acts or omissions of the employees of [Mazzocchi], and thereby the acts or omissions of the employees of [Mazzocchi] are imputable to [defendant]." Without providing any legal analysis, he ultimately concluded that Imbimbo, Gordon and Daniel, as former employees of Mazzocchi, "shall be deemed to be part of the litigation control group of Mazzocchi and of [defendant]." The record on plaintiff's motion consisted of a certification of his attorney stating that Grace Mazzocchi had advised the attorney that it had terminated Imbimbo and that Gordon had also left the company. The attorney further certified that at their depositions, Imbimbo and Gordon were not represented, and Imbimbo stated that he was not represented by an attorney. 5 In opposition to the motion, apparently defendants' attorney filed a certification dated December 27, 1996. Unfortunately, and contrary to R. 2:6-1(a)(1)(H), plaintiffs' attorney has not included that certification in his appendix. If defendants' attorney considered that certification necessary to the proper consideration of the issues, he could have included it in his appendix. R. 2:6-3. He has not done so. We note that the motion judge did not refer to the certification in determining the motion. [***18] 6 Since Mazzocchi was plaintiff's employer, plaintiff is barred by the exclusivity provisions of the Workers' Compensation Act, particularly N.J.S.A. 34:15-8, from asserting a claim for personal injuries against Mazzocchi, or his fellow employees, Imbimbo, Daniel and Gordon. 7 We assume that the reference to Cooper was inadvertent and the judge meant Gordon. Prior to 1996, R.P.C. 4.2 provided as follows: In representing a client, a lawyer shall not communicate about the subject of the representation with a party the lawyer knows to be represented by another lawyer [*89] in the matter, unless the lawyer has the consent of the other lawyer or is authorized by law to do so. In 1993, the Supreme Court, when called upon to interpret that rule, elected to refer the question of which organizational employees should be accessible to opposing counsel to a special committee to "fully assess the policy implications" in varied contexts. In the Matter of Opinion 668 of the Advisory Comm. on Prof'l. Ethics, 134 N.J. 294, 303-04, 633 A.2d 959 (1993). [***19] The Special Committee on R.P.C. 4.2 issued its report on March 20, 1995, Rep. of Special Committee Rep. on R.P.C. 4.2, 139 N.J.L.J. 1161, 1193 (1995) (Committee Rep.) After the Committee rendered its report, R.P.C. 1.13, 4.2 and 4.3 were amended, effective September 1, 1996. The amendments reflected the recommendations made by the Committee. Michaels v. Woodland, 988 F. Supp. 468, 470 (D.N.J.1997). 141 The current rules prohibit communication only with employees who are members of the organization's litigation control group, or are represented by another lawyer in the matter. R.P.C. 4.2. This is in accord with the Committee's recommendation that the prohibition against ex parte communication should not extend to employees who were only fact witnesses or involved with the subject matter of the litigation. Committee Rep., supra, 139 N.J.L.J. at 1195-96. The Committee explained that extending the prohibition against ex parte communication to employees [***20] who were only involved in the subject matter of the litigation would include too many people "whose interests are most likely not only not congruent with the organization's but also, in many cases, in conflict with it." Ibid. (quoted in Michaels, supra, 988 F. Supp. at 471). The Committee determined that the bar against ex parte communications should only apply in those situations where the employee is not only a fact witness, but also is significantly involved in determining the organization's legal position as opposed to merely supplying information. Committee Rep., supra, 139 N.J.L.J. at 1195-96. In its recommendation, the Committee specifically provided that "[s]ignificant involvement requires involvement greater than merely supplying factual information regarding [*90] the matter in question." Id. at 1195. Moreover, in its comment on proposed R.P.C. 1:13, the Committee specifically noted that the bar "does not include persons whose actions bind the organization or are imputable to the organization or who are responsible for other aspects of organizational policy unless they meet the 'legal position' [***21] test." Committee Rep., supra, 139 N.J.L.J. at 1196. Thus, the first determination that must be made by a court in considering whether to allow ex parte interviews of current and former employees of an organization [**769] is whether the witness is a current or former employee. R.P.C. 1:13(a); Michaels, supra, 988 F. Supp. at 472. If the witness is a current employee, the judge must determine whether the person is within the litigation control group as defined by R.P.C. 1:13(a), and, if not, whether the person has obtained other representation. R.P.C. 4.2; Michaels, supra, 988 F. Supp. at 472. R.P.C. 4.2 prohibits an adverse attorney from having ex parte contact with any current employee who is within the litigation control group. Ibid. On the other hand, if the current employee is not within the litigation control group and has not obtained other representation, ex parte contact is permitted consistent with R.P.C. 4.2 and R.P.C. 4.3. In addition, a former employee who was [***22] within the litigation control group is presumptively represented by the organization. R.P.C. 1:13(a); Michaels, supra, 988 F. Supp. at 472. However, pursuant to R.P.C. 1.13(a) and R.P.C. 4.2, the lawyer may interview a former employee who was within the litigation control group, if he or she disavows that representation. Hence, nothing in the Rules prohibits ex parte communication with a former employee who was not within the litigation control group and who was not otherwise represented by counsel. Michaels, supra, 988 F. Supp. at 472. As previously noted in footnote four of this opinion, the record on appeal does not include the certification of defendant's attorney filed in opposition to the motion. We assume that it did not assert that Imbimbo, Gordon and Daniel were members of defendant's [*91] litigation control group, since defendant does not argue in its appellate brief that they were members of the litigation control group. The judge, in generally concluding that they "were or may have been significantly involved in the determination of [Mazzocchi's] [***23] legal position in this matter" did not make findings of fact or state his legal conclusions that flowed from those factual determinations. See R. 1:7-4(a) (The judge, in deciding a motion that is appealable as of right, must find the facts and state his conclusions of law thereon). Since defendant does not contend on appeal that Imbimbo, Gordon and Daniel were members of its or Mazzocchi's litigation control group, we limit our consideration to defendant's contention that ex parte contact is prohibited since the acts of Imbimbo, Daniel and Gordon could be imputed to defendant. In support of that position, defendant relies upon Pub. Serv. Elect. & Gas Co. v. Associated Elec. & Gas Ins. Services, Ltd., et al, 745 F. Supp. 1037 (D.N.J.1990) and Erickson v. Winthrop Laboratories, 249 N.J. Super. 137, 592 A.2d 33 (Law Div.1991). We conclude that those authorities are inapposite in light of the fact that they were decided before the amendments to the R.P.C.'s. Accordingly, to the extent they hold that the court must consider whether the acts of former employees could be imputed to the corporate employer, [***24] they have been superseded by the amendments. "The fact that an agent or employee may impute liability, in and of itself, does not determine whether he or she is represented by the organization's counsel, thus implicating the ex parte communication bar." Committee Rep., supra, 129 N.J.L.J. at 1196. In addition, we conclude that the motion judge incorrectly relied on Curley v. Cumberland Farms, Inc., 134 F.R.D. 77 (D.N.J.1991), because that case was also decided before the 1996 Rule amendments, and involved consideration of agency principles. The record presented to us on appeal does not permit a definitive conclusion as to whether Imbimbo, Daniel and Gordon are, or were, members of the litigation control group. In addition, the judge has not provided sufficient findings of fact and conclusions [*92] of law which allows us to review his conclusion that they "were or may have been significantly involved in the determination of [Mazzocchi's] legal position." 142 Moreover, as previously noted, the judge incorrectly determined that ex parte interviews were prohibited because the [**770] acts of Imbimbo, Gordon or Daniel may ultimately be imputed to Mazzocchi [***25] or defendant. Accordingly, we reverse the interlocutory order, and remand for further proceedings. At the remand proceedings, the judge must determine whether the specific person sought to be interviewed is a current employee. If the person is a current employee, the judge must determine whether the person is within the litigation control group, and, if not, whether the person has obtained other representation. If the person has obtained other representation, obviously an ex parte interview is not permitted. On the other hand, if the current employee is not within the litigation control group and has not obtained other representation, ex parte contact is permitted consistent with R.P.C. 4.3. If plaintiff's attorney seeks to interview a former employee who was within the litigation control group, that person is presumptively represented by the organization and plaintiff's attorney, pursuant to R.P.C. 4.2, may not interview the person unless that person has disavowed that representation. If the person sought to be interviewed is a former employee who was not within the litigation control group, and is not [***26] otherwise represented by counsel, ex parte communication is to be allowed. Finally, the mere fact that liability may be imputed to the corporation by virtue of the act of the present or former employee does not mean that the employee may not be interviewed so long as the employee is not or was not a member of the litigation control group and is not represented by counsel. Although not raised by the parties, we deem it appropriate to comment on the procedure utilized by plaintiff's attorney in seeking judicial approval prior to attempting to contact Imbimbo, Gordon or Daniel. We do not suggest or imply that when an attorney seeks to conduct an ex parte interview with a current or [*93] former employee of an adversary, notice to the adversary or judicial approval is required. Andrews v. Goodyear Tire & Rubber Co., Inc., 191 F.R.D. 59, 77 (D.N.J.2000). An attorney may contact a current or former employee ex parte in an effort to determine whether that person is represented by counsel, or is included in the organization's litigation control group. R.P.C. 4.2; Andrews, supra, 191 F.R.D. at 77. At [***27] that point, the attorney must exercise reasonable diligence and attempt to determine whether the person is represented, or is a member of the litigation control group. R.P.C. 4.2. In addition, the attorney must comply in all respects with R.P.C. 1.13, R.P.C. 4.2 and R.P.C. 4.3. However, we remand in this case because here, plaintiff sought judicial approval prior to attempting to contact Imbimbo, Gordon or Daniel. In light of our conclusion that the summary proceeding instituted by the trial judge sua sponte was improper and necessitates a reversal of the order dismissing plaintiff's complaint for failure to state a claim upon which relief may be granted, we do not reach the arguments raised by plaintiff in Points II and III of his brief. Our decision not to consider those issues should not be viewed as an indication as to how we perceive the merits of those claims, or the position taken by the trial judge. Reversed and remanded for further proceedings not inconsistent with this opinion. In light of our disposition of this appeal, we need [***28] not consider the contention raised in plaintiff's reply brief to this court asking that we strike defendants' brief due to the inclusion "of documents not in the record below and of misrepresentations of the record." 