State Of Iowa Vs. Jeffrey D. Smith ( 2009 )


Menu:
  •               IN THE SUPREME COURT OF IOWA
    No. 07–1041
    Filed February 13, 2009
    STATE OF IOWA,
    Appellee,
    vs.
    JEFFREY D. SMITH,
    Appellant.
    Appeal from the Iowa District Court for Black Hawk County,
    Kellyann M. Lekar, Judge.
    Defendant charged with first-degree murder appeals from the
    district court’s order disqualifying his counsel of choice.   REVERSED
    AND REMANDED WITH INSTRUCTIONS.
    Robert P. Montgomery of Parrish, Kruidenier, Dunn, Boles,
    Gribble, Cook, Parrish, Gentry & Fisher, L.L.P., Des Moines, and Michael
    Lanigan, Waterloo, for appellant.
    Thomas J. Miller, Attorney General, Thomas S. Tauber, Assistant
    Attorney General, Thomas J. Ferguson, County Attorney, and Charity
    McDonell, Assistant County Attorney, for appellee.
    2
    HECHT, Justice.
    The State moved to disqualify defendant’s privately-retained
    counsel of choice on the ground that counsel faced an “actual conflict of
    interest.”   Despite the defendant’s express waiver of the conflict, and
    notwithstanding the availability of co-counsel to handle all matters
    related to the State’s witness whose involvement in the case was the
    subject of the claimed conflict, the district court ordered counsel to
    withdraw.     We stayed further proceedings in the district court and
    granted interlocutory discretionary review of the order disqualifying the
    defendant’s counsel. We now reverse and remand with instructions.
    I.     Factual and Procedural Background.
    Tonyeah Jackson was murdered at a Waterloo bar in July of 2006.
    Waterloo police identified the defendant, Jeffrey Smith, as a prime
    suspect in the murder.       On July 10, Smith met with Attorney Robert
    Montgomery of Parrish, Kruidenier, Dunn, Boles, Gribble, Cook, Parrish,
    Gentry & Fisher, L.L.P. (Parrish Firm) in Des Moines.                Montgomery
    advised Smith to voluntarily turn himself in to the police, and Smith
    complied. Smith was initially charged with a drug offense, and he hired
    Montgomery to represent him.
    On August 3, 2006, Smith was charged with first-degree murder in
    connection with the Jackson homicide.               He hired Montgomery to
    represent him on this new charge, as well.1 Montgomery appeared with
    Smith at the arraignment on the murder charge, and was given a copy of
    the trial information.     A list of potential witnesses for the State and
    1Montgomery’s    disqualification from representation of Smith on the murder
    charge gives rise to this appeal. Montgomery’s representation of Smith on the drug-
    related charge continued and is unrelated to this appeal.
    3
    minutes of testimony were not attached to or provided with the
    information delivered to Montgomery and Smith at the arraignment.2
    After making a formal appearance as Smith’s counsel on the
    murder charge, Montgomery filed an application for the appointment of a
    court-appointed co-counsel to assist in Smith’s defense.                      The court
    appointed attorney Mike Lanigan of Waterloo to serve as Montgomery’s
    co-counsel. Montgomery and Lanigan had no personal or professional
    association prior to their mutual representation of Smith in this case.
    Montgomery traveled to the clerk of court’s office in Waterloo on a
    number of subsequent occasions and reviewed the State’s list of
    witnesses, consisting of approximately one hundred names, and the
    minutes of testimony.            While reviewing the State’s witness list in
    December 2006, Montgomery discovered Marlon Earsery was among the
    persons named on the State’s list of potential witnesses. Earsery was at
    that time represented by Eric Parrish, Montgomery’s colleague in the
    Parrish Firm, on an unrelated criminal charge.
    The minutes of testimony revealed the State planned to call
    Earsery to testify about two tape-recorded telephone conversations he
    had with Shylandra Dunn, his girlfriend, and Larhandrae Dunn, her
    brother.3     The original minutes of testimony summarized Earsery’s
    expected testimony as follows:
    [Earsery] will testify and identify and introduce into evidence
    a recording from the jail pod with Shylandra Dunn and
    Larhandrae Bud Dunn. [Earsery] will testify and identify his
    voice and those voices on said conversation. [Earsery] will
    2The   record suggests it is customary in Black Hawk County for the initial
    witness lists and minutes of testimony to be placed in boxes at the clerk of court’s office
    in Waterloo. Thus, defendants and their counsel do not customarily receive documents
    communicating such information at the time of their arraignment in that county.
    3Earsery was an inmate in the county jail at the time, and his phone calls were
    tape-recorded consistent with the procedures used on all inmate calls originating from
    the jail.
    4
    testify and describe the events as they transpired during the
    phone conversation, mainly hearing shots and to Bud Dunn
    telling him that J-Rich just came in and started shooting up
    Crystyles.     [Earsery] will further testify, identify, and
    introduce into evidence said recorded phone call from the
    jail. [Earsery] will testify and identify the voices on it.
    [Earsery] will testify to the nature of the conversations.
    [Earsery] will testify as to the shots being recorded.
