People v. Schutz , 2017 IL App (4th) 140956 ( 2017 )


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    Appellate Court                          Date: 2017.07.28
    09:00:20 -05'00'
    People v. Schutz, 
    2017 IL App (4th) 140956
    Appellate Court        THE PEOPLE OF THE STATE OF ILLINOIS, Plaintiff-Appellee, v.
    Caption                RYAN SCHUTZ, Defendant-Appellant.
    District & No.         Fourth District
    Docket No. 4-14-0956
    Filed                  June 7, 2017
    Modified upon denial
    of rehearing           July 20, 2017
    Decision Under         Appeal from the Circuit Court of McLean County, No. 13-CF-873; the
    Review                 Hon. John Casey Costigan, Judge, presiding.
    Judgment               Affirmed.
    Counsel on             Michael J. Pelletier, Jacqueline L. Bullard, and James R. Williams, of
    Appeal                 State Appellate Defender’s Office, of Springfield, for appellant.
    Jason C. Chambers, State’s Attorney, of Bloomington (Luke McNeill
    and David J. Robinson, of State’s Attorneys Appellate Prosecutor’s
    Office, of counsel), for the People.
    Panel                     JUSTICE HOLDER WHITE delivered the judgment of the court, with
    opinion.
    Justices Steigmann and Appleton concurred in the judgment and
    opinion.
    OPINION
    ¶1         In July 2013, defendant, Ryan Schutz, hired attorney M. Jane Foster to represent him in an
    ongoing criminal case. In November 2013, Foster was hired to represent Kristopher Johnson in
    two unrelated criminal cases. The following month, Foster withdrew from defendant’s case. In
    February 2014, Johnson, who was still represented by Foster, entered into a plea agreement
    conditioned upon him testifying against defendant in defendant’s pending case. Defendant’s
    attorneys at his bench trial, David Rumley and Michael Herzog, had also previously
    represented Johnson in unrelated matters. Following the bench trial, the trial court found
    defendant guilty of multiple charges and subsequently sentenced him to 12 years’
    imprisonment.
    ¶2         Defendant appeals, asserting all three of his attorneys labored under conflicts of interest
    that should result in us reversing his convictions and remanding for a new trial. For the
    following reasons, we affirm.
    ¶3                                             I. BACKGROUND
    ¶4         In July 2013, the State charged defendant with numerous offenses related to one victim: (1)
    four counts of criminal sexual assault while holding a position of trust (720 ILCS
    5/11-1.20(a)(4) (West 2012)), (2) four counts of criminal sexual assault by force or threat of
    force (720 ILCS 5/11-1.20(a)(1) (West 2012)), (3) four counts of aggravated criminal sexual
    abuse (720 ILCS 5/11-1.60(d) (West 2012)), and (4) two counts of providing alcohol to a
    minor (235 ILCS 5/6-16(a)(iii) (West 2012)).
    ¶5         Later that month, Foster filed an entry of appearance on defendant’s behalf. Foster
    appeared on defendant’s behalf for numerous pretrial matters, including (1) defendant’s waiver
    of his right to a jury trial, (2) two State motions to compel, and (3) the State’s motions to allow
    evidence pursuant to sections 115-7.2 and 115-7.3 of the Code of Criminal Procedure of 1963
    (725 ILCS 5/115-7.2, 115-7.3 (West 2012)).
    ¶6         In November 2013, while she continued to represent defendant, Foster entered her
    appearance on behalf of Kristopher Johnson in two unrelated criminal cases (McLean County
    case Nos. 13-CF-735 and 13-CF-1332). At some point in November or December 2013,
    Johnson, who shared a jail cell with defendant, obtained incriminating evidence from
    defendant regarding defendant’s criminal case.
    ¶7         Foster withdrew from defendant’s case in December 2013. In February 2014, Johnson
    entered into a plea agreement wherein he agreed to testify against defendant. Foster signed her
    acknowledgment of the plea agreement.