143 IN THE MATTER OF THE STATE GRAND JURY INVESTIGATION. A-80 September Term 2008 SUPREME COURT OF NEW JERSEY 200 N.J. 481; 983 A.2d 1097; 2009 N.J. LEXIS 1155 September 14, 2009, Argued November 23, 2009, Decided PRIOR HISTORY: [***1] On appeal from the Superior Court, Appellate Division. In re State Grand Jury Investigation, 198 N.J. 306, 966 A.2d 1074, 2009 N.J. LEXIS 220 (2009) SYLLABUS (This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please note that, in the interests of brevity, portions of any opinion may not have been summarized). IMO State Grand Jury Investigation (A-80-08) Argued September 14, 2009 -- Decided November 23, 2009 RIVERA-SOTO, J., writing for a unanimous Court. In this case involving a grand jury investigation of a company, the Court considers whether the trial court properly denied a motion to disqualify attorneys that the company retained and paid to represent employees who were potential witnesses against it. The State commenced a grand jury investigation into whether a corporate contractor (company) had submitted fraudulent invoices for services purportedly rendered to a county government. The inquiry focused primarily on the company and three employees. The company arranged for counsel for the employees, entering into four separate retainer agreements with four lawyers, three of whom were assigned to represent the three employees, respectively, [***2] and a fourth to represent all nontarget current and former employees. The retainer agreements provided, in part, that the company would be responsible for the attorney fees, the attorneys' professional obligation was to the individual employees only, the attorneys were not required to make any disclosures to the company, and payment of the legal fees was not conditioned on the attorneys' cooperation with the company or any other party. In addition, the company wrote letters to the employees advising that although it had retained counsel for them, they were not required to use that counsel and were free to hire and pay for their own attorneys. The letters explained that the company retained the attorneys because it recognized that the employees' personal rights may conflict with the interests of the company, and advised that the company had the right to stop paying the company-retained attorneys at any time. The company announced to its other employees that it had retained a lawyer, free of charge to them, with whom they could consult and who was available to represent them in respect of the grand jury inquiry. The State moved before the trial court to disqualify the company-retained [***3] attorneys. In response, each employee submitted a certification asserting that he or she was unable to afford separate counsel and was satisfied with and wished to remain with the companyretained counsel. The trial court analyzed the Rules of Professional Conduct relevant to the State's motion to disqualify. Noting the quality of the attorneys retained by the company for the employees, and based on the provisions of the retainer agreements and the letters that the company sent to the employees, the court denied the State's motion to disqualify. However, the court imposed additional requirements. With regard to the confidentiality of information between a lawyer and a client and to cure any suggestion that billings sent to the company might reveal significant aspects of the grand jury investigation, the court required going forward that all bills sent to the company be redacted so that no specific information would be detailed. The court also required that the company and the individual attorneys, prior to ending any relationship for payment or any representation of an employee, make an application to the court, following which a hearing would be conducted. In an unpublished order, the [***4] Appellate Division denied the State's motion for leave to appeal. The State filed a motion for leave to appeal in the Supreme Court, which granted the motion. 198 N.J. 306, 144 966 A.2d 1074 (2009). HELD: The Rules of Professional Conduct forbid a lawyer from accepting compensation for representing a client from one other than the client unless three factors coalesce: (1) the client gives informed consent; (2) there is no interference with the lawyer's independence of professional judgment or with the lawyer-client relationship; and (3) information relating to the representation of the client is protected. Applying these Rules, the Court affirms the trial court's denial of the State's motion to disqualify attorneys retained and paid by an employer to represent employees who were potential witnesses in a grand jury investigation into the employer's conduct. 1. A court's evaluation of an alleged actual or apparent conflict is fact specific. To warrant disqualification of counsel, the asserted conflict must have some reasonable basis. (Pp. 11-12) 2. The law of this State has been that an attorney for an employee may not accept an employer's promise to pay his or her bill because such an arrangement risks dividing [***5] the attorney's loyalty between the client and the client's employer. Beginning in 1984 and over a course of years, however, the State revised its ethics rules, including making changes pertinent to this matter. One of the Rules of Professional Conduct, RPC 1.8(f), now states that a lawyer shall not accept compensation for representing a client from one other than the client unless: (1) the client gives informed consent; (2) there is no interference with the lawyer's independence of professional judgment or with the lawyer-client relationship; and (3) information relating to the representation of the client is protected. Additional rules pertinent to this matter include RPC 1.7(a)(2), which forbids a lawyer from representing a client if there is a significant risk that the representation will be materially limited by the lawyer's responsibilities to a third person, and RPC 5.4(c), which provides that a lawyer "shall not permit a person who recommends, employs, or pays the lawyer to render legal services for another to direct or regulate the lawyer's professional judgment in rendering such legal services." (Pp. 12-15) 3. Harmonizing RPC 1.8(f), RPC 1.7(a)(2), and RPC 5.4(c) results in [***6] a salutary, yet practical principle: a lawyer may represent a client but accept payment, directly or indirectly, from a third party provided each of six conditions is satisfied. Those conditions are: (1) the informed consent of the client is secured; (2) the thirdparty payer is prohibited from, in any way, directing, regulating or interfering with the lawyer's professional judgment in representing the client and the lawyer-client relationship remains sacrosanct; (3) there is no current attorney-client relationship between the lawyer and the third-party payer; (4) the lawyer is prohibited from communicating with the third-party payer concerning the substance of the representation of the client, which includes redaction of details from any billings submitted to the third-party payer; and (5) the third-party payer pays all such invoices within the regular course of its business, consistent with the manner, speed and frequency it pays its own counsel. The final condition is that the third-party payer shall not be relieved of its continuing obligation to pay without leave of court brought on prior written notice to the lawyer and the client. In this application, the third-party payer shall [***7] bear the burden of proving that its obligation should cease. If a third-party payer fails to pay an employee's legal fees and expenses when due, the employee shall have the right, via a summary action, for an order to show cause. (Pp. 15-19) 4. Applying the principles to this case, the trial court properly denied the motion to disqualify. Through the combined product of the good faith of the employer, the diligence of competent counsel and the exercise of the trial court's supervisory authority, the net result of the company's retention and payment of counsel for its employees complied with the Rules of Professional Conduct. The Court provides some guidance, however, for the future. First, the letters to the employees from the company explained that it was providing counsel on a "take-it-or-leave-it" basis and the employees could retain and pay their own counsel if they wished. Although this does not satisfy the informed consent requirement of RPC 1.8(f), each employee certified that he or she was satisfied with the assigned counsel and wished to remain that attorney's client. In the future, no limitation on the choice of counsel should be imposed on the employee except for reasonable [***8] limitations on fees and expenses. Second, future retention letters should clearly note that nothing in the representation shall limit the lawyer's responsibilities to the client, and that the thirdparty payer shall not, in any way, seek to direct or regulate the lawyer's professional judgment in rendering such legal services. Third, although the record established that the attorneys do not have a current relationship with the company, future retention letters should clearly spell out that fact. Fourth, the trial court appropriately imposed additional conditions on the provision in the retention letters that the attorneys were not required to disclose information to the company. Future retention letters should affirmatively state that the lawyer will not disclose any part of the substance of the representation of the client to the third-party payer and all billings provided to the third-party payer must have any detail information redacted and simply state the sum due for services and the sum due to expenses. Finally, as the trial court required, if the employer wishes to discontinue paying the legal fees and expenses of an employee, it may do so only by leave of court granted. (Pp. [***9] 19-22) 145 The order of the Law Division denying the State's motion to disqualify the counsel retained to represent the company's employees before the grand jury is AFFIRMED. COUNSEL: Frank Muroski, Deputy Attorney General, argued the cause for appellant State of New Jersey (Anne Milgram, Attorney General, attorney). Lawrence S. Lustberg, argued the cause for respondents Jack Arseneault, Esq., Jerome J. Convery, Esq., Timothy M. Donohue, Esq., and John