# Penelope Mauer v. State of New Jersey

> New Jersey Superior Court Appellate Division · March 28, 2025

URL: https://www.frixlaw.com/law-library/cases/10833112

## Case

- **Court:** New Jersey Superior Court Appellate Division
- **Decided:** March 28, 2025
- **Precedential status:** Published
- **Opinion:** Opinion
- **Cited by:** 0 later opinions in the Frix Law Library

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## Opinion text

NOT FOR PUBLICATION WITHOUT THE
APPROVAL OF THE APPELLATE DIVISION

SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION
DOCKET NO. A-0108-24

PENELOPE MAUER,

Plaintiff-Appellant,
APPROVED FOR PUBLICATION

v. March 28, 2025
APPELLATE DIVISION
STATE OF NEW JERSEY,
NEW JERSEY DEPARTMENT
OF HUMAN SERVICES, ANN
KLEIN FORENSIC CENTER,
THE BOARD OF TRUSTEES OF
THE ANN KLEIN FORENSIC
CENTER, REED GLADEY,
ANN KENYON, GLENN
FERGUSON, ELIZABETH
CONNOLLY, and VALERIE
MIELKE,

Defendants-Respondents.
______________________________

PENELOPE MAUER,

Plaintiff-Appellant,

v.

STATE OF NEW JERSEY,
STATE OF NEW JERSEY,
DEPARTMENT OF HEALTH,
DIVISION OF BEHAVIORAL
HEALTH SERVICES, TRENTON
PSYCHIATRIC HOSPITAL,
ROBYN WRAMAGE-CAPOROSO,
CHIEF EXECUTIVE OFFICER,
TRENTON PSYCHIATRIC
HOSPITAL, ROBIN MURR,
DIRECTOR OF HUMAN
RESOURCES, TRENTON
PSYCHIATRIC HOSPITAL,
ANN KLEIN FORENSIC CENTER,
KRISTIN HUNT, DIRECTOR
OF HUMAN RESOURCES, and
ANN KLEIN FORENSIC
CENTER,

Defendants-Respondents.
______________________________

Argued January 29, 2025 – Decided March 28, 2025

Before Judges Currier, Marczyk, and Paganelli.

On appeal from an interlocutory order of the Superior
Court of New Jersey, Law Division, Mercer County,
Docket Nos. L-0197-17 and L-0388-22.

Donald F. Burke, Jr., argued the cause for appellant
(Law Office of Donald F. Burke, attorneys; Donald F.
Burke and Donald F. Burke, Jr., on the briefs).

Kathleen E. Dohn argued the cause for respondents
(Brown & Connery, LLP, attorneys; Kathleen E. Dohn
and Therese M. Taraschi, on the brief).

The opinion of the court was delivered by

MARCZYK, J.A.D.

Plaintiff Penelope Mauer appeals from the trial court's July 31, 2024

order denying her motion to disqualify the law firm of Brown & Connery LLP

A-0108-24
2
(B&C) as counsel for defendants. The primary issue on appeal is whether the

indictment 1 of William Tambussi, Esq. (Tambussi), a law partner at B&C,

creates a conflict of interest requiring the disqualification of the entire law

firm from representing defendants in this action. We conclude no conflict of

interest exists under the circumstances presented and therefore affirm the trial

court's decision.

I.

In January 2017, plaintiff filed a complaint (Mauer I) naming as

defendants, the State; New Jersey Department of Human Services (DHS); Ann

Klein Forensic Center (AKFC); the Board of Trustees of the AKFC; and

several employees of those entities, Reed Gladey; Ann Kenyon; Glenn

Ferguson; Elizabeth Connolly; and Valerie Mielke. Plaintiff alleged

defendants retaliated against her in violation of the Conscientious Employee

Protection Act (CEPA) 2 for reporting suspected patient abuse. In March 2022,

1
Following oral argument, defendants advised the indictment against
Tambussi had been dismissed and asserted the appeal is therefore moot.
Plaintiff responded that the appeal is not moot because the trial court stayed its
decision for forty-five days to allow the State to appeal and the State has
indicated it planned to appeal. Given that we do not have a final resolution of
the underlying matter, we have determined to issue our opinion.
2
N.J.S.A. 34:19-1 to -14.

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Tambussi and another attorney at B&C were designated as trial counsel for

defendants.

Shortly thereafter, plaintiff filed a second complaint (Mauer II) against

the State; the Department of Health (DOH), Division of Behavioral Health

Services; Trenton Psychiatric Hospital; AKFC; and employees of those

entities, Robyn Wramage-Caporoso, Robin Murr, and Kristin Hunt. Plaintiff

asserted defendants retaliated against her in violation of CEPA and breached

her employment contract. Defendants again retained B&C to represent them.