    ¶8         In March 2014, defendant’s case proceeded to bench trial, where he was represented by
    Rumley and Herzog. Pursuant to his plea agreement, Johnson testified against defendant,
    stating he had a conversation with defendant in the McLean County jail wherein defendant
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    admitted committing sexual acts with the victim. Herzog objected to Johnson’s testimony on
    numerous occasions, citing lack of foundation or narrative testimony.
    ¶9         On direct examination, Johnson admitted he had previously committed drug offenses that
    resulted in probation and prison sentences. During cross-examination, Rumley and Herzog did
    not question Johnson about his prior convictions for aggravated battery (McLean County case
    No. 07-CF-648), violation of bail bond (McLean County case No. 11-CM-752), or felony theft
    (McLean County case No. 12-CF-177), all impeachable convictions the State disclosed in
    discovery but failed to raise on direct examination. Herzog cross-examined Johnson regarding
    the plea agreement, and Johnson admitted he hoped to get a lighter sentence for disclosing
    confessions from other inmates, particularly those charged with sex offenses. Johnson also
    admitted he specifically sought information from defendant due to the nature of defendant’s
    case. Herzog also challenged Johnson’s version of events, which Rumley highlighted during
    closing arguments. Rumley argued Johnson’s testimony was “laughable,” as Johnson
    “pretended” to know details about the offense, but those details were inconsistent with other
    evidence. Moreover, Rumley highlighted that Johnson was a “jailhouse snitch” and convicted
    felon.
    ¶ 10       In one of the cases involved in Johnson’s plea agreement with the State (McLean County
    case No. 13-CF-735), Herzog had represented Johnson for purposes of conducting a June 2013
    bond hearing. The record contains no evidence that defendant or the trial court knew of
    Herzog’s prior representation of Johnson. Additionally, Rumley represented Johnson in a prior
    criminal proceeding unrelated to Johnson’s plea agreement (McLean County case No.
    12-CF-177), wherein Johnson was convicted of felony retail theft. Neither the State nor
    Rumley or Herzog impeached Johnson regarding his conviction on this offense. The record
    contains no evidence that defendant or the trial court knew of Rumley’s prior representation of
    Johnson.
    ¶ 11       Following the presentation of evidence, the trial court found defendant guilty of one count
    of criminal sexual assault, one count of criminal sexual abuse, and two counts of providing
    alcohol to a minor. In reaching its decision, the court found the victim credible given the
    general consistency of her statements. The court also noted that several witnesses testified
    about profound changes in the victim around the time of the alleged offenses, including a
    diagnosis of posttraumatic stress disorder, that gave further weight to the victim’s testimony.
    As to Johnson’s testimony, the court said, “while the court does not place a high degree of
    reliability in Mr. Johnson, the court would note that there are certain facts that he testified to
    that would be difficult for him to know had he not had a conversation that he claims he did with
    the defendant. The court likewise notes Mr. Johnson’s background and is considering the
    totality of his circumstances when evaluating his testimony.” The court subsequently
    sentenced defendant to 12 years’ imprisonment.
    ¶ 12       This appeal followed.
    ¶ 13                                            II. ANALYSIS
    ¶ 14       On appeal, defendant asserts that all three of his attorneys labored under a conflict of
    interest that should result in us reversing his conviction and remanding the case for a new trial.
    “[A] criminal defendant is entitled to the undivided loyalty of counsel who is free from
    conflicting interests or inconsistent obligations.” People v. Murry, 
    305 Ill. App. 3d 311
    , 314,
    
    711 N.E.2d 1230
    , 1233 (1999). Where the facts in the record are undisputed, the issue of
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    whether an attorney operated under a conflict of interest is a legal question subject to de novo
    review. People v. Murphy, 
    2013 IL App (4th) 111128
    , ¶ 24, 
    990 N.E.2d 815
    . We begin by
    addressing whether any of defendant’s attorneys labored under a per se conflict of interest.