P. McDonald, Esq. (Gibbons, attorneys; Mr. Lustberg and Jennifer Mara on the briefs). Richard A. Rafanello argued the cause for respondent Laidlaw Transit Services, Inc. (Shain, Schaffer & Rafanello, attorneys; Mr. Rafanello, Marguerite M. Schaffer, and Gregory B. Pasquale, attorneys, on the briefs). Nicholas C. Harbist, argued the cause for amicus curiae The Association of Criminal Defense Lawyers of New Jersey (Blank Rome, attorneys; Mr. Harbist, James T. Strawley, and Inez R. McGowan, attorneys, on the brief). JUDGES: JUSTICE RIVERA-SOTO delivered the opinion of the Court. JUSTICES LONG, LaVECCHIA, ALBIN, WALLACE, and HOENS join in JUSTICE RIVERA-SOTO's opinion. CHIEF JUSTICE RABNER did not participate. OPINION BY: RIVERA-SOTO OPINION [*485] [**1099] Justice RIVERA-SOTO delivered the opinion of the [***10] Court. Confronted with a grand jury inquiry that commanded the testimony of several of its employees, an employer elected to provide and pay for counsel to those employees for purposes of that investigation. Fearing that having individual employees/grand jury witnesses represented by counsel retained and compensated by the putative target of the grand jury inquiry violated several of the Rules of Professional Conduct, the State moved to disqualify those counsel. The trial court denied that application, limited the amount of information to be transmitted by such counsel to the employer, and, further, imposed restrictions both on the ability of the employer to discontinue paying the fees of counsel for the employees as well as on the ability of those counsel to discontinue representing the subpoenaed employees. Regardless of the setting--whether administrative, criminal or civil, either as part of an investigation, during grand jury proceedings, or before, during and after trial-whether an attorney may be compensated for his services by someone other than his client is governed in large measure by RPC 1.8(f) and, to a lesser extent, RPC 1.7(a) and RPC 5.4(c). The overarching Rule, [***11] which purposely is written in the negative, forbids a lawyer from "accept[ing] compensation for representing a client from one other than the client unless [three factors coalesce]: (1) the client gives informed consent; (2) there is no interference with the lawyer's independence of professional judgment or with the lawyer-client relationship; and (3) information relating to representation of a client is protected" as provided in the RPCs. RPC 1.8(f). A straightforward application of RPCs 1.7(a), 1.8(f) and 5.4(c) requires that we affirm the order of the trial court. [*486] I. The operative facts on which this appeal arise are readily stated. The State commenced a grand jury investigation into whether a corporate contractor had submitted fraudulent invoices for services purportedly rendered to a county government. That inquiry focused primarily on the contractor and three of its employees. In response, the company arranged for counsel for its employees. The company entered into four separate retainer agreements with four separate lawyers, three of whom were assigned to represent, respectively, the three specific employees noted, and the fourth was retained to represent "all non-target current [***12] and former employees of [the company] . . . in connection with the current state grand jury investigation." [**1100] The retainer agreements with each of the four lawyers, however, shared common characteristics and were, in all substantive and material respects, indistinguishable. A typical retainer agreement provided (1) that the company "will be ultimately responsible to [the] law firm for all reasonable and necessary legal fees and expenses incurred in this matter[;]" (2) that the "undertaking by the [c]ompany is made with the express understanding that the sole professional obligation of [the] law firm will be to [the named employee;]" (3) that the "law firm is not required to disclose any legal strategy, theory, plan of action, or the like, to the [c]ompany;" (4) that "payment of legal fees by the [c]ompany to [the] law firm in no way depends upon any such disclosure[;]" (5) that "no professional relationship will arise between the [c]ompany and [the] law firm as a result of the rendering of legal services by [the law firm] or the payment of legal fees and expenses by the [c]ompany[;]" (6) that "the reimbursement of legal fees and expenses . . . is neither conditioned upon nor dependent [***13] upon [the] law firm's cooperation with the [c]ompany or any other party[;]" (7) that while "[d]etailed invoices will be provided to [the represented 146 employee,] to preserve the attorney/client privilege, [only] summary invoices will be submitted to the [c]ompany[;]" and (8) [*487] that the company would be responsible to pay those invoices "upon receipt." Based on the company's retention of separate counsel for each of three employees identified by the State, the company wrote to each such employee, informing them that: As you know, . . . the New Jersey Attorney General's office served [the company] with a Grand Jury subpoena seeking various billing and payroll records related to [the company]'s contract with [the specified county government]. The company has been fully cooperative with the State's investigation. Recently the Attorney General's office has begun interviewing some of our employees at the [identified] project. Given your position with the [c]ompany and involvement in this project, and based upon the advice of our attorneys in New Jersey, we believe it would be prudent to retain separate counsel to represent you personally in connection with the State's investigation. Accordingly, [***14] [the company] has retained [a specially retained lawyer] to represent you in connection with the State's investigation. You do not have to use [that specially retained lawyer] as your attorney. You are free to hire your own attorney, at your own costs. You should not interpret this decision to mean that [the company] believes there to have been any illegal activity in this matter on the part of any [company] employee. Rather, it is based upon the recognition that your personal rights may conflict with the interests of the company. While [the company] agrees to pay for your legal representation in this matter, please understand that it has no obligation to do so and may stop paying those legal fees and costs at any time, should it believe it appropriate to do so. [Your specially retained lawyer] may be reached at [ ]. His firm address is: [ ]. Please expect [your specially retained lawyer] to contact you directly to arrange a convenient time to meet and discuss this matter. Please feel free to contact me directly or speak with [the company's local counsel] if you have any questions regarding this matter. Very truly yours, /s/ Senior Vice President and General Counsel [**1101] The company also announced [***15] to all other employees that the company had retained a lawyer--free of charge to the employees--with whom those employees could consult and who was available to represent those employees in respect of the grand jury inquiry. In time, two of the four lawyers retained by the company to represent its employees were subpoenaed to appear before the [*488] grand jury; they declined to appear, and the State later withdrew those subpoenas. The State then notified the company that it, along with several unnamed employees, had been designated as targets of the grand jury's investigation, 1 and later served grand jury subpoenas for the company's records in respect of the retention of counsel for its employees. The company complied with that subpoena by producing responsive but non-privileged documents. 1 In general, New Jersey adheres to the "target doctrine," which provides that "a 'target' of a grand jury proceeding must be advised that he is a target and of his right not to incriminate himself, failing which an indictment based on his testimony will be quashed . . . [a] principle [that] grows out of the privilege against selfincrimination[.]" State v. Vinegra, 73 N.J. 484, 488, 376 A.2d 150 (1977) (citations [***16] omitted). For that reason, this State distinguishes between "targets," that is, those in respect of whom a grand jury investigation is aimed, and "non-targets" of grand jury inquiries. State v. Fary, 19 N.J. 431, 438-39, 117 A.2d 499 (1955); State v. Korkowski, 312 N.J. Super. 429, 438, 712 A.2d 210 (App.Div.1998) (remanding case "for an evidentiary hearing to determine if defendant was a target of the grand jury investigation"). The Legislature has recognized that distinction: unindicted "targets" of a grand jury investigation may "request . . . a statement indicating that a charge against the person was investigated and that the grand jury did not return an indictment from the evidence presented[,]" N.J.S.A. 2B:219(a), while non-targets--those statutorily defined as "[a] person who has been called to appear before a grand jury for a purpose other than the 147 investigation of a charge against the person"--are entitled to "request the grand jury to issue a statement indicating that the person was called only as a witness in an investigation, and that the investigation did not involve a charge against the person." N.J.S.A. 2B:21-9(b). The State moved before the Superior Court to disqualify the counsel retained [***17] by the company to represent its employees "from further participation in this matter, pursuant to RPC 1.7, RPC 1.8 and RPC 1.10[.]" In response, each of the employees to whom the company had provided counsel to date--the three identified "target" employees and two additional "nontarget" employees--submitted certifications asserting that none of them could afford to retain separate counsel, and that each was satisfied with and wished to remain with their then counsel. [*489] The trial court noted at the outset that it "view[ed the company's] conduct as one that is certainly to be appreciated." Addressing the caliber of the lawyers retained by the company for its employees, the trial court explained that "[a]s a major corporation, [the company] didn't go out and hire some . . . low-level attorney. They went out and hired competent, knowledgeable, respected attorneys[.]" Focusing on the application of the Rules of Professional Conduct to the State's motion for disqualification, the court first observed that RPC 1.5 "talk[s] about fees being reasonable [and t]hat is not an issue [before] the Court." Moving on to the application of RPC 1.6, which addresses the confidentiality of information [***18] between a lawyer and his client, the trial court remarked that the retained lawyers had provided certifications and sample redacted bills. Agreeing that the procedure employed was proper, the trial court emphasized that "[t]he only thing that I would require going forward [is] that all of the bills [sent] to [the company] be redacted [**1102] and that no specific information be detailed in the billing." Turning to RPC 1.7, the general conflict of interest rule, the trial court concluded that, "at least at this point, there's been no demonstration that there is even a conflict [and] even if there were, these employees have the right to waive that conflict." It also declared itself "satisfied that there has been informed consent given by all [of] the