The cases were subsequently consolidated.

In June 2024, the State indicted Tambussi, alleging that he participated

with George Norcross in crimes related to the development of the Camden

waterfront. The indictment states Tambussi "is an attorney and partner" at

B&C and "the long-time personal attorney to" Norcross. It alleged Norcross

and his associates extorted and coerced others to acquire property and

development rights and that Tambussi "was an active participant in the

Norcross Enterprise's plot to use . . . Camden's government to bring a

condemnation action" against a developer.

Following the indictment, Tambussi withdrew his appearance on behalf

of defendants. Therese M. Taraschi, an attorney at B&C, certified that prior to

his withdrawal, Tambussi's "involvement in this matter was limited strictly to

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the filing of the designated trial counsel notice" and asserted he "performed no

substantive work in the defense of Mauer I [or] Mauer II." She further

certified she and Kathleen E. Dohn from B&C performed all the substantive

work in the defense of both matters, along with another attorney who has since

left the firm.

Against the backdrop of Tambussi's indictment and B&C's continued

representation of defendants, plaintiff filed a motion to disqualify the law firm.

Specifically, she contended B&C had an unwaivable conflict of interest due to

the Attorney General's indictment of Tambussi. Relying on Rule of

Professional Conduct (RPC) 1.7(a)(2), plaintiff argued Tambussi's indictment

created a "significant risk that the representation of one or more clients will be

materially limited by the lawyer's responsibilities to another client, a former

client, or a third person, or by a personal interest of the lawyer." She asserted

this conflict was imputed to the other lawyers associated with B&C under RPC

1.10. Plaintiff also relied on the Office of the Attorney General, Outside

Counsel Guidelines (2022) [hereinafter AG Guidelines], to support her

argument that the indictment created a positional conflict requiring B&C's

disqualification. She further reasoned that under RPC 1.9 and Dewey v. R.J.

Reynolds Tobacco Co., 109 N.J. 201 (1988), Tambussi's disqualification

resulted in the disqualification of B&C because it is a partnership.

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The trial court requested that defendants file supporting certifications

from DHS and DOH employees and Assistant Attorney General Stephanie

Cohen. Both state employees certified they had not requested B&C to

withdraw as their counsel, were satisfied with the representation, and desired

for the firm to remain their counsel. Cohen, in turn, certified defendants had

not requested B&C to withdraw as their counsel following the indictment and

that the Office of the Attorney General (OAG), Division of Law (DOL), had

not terminated B&C's representation as defendants' counsel.

On July 31, 2024, the trial court denied plaintiff's motion to disqualify

B&C from representing defendants, finding the indictment of Tambussi did not

create a conflict of interest requiring disqualification. The court found it

"[f]actually . . . important to note that [B&C] is not adverse to the State or to

the Attorney General." Notably, the court indicated defendants are neither part

of the OAG nor factually connected to the indictment. It further held RPC 1.7

was not implicated because B&C and defense counsel do not have any adverse

interest to defendants. Additionally, it noted Tambussi was indicted in his

personal capacity and was not involved in the litigation of this matter.

The court found the record "d[id] not cast any doubt" that B&C counsel

would be "zealous advocates for" defendants. Likewise, the court concluded

the imputation of conflicts under RPC 1.10 was inapplicable because no

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concurrent conflict of interest exists under RPC 1.7, given that defendants are

not part of the OAG.

Furthermore, the court determined B&C's representation of defendants

would not be materially limited by B&C's responsibilities to another client, a

former client, a third person, or by a personal interest of the lawyer. It found

the certifications submitted by defendants' representatives reinforced that

neither B&C nor its attorneys working on the case had any interest adverse to

their clients. For the same reason, the court found the AG Guidelines were not

implicated and that no positional conflict existed to warrant disqualification of

B&C. Finally, the court held RPC 1.9 was not implicated because the Dewey

case, upon which plaintiff relied, involved different facts and applied an

outdated version of the Rule. Consequently, the court concluded plaintiff

failed to meet her burden of proving there was a reasonable basis to disqualify

B&C grounded in an actual conflict.

II.

Plaintiff argues the trial court erred in denying the motion to disqualify

B&C because: the firm has a conflict contrary to the AG Guidelines due to the

indictment of Tambussi; B&C's status as an LLP prevents it from continuing to

represent defendants after one of its partners has been disqualified; public

entities cannot waive conflicts; and the indictment references B&C and an

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unnamed partner as participants in wrongdoing. In contrast, defendants argue

the court properly denied plaintiff's motion to disqualify B&C because

plaintiff failed to show that a conflict of interest exists under either the AG

Guidelines or the RPCs.