    ¶ 15                                   A. Per Se Conflict of Interest
    ¶ 16       Defendant asserts Foster and Herzog operated under a per se conflict of interest that
    requires us to reverse and remand this case for a new trial. “A per se conflict of interest exists
    where certain facts about a defense attorney’s status, by themselves, engender a disabling
    conflict.” People v. Fields, 
    2012 IL 112438
    , ¶ 17, 
    980 N.E.2d 35
    . An attorney labors under a
    per se conflict of interest where defense counsel’s past or present commitments raise the
    possibility that the attorney is unwilling or unable to effectively represent the defendant.
    People v. Becerril, 
    307 Ill. App. 3d 518
    , 524, 
    718 N.E.2d 1025
    , 1029 (1999). “Unless a
    defendant waives his right to conflict-free representation, a per se conflict is automatic
    grounds for reversal.” Fields, 
    2012 IL 112438
    , ¶ 18, 
    980 N.E.2d 35
    .
    ¶ 17       A per se conflict of interest occurs: “(1) where defense counsel has a prior or
    contemporaneous association with the victim, the prosecution, or an entity assisting the
    prosecution; (2) where defense counsel contemporaneously represents a prosecution witness;
    and (3) where defense counsel was a former prosecutor who had been personally involved with
    the prosecution of defendant.” 
    Id.
     Here, defendant focuses on the second situation, where
    defense counsel has a contemporaneous relationship with the defendant and a prosecution
    witness. “[I]n cases where defense counsel has represented a State’s witness, a per se conflict
    of interest will not be held to exist unless the professional relationship between the attorney
    and the witness is contemporaneous with defense counsel’s representation of the defendant.”
    Id. ¶ 20. However, a contemporaneous relationship does not require simultaneous
    representation of a defendant and the prosecution’s witness. See People v. Daly, 
    341 Ill. App. 3d 372
    , 377, 
    792 N.E.2d 446
    , 450 (2003).
    ¶ 18                                              1. Foster
    ¶ 19       Defendant argues Foster had a contemporaneous relationship with both defendant and
    Johnson because she commenced her representation of Johnson in November 2013, prior to
    withdrawing from defendant’s case. In other words, she represented Johnson and defendant
    simultaneously. However, the State asserts that Johnson did not become a prosecution witness
    until he signed his plea agreement in February 2014, which occurred after Foster withdrew
    from defendant’s case. The question we must answer is whether a per se conflict arises by
    virtue of Foster representing a prosecution witness after withdrawing from defendant’s case.
    Because we find no published cases directly on point, we must attempt to draw analogies from
    existing case law.
    ¶ 20       In People v. Morales, 
    209 Ill. 2d 340
    , 344, 
    808 N.E.2d 510
    , 512 (2004), the defendant’s
    attorney also represented Jorge Hernandez, who was disclosed as a potential State’s witness in
    the defendant’s case. However, in the end, Hernandez did not testify at the defendant’s trial. 
    Id. at 343
    , 
    808 N.E.2d at 512
    . Defendant was convicted and, for the first time on appeal, argued
    that his attorney labored under a conflict of interest due to his contemporaneous representation
    of a potential prosecution witness. 
    Id. at 345
    , 
    808 N.E.2d at 512
    . The supreme court found no
    per se conflict of interest, concluding, because Hernandez never testified, the defendant’s
    attorney was never the attorney for a prosecution witness. 
    Id. at 346
    , 
    808 N.E.2d at 513
    .
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    ¶ 21       Other cases have highlighted the witness’s status as a prosecution witness in identifying
    whether an attorney labored under a per se conflict of interest. For example, in Murphy, 
    2013 IL App (4th) 111128
    , ¶ 77, 
    990 N.E.2d 815
    , this court found a contemporaneous relationship
    existed where defense counsel represented a disclosed prosecution witness during the pretrial
    phase of defendant’s case, and the prosecution witness later testified at defendant’s trial.
    Similarly, in People v. Thomas, 
    131 Ill. 2d 104
    , 113-14, 
    545 N.E.2d 654
    , 658 (1989), the
    supreme court found contemporaneous representation where defense counsel represented a
    disclosed prosecution witness but failed to call that witness at the defendant’s pretrial
    suppression hearing to challenge the veracity of the witness’s statements to police. In all of
    these cases, the individual’s status as a “prosecution witness” was key in determining whether
    a per se conflict of interest existed.