employees by way of what they have put in the certifications." It concluded that "the Court finds nothing improper about the attorneys that have been retained by [the company.] In fact, the Court would go . . . further and say that [the company]acted responsibly, quite frankly, and with corporate policy and, quite frankly, having been advised of the reputation of these attorneys. And clearly the understanding between the [company] and these attorneys [***19] [was] spelled out in not only the retainer agreements, but [in] previous letters before all this was signed." It added, however, some restrictions: "that [the company] and the individual attorneys, prior to ending any relationship for payment, would have to make application to the Court[,]" and that counsel were to "redact the billing[s] to cure any notion that the State may have that somehow the billing[s] will reveal significant aspects of [the grand jury] investigation." [*490] The trial court entered an order that denied the State's motion to disqualify counsel. More specifically, it FURTHER ORDERED that before [the company] may cease paying any of the attorney's legal fees and costs, [the company] shall provide notice to the Court and all parties, and the Court shall conduct a hearing on the issue of whether [the company] may cease paying such legal fees and costs; and IT IS FURTHER ORDERED that before any of the attorneys may withdraw from this case based upon the refusal of [the company] to pay the attorney's legal fees and costs, such attorney shall provide notice to the Court and all parties, and the Court shall conduct a hearing on the issue of the attorney's request to withdraw; and IT [***20] IS FURTHER ORDERED that the attorneys henceforth shall submit to [the company] legal bills either in summary form or with all detailed information redacted therefrom. The State sought leave to appeal that determination and, in an unpublished order, the Appellate Division denied that application. It then moved before this Court, seeking leave to appeal the trial court's order and other ancillary relief. 2 Those motions were granted. In the Matter of the State Grand Jury Investigation, 198 N.J. 306, 966 A.2d 1074 (2009). We also granted leave to the Association of Criminal Defense Lawyers of New Jersey (ACDL--NJ) to appear as amicus curiae. For the reasons that follow, we affirm the order of the trial court. 2 The State also sought additional time within which to file its brief in support of its motion for 148 leave to appeal, as well as leave to expand the record. II. According to the State, a per se conflict of interest arises whenever, as here, two facts contemporaneously appear: a target in a grand jury investigation unilaterally selects and retains a lawyer to represent potential witnesses against it, and the lawyer relies on the target for payment of legal fees. In the State's view, that arrangement will [***21] split the attorney's loyalty and will discourage the lawyer from counseling [**1103] the client to cooperate with the State, even when cooperation might be in the client's best interest. It asserts that the perceived effect of allowing a target to select [*491] and pay for counsel for the witnesses against it is to irreparably taint the proceedings. The State also claims that such a conflict cannot be waived and that, even if it could be waived, a waiver could only be demonstrated through the live testimony of the witnesses, and not, as was done here, via certifications. The lawyers whose disqualification is sought counter that RPC 1.8(f) clearly contemplates an employer designated as a grand jury "target" providing and paying for separate counsel for its employees during that grand jury inquiry. They reject the State's claim that, in the criminal law setting, the better rule is the imposition of a per se conflict. Finally, they assert that, even if a potential conflict of interest exists, it has been effectively waived. Amicus ACDL--NJ repeats those arguments. The company echoes the arguments advanced both by the lawyers whose disqualification is sought and by amicus, and further asserts that, under [***22] the laws of its place of incorporation, it has an obligation to provide counsel to its employees, noting that, absent counsel provided by and paid for by the company, most of its employees would be unable to afford a lawyer. III. A. "Our evaluation of an actual or apparent conflict . . . does not take place in a vacuum, but is, instead, highly fact specific." State v. Harvey, 176 N.J. 522, 529, 826 A.2d 597 (2003) (citations and internal quotation marks omitted). "In that respect, the Court's attention is directed to something more than a fanciful possibility." Ibid. (citation and internal quotation marks omitted). "To warrant disqualification in this setting, the asserted conflict must have some reasonable basis." Ibid. (citation and internal quotation marks omitted). The State asserts that a target of a grand jury inquiry providing and paying for the lawyers who will represent the target's employees before the very grand jury considering the target's culpability [*492] creates an insoluble conflict not subject to waiver. Although the State's arguments possess considerable initial appeal, in light of modern changes in the manner in which attorneyclient relationships are to be viewed, we are constrained to [***23] disagree. No doubt, it long has been the law of this State that it is "improper for [the attorney for an employee] to have accepted the organization's promise to pay his bill, for such an arrangement has the inherent risk of dividing an attorney's loyalty between [his client] and [his client's] employer who will pay for the services." In re Abrams, 56 N.J. 271, 275, 266 A.2d 275 (1970). In those instances, we have concluded that "[a] conflict of interest inheres in every such situation[,]" one that cannot be waived "when the subject matter is crime and when the public interest in the disclosure of criminal activities might thereby be hindered." Id. at 276, 266 A.2d 275. Reasoning that "[a]n attorney must realize that the employer who agrees to pay him is motivated by the expectation that he will be protected[,]" ibid., we have concluded that [i]t is inherently wrong to represent both the employer and the employee if the employee's interest may, and the public interest will, be advanced by the employee's disclosure of his employer's criminal conduct. For the same reasons, it is also inherently wrong for an attorney who represents only the employee to accept a promise to pay from [**1104] one whose criminal liability may [***24] turn on the employee's testimony. [Ibid.] See also Wood v. Georgia, 450 U.S. 261, 268-69, 101 S. Ct. 1097, 1102, 67 L. Ed. 2d 220, 228-29 (1981) (emphasizing that "[c]ourts and commentators have recognized the inherent dangers that arise when a criminal defendant is represented by a lawyer hired and paid by a third party, particularly when the third party is the operator of the alleged criminal enterprise. One risk is that the lawyer will prevent his client from obtaining leniency by preventing the client from offering testimony against his former employer or from taking other actions contrary to the employer's interest" (footnotes omitted)); State v. Norman, 151 N.J. 5, 34, 697 A.2d 511 (1997) (citing Abrams, supra, and Wood, supra). [*493] B. That said, effective September 10, 1984, New Jersey replaced its then extant Canons of Professional Ethics 149 and Disciplinary Rules with the more modern Rules of Professional Conduct. Among these was RPC 1.8(f), which then provided that [a] lawyer shall not accept compensation for representing a client from one other than the client unless: (1) the client consents after consultation; (2) there is no interference with the lawyer's independence of professional judgment or [***25] with the lawyer-client relationship and (3) information relating to representation of a client is protected as required by RPC 1.6. Thereafter, starting in 2001 and continuing for almost two years, New Jersey engaged in a "review [of] the existing Rules of Professional Conduct in light of the work of the American Bar Association's Commission on Evaluation of the Rules of Professional Conduct (the 'Ethics 2000 Commission')." Supreme Court of New Jersey, Administrative Determinations in Response to the Report and Recommendation of the Supreme Court Commission on the Rules of Professional Conduct, September 10, 2003. This process culminated in yet another round of modifications to the Rules of Professional Conduct. In respect of RPC 1.8(f), however, only minor changes were made; 3 it now provides in full as follows: A lawyer shall not accept compensation for representing a client from one other than the client unless: (1) the client gives informed consent; (2) there is no interference with the lawyer's independence of professional judgment or with the lawyer-client relationship; and (3) information relating to representation of a client is protected as required by RPC 1.6. 3 Only two changes [***26] were made to RPC 1.8(f) in 2003, one substantive and one only as to form. The substantive change appears in RPC 1.8(f)(1), which previously read "the client consents after consultation" and now reads "the client gives informed consent." As a matter of form, RPC 1.8(f) originally appeared as a single, continuous paragraph; in 2003, its appearance was changed slightly so that each numbered subsection was indented separately. [*494] C. However, RPC 1.8(f) does not exist in a vacuum: two other RPCs directly touch on the question presented. First, RPC 1.7(a) forbids a lawyer from representing a client "if the representation involves a concurrent conflict of interest." That RPC recognizes "[a] concurrent conflict of interest . . . if: . . . there is a significant risk that the representation of one or more clients [**1105] will be materially limited by the lawyer's responsibilities to . . . a third person or by a personal interest of the lawyer." RPC 1.7(a)(2). Second, RPC 5.4(c) provides that "[a] lawyer shall not permit a person who recommends, employs, or pays the lawyer to render legal services for another to direct or regulate the lawyer's professional judgment in rendering such legal services." Our task, [***27] then, is to harmonize RPC's 1.7(a)(2), 1.8(f) and 5.4(c) seemingly overlapping mandates so as to give proper guidance on whether, and under what circumstances, a lawyer may represent a client when the fees and costs incurred are being paid by another. D. The starting point for analysis must be the RPC that most specifically addresses the question of when a lawyer can represent a client while being paid by another: RPC 1.8(f). 4 That RPC [*495] makes clear that three factors must coalesce in order to allow a lawyer paid by a third party to represent a client: the client must give informed consent; the lawyer's independent professional judgment and the lawyer-client relationship must be maintained sacrosanct; and no improper disclosures relating or referring to the representation can be made. However, the considerations that animate RPC 1.7(a)(2) --that there be no concurrent conflict of interest-and RPC 5.4(c) --that no third party may influence the lawyer's professional judgment--also are relevant and must be addressed. 