    After learning Earsery was represented by Parrish, Montgomery
    immediately discussed the matter with Lanigan.                    Montgomery and
    Lanigan again reviewed the minutes of testimony and concluded
    Earsery’s role as a witness would be to provide foundational testimony
    supporting the introduction of the audiotape in evidence.4                       Their
    understanding of Earsery’s expected role as a witness was corroborated
    in conversations with the prosecuting attorneys who suggested they saw
    no actual conflict presented by Montgomery’s continued representation
    of Smith.
    Montgomery and Lanigan believed Earsery’s expected testimony
    would not be accusatory in nature because Earsery was not present at
    the scene of the crime, and therefore had no personal knowledge of the
    matter. Neither Montgomery nor Lanigan anticipated a need to impeach
    Earsery’s foundational testimony through cross-examination.
    Even after concluding Earsery’s testimony was solely foundational,
    Montgomery took various cautionary steps to ensure the situation would
    not develop into an actual conflict.            First, Montgomery and Lanigan
    agreed Montgomery would not participate in deposing nor questioning
    4Contemporaneous     discussions between Smith’s attorneys and the county
    prosecutors concerning Earsery after discovering the potential conflict substantiated
    the conclusion that Earsery would serve a purely foundational role. The prosecutors
    indicated to Smith’s attorneys they saw no actual conflict presented by Montgomery’s
    continued representation of Smith. The prosecutors remained steadfast in this position
    until the time of the “Watson hearing.” At the hearing, the prosecutors argued Earsery
    would be a “key witness” contrary to their earlier assertions and contrary to the
    language of the minutes. Our full review of the record yields no support for the State’s
    assertion Earsery’s testimony would be more than foundational.
    5
    Earsery should either later become necessary.           Lanigan would handle
    those duties.5 Additionally, Montgomery took steps within the Parrish
    Firm to avoid all contact with Earsery’s defense. Montgomery gained no
    knowledge of Earsery’s client confidences, and he never discussed
    Earsery’s case or Smith’s case with Parrish.
    Having fully disclosed the situation to Lanigan and to the
    prosecutors, Montgomery proceeded as lead counsel from the time he
    was hired in September 2006 until May 2007 on the understanding that
    no actual conflict existed which would require his voluntary withdrawal
    or his involuntary disqualification.        During that time, Montgomery
    deposed over fifty witnesses and spent substantial time and energy
    preparing Smith’s defense. Smith’s defense was planned and organized
    with Montgomery as lead counsel, and consistent with Montgomery’s
    strategies and theories.
    On May 7, 2007, the State filed an “Additional Minute of
    Testimony” for Earsery. The additional minute of testimony stated:
    In addition to testifying to matters contained in Minutes of
    testimony previously filed in this case, [Earsery] will testify,
    identify and introduce into evidence recordings of two (2)
    phone conversations which originated with himself from the
    Black Hawk County Jail on 7/9/2006 between the hours of
    9:00 and 9:30 PM. [Earsery] will testify and identify the
    voices on said phone conversations. [Earsery] will testify
    that said voices are those of Shylandra Dunn (aka: Lan Lan)
    and Shytari Dunn (aka: TD or TT). [Earsery] will testify as to
    conversations with Bud Dunn. . . . [Earsery] will testify,
    identify and introduce into evidence said two (2) phone calls.
    [Earsery] will testify as to the foundation for said phone
    calls.
    Thus, the additional minute clarified Earsery’s expected testimony, but
    did not change the substance of the original minutes of testimony. In
    5Consistent with his belief that Earsery’s testimony was only foundational,
    Lanigan elected not to depose Earsery.
    6
    fact, the additional minute did nothing to alter the foundational nature of
    Earsery’s testimony.
    As trial approached, the district court’s deadline for filing pre-trial
    motions came and passed. On May 9, 2007, after the deadline for filing
    pre-trial motions had passed, the State filed a “Motion For Watson
    Hearing To Determine Conflict of Interest.”6 The State’s motion asserted,
    for the first time, that Montgomery should be disqualified as Smith’s
    counsel because of an actual conflict of interest arising from the Parrish
    Firm’s concurrent representation of Smith and Earsery.
    A hearing on the State’s motion was held on May 18, 2007
    approximately two weeks before Smith’s trial was scheduled to begin.
    The State contended Earsery would be an important witness for the
    State, and asserted the actual conflict required the total disqualification
    of Montgomery from any further representation of Smith on the murder
    charge.      Montgomery       and    Lanigan     disputed     the    State’s   claims,
    contending (1) Earsery was merely a foundational witness, (2) no actual
    conflict existed precluding Montgomery’s continuing representation of
    Smith, and (3) partial disqualification would be an adequate response to
    the perceived potential conflict of interest.          Montgomery informed the
    district court of the protective measures taken to mitigate the potential
    conflict, including the decision to have Lanigan handle all matters related
    to Earsery.     Smith acknowledged and voluntarily waived the possible
    conflict on the record during the hearing, and expressed to the district
    court his desire that Montgomery should continue to serve as defense
    counsel.
    6In  earlier discussions with Smith’s attorneys, the prosecutors suggested a
    hearing would only be necessary to create a record of Smith’s voluntary waiver of any
    “potential conflict.” A district court order entered on April 23, 2007 had noted such a
    hearing could be held on short notice at either party’s request. Neither party requested
    a hearing before the deadline for filing motions passed.