"[A] determination of whether counsel should be disqualified is, as an

issue of law, subject to de novo plenary appellate review." City of Atl. City v.

Trupos, 201 N.J. 447, 463 (2010). "Disqualification of counsel is a harsh

discretionary remedy which must be used sparingly." Dental Health Assocs. S.

Jersey, P.A. v. RRI Gibbsboro, LLC, 471 N.J. Super. 184, 192 (App. Div.

2022) (quoting Cavallaro v. Jamco Prop. Mgmt., 334 N.J. Super. 557, 572

(App. Div. 2000)). Thus, courts view disqualification motions "skeptically in

light of their potential abuse to secure tactical advantage." Escobar v. Mazie,

460 N.J. Super. 520, 526 (App. Div. 2019) (citing Dewey, 109 N.J. at 218).

"In evaluating motions for the disqualification of counsel for an

adversary pursuant to . . . RPC [1.9]," courts must "balance competing

interests, weighing the need to maintain the highest standards of the profession

against a client's right freely to choose his counsel." Twenty-First Century

Rail Corp. v. N.J. Transit Corp., 210 N.J. 264, 273-74 (2012) (quoting Dewey,

109 N.J. at 218). However, "determining how to strike that balance fairly"

requires courts "to recognize and to consider that 'a person's right to retain

A-0108-24
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counsel of his or her choice is limited in that there is no right to demand to be

represented by an attorney disqualified because of an ethical requirement.'" Id.

at 274 (quoting Dewey, 109 N.J. at 218).

The party seeking the disqualification "bears the burden of persuasion."

RRI Gibbsboro, LLC, 471 N.J. Super. at 194. "[D]isqualifying an attorney or

an office of attorneys based on a conflict 'must have some reasonable basis'

grounded in an actual conflict." State v. Smith, 478 N.J. Super. 52, 64 (App.

Div. 2024) (citing State v. Harvey, 176 N.J. 522, 529 (2003)).

A.

Plaintiff asserts B&C has a conflict contrary to the AG Guidelines.

Specifically, she contends B&C has a "positional conflict" due to the Attorney

General's indictment of Tambussi and B&C continuing to represent the State in

this matter. Plaintiff further asserts the indictment's references to B&C

conflicts with the DOL's duties to safeguard the public's confidence and

interest under the AG Guidelines. Defendant counters B&C has no positional

conflict under the AG Guidelines because Tambussi was indicted in his

personal capacity, the indictment bears no relation to facts and allegations in

the underlying case, and the B&C attorneys handling the defense do not have

any adverse interest to their clients or the State.

A-0108-24
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In cases where the DOL retains outside counsel, the AG Guidelines seek

to ensure that "outside counsel provide the highest quality of legal

representation and services for the State while maintaining effective

supervision and cost controls." AG Guidelines, at 1. Law firms are deemed to

agree to adhere to the guidelines upon accepting a retention agreement with the

State. Ibid. Furthermore, the DOL "has a duty to protect the public interest,"

ensuring "the legal system operates in a manner that safeguards the public's

confidence in the integrity and impartiality of its administration." Ibid. As

such, the State has conflict requirements beyond those mandated by the RPCs.

Id. at 2.

Specifically, a "positional conflict" can "arise from counsel's advocacy

of positions conflicting with important State interests"—the existence of which

is "a fact-sensitive determination." Id. at 3. Generally, outside counsel should

"avoid advocating a position that would limit the authority of the State client,

would expand the scope of potential liability of the State client, or would

require the State client to divulge information that the State client generally

regards as confidential or privileged." Ibid. "Outside counsel have a

continuing obligation to ascertain whether positions they intend to assert on

behalf of other clients are inconsistent with the interests of the State . . . ."

Ibid. After consulting with outside counsel, the DOL must "determine, in its

A-0108-24
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sole discretion, whether an impermissible positional conflict exists, or whether

other circumstances exist that would undermine the public's confidence in the

fair and proper operation of State government." Id. at 4.

Here, the court correctly concluded the AG Guidelines are not

implicated because nothing in the indictment or this civil action would cause

B&C to advocate a position that would conflict with or be adverse to the

interests of the State or defendants. Plaintiff asserts a conclusory argument

that B&C has a positional conflict "as a result of the indictment of Tambussi

by the New Jersey Attorney General." However, she does not specifically

articulate what positional conflict exists. She, likewise, provides no support

for her contention that the indictment's references to B&C "does not

'safeguard[] the public's confidence' or 'protect the public interest.'"