4 Although we have sanctioned lawyers for violating RPC 1.8(f), see In re Weiner, 188 N.J. 341, 907 A.2d 1004 (2006) (disbarring lawyer for, among other claims, accepting compensation [***28] from third party without protecting client in violation of RPC 1.8(f)); In re Kalman, 177 N.J. 608, 832 A.2d 913 (2003) (prohibiting out- 150 of-state lawyer from appearing pro hac vice in New Jersey courts for, among other claims, accepting compensation from one other than the client absent client consent, in violation of RPC 1.8(f)); In re Malat, 177 N.J. 506, 830 A.2d 499 (2003) (suspending lawyer for, among other things, accepting compensation from someone other than a client, in violation of RPC 1.8(f)); In re Moeller, 177 N.J. 511, 512, 830 A.2d 911 (2003) (suspending lawyer for accepting compensation from someone other than the client, in violation of RPC 1.8(f)); In re Kiegel, 174 N.J. 299, 804 A.2d 1169 (2002) (admonishing lawyer for improperly accepting of fee from third party, in violation of RPC 1.8(f)), and we have referred to that Rule when cited by our Advisory Committee on Professional Ethics, see In re Opinion 682 of the Advisory Comm. on Prof'l Ethics, 147 N.J. 360, 364-65, 687 A.2d 1000 (1997), this Court has not had the opportunity to squarely address how RPC 1.8(f) is to operate or how it is to be interpreted. Our research discloses that, nationally, the precedents are equally sparse. See, e.g., In re Ray, 314 B.R. 643, 655 (Bankr.M.D.Tenn.2004) [***29] (quoting RPC 1.8(f) without discussion); Johnson v. Cont'l Cas. Co., 57 Wn. App. 359, 788 P.2d 598, 600 (1990) (citing RPC 1.8(f) as reference). A synthesis of RPCs 1.7(a)(2), 1.8(f) and 5.4(c) yields a salutary, yet practical principle: a lawyer may represent a client but accept payment, directly or indirectly, from a third party provided each of the six conditions is satisfied. Those conditions are: (1) The informed consent of the client is secured. In this regard, "'[i]nformed consent' is defined as the agreement by a person to a proposed course of conduct after the lawyer has communicated adequate information and explanation about the material risks of and reasonably available alternatives to the proposed course of conduct." Tax Auth., Inc. v. Jackson Hewitt, Inc., 187 N.J. 4, 19 n.2, 898 A.2d 512 (2006) (citation and internal quotation marks omitted). (2) The third-party payer is prohibited from, in any way, directing, regulating or [**1106] interfering with the lawyer's professional judgment in representing his client. RPC 1.8(f)(2); RPC 5.4(c). See, e.g., In re Opinion 682 of the Advisory Comm. on Prof'l Ethics, 147 N.J. 360, 687 A.2d 1000 (1997) (holding, in part, that formation [*496] of title insurance company owned and [***30] managed by attorneys who would retain portion of premiums paid by client as part of fee calls into question lawyer's independent judgment). (3) There cannot be any current attorney-client relationship between the lawyer and the third-party payer. 5 In re Garber, 95 N.J. 597, 607, 472 A.2d 566 (1984) ("It is patently unethical for a lawyer in a legal proceeding to represent an individual whose interests are adverse to another party whom the lawyer represents in other matters, even if the two representations are not related." (citations omitted)); see also RPC 1.7 (general rule governing conflicts of interest). 5 Of course, all other Rules of Professional Conduct governing conflicts of interest must be observed. See, e.g., RPC 1.7 (stating general conflict of interest rule); RPC 1.8 (addressing conflict of interest with current clients and special circumstances); RPC 1.9 (addressing conflicts of interest in respect of former clients); RPC 1.10 (governing imputation of conflicts of interest); RPC 1.11 (addressing conflicts arising from successive government and private employment); RPC 1.12 (addressing judicial and quasi-judicial conflicts); RPC 1.13 (addressing conflicts arising out of organizational [***31] clients). (4) The lawyer is prohibited from communicating with the third-party payer concerning the substance of the representation of his client. RPC 1.8(f)(3). The breadth of this prohibition includes, but is not limited to, the careful and conscientious redaction of all detail from any billings submitted to the third-party payer. (5) The third-party payer shall process and pay all such invoices within the regular course of its business, consistent with manner, speed and frequency it pays its own counsel. (6) Once a third-party payer commits to pay for the representation of another, the third-party payer shall not be relieved of its continuing obligations to pay without leave of court brought on prior written notice to the lawyer and the client. In such an application, the thirdparty payer shall bear the burden of proving that its obligation to continue to pay for the representation should cease; the fact that the lawyer and the client have [*497] elected to pursue a course of conduct deemed in the client's best interests but disadvantageous to the thirdparty payer shall not be sufficient reason to discontinue the third-party payer's continuing obligation of payment. If a third-party payer [***32] fails to pay an employee's legal fees and expenses when due, the employee shall have the right, via a summary action, for an order to show cause why the third-party payer should not be ordered to pay those fees and expenses. E. We now apply this principle, and its conditions, to the case on appeal. Informed consent. Each of the letters from the 151 company to the individual employees provided that the employee "d[id] not have to use [the assigned counsel] as your attorney. You are free to hire your own attorney, at your own costs." As conceded by counsel for the company during oral argument, that "take-it-or-leave-it" approach, on its face, does not satisfy the requirement that the employee's acceptance of counsel be based on informed consent. Therefore, presumptively, the retention of counsel here does not comply with RPC 1.8(f)(1). However, as acknowledged by the trial court, each of the employees [**1107] certified that he was satisfied with the assigned counsel and wished to remain as that counsel's client. Therefore, we conclude that the arrangement approved by the trial court below is satisfactory, albeit with the caveat that, in the future, no such limitations on the choice of counsel should [***33] be communicated or imposed on the employee/client save for reasonable limitations on fees and expenses. Interference with the lawyer's professional judgment. As clearly set forth in the separate retention letters between the lawyers and the company, each of the lawyers explained that "the sole professional obligation of [the] law firm will be to [the assigned client]." For the avoidance of future doubt, such retention letters should clearly and conspicuously note that nothing in [*498] the representation shall limit the lawyer's responsibilities to the client, as provided in RPC 1.8(f)(2), and that the third-party payer shall not, in any way, seek to "direct or regulate the lawyer's professional judgment in rendering such legal services." RPC 5.4(c). Current representation. The record is clear that none of the lawyers selected to represent the individual employees had any current relationship with the company, and that "no professional relationship will arise between the [c]ompany and [the] law firm as a result of the rendering of legal services by [the assigned lawyer] or the payment of legal fees and expenses by the [c]ompany." Those facts, standing alone, constitute a sufficient showing [***34] in favor of permitting this representation. Again, as an aid in future matters, the retention letters should clearly spell out that the lawyer does not have a professional relationship with the thirdparty payer. letters made clear that the lawyer "is not required to disclose any legal strategy, theory, plan of action, or the like, to the [c]ompany and payment of legal fees by the [c]ompany to [the] law firm in no way depends upon any such disclosure." In this respect, the better practice is to affirmatively state that the lawyer will not disclose any part of the substance of the representation of the client to the third-party payer. Consistent with that representation, all billings from the lawyer to the third-party payer must have any detail information redacted, simply stating the sum due for services rendered and the sum due for expenses incurred. Because these latter conditions were imposed by the trial court, the retention letters, as modified by the trial court, clearly comply with the requirements we have imposed. Prompt and continued payment. Once an employer commits to paying the legal fees and expenses of its employees, it scrupulously [***35] must honor that commitment. Also, if the employer wishes to discontinue paying the legal fees and expenses of one or more of its employees, it may only do so by leave of court granted. [*499] Because this condition also was imposed by the trial court and was agreed to by all parties, the arrangements at issue are satisfactory. In sum, through the combined product of the good faith of an employer, the diligence of competent counsel and the exercise of a trial court's supervisory authority, the net result of the company's retention and payment of counsel for its employees complies with the Rules of Professional Conduct. For these reasons, the trial court properly denied the State's motion to disqualify counsel. IV. The order of the Law Division denying the State's motion to disqualify the counsel retained to represent the company's employees before the grand jury is affirmed. [**1108] JUSTICES LONG, LaVECCHIA, ALBIN, WALLACE, and HOENS join in JUSTICE RIVERA-SOTO's opinion. CHIEF JUSTICE RABNER did not participate. Prohibited communications. Each of the retention 152 ELLEN M. CASEY, Plaintiff-Respondent, v. UNIVERSITY OF MEDICINE AND DENTISTRY OF NEW JERSEY, DENISE MULKERN AND MARYANN MASTER, Defendants-Appellants. DOCKET NO. A-1997-09T1 SUPERIOR COURT OF NEW JERSEY, APPELLATE DIVISION 2010 N.J. Super. Unpub. LEXIS 1866 April 27, 2010, Argued August 3, 2010, Decided NOTICE: NOT FOR PUBLICATION WITHOUT THE APPROVAL OF THE APPELLATE DIVISION. PLEASE CONSULT NEW JERSEY RULE 1:36-3 FOR CITATION OF UNPUBLISHED OPINIONS. PRIOR HISTORY: [*1] On appeal from Superior Court of New Jersey, Law Division, Essex County, Docket No. L-3657-07. COUNSEL: Ronald J. Riccio argued the cause for appellants (McElroy, Deutsch, Mulvaney & Carpenter, attorneys; Mr. Riccio, John J. Peirano and Vimal K. Shah, of counsel and on the brief; Michelle A. Annese, on the brief). Paul P. Josephson argued the cause for respondent (Hill Wallack, attorneys; Mr. Josephson of counsel and on the brief; Eric I. Abraham and Christina L. Saveriano, on the brief). JUDGES: Before Judges Wefing, Grall and LeWinn. OPINION PER CURIAM This is an interlocutory appeal from an order of disqualification based on an alleged violation of the Rules of Professional Conduct (RPC), specifically RPC 1.9. RPC 1.9 is not implicated unless the party seeking disqualification is a "former client" of the lawyer or a member of the lawyer's firm. Because this record does not permit a finding of the essential attorney-client relationship between the plaintiff and defendants' lawyers, we reverse. Plaintiff Ellen M. Casey, a member of the New Jersey bar who has practiced in the public and private sectors, is the former Executive Director of Materials Management for defendant University of Medicine and Dentistry of [*2] New Jersey (UMDNJ). One year after her employment was terminated, Casey filed a complaint charging UMDNJ and the individual defendants, who are UMDNJ's Senior Vice Presidents for Finance and Administration and Human Resources, with wrongful termination and violation of the Conscientious Employee Protection Act, N.J.S.A. 34:19-1 to -8. The factual basis for Casey's claims is that she was terminated for bringing improprieties in the spending practices UMDNJ employed to the attention of UMDNJ personnel, an independent monitor appointed by UMDNJ, a monitor appointed by the Federal District Court under a deferred prosecution agreement between UMDNJ and the United States Attorney for the District of New Jersey, and the Star Ledger. 