    7
    The district court found Earsery is a “key prosecution witness,”
    and concluded an “actual conflict of interest” requiring Montgomery’s
    total   disqualification     arose     from     the   Parrish     Firm’s    concurrent
    representation of Smith and Earsery. Smith filed a motion urging the
    district court to reconsider its ruling, and requesting an opportunity to
    make an offer of proof.7 The district court denied the motion.8
    Smith sought and we granted interlocutory discretionary review of
    the district court’s order.         We stayed all further proceedings in the
    district court pending this appeal.
    II.    Scope of Review.
    “A determination of whether a conflict exists is a mixed question of
    fact and law.” Pippins v. State, 
    661 N.W.2d 544
    , 548 (Iowa 2003) (citing
    Cuyler v. Sullivan, 
    446 U.S. 335
    , 342, 
    100 S. Ct. 1708
    , 1715, 
    64 L. Ed. 2d
     333, 342 (1980)); see also State v. Vanover, 
    559 N.W.2d 618
    , 627
    (Iowa 1997) (utilizing a modified version of the de novo standard to
    analyze a conflict of interest issue).
    When a defendant claims a violation of his Sixth Amendment
    rights, our review is generally de novo.              Pippins, 661 N.W.2d at 548
    (citing State v. Watson, 
    620 N.W.2d 233
    , 235 (Iowa 2000); Vanover, 559
    N.W.2d at 627). At the same time, “[w]hether the facts show an actual
    conflict of interest or a serious potential for conflict is a matter for trial
    court discretion.” Id. (citing Watson, 620 N.W.2d at 235; Vanover, 559
    N.W.2d at 627); see also Wheat v. United States, 
    486 U.S. 153
    , 164, 108
    7The
    motion was captioned “Motion to Reconsider and Motion for Expanded and
    Amended Findings of Fact and Conclusions of Law and Motion for Further Hearing for
    Offer of Proof and Request for In Camera Inquiry and Combined Incorporated
    Memorandum of Law.”
    8On  appeal, Smith assigns as error the district court’s decision to deny an offer
    of proof. We do not reach that issue because we reverse and remand with instructions
    for other reasons.
    
    8 S. Ct. 1692
    , 1700, 
    100 L. Ed. 2d 140
    , 152 (1988) (noting an evaluation of
    an actual conflict of interest is left primarily to the discretion of the trial
    court).    This court will “find an abuse of that discretion only when a
    party claiming it shows ‘the discretion was exercised on grounds or for
    reason clearly untenable or to an extent clearly unreasonable.’ ” Pippins,
    661 N.W.2d at 548 (quoting Vanover, 559 N.W.2d at 627).
    III.    Discussion.
    A.      Constitutional Right to Counsel-of-Choice.            The Sixth
    Amendment to the United States Constitution states: “In all criminal
    prosecutions, the accused shall enjoy the right to . . . have the
    Assistance of Counsel for his defence.” U.S. Const. amend. VI. The Iowa
    Constitution similarly states: “In all criminal prosecutions . . . the
    accused shall have a right to . . . have the assistance of counsel.” Iowa
    Const. art. I, § 10.
    “[A]n element of [the Sixth Amendment] right is the right of a
    defendant who does not require appointed counsel to choose who will
    represent him.” United States v. Gonzalez-Lopez, 
    548 U.S. 140
    , 144, 
    126 S. Ct. 2557
    , 2561, 
    165 L. Ed. 2d 409
    , 416 (2006) (citing Wheat, 486 U.S.
    at 159, 108 S. Ct. at 1697, 100 L. Ed. 2d at 148). Stated another way,
    “ ‘the Sixth Amendment guarantees the defendant the right to be
    represented by an otherwise qualified attorney whom that defendant can
    afford to hire, or who is willing to represent the defendant even though
    he is without funds.’ ”     Id. (quoting Caplin & Drysdale, Chartered v.
    United States, 
    491 U.S. 617
    , 624–25, 
    109 S. Ct. 2646
    , 2652, 
    105 L. Ed. 2d
    . 528, 541 (1989)).
    However,     the   defendant’s   right   to   counsel    of   choice   is
    “ ‘circumscribed in several important respects.’ ” Id. (quoting Wheat, 486
    U.S. at 159, 108 S. Ct. at 1697, 100 L. Ed. 2d at 148). It cannot be
    9
    overlooked that “the essential aim of the [Sixth] Amendment is to
    guarantee an effective advocate for each criminal defendant rather than
    to ensure that a defendant will inexorably be represented by the lawyer
    whom he prefers.”     Wheat, 486 U.S. at 159, 108 S. Ct. at 1697, 100
    L. Ed. 2d at 148.
    As the Eighth Circuit has noted, “[i]n general, defendants are free
    to employ counsel of their own choice and the courts are afforded little
    leeway in interfering with that choice.” United States v. Cox, 
    580 F.2d 317
    , 321 (8th Cir. 1978) (citation omitted). However, we have recognized:
    [t]here are times when an accused’s right to counsel of
    choice must yield to a greater interest in maintaining high
    standards of professional responsibility in the courtroom.
    The trial court may therefore disqualify counsel if necessary
    to preserve the integrity, fairness, and professionalism of
    trial court proceedings.
