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Katherine C. Pearson, Editor, and a Member of the Law Professor Blogs Network on LexBlog.com

One Practitioner’s Perspectives on “The Practice of Elder Law”

August 30, 2016

Stuart Bear, a practicing attorney and member of the Minnesota State Bar Association’s Elder Law Section, has written an interesting first-person account of “The Practice of Elder Law” for a 2016 issue of the Mitchell-Hamline Law Review.  It turns out the 2016 piece is an updated version of a similar article he wrote for the William Mitchell Law Review in 2002, with the same title.

In both versions Bear begins with a narrative about a family member’s call to ask him legal advice on how to handle care issues following an emergency hospital admission for the caller’s mother. Many of the events Bear relates will resonate, both with the public (especially those of a certain age) and lawyers.

At the same time, I find that some of Bear’s words — in both versions — could be a springboard for a broader discussion with law students and elder law specialists.  For example, he chooses to label the family member initiating the contact as “Responsible Daughter,” and he refers to other siblings as “responsible sons.”  What is the meaning behind this phrase?  Is he referring to “morally responsible,” “financially responsible,” or just generically a “good” person?  

Further, in both versions, he offers an important discussion of how he handles potential conflict of interest issues in representing the elder parent where offspring are involved in client meetings and decisions.  In the 2002 version, Mr. Bear writes about alternative choices in identifying his client:

This rule [referring to Rule 1.7 of the ABA Rules of Professional Conduct as adopted in Minnesota] is clear that should I choose Mom as my client; it is she whom I serve and no other family member. I take my marching orders based upon Mom’s goals and objectives, serving her sole interests.

 

Suppose, however, that Mom is not so definitive in articulating her goals and objectives. It may be possible for me to represent the entire family, in light of rule 2.2 of the Minnesota Rules of Professional Conduct, which addresses the lawyer as intermediary.

In the more recent 2016 version of the essay, which is the version I first encountered on Westlaw, Mr. Bear cites a different rule for his authority to represent “the family.” He points to Rule 1.14 on representation of a client with “diminished capacity.”  He writes:

Suppose, however, that Mom was not so definitive in articulating her goals and objectives. It may be possible for me to represent the entire family, in light of Rule 1.14 of the Minnesota Rules of Professional Conduct, which addresses clients with diminished capacity. A comment to the rule provides in pertinent part:
 
The client may wish to have family members or other persons participate in discussions with the lawyer. When necessary to assist in the representation, the presence of such persons generally does not affect the applicability of the attorney-client evidentiary privilege. Nevertheless, the lawyer must keep the client’s interests foremost and . . . must look to the client, and not family members, to make decisions on the client’s behalf.
 
In the situation involving Mom and Responsible Daughter, and reading the conflict of interest rule together with Rule 1.14, I may act as the lawyer for this situation, provided that no conflict of interest develops
 
Perhaps the question is whether either rule, 1.7 or 1.14, clearly authorizes the concept of “family representation” where the older client has capacity issues. While many attorneys, including elder law attorneys, do take the position this approach is appropriate, others would take the position that the daughter is acting in the role of agent or alternative decision-maker for the mother, and thus the mother is always the real party in interest, not the daughter. Neither approach eliminates the potential for conflict of interest issues for the attorney. Either way, I think the question of client identity is key to most representational roles for elder law attorneys, especially in the context of family members serving as de facto agents for their loved ones. Stuart Bear’s 2002 and 2016 essays should be good food for additional thought and analysis.
 
Editing Note:  The above Blog post was edited to refer to the correct name for the Mitchell-Hamline Law Review (rather than the “Marshall-Hamline Law Review”).  Our thanks to readers for catching my error! KCP