Contrary to plaintiff's arguments, the indictment of Tambussi does not

create a positional conflict requiring B&C's disqualification. Notably, the

DOL has not determined a positional conflict exists, as required by the AG

Guidelines. Id. at 3. Indeed, Cohen, who is fully aware of the underlying

litigation and plaintiff's motion to disqualify, certified the DOL has not

terminated B&C's representation of defendants or requested their withdrawal.

Defendants also certified they desired the continued representation by B&C.

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Moreover, the indictment named Tambussi individually as a defendant.

Tambussi did not perform any substantive work in this case prior to the

indictment. Additionally, the allegations against Tambussi regarding certain

real estate transactions in Camden are far afield from plaintiff's underlying

CEPA and breach of contract claims in this consolidated matter.

Thus, in defending against plaintiff's employment-based claims, B&C

will not be required to advocate a position that is inconsistent with or

prejudicial to the State's interest in prosecuting unrelated criminal charges

against Tambussi. AG Guidelines, at 3. Therefore, the trial court correctly

determined B&C's representation of defendants does not create a positional

conflict of interest contrary to the AG Guidelines.

B.

Plaintiff contends that given B&C is a partnership, it cannot continue

representing defendants where one of its partners is disqualified. She reasons

Tambussi was previously counsel of record, and his knowledge is imputed to

his partners. Plaintiff relies on Dewey for the proposition that it is improper

for Tambussi to represent the State after his indictment and, therefore, it is also

improper for his law partners to continue representing the same clients.

Defendants, in turn, assert plaintiff's argument fails because RPC 1.9 is

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inapplicable, and Dewey is factually distinguishable and based on an outdated

version of RPC 1.9.

RPC 1.9 outlines various duties a lawyer owes to former clients.

Specifically, it prohibits a lawyer, who represented a client, from representing

another client thereafter "in the same or a substantially related matter in which

that client's interests are materially adverse to the interests of the former client

unless the former client gives informed consent confirmed in writing." RPC

1.9(a). A public entity, however, "cannot consent to a representation otherwise

prohibited by this Rule." RPC 1.9(d).

Under RPC 1.10, lawyers associated with a law firm are prohibited from

"knowingly represent[ing] a client when any one of them practicing alone

would be prohibited from doing so by RPC 1.7 or RPC 1.9." Nevertheless, a

lawyer's conflict of interest is not imputed if "the prohibition is based on a

personal interest of the prohibited lawyer and does not present a significant

risk of materially limiting the representation of the client by the remaining

lawyers in the firm." Ibid.

Here, given the clear language of RPC 1.9, the trial court correctly

determined "there is no basis to support plaintiff's position that RPC 1.9 is

implicated." Notably, defendants are not former clients of B&C. Moreover,

there is no evidence that B&C's representation of any former clients creates a

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conflict of interest in their representation of defendants. Accordingly, because

no conflict exists under RPC 1.9, there is no imputed conflict to B&C pursuant

to RPC 1.10.

In addition to the inapplicability of RPC 1.9, plaintiff's reliance on

Dewey is misplaced. In Dewey, the plaintiff's firm hired an attorney who

previously worked in one of the defendant's law firms for three years on the

same case. 109 N.J. at 207. The defendant moved to disqualify the plaintiff's

firm. Id. at 208. Weighing the disqualifying imputed conflict against the

client's "interest in being represented by counsel of her choice," the Court

ordered the attorney to continue representation notwithstanding the ethics

violation. Id. at 218-19. The Court explained that if finding an RPC violation

ended the inquiry, it "would be constrained to order the [law firm's]

disqualification . . . . However, . . . a motion for disqualification calls for us to

balance competing interests, weighing the 'need to maintain the highest

standards of the profession' against 'a client's right freely to choose his [or her]

counsel.'" Id. at 218 (quoting Gov't of India v. Cook Indus., Inc., 569 F.2d

737, 739 (2d. Cir. 1978)).

Unlike Dewey, plaintiff provides no evidence that Tambussi or any

members of B&C are "side-switching" attorneys. That is, none of the

attorneys at B&C initially represented plaintiff and then were subsequently

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employed by B&C to represent defendants. Moreover, the 2004 amendments

to the RPCs abolished the "appearance of impropriety" factor that Dewey, 109

N.J. at 214-16, applied to find a conflict of interest under RPC 1.9. Trupos,

201 N.J. at 464 (citing In re Sup. Ct. Advisory Comm. on Pro. Ethics Op. No.

697, 188 N.J. 549, 552 (2006)).