    Vanover, 559 N.W.2d at 626 (citation omitted) (emphasis added)
    (affirming the district court’s disqualification of the defendant’s attorney
    whom the State intended to call as a witness); see also State v. Powell,
    
    684 N.W.2d 235
    , 242 (Iowa 2004) (holding the existence of a possible
    conflict required remand for a determination of whether an actual
    conflict of interest existed, and holding a new trial would be required if
    an actual conflict existed).
    Indeed, when a defendant’s counsel of choice proceeds in
    representation despite an actual and apparent conflict of interest:
    “[T]he court should not be required to tolerate [such]
    inadequate representation of a defendant.                  Such
    representation . . . invites disrespect for the integrity of the
    court [and] it is also detrimental to the independent interest
    of the trial judge to be free from future attacks over the
    adequacy of waiver or the fairness of the proceedings in his
    [or her] own court and the subtle problems implicating the
    defendant’s comprehension of the waiver.”
    10
    Vanover, 559 N.W.2d at 627 (quoting Wheat, 486 U.S. at 162, 108 S. Ct.
    at 1698–99, 100 L. Ed. 2d at 151 (internal quotations omitted)).
    Although district courts need not tolerate inadequate representation to
    protect a defendant’s right to choose his counsel, a defendant who is
    erroneously deprived of the right to counsel of his or her choice is entitled
    to relief. Gonzalez-Lopez, 548 U.S. at 150, 126 S. Ct. at 2564–65, 165
    L. Ed. 2d at 419–20.
    With these principles in mind, we will address whether the district
    court    erred   (1)    in    concluding     the   Parrish   Firm’s    concurrent
    representation of Smith and Earsery constituted an actual conflict of
    interest requiring Montgomery’s disqualification; and (2) in ordering
    Montgomery’s total, rather than partial, disqualification.
    B.    The      Nature    of   Montgomery’s      Conflict.       We   have
    considered in two recent cases the effect of a defense counsel’s conflict of
    interest on a defendant’s right to counsel of choice.                 See State v.
    Smitherman, 
    733 N.W.2d 341
     (Iowa 2007); Watson, 
    620 N.W.2d 233
    . In
    both cases, the defendant’s attorney was, at least for some length of time,
    directly engaged in the concurrent representation of both a defendant
    and a witness for the prosecution. See Smitherman, 733 N.W.2d at 343–
    45; Watson, 620 N.W.2d at 234–35.             Apart from this initial similarity,
    however, the facts and legal conclusions of the two cases diverge.
    In Watson, the defendant was charged with murdering his father.
    620 N.W.2d at 234.           Ross-Boon and Sissel, colleagues in the public
    defender’s office, were appointed to represent Watson.           Id.    At trial, a
    witness for the State testified he overheard Watson admit he shot his
    father. Id. On cross-examination by Sissel, the witness admitted he was
    facing pending criminal charges, and disclosed that Ross-Boon was his
    counsel. Id. at 235. The trial court made no inquiry into the nature of
    11
    the conflict arising from Ross-Boon’s concurrent representation of
    Watson and the witness when it was revealed, and neither party objected
    in the district court. Id. In the direct appeal from his conviction, Watson
    first claimed Ross-Boon labored under an actual conflict of interest. Id.
    Watson argued the court’s failure to conduct an inquiry into the conflict
    required an automatic reversal of his conviction. Id.
    After an analysis of Sixth Amendment authorities, we adopted the
    “presumed prejudice” rule.        Id. at 235–36.      This rule requires a
    defendant’s conviction be reversed, regardless of guilt, if an actual
    conflict of interest existed. Id. at 236 (citations omitted). However, we
    also noted “if the trial court record shows merely a possibility of a conflict,
    prejudice will not be presumed.” Id. (citing Cuyler, 446 U.S. at 348, 100
    S. Ct. at 1718, 
    64 L. Ed. 2d
     at 346) (emphasis added). Accordingly, “ ‘a
    defendant who raised no objection at trial must demonstrate that an
    actual conflict of interest adversely affected his lawyer’s performance.’ ”
    Id. (quoting Cuyler, 446 U.S. at 348, 100 S. Ct. at 1718, 
    64 L. Ed. 2d
     at
    346).
    We concluded counsel’s actual conflict of interest mandated the
    reversal of Watson’s conviction where the trial court failed to make an
    inquiry into the conflict even after it became apparent. Id. at 237. We
    stated, “[i]t is only in cases of uncertainty, where the record shows the
    mere possibility of a conflict, that the additional requirement of an
    adverse effect on counsel’s performance is required to establish an actual
    conflict.” Id. at 238. We were not swayed by the fact Sissel handled all
    questioning of the adverse witness, because both Ross-Boon and Sissel
    were members of the same “firm” (the public defender’s office), and they
    had full and equal access to the witness’s confidences. Id. at 241.
    12
    In   Smitherman,       we    addressed     similar,      but   not   identical,
    circumstances. 733 N.W.2d at 341.9 Two public defenders, Anderson
    and Reel, were appointed to represent Smitherman on a murder charge.
    Id. A jailhouse informant, who was concurrently represented by Reel on
    unrelated     charges,    came      forward     with   information      relevant    to
    Smitherman’s guilt.        Id.     Reel withdrew from the representation of
    Smitherman soon after he discovered the dual representation, and the
    public defender’s office also promptly ceased all representation of the
    informant. Id. at 344. After his withdrawal as Smitherman’s counsel,
    Reel was entirely screened off from any matters related to Smitherman’s
    defense. Id.