    ¶ 22       In the present case, at the time Foster represented defendant, Johnson was not disclosed as
    a prosecution witness, nor does the record suggest anyone was aware Johnson would later
    become a prosecution witness. In Morales, the defendant’s attorney did not represent a
    “prosecution witness” because Hernandez never testified. Applying the same reasoning in the
    present case, Foster did not represent a “prosecution witness” at the time she represented
    defendant. This is because February 2014, the earliest time Johnson can be considered a
    prosecution witness, is after Foster had withdrawn from defendant’s case. Thus, we conclude
    Foster did not contemporaneously represent a prosecution witness such that it would create a
    per se conflict of interest.
    ¶ 23       In support of his argument that Foster labored under a per se conflict of interest, defendant
    relies, in his reply brief, on People v. Gerold, 
    265 Ill. 448
    , 
    107 N.E. 165
     (1914). In Gerold, the
    defendant’s criminal defense attorney withdrew from representing the defendant and later
    became the prosecutor in the same case. Id. at 453, 107 N.E. at 168. The supreme court, in
    finding the attorney labored under a conflict of interest, reasoned:
    “[A]n attorney cannot represent conflicting interests or undertake to discharge
    inconsistent duties. When he has once been retained and received the confidence of a
    client, he cannot enter the service of those whose interests are adverse to that of his
    client or take employment in matters so closely related to those of his client or former
    client as in effect to be a part thereof.” Id. at 477, 107 N.E. at 177.
    The court added, “This rule is a rigid one, designed not alone to prevent the dishonest
    practitioner from fraudulent conduct, but as well to preclude the honest practitioner from
    putting himself in a position where he may be required to choose between conflicting duties.
    He should undertake no adverse employment, no matter how honest may be his motives and
    intentions.” Id. Because of the nature of the attorney-client relationship, an attorney “owes to
    his client fidelity, secrecy, diligence and skill and cannot take a reward from the other side.” Id.
    ¶ 24       In relying on Gerold, which provides a generalized overview of conflicts of interest,
    defendant overlooks the more specific rules relating to per se conflicts of interest developed in
    the years following Gerold. Specifically, defendant overlooks the three situations that
    constitute a per se conflict of interest: “(1) where defense counsel has a prior or
    contemporaneous association with the victim, the prosecution, or an entity assisting the
    prosecution; (2) where defense counsel contemporaneously represents a prosecution witness;
    and (3) where defense counsel was a former prosecutor who had been personally involved with
    the prosecution of defendant.” Fields, 
    2012 IL 112438
    , ¶ 18, 
    980 N.E.2d 35
    . The facts before
    us fit into none of the three proscribed situations. Aside from the fact that Foster did not act as
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    “defense counsel” during defendant’s trial, there are, as noted by the State, other problems with
    defendant’s position.
    ¶ 25       The State contends this case is more akin to People v. Probst, 
    344 Ill. App. 3d 378
    , 
    800 N.E.2d 834
     (2003). In Probst, the defendant’s attorney had previously represented the
    prosecution witness in an unrelated criminal case. Id. at 382, 
    800 N.E.2d at 839
    . The witness’s
    unrelated criminal case was dismissed after the witness agreed to act as a police informant. 
    Id.
    Months later, the witness undertook an undercover drug purchase from the defendant, which
    led to the defendant’s arrest and criminal charges. 
    Id.
     This court found no per se conflict of
    interest, concluding defense counsel’s prior representation of the witness “neither concerned
    nor was relevant to defendant’s trial.” Id. at 383, 
    800 N.E.2d at 840
    . This was particularly true
    where nothing in the witness’s agreement to become an informant was contingent on a guilty
    verdict in the defendant’s case. Id. at 384, 
    800 N.E.2d at 840
    .
