TOPIC:
CAN U.S.
ATTORNEY / LAW FIRM ETHICALLY OR LEGALLY OUTSOURCE LEGAL
PROCESS
Outsourcing Legal Support Services Overseas, Avoiding Aiding
a Non-Lawyer in the Unauthorized Practice of Law,
Supervision of Non-Lawyers, Competent Representation,
Preserving Client Confidences and Secrets, Conflicts
Checking, Appropriate Billing, Client Consent.
CODE: DR
1-104, DR 3-101, DR 3-102, DR 4-101, DR 5-105, DR 5-107, DR
6-101,
EC 2-22,
EC 3-6, EC 4-2, EC 4-5.
May a New
York lawyer
ethically outsource legal support services overseas when the
person providing those services is (a) a foreign lawyer not
admitted to practice in New York or in any other U.S.
jurisdiction or (b) a layperson? If so, what ethical
considerations must the New York lawyer address?
For
decades, American businesses have found economic advantage
in outsourcing work overseas. Much more recently,
outsourcing overseas has begun to command attention in the
legal profession, as corporate legal departments and law
firms endeavor to reduce costs and manage operations more
efficiently.
Under a
typical outsourcing arrangement, a lawyer contracts,
directly or through an intermediary, with an individual who
resides abroad and who is either a foreign lawyer not
admitted to practice in any U.S. jurisdiction or a
layperson, to perform legal support services, such as
conducting legal research, reviewing document productions,
or drafting due diligence reports, pleadings, or memoranda
of law.
Whether,
under the New York Code of Professional Responsibility (the
“Code”), a lawyer would be aiding the unauthorized practice
of law if the lawyer outsourced legal support services
overseas to a “non-lawyer,” which is how the Code describes
both a foreign lawyer not admitted to practice in New York,
or in any other U.S. jurisdiction, and a layperson.
Concluding that outsourcing is ethically permitted under the
conditions described below, The ethical obligations of the New
York lawyer to
(a)
supervise the non-lawyer and ensure that the non-lawyer’s
work contributes to the lawyer’s competent representation of
the client;
(b)
preserve the client’s confidences and secrets when
outsourcing;
(c) avoid
conflicts of interest when outsourcing;
(d) bill
for outsourcing appropriately; and
(e)
obtain advance client consent for outsourcing.4
The Duty
to Avoid Aiding a Non-Lawyer in the Unauthorized Practice of
Law
Under DR
3-101(A), “[a] lawyer shall not aid a non-lawyer in the
unauthorized practice of law.” In turn, Judiciary Law § 478
makes it “unlawful for any natural person to practice or
appear as an attorney-at-law . . . without having first been
duly and regularly licensed and admitted to practice law in
the courts of record of this state and without having taken
the constitutional oath .” Prohibiting the unauthorized
practice of law “aims to protect our citizens against the
dangers of legal representation and advice given by persons
not trained, examined and licensed for such work, whether
they be laymen or lawyers from other jurisdictions.” Spivak
v. Sachs, 16 N.Y.2d 163, 168, 211 N.E.2d 329, 331, 263
N.Y.S.2d 953, 956 (1965).
Alongside
these prohibitions, the last 30 years have witnessed a
dramatic increase in the extent to which law firms and
corporate law departments have come to rely on legal
assistants and other non-lawyers to help render legal
services more efficiently.5 Indeed, in EC 3
[See,
e.g., Jonathan D. Glater, Even Law Firms Join the Trend to
Outsourcing, N.Y. Times, Jan. 13, 2006; Eric Bellman &
Nathan Koppel, More U.S. Legal Work Moves to India’s
Low-Cost Lawyers, Wall St. J., Sept. 28, 2005; George W.
Russell, In-house or Outsourced? The Future of Corporate
Counsel, Asia Law (July/Aug. 2005); Ellen L. Rosen,
Corporate America Sending More Legal Work, to Bombay: U.S.
