William M. Woodside, and Billy E. and Mary Agnita Woodside v. Susan E. Woodside (Gilley) - Concurring ( 1995 )


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  •      IN THE COURT OF APPEALS OF TENNESSEE
    MIDDLE SECTION AT NASHVILLE
    FILED
    WILLIAM M. WOODSIDE,        )                                     Oct. 20, 1995
    )
    Plaintiff/Appellant,    )                                  Cecil Crowson, Jr.
    Appellate Court Clerk
    )
    and                         )
    )                Davidson Probate
    BILLY E. and MARY AGNITA    )                No. 89D-95
    WOODSIDE,                   )
    )
    Plaintiffs,             )
    )
    )                Appeal No.
    VS.                         )                01-A-01-9503-PB-00121
    )
    )
    SUSAN E. WOODSIDE (GILLEY), )
    )
    Defendant/Appellee.     )
    CONCURRING                        OPINION
    In 1987 the United States Supreme Court placed limits on the use of private
    lawyers to prosecute criminal contempt cases in federal court. Young v. United
    States ex rel. Vuitton et Fils, S.A., 
    481 U.S. 787
    , 
    107 S. Ct. 2124
    (1987). This
    appeal calls upon us to decide whether similar limitations should be placed on the
    use of private lawyers to prosecute criminal contempt cases in state court. The
    majority has declined to adopt the reasoning of the Young decision based on an
    unduly narrow view of this court's responsibility. I cannot join the majority’s
    opinion. Instead, I would find that the resolution of this important question must
    await another day because the appellant has waived his right to raise the issue by
    failing to make a timely demand for another prosecutor in the trial court.
    I.
    Susan Gilley and William Woodside were divorced in May 1989. The trial
    court awarded custody of their two children to Mr. Woodside’s parents and
    ordered both Ms. Gilley and Mr. Woodside to pay $50 per week in child support.
    In May 1990, the trial court transferred custody of the two children to Ms. Gilley
    and directed Mr. Woodside to pay her $118 in weekly child support.
    In March 1994 Ms. Gilley filed a petition seeking to increase the amount of
    Mr. Woodside’s child support and to hold him in contempt for failing to pay child
    support. She alleged that Mr. Woodside was $10,054 in arrears in his child
    support payments and requested that he be incarcerated for six months pursuant
    to Tenn. Code Ann. § 36-5-104(a) (1991).1 Mr. Woodside responded with his
    own petition seeking to hold Ms. Gilley in contempt for interfering with his
    visitation.
    The trial court heard the evidence with regard to both contempt petitions in
    September 1994. Ms. Gilley’s lawyer presented the proof against Mr. Woodside
    without objection. On October 11, 1994, the trial court filed an order finding that
    Mr. Woodside was able to pay child support and that he was $10,054 in arrears in
    his child support payments. Accordingly, the trial court found Mr. Woodside in
    contempt and sentenced him to serve six months in the Metro Workhouse. In
    addition to requiring Mr. Woodside to pay down the arrearage, the trial court also
    increased his child support payments to $141 per week.
    Mr. Woodside retained a new lawyer who filed a motion for a new trial and
    for post-conviction relief.2 In addition to challenging the competency of Mr.
    1
    Tenn. Code Ann. § 36-5-104(a) provides that “[a]ny person, ordered to provide child
    support and maintenance for a minor child or children, who fails to comply with the order or
    decree, may, in the discretion of the court, be punished by imprisonment in the county
    workhouse or county jail for a period not to exceed six (6) months.”
    2
    Of course, the motion could not properly be for a new trial or for post-conviction relief.
    The proper form of a request for post-trial relief following a bench trial would have been a
    (continued...)
    -2-
    Woodside’s trial lawyer, the motion asserted that the trial court had abused its
    discretion by permitting Ms. Gilley’s lawyer to prosecute the criminal contempt
    claim “contra to the United States Supreme Court directives contained in Young
    v. U.S. . . ..” The trial court denied the motion, and Mr. Woodside perfected this
    appeal solely to take issue with the trial court’s decision to permit Ms. Gilley’s
    lawyer to prosecute the criminal contempt charges against him.
    II.
    I turn first to two analytical flaws in the majority’s opinion. The majority
    has declined to consider whether the Young decision should be followed in
    Tennessee because it is not “binding” on Tennessee courts and because
    determining whether the Young decision should be followed is a “public policy”
    matter that can only be determined by the Tennessee Supreme Court or the
    General Assembly. This reasoning reflects an unduly narrow view of our
    responsibility and is inconsistent with our other decisions.
    A.