    ¶ 26       Similarly, in the present case, nothing in the record indicates Johnson’s agreement to
    testify against defendant was contingent on a guilty verdict in defendant’s case. Moreover,
    Johnson’s plea agreement concerned criminal cases wholly unrelated to defendant’s criminal
    case. Thus, as in Probst, defense counsel’s representation of Johnson “neither concerned nor
    was relevant to defendant’s trial.” Id. at 383, 
    800 N.E.2d at 840
    .
    ¶ 27       After applying the existing case law to the facts of this case, we conclude Foster did not
    labor under a per se conflict of interest.
    ¶ 28                                         2. Herzog
    ¶ 29       With respect to Foster, we found no per se conflict of interest where she did not
    contemporaneously represent defendant and a “prosecution witness.” See 
    id.
     The same
    reasoning applies to Herzog. Herzog represented Johnson for purposes of a bond hearing in
    June 2013, but Johnson did not become a State’s witness until February 2014, long after
    Herzog’s representation of Johnson ended. Thus, we conclude Herzog was not laboring under
    a per se conflict of interest.
    ¶ 30       We now turn to whether any of defendant’s attorneys labored under an actual conflict of
    interest.
    ¶ 31                                   B. Actual Conflict of Interest
    ¶ 32       Where a defendant fails to demonstrate a per se conflict of interest, he must demonstrate
    that an actual conflict of interest adversely affected his attorney’s performance. People v.
    Austin M., 
    2012 IL 111194
    , ¶ 82, 
    975 N.E.2d 22
    . To establish a conflict, the defendant must
    show “some specific defect in his counsel’s strategy, tactics, or decision making attributable to
    [a] conflict.” (Internal quotation marks omitted.) Morales, 
    209 Ill. 2d at 349
    , 
    808 N.E.2d at 515
    . “[M]ere speculative or hypothetical conflicts are insufficient to demonstrate an actual
    conflict of interest.” People v. Bailey, 
    374 Ill. App. 3d 1008
    , 1022, 
    872 N.E.2d 1018
    , 1031
    (2007).
    ¶ 33                                            1. Foster
    ¶ 34       Although defendant asserts Foster labored under an actual conflict of interest, he raises no
    specific argument to support such a finding. Regardless, given that Foster had withdrawn from
    defendant’s case prior to trial and prior to Johnson becoming a prosecution witness, it is
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    difficult to imagine how a conflict of interest adversely affected Foster’s performance. See
    Austin M., 
    2012 IL 111194
    , ¶ 82, 
    975 N.E.2d 22
    . Notably, defendant makes no allegation that
    Foster provided any privileged information about defendant’s case to Johnson. In fact,
    Johnson’s agreement to testify stemmed not from his relationship with Foster, but from an
    alleged conversation between defendant and Johnson. Given Foster did not represent
    defendant at trial, it cannot be said Foster’s divided loyalties impeded her ability to
    cross-examine Johnson. Accordingly, we conclude defendant has failed to demonstrate Foster
    labored under an actual conflict of interest.
    ¶ 35                                             2. Herzog
    ¶ 36       Defendant asserts Herzog’s failure to properly impeach Johnson with his prior convictions
    constituted an actual conflict of interest due to Herzog’s duties to Johnson as a former client.
    Defendant argues Herzog’s loyalties were divided between defendant, who stood to benefit
    from Johnson’s impeachment, and Johnson, to whom, as a former client, Herzog had a
    continuing duty of loyalty.
    ¶ 37       We begin by noting that Herzog had no reason to engage in redundant impeachment of
    Johnson regarding his prior criminal history. The State engaged in extensive examination,
    highlighting that Johnson was currently in jail, had been to prison, was on drug court
    probation, and had convictions for drug-related offenses. The State’s direct examination also
    included a discussion of Johnson’s plea agreement in McLean County case Nos. 13-CF-1332
    and 13-CF-735, the latter being the case in which Herzog briefly represented Johnson. On
    cross-examination, Herzog generally highlighted Johnson’s criminal history, including the fact
    that Johnson (1) had previously been to prison, (2) had been in the McLean County jail for
    approximately five months, and (3) had prior experiences in criminal court. Although Herzog
    did not specifically question Johnson about his prior convictions for aggravated battery
    (McLean County case No. 07-CF-648), violation of bail bond (McLean County case No.