    The State filed a pre-trial application for a “Watson hearing” to
    determine if a conflict of interest required disqualification of all attorneys
    associated with the public defender’s office.             Id.    A hearing on the
    application led the district court to find Smitherman wished to maintain
    his lawyer-client relationship with Anderson notwithstanding the former
    dual representation by Reel.            Id. at 345.       Based on the prompt
    “screening” actions of Reel and Smitherman’s voluntary waiver of any
    conflict, the district court concluded no potential or actual conflict of
    interest existed. Id.
    Smitherman was convicted.               He filed an appeal claiming his
    constitutional rights were violated by the public defender’s continued
    representation. Id. at 346. The appeal presented “one question: whether
    the defendant has made a showing whereby we can presume prejudice.”
    Id. (citing Watson, 620 N.W.2d at 238). In Mickens v. Taylor, 
    535 U.S. 162
    , 
    122 S. Ct. 1237
    , 
    152 L. Ed. 2d 291
     (2002), the Supreme Court
    9We note that our decision in Smitherman was not available to the district court
    when it ruled on the motion at issue in this appeal.
    13
    explained that “[a]n ‘actual conflict,’ for Sixth Amendment purposes, is a
    conflict of interest that adversely affects counsel’s performance.”            535
    U.S. at 172 n.5, 122 S. Ct. at 1244 n.5, 152 L. Ed. 2d at 305 n.5
    (emphasis   added).        In   applying     Mickens,   we   concluded    it   was
    Smitherman’s burden to show “adverse effects” resulting from the
    claimed conflict of interest in order to obtain a reversal.          Smitherman,
    733 N.W.2d at 347 (citing Mickens, 535 U.S. at 172–73, 122 S. Ct. at
    1244–45, 152 L. Ed. 2d at 304–05). In our application of this standard
    in Smitherman, we noted it was the defendant’s burden after his
    conviction to show his counsel was adversely affected by the conflict in
    order to prove a violation of his constitutional rights where the district
    court had conducted a meaningful inquiry as to the claimed conflict prior
    to the conviction, and because Smitherman had indicated his preference
    before trial that representation by the public defender should continue.
    Id.
    We distinguished Watson, a case in which the district court failed
    to conduct a reasonable inquiry into the apparent conflict and its effect
    on the defendant’s constitutional right to counsel, and therefore did not
    apply its “presumed prejudice” rule in Smitherman.                 Id. at 347–48.
    Unlike the circumstances presented in Watson, “all the parties were
    manifestly aware of the conflict and took several precautions to assure
    [Smitherman’s] rights were not violated,” and Smitherman requested his
    defense   counsel     be    permitted      to   continue     the   representation
    notwithstanding the conflict. Id. at 348. Under the circumstances, we
    concluded automatic reversal of Smitherman’s conviction was not
    appropriate. Id.; see also Wheat, 486 U.S. at 163, 108 S. Ct. at 1699,
    100 L. Ed. 2d at 151 (noting a district court must be afforded
    “substantial latitude” in refusing a defendant’s waiver where a “potential
    14
    for conflict” may arise during trial). We determined Smitherman failed to
    show how his counsel’s performance was “adversely affected” by the
    claimed conflict of interest, and concluded his right to conflict-free
    counsel was not violated. Smitherman, 733 N.W.2d at 349.
    Because Smith has not yet been tried, our consideration of his
    claim is prospective rather than retrospective as it was in Watson and
    Smitherman.     We conclude, however, that these recent cases reveal
    principles useful to our prospective analysis and the appropriate
    disposition of this appeal. We conclude Smith’s Sixth Amendment right
    to counsel of his choice was violated by the district court’s total
    disqualification of Montgomery under the circumstances presented here.
    1. The nature of the conflict. We agree the possibility of a conflict is
    present under the facts and circumstances of this case. However, as in
    Smitherman, several facts weigh against finding an actual conflict of
    interest. Among them are: (1) the presence of non-conflicted co-counsel
    Lanigan who will be able to handle any aspect of Smith’s defense that
    requires involvement with Earsery; (2) Smith’s voluntary waiver on the
    record; (3) Montgomery’s careful avoidance of involvement in Earsery’s
    defense through the Parrish Firm so as to avoid disclosure to him of
    Earsery’s client confidences; and (4) the purely speculative nature of the
    State’s claim that Montgomery’s representation of Smith will be adversely
    affected by the conflict.     Taken together, these facts substantially
    mitigate the risk that Montgomery’s continued representation of Smith
    will be burdened by an actual conflict.
    a.   Presence of non-conflicted co-counsel.       The district court’s
    decision failed to consider critical factual differences between the facts of
    this case and those presented in Watson. First, in Watson, conflicted-
    counsel Ross-Boon directly engaged in the concurrent representation of
    15
    the defendant and of a witness for the State.         620 N.W.2d at 238–39.
    Second, both of Watson’s defense attorneys were members of the same
    firm (the public defender’s office).    Id. at 241.   Thus co-counsel Sissel
    faced the same actual conflict as his colleague, Ross-Boon. Id. In the
    absence of evidence to the contrary, the court could only presume Sissel
    had full access to the same client confidences of both the witness and
    Watson as Ross-Boon, thus rendering the two attorneys equally
    conflicted. See id.