    Prior to 1987, many federal courts followed Judge Learned Hand’s dicta
    permitting trial courts to use a lawyer representing an interested party to prosecute
    a criminal contempt charge arising out of the civil proceeding. McCann v. New
    York Stock Exchange, 
    80 F.2d 211
    , 214 (2d Cir. 1935), cert. denied, 
    299 U.S. 603
    ,
    
    57 S. Ct. 233
    (1936). The United States Supreme Court parted company with
    Judge Hand in Young v. United States ex rel. Vuitton et Fils, S.A. when it held that
    federal judges could no longer appoint a private lawyer representing an interested
    party to prosecute a criminal contempt action.
    2
    (...continued)
    motion to alter or amend the judgement pursuant to Tenn. R. Civ. P. 59.04. Since we construe
    motions based on their substance, not on their title, Bemis Co. v. Hines, 
    585 S.W.2d 574
    , 576
    (Tenn. 1979); Pickard v. Ferrell, 
    45 Tenn. App. 460
    , 471, 
    325 S.W.2d 288
    , 292-93 (1959), we
    have elected to treat Mr. Woodside’s motion as a Tenn. R. Civ. P. 59.04 motion.
    -3-
    The Young Court did not establish a constitutional right to a public
    prosecutor in criminal contempt proceedings. Green v. Green, 
    642 A.2d 1275
    ,
    1280-81 (D.C. 1994). While the justices unanimously preferred referring criminal
    contempt proceedings to public prosecutors, Terri R. Braswell, Comment,
    Criminal Procedure - Young v. United States ex rel. Vuitton et Fils S.A.: The
    Right to a Disinterested Prosecutor in a Federal Criminal Contempt Proceeding
    Arising from the Underlying Civil Litigation, 18 Mem. St. U.L. Rev. 143, 159
    (1987), only four justices found that using private lawyers for interested parties
    to prosecute criminal contempt cases was inconsistent with the Due Process
    Clause of the Fourteenth Amendment.
    Rather than relying on constitutional grounds, the Young majority rested its
    decision on the American Bar Association’s Model Code of Professional
    Responsibility (1969, revised 1980).                 The Court pointed out that public
    prosecutors represent the sovereign and that they have a responsibility to seek
    justice, not merely to convict.3 Accordingly, the Court reasoned that lawyers
    already representing an interested party would have an insurmountable conflict
    of interest if they also undertook to represent the sovereign in a criminal contempt
    case.4 The Court pointed out that
    The Government’s interest is in dispassionate
    assessment of the propriety of criminal charges for
    affronts to the Judiciary. The private party’s interest is
    in obtaining the benefits of the court’s order. While
    these concerns may sometimes be congruent, sometimes
    they may not. A prosecutor may be tempted to bring a
    tenuously supported prosecution if such a course
    promises financial or legal rewards for the private
    client. Conversely, a prosecutor may be tempted to
    abandon a meritorious prosecution if a settlement
    providing benefits to the private client is conditioned on
    a recommendation against criminal charges.
    3
    Young v. United States ex rel. Vuitton et Fils, 
    S.A., 481 U.S. at 803
    , 107 S. Ct. at 2135,
    quoting ABA Model Code of Professional Responsibility EC 7-13.
    4
    Young v. United States ex rel. Vuitton et Fils, 
    S.A., 481 U.S. at 802-06
    , 107 S. Ct. at
    2135-37, quoting ABA Model Code of Professional Responsibility, DR 5-105 and EC 5-14, 5-
    15, and 9-6.
    -4-
    Young v. United States ex rel. Vuitton et Fils, 
    S.A., 481 U.S. at 805
    , 107 S. Ct. at
    2136; see also United States v. Providence Journal Co., 
    485 U.S. 693
    , 696 n.3,
    
    108 S. Ct. 1502
    , 1505 n.3 (1988).
    The United States Supreme Court was exercising its “supervisory power”
    over lower federal courts when it decided the Young case. Young v. United States
    ex rel. Vuitton et Fils, 
    S.A., 481 U.S. at 790
    , 107 S. Ct. at 2128. Thus, as the
    majority correctly points out, the Young decision is not “binding on the Courts of
    Tennessee.” However, simply concluding that the decision is not “binding”
    cannot end the inquiry. The United States Supreme Court relied heavily upon the
    Model Code of Professional Responsibility. The Tennessee Supreme Court has
    adopted the very same code, and it currently governs the conduct of all attorneys
    in this state. See Tenn. S. Ct. R. 8.
    The Tennessee Supreme Court is the final arbiter of its own rules.
    Accordingly, Tennessee’s courts must look first to the decisions of the Tennessee
    Supreme Court for controlling interpretations of these rules. The Tennessee
    Supreme Court has, however, recognized the value of uniform interpretations of
    similar rules, State v. Jones, 
    598 S.W.2d 209
    , 219 (Tenn. 1980), and has held
    repeatedly that we may look to other jurisdictions’ interpretations of similar rules
    for helpful guidance in interpreting our own rules. Henderson v. Bush Bros. &
    Co., 
    868 S.W.2d 236
    , 237 (Tenn. 1993); Byrd v. Hall, 
    847 S.W.2d 208
    , 211 n.2
    (Tenn. 1993); Continental Casualty Co. v. Smith, 
    720 S.W.2d 48
    , 49 (Tenn. 1986).