    11-CM-752), or felony theft (McLean County case No. 12-CF-177), Herzog’s
    cross-examination of Johnson’s criminal history was sufficient to impeach his overall
    testimony.
    ¶ 38       Not only did Herzog impeach Johnson’s credibility with his history of criminality, Herzog
    also engaged in extensive cross-examination of Johnson’s motives regarding the plea
    agreement, such as Johnson’s (1) knowledge that he could receive favorable treatment from
    the State if he provided information about an inmate charged with a sex crime, (2) targeting of
    defendant in an attempt to obtain a statement, and (3) desire to benefit from disclosing
    defendant’s alleged statements. Herzog extensively questioned Johnson regarding the details
    of defendant’s alleged statement, which Rumley used during closing arguments to demonstrate
    the lack of accuracy in Johnson’s testimony when compared to the other evidence. These
    actions do not demonstrate Herzog was withholding himself from fully questioning Johnson
    due to ongoing loyalties. Accordingly, defendant has failed to demonstrate an actual conflict of
    interest adversely affected Herzog’s performance.
    ¶ 39                                           3. Rumley
    ¶ 40      Defendant next asserts Rumley’s failure to properly impeach Johnson with his prior
    convictions constituted an actual conflict of interest due to Rumley’s duties to Johnson as a
    former client. Although Herzog cross-examined Johnson, and was therefore the attorney in a
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    position to directly challenge Johnson, Rumley challenged Johnson’s testimony at length
    during closing argument. Rumley called Johnson’s testimony “laughable” and highlighted the
    various inaccuracies in Johnson’s testimony. As with Herzog, Rumley’s actions demonstrated
    a loyalty to defendant. Accordingly, defendant has failed to show an actual conflict of interest
    adversely affected Rumley’s performance.
    ¶ 41                                          C. Best Practices
    ¶ 42        Although we find no specific conflict of interest present in this case, our conclusion does
    not condone counsels’ representations as ideal. As the State conceded at oral argument, this
    case presents a scenario where “the optics aren’t the best.” In the judicial system, where we
    seek to avoid even the appearance of impropriety and extol the notion of fairness, cases such as
    the one before us tarnish that image. Simply stated, it can be inferred from the facts of this case
    that Foster worked out a deal for one her clients that was to the detriment of another client. The
    difficulties presented by this case are avoidable.
    ¶ 43        Diligent record keeping as to client representation—along with communication among the
    trial court, counsel, and the defendant—would have prevented the problems that developed in
    this case. Counsel should stay informed as to prior clients and disclose to the court and the
    defendant any prior representation of individuals related to the defendant’s case. This would
    allow the defendant to state any grievances or request new counsel prior to trial, and it would
    give the trial court the opportunity to resolve the matter.
    ¶ 44        As a better practice, Foster should have informed the trial court that she previously
    represented defendant and currently represented Johnson, who was now a prosecution witness
    against defendant. Both Herzog and Rumley should have disclosed their prior representation of
    Johnson, regardless of the nature or length of the representation. While we do not suspect or
    intend to suggest any wrongdoing on the part of any of the attorneys involved in this matter, we
    conclude our proposed solution appropriately places the burden on counsel in light of their
    ethical obligations in matters before the court. Additionally, in cases involving court-appointed
    attorneys, such as Herzog and Rumley, the court certainly has the authority to make inquiries
    aimed at assuring appointed counsel is not laboring under any conflict of interest.
    ¶ 45                                      III. CONCLUSION
    ¶ 46      For the foregoing reasons, we affirm the trial court’s judgment. As part of our judgment,
    we grant the State its $75 statutory assessment against defendant as costs of this appeal. 55
    ILCS 5/4-2002 (West 2014).
    ¶ 47      Affirmed.
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