    In sharp contrast, Montgomery has carefully avoided direct
    engagement in the Parrish Firm’s representation of Earsery.           Perhaps
    more importantly, Lanigan, Montgomery’s non-conflicted co-counsel from
    an outside firm, is available to handle any defensive matters that relate
    to Earsery.    Lanigan, as we have explained, is unaffiliated with the
    Parrish Firm and has not been exposed to the client confidences of
    Earsery.   Lanigan is therefore free to question Earsery zealously (if it
    should become necessary) without the fear of divulging confidences.
    Lanigan’s presence as co-counsel significantly distinguishes the facts of
    this case from those in Watson, and mitigates the risk Smith will receive
    inadequate representation.     The district court abused its discretion in
    failing to distinguish this fact which led to its finding of an actual conflict
    and in turn to Montgomery’s total disqualification.
    b.   Voluntary waiver on the record.       Smith voiced an informed,
    unequivocal, voluntary waiver of the potential conflict on the record.
    Such a waiver of a conflict does not vitiate the court’s duty to ensure a
    defendant receives zealous representation when the facts suggest an
    “actual conflict of interest or a serious potential for conflict of interest.”
    Vanover, 559 N.W.2d at 626–27 (citation omitted); see also Wheat, 486
    U.S. at 162, 108 S. Ct. at 1698–99, 100 L. Ed. 2d at 150–52 (noting
    16
    “where a court justifiably finds an actual conflict of interest, there can be
    no doubt that it may decline a proffer of waiver . . .”).       However, a
    defendant’s informed, voluntary, and express waiver of counsel’s conflict
    is a significant factor in our determination of whether the defendant’s
    right to counsel has been violated.
    Smith’s waiver was made with full awareness of the Parrish Firm’s
    concurrent representation of Earsery, and with knowledge that Lanigan,
    who was not burdened with a conflict as to Earsery, would represent him
    in any examination of Earsery.        We find no reason on this record to
    believe Smith’s waiver was uninformed, incomplete, or ineffective. Like
    the defendant in Smitherman, Smith acknowledged Montgomery’s
    potential conflict on the record, waived it, and indicated his desire for
    Montgomery to continue as his counsel. See Smitherman, 733 N.W.2d at
    344–45, 348 n.7 (discussing the defendant’s waiver of a conflict and
    acquiescence to representation, but rendering no final conclusion as to
    the validity of the waiver). While the district court does have latitude in
    refusing such waivers where “a serious potential for conflict exists,” any
    possibility for an actual conflict in this case is mitigated by Montgomery’s
    avoidance of all involvement in Earsery’s defense and Lanigan’s ability to
    handle any aspect of Smith’s defense that requires contact with Earsery.
    See Vanover, 559 N.W.2d at 626–27 (noting the district court has latitude
    in refusing waivers of conflict). There is, in our view, no serious potential
    for an actual conflict that would preclude Montgomery’s representation of
    Smith in this case.
    c.   Montgomery’s efforts to avoid involvement with Earsery.        To
    ensure     Earsery’s   client   confidences   would   not   interfere   with
    Montgomery’s representation of Smith, counsel promptly took steps to
    mitigate any possible conflict arising from Earsery’s involvement as a
    17
    witness. As we have noted, he avoided all contact with Earsery’s defense
    within the Parrish Firm. Montgomery has had no contact with Parrish as
    to the cases of either Smith or Earsery, and has had no access to any of
    Earsery’s client confidences.
    Montgomery has also arranged to have no involvement in the
    examination of Earsery if he should be deposed or testify in Smith’s trial.
    Like defense counsel in Smitherman, Montgomery has shielded himself
    from involvement in aspects of the defense which might involve an
    examination of Earsery so as to prevent any “potential conflict of
    interest” from having any “adverse affects” on Smith’s defense. See 733
    N.W.2d at 344, 348 (discussing the use of a “Chinese wall” by the public
    defender’s office to prevent the exchange of client confidences and to
    ensure the defendant’s rights were protected). The district court abused
    its discretion in determining an actual conflict existed despite the
    protective effects of Montgomery’s careful efforts to avoid all involvement
    in Earsery’s defense and in any aspect of Smith’s defense that might
    require an examination of Earsery.10
    10In  applying an earlier version of the Iowa Rules of Professional Conduct, we
    recognized screens could be effective in mitigating imputed conflicts under certain
    circumstances. See Smitherman, 733 N.W.2d at 344, 348 (discussing the effective use
    of a “Chinese wall” by the public defender’s office); Doe v. Perry Cmty. Sch. Dist., 
    650 N.W.2d 594
    , 597–98 (Iowa 2002) (holding disqualification was appropriate, but
    referencing several ABA formal opinions where screening prevented the disqualification
    of an entire firm). It should be noted, however, that under the current version of the
    rules, screening will not prevent the imputation of conflicts of interest to other firm
    members in the practice of law. See generally Iowa Rs. Prof’l Conduct 32:1.7, 32:1.10;
    see also Randall B. Bateman, Return to the Ethics Rules as a Standard for Attorney
    Disqualification: Attempting Consistency in Motions for Disqualification by the Use of
    Chinese Walls, 33 Duq. L. Rev. 249, 259–61 (1995) (discussing the ABA’s decision not
    to include screening as a defense for private practice attorneys under the Model Rules
    of Professional Conduct). Our holding in this case should therefore not be understood
    as a determination that screening will generally vitiate conflicts of interest. As Smith’s
    constitutional right to choose his counsel was impacted by the order disqualifying
    Montgomery, we nonetheless consider the screening procedures implemented by
    Montgomery and the Parrish Firm as a factor in determining whether the alleged
    conflict is actual or merely potential, and our analysis of whether the claimed conflict is
    18
    d.   Speculative nature of the conflict.        The inherently speculative
    nature of the conflict in this case causes us to reject the district court’s
    conclusion      that     an     actual     conflict     requiring      Montgomery’s
    disqualification exists in this case. In Watson, the finding of an actual
    conflict was based, in part, on the fact that the testimony of the
    concurrently represented witness was directly adverse to the interests of
    the defendant. 620 N.W.2d at 239–41. Earsery’s testimony appears to
    be merely foundational in nature and will be used primarily to introduce
    a tape-recorded telephone conversation.11 Although the State speculates
    that Earsery’s testimony might evolve into something more, the minutes
    of testimony offer no support for the proposition that the witness has
    personal knowledge of other matters which might allow him to testify in a
    manner directly adverse to Smith. Earsery’s expected role in this case
    thus differs markedly from the role of the witness in Watson who testified
    he personally overheard the defendant admit commission of the charged
    crime. See id. at 234.