    The Tennessee Supreme Court has not addressed the propriety of using
    private lawyers to prosecute criminal contempt cases under Tenn. S. Ct. R. 8.
    Thus, when this issue is presented to us in a proper case, we should certainly look
    not only to the Young decision but also to the decisions of other jurisdictions for
    helpful guidance in determining whether Tenn. S. Ct. R. 8, DR 5-105 and EC 5-
    14, 5-15, 7-13, and 9-6 prohibit private lawyers from prosecuting criminal
    contempt cases arising out of a judgment in which their clients have an interest.
    B.
    -5-
    The Tennessee Supreme Court derives its power directly from the
    Constitution of Tennessee. Clements v. Roberts, 
    144 Tenn. 152
    , 155, 
    231 S.W. 902
    , 902 (1921). It is the supreme judicial tribunal of the state, Barger v. Brock,
    
    535 S.W.2d 337
    , 340 (Tenn. 1976), and it has the inherent power to promulgate
    any rule governing the practice of law that is reasonably necessary to carry out its
    constitutional prerogatives. Petition of Tennessee Bar Assoc., 
    532 S.W.2d 224
    ,
    227 (Tenn. 1975); In re Adoption of Rule of Court, 
    479 S.W.2d 225
    , 227 (Tenn.
    1972); Cantor v. Brading, 
    494 S.W.2d 139
    , 143 (Tenn. Ct. App. 1973); Tenn.
    Code Ann. § 16-3-503 (1994).
    Only the Tennessee Supreme Court has the authority to promulgate rules
    governing the practice of law and the procedure to be followed in all courts of the
    state. State v. Best, 
    614 S.W.2d 791
    , 793 (Tenn. 1981); Belmont v. Board of Law
    Examiners, 
    511 S.W.2d 461
    , 464 (Tenn. 1974); Tenn. Code Ann. § 16-3-402
    (1994). When the Court promulgates a rule, it has the force and effect of law. See
    State v. Hodges, 
    815 S.W.2d 151
    , 155 (Tenn. 1991); Tennessee Dep’t of Human
    Servs. v. Vaughn, 
    595 S.W.2d 62
    , 63 (Tenn. 1980); Crosslin v. Alsup, 
    594 S.W.2d 379
    , 380 (Tenn. 1980).
    The Tennessee Supreme Court was exercising its inherent judicial power
    when it promulgated Tenn. S. Ct. R. 8 in 1981.5 Newton v. Cox, 
    878 S.W.2d 105
    ,
    111 (Tenn.), cert. denied ___ U.S. ___, 
    115 S. Ct. 1989
    (1994). The Code of
    Professional Conduct in Tenn. S. Ct. R. 8 provides the bench and bar with a guide
    to a lawyer’s obligations to his or her client under various circumstances. Lazy
    Seven Coal Sales, Inc. v. Hinds, 
    813 S.W.2d 400
    , 405 (Tenn. 1991); Wood v.
    Parker, App. No. 01-A-01-9406-CH-00286, slip op. at 11, 20 T.A.M. 9-10 (Tenn.
    Ct. App. Feb. 8, 1995), perm. app. denied (Tenn. May 30, 1995). The Code’s
    5
    The Tennessee Supreme Court first adopted the American Bar Association’s Canons of
    Professional and Judicial Ethics when it promulgated Tenn. S. Ct. R. 38 in 1967. In re Rules of
    the Supreme Court of Tennessee, Tennessee Decisions, 418-424 S.W.2d at XLIII (order effective
    Dec. 4, 1967). The Court replaced the substance of Tenn. S. Ct. R. 38 with the American Bar
    Association’s Code of Professional Responsibility in 1975. In re Rules of the Supreme Court
    of Tennessee, 530-533 S.W.2d at XXVII (order effective Dec. 5, 1975). Tenn. S. Ct. R. 38
    became Tenn. S. Ct. R. 8 when the Court revised its rules in 1981. In re Rules of the Supreme
    Court of Tennessee, Tennessee Decisions, 609-614 S.W.2d at XXVII (order effective Jan. 28,
    1981).
    -6-
    disciplinary rules are mandatory, and the ethical considerations are aspirational
    and represent the objectives toward which every lawyer should strive. Tenn. S.
    Ct. R. 8, Preliminary Statement.
    Even though the Tennessee Supreme Court has the exclusive prerogative
    to promulgate rules governing the practice of law, all the courts have the power
    and duty to apply these rules in appropriate circumstances. The intermediate
    appellate courts have frequently based their decisions on the Code of Professional
    Responsibility. Accordingly, this court has relied on portions of Tenn. S. Ct. R.