Firms Face Challenge Over Outsourcing Legal Work to India,
N.Y. Times, Mar. 14, 2004; Ann Sherman, Should Small Firms
Get on Board with Outsourcing?, Small Firm Business, Sept.
12, 2005.
3 See,
e.g., New York State Bar Association Committee on
Professional Ethics Opinion (“N.Y. State Opinion”) 721
(1999). ]
This
concerns outsourcing of “substantive legal support
services,” which include legal research, drafting, due
diligence reports, patent and trademark work, review of
ransactional and litigation documents, and drafting
contracts, pleadings, or memoranda of law. This is
distinguished from “administrative legal support services,”
which include ranscription of voice files from depositions,
trials and hearings; accounting support in the preparation
of timesheets and billing materials; paralegal and clerical
support for file management; litigation support graphics;
and data entry for marketing, conflicts, and contact
management.
See,
e.g., NYC Formal Op. 1995-11 (“In the two decades since this
committee issued its Formal Opinion on paralegals, see N.Y.
City 884 (1974), much has happened with regard to
non-lawyers’ involvement in the provision of legal
services.”) (describing the paralegal field as one of the
fastest growing occupations in America).
The Code
directly acknowledges both the benefits flowing from a
lawyer’s properly delegating tasks to a non-lawyer, and the
lawyer’s concomitant responsibilities:
A lawyer
often delegates tasks to clerks, secretaries, and other lay
persons. Such delegation is proper if the lawyer maintains a
direct relationship with the client, supervises the
delegated work, and has complete professional responsibility
for the work product. This delegation enables a lawyer to
render legal service more economically and efficiently.
In this
context, It has underscored that the lawyer’s supervising
the non-lawyer is key to the lawyer’s avoiding a violation
of DR 3-101(A). In N.Y. City Formal Opinion 199511, we
wrote:
Some
jurisdictions have concluded that any work performed by a
non-lawyer under the supervision of an attorney is by
definition not the “unauthorized practice of law” violative
of prohibitory provisions, see, e.g., In re Opinion 24 of
Committee on Unauthorized Practice of Law, 128 N.J. 114,
123, 607 A.2d 962 (1992). This committee does not go so far.
However, given that the Code holds the attorney accountable,
the tasks a non-lawyer may undertake under the supervision
of an attorney should be more expansive than those without
either supervision or legislation. Supervision within the
law firm thus is a key consideration.
The
Committee on Professional Ethics of the New York State Bar
Association has specifically addressed the unauthorized
practice of law in the context of a lawyer’s using an
outside legal research firm staffed by non-lawyers. In N.Y.
State Opinion 721 (1999), that Committee opined that a New
York lawyer may ethically use such a research firm if the
lawyer exercises proper supervision, which involves
“considering in advance the work that will be done and
reviewing after the fact what in fact occurred, assuring its
soundness.” Id. Without proper supervision by a New York
lawyer, the legal research firm would be engaging in the
unauthorized practice of law. Id. That Committee also noted
that, “other ethics committees in New York have determined
that non-lawyers may research questions of law and draft
documents of all kinds, including process, affidavits,
pleadings, briefs and other legal papers as long as the work
is performed under the supervision of an admitted lawyer”
In this
same vein, the Professional Responsibility and Ethics
Committee of the Los Angeles County Bar Association recently
wrote, “The attorney must review the brief or other work
provided by [the non-lawyer] and independently verify that
it is accurate, relevant, and complete, and the attorney
must revise the brief, if necessary, before submitting it to
the . . . court.” L.A. County Bar Assoc. Op. 518 (June 19,
2006) at 8-9.
The
potential benefits resulting from a lawyer’s delegating work
to a non-lawyer cannot be denied. But at the same time, to
avoid aiding the unauthorized practice of law, the lawyer
must at every step shoulder complete responsibility for the
non-lawyer’s work. In short, the lawyer must, by applying
professional skill and judgment, first set the appropriate
scope for the non-lawyer’s work and then vet the
non-lawyer’s work and ensure its quality.