1 1 The specific transactions and practices referenced in Casey's complaint involve a Verizon contract, the underfunding of UMDNJ's purchasing department, expenditures on limousine services, and UMDNJ's selection between UHC/Novation and GYNHA as its "group purchasing partner." Although the Attorney General filed an answer on behalf of UMDNJ, within two months UMDNJ retained McElroy, Deutsch, Mulvaney & Carpenter (MDMC) to defend against Casey's claims. MDMC is [*3] the law firm disqualified from representing UMDNJ under the terms of the order that is the subject of this appeal. Casey alerted MDMC to her objection to its representation of UMDNJ in her employment litigation soon after the firm was retained by UMDNJ. On September 21, 2007, Casey urged MDMC to withdraw because she "was interviewed by Walter Timpone," a member of MDMC, "in the context of an SCI [State Commission of Investigation] investigation of UMDNJ" on October 19, 2005. On October 2, 2007, Casey sought discovery of documents "setting forth the scope of [MDMC's] representation of [Casey] and/or UMDNJ," and MDMC advised that it had no pertinent documents. On November 20, 2007, Casey's attorney confirmed 153 her willingness to "hold her objections to [MDMC's] conflict of interest in abeyance," if UMDNJ was willing to "seriously mediate." Mediation was not successful, and in April 2008, Casey again sought documents "setting forth the scope of [MDMC's] representation of [Casey] and/or UMDNJ . . . ." MDMC again advised that there were no documents. Nonetheless, on September 12, 2009, MDMC produced correspondence written by Timpone discussing MDMC's relationship with the employees of UMDNJ [*4] in connection with a federal investigation of UMDNJ. Within two weeks of that disclosure, on September 25, 2009, Casey moved to disqualify the firm. Two days before the motion was heard, MDMC provided additional discovery. On October 16, 2009, the judge entered an order disqualifying MDMC, giving UMDNJ thirty days to secure new representation, imposing sanctions, reopening discovery for a period of ninety days and adjourning the trial on Casey's termination claims that was scheduled for November 9, 2009. The judge stayed the order to permit UMDNJ to seek interlocutory review. MDMC filed a motion for leave to appeal on behalf of UMDNJ, which we granted on December 30, 2009. We also granted UMDNJ's motion to supplement the record with additional discoverable material previously overlooked by MDMC -- a letter of June 25, 2005 confirming MDMC's retention "to provide assistance to [UMDNJ] regarding [an] SCI investigation." MDMC agreed to the arrangement. 2 2 On the day prior to oral argument in this court, the Supreme Court issued its opinion in City of Atl. City v. Trupos, 201 N.J. 447, 992 A.2d 762 (2010). The parties were given an opportunity to file supplemental briefs addressing the new decision; we [*5] received the briefs on May 3 and 4, 2010. The evidential materials disclose the following facts relevant to Casey's motion to disqualify MDMC from defending UMDNJ in her action alleging wrongful termination. UMDNJ retained MDMC in June 2005 "to provide assistance" with the SCI investigation. The SCI subpoenaed employees of UMDNJ. Timpone of MDMC corresponded with the SCI to schedule the appearances of those three UMDNJ employees. The scheduling letters all refer to three employees; one of the three is Casey. Casey did not ask Timpone to schedule her appearance. The day prior to Casey's testimony before the SCI, she met with Timpone. Robert Scrivo, a second MDMC attorney, was present during Casey's interview and took notes. According to Casey, she was "directed by UMDNJ management . . . to meet" with Timpone prior to testifying before the SCI. The record does not include any correspondence between Timpone and Casey, and Casey does not assert that they had any communication before or after her interview. Casey "believed that [her] conversation with [Timpone] was a confidential conversation with [her] attorney." According to Timpone and Scrivo, at the outset of the interview, Timpone told [*6] Casey he was representing UMDNJ and not representing her. Casey initially certified that she did not recall Timpone saying that; in a subsequent certification, however, she said that neither Timpone nor anyone else ever informed her that Timpone was not representing her. Casey did not certify that she was told that Timpone was her lawyer. Scrivo's notes of the interview shed no light on the subject. As Casey confirmed during her deposition, however, Scrivo's notes reflect that she told Timpone about her work experience in the legal field. In certifications submitted to the trial judge, Timpone explained that the purpose of the interview was to learn what information Casey expected to convey during her testimony and inform her about what to expect during her appearance. Timpone told Casey that "pursuant to SCI practices, he would not be permitted to be present in the room during [her] testimony, but that [she] could take a break and it would be possible to ask to speak to him" at that time. There is nothing in the record that indicates that Casey took a break or spoke to one of the lawyers from MDMC during her testimony. While MDMC was retained in connection with the SCI investigation, [*7] Timpone was also providing legal services in connection with an investigation conducted by the United States Attorney for the District of New Jersey. In that capacity, Timpone wrote to the Assistant United States Attorney (AUSA) and to the employees of UMDNJ describing the relationship between MDMC and the employees of UMDNJ. In a letter dated October 5, 2005 to the AUSA, Timpone wrote: Please accept this letter as a summary of a conversation I had with you last week concerning our representation of UMDNJ and its employees. I understand that prior counsel may have taken the position that they represented the University and not the employees. We have revisited the issue. We represent the University and its employees. Each employee you have selected to appear before the grand jury is told that we represent the University and that any privilege that envelops the conversation is held by the University. 154 In instances where the government may believe a conflict exists, we will consider obtaining separate counsel for the witness once the issue is brought to our attention. Since these witnesses are "represented parties," I would ask that any contacts made by the government and its agents come through [*8] this firm. Both Robert Scrivo and I intend to be cooperative in making witnesses accessible to you in preparation for the grand jury sessions. Scheduling the witnesses, however, should come through us. [(Emphasis added).] In a second letter to the AUSA dated October 21, 2005, Timpone wrote "[i]n accordance with the [RPC], [MDMC] represent[s] the University and its employees in this investigation." (emphasis added). In a letter to the employees of UMDNJ dated October 26, 2005, Timpone identified himself as a member of the firm and "outside counsel for UMDNJ and its employees." (emphasis added). He alerted the employees that "law enforcement" was visiting employees at home, and he informed them that, at the request of an employee, MDMC would arrange for a lawyer to be present for an "interview and at the grand jury." Casey does not assert that she saw or was aware of any of the foregoing correspondence, and there is nothing in the record indicating that she appeared before the grand jury. At oral argument, Casey's attorney confirmed that Casey was not claiming that she was aware of the correspondence. Without the benefit of testimony and on the basis of the certifications, deposition testimony [*9] and correspondence discussed above, the trial judge determined that MDMC, through Timpone, represented Casey during the interview before her SCI appearance. The only documentary evidence that the trial judge did not have is the letter confirming MDMC's representation of UMDNJ in connection with the SCI investigation. The judge noted that the evidence relevant to the attorney-client relationship consisted of Casey's certification, the conflicting certifications of Timpone and Scrivo and the letters from Timpone to the AUSA stating that he represented UMDNJ and its employees. The judge viewed those letters as the "clincher," and he concluded that Casey's belief that Timpone was representing her was reasonable. Our review of a trial court's decision to disqualify an attorney is de novo and plenary. City of Atl. City v. Trupos, 201 N.J. 447, 463, 992 A.2d 762 (2010); J.G. Ries & Sons, Inc. v. Spectraserv, Inc., 384 N.J. Super. 216, 222, 894 A.2d 681 (App. Div. 2006); State v. Bruno, 323 N.J. Super. 322, 331, 732 A.2d 1136 (App. Div. 1999). "[A] lawyer's duty to a former client is addressed by RPC 1.9." City of Atl. City, supra, 201 N.J. at 461. "[RPC 1.9] provides straightforwardly that '[a] lawyer who has represented a client in [*10] a matter shall not thereafter represent another client in the same or substantially related matter in which that client's interests are materially adverse to the interests of the former client[.]'" Id. at 462 (quoting RPC 1.9(a)). To state the obvious, RPC 1.9(a) has no relevance unless the party seeking disqualification is a "former client." The "initial burden of production" on the question of former representation is on the party seeking to disqualify its adversary's attorney. Id. at 462; Dewey v. R.J. Reynolds Tobacco Co., 109 N.J. 201, 221-22, 536 A.2d 243 (1988). The burden of persuasion on that issue remains with the moving party throughout. City of Atl. City, supra, 201 N.J. at 463. We cannot conclude that Casey met that burden. A motion to disqualify "should ordinarily be decided on the affidavits and documentary evidence submitted, and an evidentiary hearing should be held only when the court cannot with confidence decide the issue on the basis of the information contained in those papers . . . ." Ibid. (quoting Dewey, supra, 109 N.J. at 222). Illustrative of cases requiring testimony are those where "gaps" in the documentary evidence "must be filled" or when a finding turns on a "question [*11] of witness credibility." Ibid. In this case, an order of disqualification could not be entered without assessing the relative credibility of Timpone's and Scrivo's assertions that Timpone told Casey MDMC was representing UMDNJ, not her, and Casey's denial. If information clarifying that MDMC had no attorney-client relationship with Casey was conveyed to her at the outset of the interview, then Casey's belief that Timpone was representing her could not be deemed "reasonable." Legal representation is "'inherently an aware, consensual relationship,' one which is founded upon the lawyer affirmatively accepting a professional responsibility." In re Palmieri, 76 N.J. 51, 58-59, 385 A.2d 856 (1978) (agreeing with the respondent's characterization of the relationship). While the attorney's acceptance of professional responsibility to the client need not be expressly articulated, when it is not articulated, there must be conduct on the part of the 158 parties to the purported attorney-client relationship that gives rise to that inference. Id. at 59-60. An attorney-client relationship may be found by implication based upon conduct when: (1) a person manifests to a lawyer the person's intent that the lawyer provide [*12] legal services for the person; and either (a) the lawyer manifests to the person consent to do so; or (b) the lawyer fails to manifest lack of consent to do so, and the lawyer knows or reasonably should know that the person reasonably relies on the lawyer to provide the services[.] [Herbert v. Haytaian, 292 N.J. Super. 