    8 to resolve disputes involving: (1) attorneys’ fees, Ligon v. Ligon, 
    556 S.W.2d 763
    , 768 (Tenn. Ct. App. 1977); (2) attorneys’ obligations to their clients, State
    v. Brown, 
    644 S.W.2d 418
    , 421 (Tenn. Crim. App. 1982); (3) attorneys’ appearing
    as witnesses, Winrow v. State, 
    649 S.W.2d 18
    , 20 (Tenn. Crim. App. 1983); (4)
    attorneys’ political endorsements, Taylor v. Nashville Banner Publishing Co., 
    573 S.W.2d 476
    , 489 (Tenn. Ct. App. 1978) (Todd, J., concurring), cert. denied, 
    441 U.S. 923
    , 
    99 S. Ct. 2032
    (1979); (5) an attorney’s obligation to produce evidence,
    In re Estate of Perlberg, 
    694 S.W.2d 304
    , 306 (Tenn. Ct. App. 1984); and (6) the
    propriety of closing jury arguments, Scarbrough v. City of Lewisburg, 
    504 S.W.2d 377
    , 383-84 (Tenn. Ct. App. 1973).
    The majority’s professed reluctance to decide whether the rationale of the
    Young case applies to practice in Tennessee’s courts is inconsistent with the
    posture that this court has taken in other cases. When a proper case presents itself,
    I would not hesitate to use the Code of Professional Responsibility to decide
    whether trial courts may use private lawyers to prosecute criminal contempt cases
    arising out of orders or judgments in which the attorneys’ clients have an interest.
    III.
    Lawyers must call prejudicial errors to the trial court’s attention in a timely
    manner in order to be able to raise these errors on appeal. Unless an error affects
    the trial court’s subject matter jurisdiction, the failure to raise an error in a timely
    manner amounts to a waiver because appellate courts will not permit parties to
    -7-
    silently preserve an error as an “ace in the hole” to be used in the event of an
    adverse decision. Gotwald v. Gotwald, 
    768 S.W.2d 689
    , 694 (Tenn. Ct. App.
    1988); Spain v. Connolly, 
    606 S.W.2d 540
    , 543-44 (Tenn. Ct. App. 1980).
    Some errors must be called to the trial court’s attention before trial. Thus,
    objections to the competency of the trial judge are deemed waived if not raised
    before trial. Dupuis v. Hand, 
    814 S.W.2d 340
    , 342 (Tenn. 1991); Grozier v.
    Goodwin, 
    69 Tenn. 125
    , 128 (1878). Likewise, objections to the failure to provide
    a jury when one has been requested are deemed waived if not asserted before the
    trial begins. Burnette v. Pickel, 
    858 S.W.2d 319
    , 322 (Tenn. Ct. App. 1993).
    Similarly, lawyers have a duty to call errors committed during the course of
    a trial to the trial court’s attention for timely correction. Thus, lawyers must make
    timely objections to (1) the admissibility of evidence, Thompson v. Thompson, 
    749 S.W.2d 468
    , 470 (Tenn. Ct. App. 1988), (2) improper conduct of the trial judge,
    Kirksey v. Overton Pub, Inc., 
    804 S.W.2d 68
    , 79 (Tenn. Ct. App. 1990), or (3)
    improper comments of opposing counsel. Marress v. Carolina Direct Furniture,
    Inc., 
    785 S.W.2d 121
    , 126 (Tenn. Ct. App. 1989); Havron v. Page, 
    25 Tenn. App. 367
    , 370, 
    157 S.W.2d 856
    , 858 (1942).
    It should have been obvious before the September 1994 trial began that the
    trial court had not referred the criminal contempt case against Mr. Woodside to the
    district attorney general or to another disinterested lawyer. Thus, from the very
    outset of the trial, Mr. Woodside and his lawyer knew that Ms. Gilley’s lawyer
    would be prosecuting the criminal contempt charges against him. Mr. Woodside
    did not question the prosecutorial role of Ms. Gilley’s lawyer until the trial was
    finished and the judgment rendered. The objection in Mr. Woodside’s motion for
    new trial came too late. Permitting Mr. Woodside to assert this issue now, in
    effect, permits him to play his “ace in the hole” and at the same time provides a
    similar trump card to other similarly situated litigants.
    I would find that Mr. Woodside has waived his right to take issue with the
    use of Ms. Gilley’s lawyer to prosecute the criminal contempt case against him
    -8-
    because he did to raise the issue in a timely manner. Accordingly, I would affirm
    the trial court’s decision but leave the question of the propriety of using lawyers
    for interested parties to prosecute criminal contempt cases for another day.
    __________________________________
    WILLIAM C. KOCH, JR., JUDGE
    -9-