[See,
e.g., Ellen L. Rosen, Corporate America Sending More Legal
Work to Bombay, N.Y. Times, Mar. 14, 2004 (quoting Professor
Stephen Gillers of NYU School of Law as stating that “even
though the lawyer [in the foreign country] is not authorized
by an American state to practice law, the review by American
lawyers sanitizes the process.”); Jennifer Fried, Change of
Venue; Cost-Conscious General Counsel Step up Their Use of
Offshore Lawyers, Creating Fears of an Exodus of U.S. Legal
Jobs, The American Lawyer, (Dec. 2003) (Professor Geoffrey
Hazard, Jr. of University of Pennsylvania Law School stated
that if foreign attorneys are “acting under the supervision
of U.S. lawyers, I wouldn’t think it would make much
difference where they are.”). ]
The
Duties to Supervise and to Represent a Client Competently
When Outsourcing Overseas
The
supervisory responsibilities of law firms and lawyers in
this context are set forth, respectively, in DR 1-104(C) and
(D).7 DR 1-104(C) articulates the supervisory responsibility
of a law firm for the work of partners, associates, and
non-lawyers who work at the firm:
A law
firm shall adequately supervise, as appropriate, the work of
partners, associates and non-lawyers who work at the firm.
The degree of supervision required is that which is
reasonable under the circumstances, taking into account
factors such as the experience of the person whose work is
being supervised, the amount of work involved in a
particular matter, and the likelihood that ethical problems
might arise in the course of working on the matter. DR
1-104(D) articulates the supervisory responsibilities of a
lawyer for a violation of the Disciplinary Rules by another
lawyer and for the conduct of a non-lawyer “employed or
retained by or associated with the lawyer”:
A lawyer
shall be responsible for a violation of the Disciplinary
Rules by another lawyer or for conduct of a non-lawyer
employed or retained by or associated with the lawyer that
would be a violation of the Disciplinary Rules if engaged in
by a lawyer if: 7 DR 1-104(C) requires a law firm, inter
alia, to supervise the work of non-lawyers who “work at the
firm,” whereas DR 1-104(D) describes, inter alia, the
supervisory responsibilities of a lawyer for the conduct of
a non-lawyer “employed or retained by or associated with the
lawyer.” Based on this difference in language, it can be
argued that DR 1-104(C) should not apply in the case of an
overseas non-lawyer because that person does not “work at
the firm,” whereas DR 1-104(D) should apply because the
overseas non-lawyer is “retained by” the New
York lawyer. Nonetheless, the Committee believes that these
two phrases were intended to be equivalent.
To
conclude otherwise and make the individual lawyer, but not
the law firm, responsible for supervising the overseas
non-lawyer would be difficult to justify and could also
easily lead to untoward results. For example, a law firm
seeking to cabin responsibility under DR 1-104(D)(2) for the
conduct of the overseas non-lawyer could simply refuse to
appoint anyone to supervise the non-lawyer.
1. The
lawyer orders, or directs the specific conduct, or with
knowledge of the specific conduct, ratifies it; or
2. The
lawyer is a partner in the law firm in which the other
lawyer practices or the non-lawyer is employed, or has
supervisory authority over the other lawyer or the
non-lawyer, and knows of such conduct, or in the exercise of
reasonable management or supervisory authority should have
known of the conduct so that reasonable remedial action
could be or could have been taken at a time when its
consequences could be or could have been
avoided
or mitigated.
Proper
supervision is also critical to ensuring that the lawyer
represents his or her client competently, as required by DR
6-101 — obviously, the better the non-lawyer’s work, the
better the lawyer’s work-product.
Given
these considerations and given the hurdles imposed by the
physical separation between the New
York lawyer and the overseas non-lawyer, the New York lawyer
must be both vigilant and creative in discharging the duty
to supervise. Although each situation is different, among
the salutary steps in discharging the duty to supervise that
the New York lawyer should consider are to (a) obtain
background information about any intermediary employing or
engaging the non-lawyer, and obtain the professional résumé
of the non-lawyer;
(b)
conduct reference checks; (c) interview the non-lawyer in
advance, for example, by telephone or by voice-over-internet
protocol or by web cast, to ascertain the particular
non-lawyer’s suitability for the particular assignment; and
(d) communicate with the non-lawyer during the assignment to
ensure that the non-lawyer understands the assignment and
that the non-lawyer is discharging the assignment according
to the lawyer’s expectations.