    Assuming there were support for the conclusion that Earsery was
    a witness who might become directly adverse to Smith, we have already
    noted Lanigan, a non-conflicted attorney from an outside firm, is
    available to conduct all questioning of Earsery. In Watson, there was no
    outside, non-conflicted counsel available to conduct questioning of the
    __________________________________
    serious or speculative. Given Smith’s voluntary waiver, the presence of non-conflicted
    co-counsel, and the speculative nature of the claimed conflict in this case, we conclude
    the screens implemented by Montgomery are a mitigating factor under the
    circumstances presented here. We do not suggest that those screens, standing alone,
    would have been sufficient to preclude his disqualification.
    11Attorneys Montgomery and Lanigan made professional statements indicating
    they foresaw no circumstance in which they would need to depose, cross-examine, or
    impeach Earsery.      The minutes of testimony support counsel’s conclusion that
    Earsery’s testimony serves only a foundation purpose. The record is markedly devoid of
    support for the State’s suggestion that Earsery could competently serve any other role
    as a witness.
    19
    adverse witness.        See id. at 241.       Lanigan, unlike both attorneys in
    Watson, is not in a situation of “divided loyalties.”12                  He is readily
    available to handle any aspect of the case involving Earsery.                         See
    generally Pippins, 661 N.W.2d at 549 (noting one test for determining
    whether a conflict exists is “whether an attorney is placed in a situation
    conducive to divided loyalties”).           The State presents no evidence or
    meritorious argument to suggest Lanigan is incapable of handling any
    examination of Earsery which might become necessary.13
    2. Rules of Professional Conduct. The Iowa Rules of Professional
    Conduct provide provisions relevant to our analysis in cases, such as
    this, involving concurrent conflicts of interest.                See Iowa Rs. Prof’l
    Conduct 32:1.7, 32:1.8, 32:1.10 (2005). The rules provide guidance in
    fully understanding and analyzing the conflict faced by Montgomery
    under the circumstances of this case.
    In relevant part, rule 32:1.7 states:
    (a) . . . [A] lawyer shall not represent a client if the
    representation involves a concurrent conflict of interest. A
    concurrent conflict of interest exists if:
    (1) the representation of one client will be directly adverse to
    another client; or
    (2) there is a significant risk that the representation of one or
    more clients will be materially limited by the lawyer’s
    responsibilities to another client . . . .
    Iowa R. Prof’l Conduct 32:1.7 (emphasis added).
    12From the time the potential conflict was discovered, Smith’s attorneys have
    planned for Lanigan to handle any aspect of the defense that might involve Earsery.
    Indeed, it was Lanigan who elected not to depose Earsery as to his foundational role in
    this case.
    13In  both its written brief and at oral argument, the State provided a laundry list
    of “what if” scenarios where something unexpected might happen and Attorney Lanigan
    might be incapable of responding without the assistance of Montgomery. We find the
    list of “what ifs” unpersuasive especially in light of a complete lack of any evidence to
    suggest Lanigan would be incapable of handling, without Montgomery’s involvement,
    any and all issues that may arise involving Earsery.
    20
    The conflict of interest rule outlined in rule 32:1.7 is subject to the
    imputation principles promulgated in rule 32:1.10. Rule 32:1.10 states:
    (a) While lawyers are associated in a firm, none of them shall
    knowingly represent a client when any one of them
    practicing alone would be prohibited from doing so by rule
    32:1.7 . . . .
    ....
    (c) A disqualification prescribed by this rule may be waived
    by the affected client under the conditions stated in rule
    32:1.7.
    Iowa R. Prof’l Conduct 32:1.10; see also Iowa R. Prof’l Conduct 32:1.10,
    cmt. 2 (stating “a firm of lawyers is essentially one lawyer for the
    purposes of the rules governing loyalty to the client”).