426, 436-37, 678 A.2d 1183 (App. Div. 1996) (quoting The Restatement of the Law Governing Lawyers (Proposed Final Draft No. 1) § 26 (1996)).] In the context of an employee of an organization that is represented by an attorney, RPC 1.13 provides a special rule. Pursuant to paragraph (a) of that rule, an attorney "retained to represent an organization represents the organization" not its employees. Nonetheless, pursuant to paragraph (d) of RPC 1.13, an attorney representing an organization must "explain the identity of the client when the lawyer believes that such explanation is necessary to avoid misunderstanding on [the] part" of an employee of the organization. Without testimony permitting the judge to reject, as not credible, Timpone's and Scrivo's assertions that Casey was told Timpone was representing UMDNJ and not her, the judge could not infer an attorney-client relationship arising [*13] by implication from conduct or a breach of the obligation imposed by RPC 1.13(d). If Timpone advised Casey that UMDNJ, not Casey, was MDMC's client, then any conduct implying otherwise, short of retraction, could not defeat Timpone's express denial of the acceptance of any professional responsibility as to Casey. See Home Care Indus., Inc. v. Murray, 154 F. Supp. 2d 861, 869 (D.N.J. 2001) (noting that the firm could have protected its position by revealing its loyalty was to the corporate client). Moreover, if Timpone identified his client, then he fully complied with any special obligation that he might owe pursuant to paragraph (d) of RPC 1.13. Viewed without reference to the information Timpone and Scrivo contend that Casey was given, Casey's voicing of criticisms and praise of individuals she had encountered while working at UMDNJ arguably gives reason to question whether Casey, despite her credentials as a lawyer, actually understood RPC 1.13. Cf. Ferranti Int'l PLC v. Clark, 767 F. Supp. 670, 671-72 (E.D. Pa. 1991) (considering that the employee was an attorney in concluding that the employee's belief that he had an attorney-client relationship with a firm representing the corporation [*14] was unreasonable); Home Care Indus., supra, 154 F. Supp. 2d at 869 (noting that the employee in Home Care was not an attorney and distinguishing Ferranti). If Timpone explained the identity of his client, however, no further action on his part was required by RPC 1.13(d), and any contrary misunderstanding entertained by Casey was not reasonable. The trial judge's decision can be understood to suggest that the credibility of Timpone's and Scrivo's assertions about what Timpone told Casey was wholly undermined by Timpone's correspondence with the AUSA about the federal investigation. That conclusion, however, is at odds with the record. One might infer that Timpone's letter to the AUSA was an unjustified attempt to expand the scope of the AUSA's obligations under RPC 4.2 and 4.3 beyond the scope of RPC 1.13(a), but Timpone's letter does not reflect any ambivalence or inconsistency relevant to the question of import here, which is the identity of the party who enjoyed MDMC's loyalty and held the privilege of confidentiality. In that regard, Timpone gave the AUSA information that is substantially the same as the information he claims to have given Casey. He informed the AUSA: "Each employee [*15] you have selected to appear before the grand jury is told that we represent the University and that any privilege that envelops the conversation is held by the University." For the foregoing reasons, we conclude that the order of disqualification was entered without conducting an evidentiary hearing that is essential to the preliminary question of Casey's status as a former client of MDMC. Accordingly, reversal of the trial judge's order and remand for an evidentiary hearing are required. We decline to address the remaining question critical to the applicability of RPC 1.9, which is whether Casey's action based on a claim of wrongful termination is "substantially related" to the SCI investigation. The Supreme Court's decision in City of Atlantic City, which was issued while this appeal was pending, now controls that determination. Accordingly, if there is still a need to determine whether these matters are "substantially related" after a hearing on the issue of former representation, then the parties should have an opportunity to argue the point to the trial court with careful reference to the evidential materials submitted on the motion and the standard established in City of Atlantic [*16] City. The parties have presented additional arguments 159 with respect to the timing of Casey's application. Both urge us to consider the other's litigation conduct in addressing UMDNJ's claim that Casey waived the right to seek disqualification. On UMDNJ's side there are discovery oversights that are, at best, not easily understood. On Casey's side, there is the willingness to set the question of conflict aside during negotiations that is, at best, difficult to understand given that most of the relevant information was within her personal knowledge and that she was willing to proceed to mediation without resolving the question of conflict. The trial judge did not address the issue, and we deem it improvident to address waiver before the question of Casey's status as a former client is resolved. In the event it is necessary to resolve the issue, Rohm & Haas Co. v. American Cyanamid Co., 187 F. Supp. 2d 221, 229-30 (D.N.J. 2001) is informative. Rohm identifies the factors relevant to waiver of a claim for disqualification, which include the length of the delay, reasons for the delay and prejudice to the non-moving party. Id. at 229. Rohm also explains that the "essence" of the inquiry is [*17] whether the delay is a "tactical maneuver." Id. at 229-30. Reversed and remanded for further proceedings in conformity with this decision. We do not retain jurisdiction. 160 1-2016 NUMBER OPERATING PROCEDURES NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY PAGE SUBJECT Use of Social Media For Official Purposes and Use of Personal Social Media by Department Emglovees EFFECTIVE DATE May 23, 2016 1 a; 7 APPROVED BY ~' (Authorized S+gr~ahire) I. AUTHORITY: Pursuant to N.J.S.A. § 52:17B-1 et seq., and Executive Directive #1986-1, the Attorney General has established the following policy for the use of social media. II. PURPOSE: To establish a policy for the use of social media by Department of Law and Public Safety (Department) employees, interns, volunteers, agencies, and contractors for official purposes and for the use of personal social media by Department employees. This policy supplements New Jersey Office of Information Technology (NJOTT) Circulars No. 14-30, Acceptable Internet Usage, and No. 14-04-51, Disclaimer Policy. III.APPLICABILITY A. This policy applies to all divisions, agencies, commissions, and offices under the supervision of the Attorney General. Agencies allotted to the Department to fulfill the purposes of N.J. Const. Art. 5, Sec. 4, Par. 1 and not subject to the supervision of the Attorney General may elect to implement this policy. B. This policy applies to social media created and maintained by the Department or a contractor of the Department, to the use of social media created or maintained by third parties for an official Department purpose, and to the personal use of social media by Department employees. The policy extends to all use of social media platforms that affects the workplace, including access using a personal device. C. Compliance with this policy shall be required when contracting with third parties, including contractors, vendors, consultants, and others who develop and administer social media or social media platforms for the Department. D. Where this policy is inconsistent with provisions in a collective bargaining agreement, the provisions in the agreement control. IV. llTi~'INITIONS A. Bloc: (shorthand for web log) is a website with discrete posts containing commentary, descriptions of events, or other information or content using graphics or videos. 161 OPERATING PROCEDURES 1-2016 NUMBER NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY PAGE SUBJECT Use of Social Media For Official Purposes and Use of Personal Social Media by Department Emalovees EFFECTIVE DATE 2 0~ I APPROVED BY May 23, 2016 Signafure) B. Moderator: An authorized Department employee or contractor who reviews, approves, and allows content submitted by Department and public commenters to be posted to a Department blog or other social media platform. The moderator must be authorized to act in that capacity by a supervisor. C. Posting or Post: Any information or content published on social media or a website. Also refers to the act of publishing information or content on a website. For purposes of this SOP, a "like" or similar notation is a posting or post. D. Social Media or Social Media Platform: Social media is a category of Internet-based resources that integrate user-generated content and user participation. Users of social media share information, ideas, personal messages, and other content. A social media platform is a program, tool, or channel that facilitates the electronic communication. Examples of social media and social media platforms are social networking sites like Facebook and LinkdIn, micro bloggin~ sites like Twitter, photo and video sharing sites like Instagram and YouTube, wikis like Wikipedia, and news sites like Digg and Reddit. E. Web Site or Website: A group of World Wide Web pages, usually joined by hyperlinks, and containing information about a person, company, educational institution, government, or organization. V. PUBLIC SOCIAL MEDIA PLATFORMS CREATED, MAINTAINED, OR USED BY THE DEPARTMENT A Department agency may create, maintain, or use social media or a social media web site to advance the mission of the agency or the Department. Examples of acceptable uses of social media are to disseminate information to the public quickly in an emergency, to distribute public service information to a wide audience, to give access to the public to report time-sensitive information to law enforcement agencies and for law enforcement and investigative purposes. A. Procedures. The agency Director and the Director of the Department Office of Information Technology (Department IT) must approve the use of social media sites or pages for• official purposes in advance of implementation. 