The
Duty to Preserve the Client’s Confidences and Secrets When
Outsourcing Overseas
DR 4-101
imposes a duty on a lawyer to preserve the confidences and
secrets of clients. Under DR 4-101, a “confidence” is
“information protected by the attorney-client privilege
under applicable law,” and a “secret” is “other information
gained in the professional relationship that the client has
requested be held inviolate or the disclosure of which would
be embarrassing or would be likely to be detrimental to the
client.” DR 4-101(A). DR 4-101(D) requires that a lawyer
“exercise reasonable care to prevent his or her employees,
associates, and others whose services are utilized by the
lawyer from disclosing or using confidences or secrets of a
client.” See also EC 4-5 (“a lawyer should be diligent in
his or her efforts to prevent the misuse of [information
acquired in the course of the representation of a client] by
employees and associates.”)
In N.Y.
City Formal Opinion 1995-11, this Committee addressed a
lawyer’s supervisory obligations regarding a non-lawyer’s
maintaining client confidences and secrets. This Committee
noted that “the transient nature of lay personnel is cause
for heightened attention to the maintenance of
confidentiality. . . . Lawyers should be attentive to these
issues and should sensitize their non-lawyer staff to the
pitfalls, developing mechanisms for prompt detection of . .
. breach of confidentiality problems.”
It is
concluded that if the outsourcing assignment requires the
lawyer to disclose client confidences or secrets to the
overseas non-lawyer, then the lawyer should secure the
client’s informed consent in advance. In this regard, the
lawyer must be mindful that different laws and traditions
regarding the confidentiality of client information obtain
overseas. See N.Y. State Opinion 762 (2003) (a New York law
firm must explain to a client represented by lawyers in
foreign offices of the firm the extent to which
confidentiality rules in those foreign jurisdictions provide
less protection than in New York); Cf. N.Y. State Opinion
721 (1999) (“[i]f the lawyer would have to disclose
confidences and secrets of the client [to the outside
research service] in connection with commissioning research
or briefs, the attorney should tell the . . . client what
confidential client information the attorney will provide
and obtain the client’s consent”).
Measures
that New York
lawyers may take to help preserve client confidences and
secrets when outsourcing overseas include restricting access
to confidences and secrets, contractual provisions
addressing confidentiality and remedies in the event of
breach, and periodic reminders regarding confidentiality.
The
Duty to Check Conflicts When Outsourcing Overseas
DR
5-105(E) requires a law firm to maintain contemporaneous
records of prior engagements and to have a system for
checking proposed engagements against current and prior
engagements. N.Y. State Opinion 720 (1999) concluded that a
law firm must add information to its conflicts-checking
system about the prior engagements of lawyers who join the
firm. In N.Y. State Opinion 774 (2004), that Committee
subsequently concluded that this same obligation does not
apply when non-lawyers join a firm, but noted that there are
circumstances under which it is nonetheless advisable for a
law firm to check conflicts when hiring a non-lawyer, such
as when the non-lawyer may be expected to have learned
confidences or secrets of a client’s adversary.
As a
threshold matter, the outsourcing New
York lawyer should ask the intermediary, which employs or
engages the overseas non-lawyer, about its conflict-checking
procedures and about how it tracks work performed for other
clients. The outsourcing New York lawyer
should also ordinarily ask both the intermediary and the
non-lawyer performing the legal support service whether
either is performing, or has performed, services for any
parties adverse to the lawyer’s client. The outsourcing New
York lawyer
should pursue further inquiry as required, while also
reminding both the intermediary and the non-lawyer,
preferably in writing, We do not mean to suggest that
confidentiality laws and traditions overseas always provide
less protection than in New York. See, e.g., M. McCary,
Bridging Ethical Borders: International Legal Ethics with an
Islamic Perspective, 35 Tex. Int’l L.J. 289, 313 (2000)
(“Although difficult to imagine, a Muslim party or client
may expect a higher degree of confidentiality than a [U.S.]
lawyer is accustomed to.”) of the need for them to safeguard
the confidences and secrets of their other current and
former clients.