    In applying these rules in our analysis of the possible conflict faced
    by Montgomery, we first look to rule 32:1.7 to determine if an actual
    conflict of interest exists in Montgomery’s representation of Smith
    concurrently with Parrish’s representation of Earsery. To qualify as an
    actual conflict of interest under the rule, Parrish’s representation of
    Earsery must be directly adverse to Montgomery’s representation of
    Smith, or the representation of either client must be materially limited by
    representation of the other. See Iowa R. Prof’l Conduct 32:1.7. If either
    standard is met, an actual conflict exists.
    We conclude the concurrent representation of Smith and Earsery
    by the Parrish Firm, under the circumstances fully discussed above,
    meets neither the “directly adverse to” nor the “materially limited by”
    standards. Thus, the district court abused its discretion in concluding
    the conflict of interest in this case was an actual conflict.
    C.     Partial Disqualification.     Having established neither the
    circumstances of this case nor an application of the Rules of Professional
    Conduct support the district court’s finding an actual conflict under the
    21
    circumstances presented here, we conclude the total disqualification of
    Montgomery violated Smith’s right to counsel.
    “[T]he chosen method for dealing with a potential conflict, in the
    absence of a waiver, is the one which will alleviate the effects of the
    conflict while interfering the least with the defendant’s choice of counsel.”
    United States v. Agosto, 
    675 F.2d 965
    , 970 (8th Cir. 1982), abrogated on
    other grounds, Flanagan v. United States, 
    465 U.S. 259
    , 
    104 S. Ct. 1051
    ,
    
    79 L. Ed. 2d 288
     (1984); see also State v. Duncan, 
    435 N.W.2d 384
    , 387
    (Iowa 1988) (stating in cases of dual representation rather than joint
    representation “the danger of conflict is not as great, hence judicial
    scrutiny need not be as deep”). While recognizing the general principle
    that “[a] trial court has flexibility in making the difficult assessment of
    the potential for conflict,” the Eighth Circuit noted “substantial weight is
    given to defense counsel’s representations” in determining whether an
    actual conflict exists. United States v. Flynn, 
    87 F.3d 996
    , 1001 (8th Cir.
    1996) (citation omitted) (affirming a defendant’s conviction despite the
    fact his attorney had previously represented one of the government’s
    adverse witnesses). But see Powell, 684 N.W.2d at 241 (noting that an
    attorney is in a precarious position when continuing representation
    under circumstances suggesting the existence of divided loyalties).
    We believe the appropriate remedy in this case is a partial
    disqualification of Montgomery from any aspect of Smith’s defense
    involving Earsery. Partial disqualification will “alleviate the effects of the
    conflict while interfering the least with [Smith’s] choice of counsel.” See
    Agosto, 675 F.2d at 970.         Montgomery’s conflict is limited to one
    foundational witness. Lanigan is ready, willing, and able to handle all
    aspects of the case related to that witness. Under these circumstances,
    partial disqualification will limit the danger that the potential conflict will
    22
    prejudice Smith’s right to zealous representation while protecting his
    valuable right to choose the counsel who will represent him.
    In similar situations, other courts have allowed a defendant’s
    counsel of choice to continue representation when another, non-
    conflicted counsel was available to handle aspects of the case involving
    the witness giving rise to the conflict. See Rodriquez v. Chandler, 
    382 F.3d 670
    , 673 (7th Cir. 2004) (concluding the disqualification of an
    attorney was unnecessary where “having co-counsel cross-examine [the
    witness] would have eliminated all risks”); Agosto, 675 F.2d at 974
    (discussing counsel’s continued representation of a defendant so long as
    co-counsel was employed to handle cross-examination of certain
    witnesses, and so long as defendant executed a waiver); United States v.
    Johnson, 
    131 F. Supp. 2d 1088
    , 1103 (N.D. Iowa 2001) (noting the
    presence of non-conflicted co-counsel to handle matters involving a
    specific witness, if assigned to do so, supported the conclusion
    disqualification of counsel was unnecessary).
    The district court ordered total disqualification of Montgomery
    three weeks before trial, despite the fact that Montgomery had spent
    nearly a year preparing for Smith’s defense, and, more importantly,
    despite the presence of non-conflicted co-counsel to handle the cross-
    examination of Earsery if such examination becomes necessary.                The
    district court gave little or no weight to defense counsel’s representations
    regarding Earsery’s limited role as a foundational witness and the
    speculative nature of the possible conflict.             Given the proactive,
    protective measures taken by Montgomery and Lanigan, as well as both
    attorneys’   professional   statements    that     no    cross-examination    or
    impeachment     of   Earsery   is   anticipated,    we    conclude   the   total
    23
    disqualification of Montgomery unreasonably interferes with Smith’s
    right to counsel.
    IV.   Conclusion.
    We conclude the district court abused its discretion in ordering the
    total disqualification of Montgomery from representing Smith in his
    murder defense.     The total disqualification of Montgomery under the
    circumstances of this case violated Smith’s constitutional right to choose
    who will represent him in this case. Partial disqualification will mitigate
    any possible conflict while minimizing interference with the defendant’s
    rights. Therefore, we reverse and remand with instructions to the district
    court for entry of an order disqualifying Montgomery only from those
    aspects of Smith’s defense involving Earsery.
    REVERSED AND REMANDED WITH INSTRUCTIONS.