2. An agency shall document for the Department TT Director or designee that it has obtained the required registration ox registrations for its use of social media and that it has 162 1-2016 I NUMBER OPERATING PROCEDURES NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY PAGE SUBJECT Use of Social Media For Official Purposes and Use of Personal Social Media by Department Employees EFFECTIVE DATE 3 cif ~ APPROVED BY May 23, 2016 (c thorized Signature) n provided for logging and preserving content and comments in compliance with Department and agency policies for records retention. The plan for preserving content and comments must be adequate to enable responses to public information requests and retrieval of the information for other purposes such as litigation and discovery. The Department IT Director or designee will keep a list of current registrations, authorized users, logins, usernames, passwords, and email addresses. 3. A Department agency that uses a social media platform operated by a third party, such as Facebook or Twitter, must disable functions that allow the unsecure transfer of data. or links such as file exchanges and instant messaging. The agency must regularly check the social media platform's privacy .policies and updates to its software for consistency with the agency's business purpose and for adequate protection of confidential agency information. 4. The social media platform must comply with all Department and NJOIT policies and standards. NJOIT policies are available at the NJOIT webpage: http://www.state.nj.us/it/ps/. 5. The agency shall post on the platform a link or links to the Department's disclaimer statements as required under NJOIT Circular No. 14-04-51. B. Comment Policy for Department Social Media Platforms and Notice 1. If the social media platform allows users to post comments, the agency must assign an employee or use a third party contractor to moderate and maintain the platform. The moderator must review comments on a regular basis. 2. A supervisor must be given access to the social media platform to monitor the site as needed to ensure compliance with this Standard Operating Procedure. 3. The agency shall post a comment moderation policy for the removal of comments that are: i. ii. iii. iv. v. vi. Not directly related to the purpose and topical scope of the page. Obscene. Child pornography. Incitement to imminent lawless action. Speech presenting a grave and imminent threat. Fighting words. 163 OPERATING PROCEDURES N~~r~;~~r:F~ 1-2016 NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY SUBJECT EFFECTIVE DATE APPROVED BY Use of Social Media For Official Purposes and Use May 23, 2016 of Personal Social Media by ~ ,t hor;Zed s;ynarure} De artment Em to ees vii. (/ v viii. True threats. ix. Fraud. x. Defamation (libel/slander). xi. Solicitations to commit, or speech integral to, criminal conduct. xii. Promotions or advertisements of business or commercial transactions. xiii. Copyrighted materials (if posted without the copyright holder's consent). xiv. In violation of any local, state, or federal law. 4. Robo-spam and comments posted by automatic software programs (known as "bots") will be removed if necessary to ensure access for the general public. 5. An agency's comment policy should make clear that the Department is not responsible for, and neither endorses nor opposes, comments placed on the social media plat#'orm by visitors to it. The comment policy should give notice that commenters are personally responsible for their own comments, username, or any information placed on the page by a commenter. C. Department Social Media Platforms as Extensions of the Work 1p ace 1. Department social media platforms are an extension of the workplace. An employee acting in his or her official capacity must explicitly identify him or herself as an employee of the Department. An employee who administers, posts, comments, or otherwise interacts on social media in an official capacity is expected to maintain a professional demeanor, and to comply with workplace conduct requirements including prohibitions against discrimination and harassment, workplace violence prevention, and ethics requirements. Employees must exercise the same care in posting information on social media in an official capacity as they would with any external communication. 2. Content and comments posted to a Department social media platform may be public records subject to the Open Public Records Act, N.J.S.A. 47:1A-1, et seq• 3. Comments submitted for posting, whether approved. for posting or blocked, and content on an official social media page or web site are subject~to State and Department policies for control, use, retention, and destruction of records. The agency must provide for storage of the comments and content for the applicable period under those policies. 4. There is no expectation of privacy in information submitted to or posted on the social media platform by an employee or any other person. 164 t,~,`:~'-~s , OPERATING PROCEDURES 1-2016 NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY PAGE SUBJECT Use of Social Media For Official Purposes and Use of Personal Social Media by De artment Em to ees EFFECTIVE DATE 5 i~t 7 APPROVED BY May 23, 2016 ( horized Signature) U v 5. An agency or Department employee acting in an official capacity shall not post photographs or tag members of the public or other employees in photographs without prior approval by a supervisor. Where possible, the agency or Department employee shall first request permission from the persons) in the photograph. 6. Department social media shall not contain non-public, confidential, or proprietary information of the State, Department, clients, vendors, or members of the public. VI.PERSONAL SOCIAL MEDIA USE BY DEPARTMENT EMPLOYEES A. Department employees may not use social media in their personal capacities in any way that negatively affects the workplace or the employee's public employment in violation of workplace or public employment standards of conduct, including, but not limited to, the Department Standards of Conduct, Workplace Violence Prevention SOP, the Conflict of Interests Law, Uniform Ethics Code and the State Policy Prohibiting Discrimination in the Workplace. Any such use can result in a direcfiive to cease the activity or disciplinaxy action or both. B. If a Department employee has self-identified as an employee of the State, the Department, or agency, or his or her employment status would be apparent to a reader of a blog, comment, or other posting, the employee must include a disclaimer that states any opinions expressed are personal and not those of the Attorney General, the State, the Department, or the agency. C. A Department employee who uses social media in a personal capacity shall not: 1. Disclose non-public, confidential, or proprietary information of the government, clients, vendors, or members of the public gained through his or her employment; or 2. Use the Department or agency logo, trademarks, State seal, or other official State symbol. D. A Department employee's use of social media in a personal capacity to interact with clients, adverse parties, vendors, court personnel including judges, and others may present a conflict of interest or may be perceived as a conflict of interest or violate ethics rules. An employee who has or expects to have this kind of interaction should consult with the Department or agency ethics officer before proceeding. E. No Department or agency manager or supervisor shall ask a current or prospective employee for his or her user name or password to a personal account used exclusively for personal electronic communications unrelated to a business purpose of the Department or agency. 165 OPERATING PROCEDURES 1-2016 t~,~ur~;~t~~~„ NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY PAGE SUBJECT Use of Social Media For Official Purposes and Use of Personal Social Media by Department Emalovees VII. 6 of 7 EFFECTIVE DATE I APPROVED BY May 23, 2016 7 Signature) RULES OF PROFESSIONAL CONDUCT Department attorneys and legal support staff must comply with the New Jersey Rules of Professional Conduct (RPCs) when use of social media affects the work of the Department. The RPCs may be implicated under the following examples, which are not all-inclusive. Attorneys and legal support staff should seek assistance from the Department or agency ethics officer in circumstances that may implicate the RPCs. A. Ex parte communication with a judge. B. A judge is a "friend" or is otherwise "connected" to the attorney on the attorney's personal social media page, and a matter involving the State, the Department, the agency, or the attorney or legal support staff comes before the judge. The judge's "friend" or "connected" status could be perceived as a conflict of interest. C. "Friending" or "connecting" a client, former client, or party. That status could be perceived as a conflict of interest. D. Communication with a person who is represented by counsel. E. Communication with a person who is not represented about any legal matter or potential legal matter, including initiating contact for the purpose of gaining information related to a legal matter that would not otherwise be public. F. Reviewing information obtained from social media for purposes related to voir dire of potential and sitting jurors. G. Sharing confidential information about strategy, investigatory materials, or other confidential information about a legal matter, client, or a member of the public on a social media platform. VIII. CONSCIENTIOUS EMPLOYEE PROTECTION ACT (CI+,PA) A. The Conscientious Employee Protection Act (CEPA or Whistleblower Act), N.J.S.A. 34:19-1, et sec ., protects an employee from retaliation for disclosing an activity, policy, or practice of an employer that the employee reasonably believes violates a law or rule or is fraudulent or criminal. Department SOP 2-11, Conscientious Employee Act, Section V.A., defines protected disclosures more Fully and provides a process for the Department to address such disclosures. 166 OPERATING PROCEDURES of •r~i~ sT,~r 1-2016 NUMBER NEW JERSEY DEPARTMENT OF LAW AND PUBLIC SAFETY M e ~~i -~~~:; PAGE SUBJECT Use of Social Media For Official Purposes and Use of Personal Social Media by De artment Em to ees EFFECTIVE DATE ~ of ~ APPROVED BY May 23, 2016 uthorized Signature) B. An employee's communication on a State or personal social media platform could be a disclosure that is protected under CEPA. C. A supervisor who becomes aware of a disclosure that may be protected is responsible to ensure that the disclosure is submitted in writing to the Administrator. IX. VIOLATION, PENALTY An employee violating this policy may be subject to disciplinary action. 167