The
Duty to Bill Appropriately for Outsourcing Overseas
By
definition, the non-lawyer performing legal support services
overseas is not performing legal services. It is thus
inappropriate for the New
York lawyer to
include the cost of outsourcing in his or her legal fees.
See DR 3-102. Absent a specific agreement with the client to
the contrary, the lawyer should charge the client no more
than the direct cost associated with outsourcing, plus a
reasonable allocation of overhead expenses directly
associated with providing that service. ABA
Formal Opinion 93-379 (1993).
The
Duty to Obtain Advance Client Consent to Outsourcing
Overseas
In the
case of contract or temporary lawyers, this Committee has
previously opined that “the law firm has an ethical
obligation in all cases (i) to make full disclosure in
advance to the client of the temporary lawyer’s
participation in the law firm’s rendering of services to the
client, and (ii) to obtain the client’s consent to that
participation.” N.Y. City Formal Opinion 1989-2; see also
N.Y. City Formal Opinion 1988-3 (“The temporary lawyer and
the Firm have a duty to disclose the temporary nature of
their relationship to the client,” citing DR 5-107(A)(1));
EC 2-22 (“Without the consent of the client, a lawyer should
not associate in a particular matter another lawyer outside
the lawyer’s firm); EC 4-2 (“[I]n the absence of consent of
the client after full disclosure, a lawyer should not
associate another lawyer in the handling of a matter . . .
.”). Similarly, many ethics opinions from other
jurisdictions have concluded that clients should be informed
in advance of the use of temporary attorneys in all
situations.10
The
Committee on Professional Ethics of the New York State Bar
Association adopted a more nuanced approach in N.Y. State
Opinion 715 (1999), explaining that the lawyer’s obligations
to disclose the use of a contract lawyer and to obtain
client consent depend upon whether client confidences and
secrets will be disclosed to the contract lawyer, the degree
of involvement that the contract lawyer has in the matter,
and the significance of the work done by the contract
lawyer. The Opinion further explained that “participation by
a lawyer whose work is limited to legal research or
tangential matters would not need to be disclosed,” but if a
contract lawyer “makes strategic decisions or performs other
work that the client would expect of the senior lawyers
working on the client's matters, . . . the firm should
disclose the nature of the work performed by the Contract
Lawyer and obtain client consent.” Id.
Non-lawyers often play more limited roles in matters than
contract or temporary lawyers do. Thus, there is little
purpose in requiring a lawyer to reflexively inform a client
every time that the lawyer intends to outsource legal
support services overseas to a non-lawyer. But the presence
of one or more additional considerations may alter the
analysis: for example, if (a) non-lawyers will play a
significant role in the matter, e.g., several non-lawyers
are being hired to do an important document review; (b)
client confidences and secrets must be shared with the
non-lawyer, in which case informed advance consent should be
secured from the client; (c) the client expects that only
personnel employed by the law firm will handle the matter;
or (d) non-lawyers are to be billed to the client on a basis
other than cost, in which case the client’s informed advance
consent is needed.
CONCLUSION
A lawyer
may ethically outsource legal support services overseas to a
non-lawyer if the lawyer (a) rigorously supervises the
non-lawyer, so as to avoid aiding the non-lawyer in the
unauthorized practice of law and to ensure that the
non-lawyer’s work contributes to the lawyer’s competent
representation of the client; (b) preserves the client’s
confidences and secrets when outsourcing; (c) under the
circumstances described in this Opinion, avoids conflicts of
interest when outsourcing; (d) bills for outsourcing
appropriately; and (e) under the circumstances described in
this Opinion, obtains the client’s informed advance consent
to outsourcing.