Accordingly, the trial court properly rejected plaintiff's reliance on

Dewey and its principles concerning conflicts of interest with former clients.

Therefore, given B&C's representation of defendants does not conflict with the

interests of any former client, neither RPC 1.9 nor RPC 1.10 requires the

disqualification of the firm.

C.

Plaintiff next argues that public entities cannot waive conflicts under

RPC 1.7(b)(1), assuming a conflict exists under RPC 1.7(a). Plaintiff also

notes the indictment references B&C and an unnamed partner, which implies

the law firm participated in Tambussi's alleged wrongdoing. In contrast,

defendants contend no conflict of interest exists under RPC 1.7 because the

Tambussi indictment does not involve B&C or its clients, and there is no

significant risk that B&C's representation of defendants will be materially

limited.

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RPC 1.7(a) prohibits lawyers from representing a client "if the

representation involves a concurrent conflict of interest." A concurrent

conflict of interest arises when:

(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, a former
client, or a third person or by a personal interest of the
lawyer.

[RPC 1.7(a)(1)-(2).]

Thus, "RPC 1.7 reflects 'the fundamental understanding that an attorney will

give complete and undivided loyalty to the client [and] should be able to

advise the client in such a way as to protect the client's interests, utilizing his

professional training, ability and judgment to the utmost.'" J.G. Ries & Sons,

Inc. v. Spectraserv, Inc., 384 N.J. Super. 216, 223 (App. Div. 2006) (internal

quotation marks omitted) (alteration in original) (quoting In re S.G., 175 N.J.

132, 139 (2003)). Moreover, unlike private clients, a public entity cannot

waive a conflict. RPC 1.7(b)(1).

RPC 1.7(a)(1) prohibits a lawyer from representing a client in litigation

that is adverse to another client. Comando v. Nugiel, 436 N.J. Super. 203, 214

(App. Div. 2014). A concurrent conflict of interest is inherent where counsel

engages in "dual representation" of clients with adverse interests to each other.

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Baldasarre v. Butler, 132 N.J. 278, 295-96 (1993). For instance, the Court in

Baldasarre prohibited an attorney from representing both the buyer and seller

in a commercial real estate transaction. Ibid. We have noted an attorney

should not represent the driver and passenger of a vehicle in a suit against the

driver of another vehicle unless there is a legal bar to the passenger suing the

driver. McDaniel v. Man Wai Lee, 419 N.J. Super. 482, 497 (App. Div. 2011).

Otherwise, a conflict of interest would arise "if a crossclaim or counterclaim is

made by the other driver." Ibid. No such conflict has been established here.

Under RPC 1.7(a)(1), Tambussi's indictment does not render B&C's

representation of any one defendant to be "directly adverse" to a co -defendant.

Notably, plaintiff fails to identify any conflict either among defendants

themselves or between defendants and B&C. Moreover, plaintiff does not

indicate how the indictment involving an entirely different matter would

somehow create a conflict for B&C in representing defendants in an unrelated

civil action involving an alleged CEPA violation and breach of contract.

There is no indication defendants here are adverse to each other. Rather, it

appears their interests are aligned in defending against plaintiff's claims.

Likewise, there is no imputed conflict under RPC 1.10 based on RPC

1.7(a)(2). The mere possibility that a potential conflict of interest could arise

at a future date does not preclude concurrent representation under RPC

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1.7(a)(2). "[T]he possibility of a conflict of interest engenders a duty of full

disclosure and disqualification if an actual conflict occurs." Sears Mortg.

Corp. v. Rose, 134 N.J. 326, 343 (1993) (emphasis added). Hence, "there must

be 'a significant risk that a lawyer's ability to consider, recommend or carry out

an appropriate course of action for the client will be materially limited as a

result of the lawyer's other responsibilities or interests.'" In re Op. No. 17-

2012 of Advisory Comm. on Pro. Ethics, 220 N.J. 468, 478 (2014) (quoting

Model Rules of Prof. Conduct, cmt. 8 on R. 1.7 (2013)). Plaintiff fails to

explain how the indictment of Tambussi interferes with B&C's independent

professional judgment in pursuing appropriate action on behalf of their clients

in this matter.

Plaintiff's argument presupposes Tambussi in fact had a conflict based

on his indictment. However, we need not reach that issue because even if we

assume, for the purposes of this appeal, he had a conflict under RPC 1.7(a)(2)

based on "there [being] a substantial risk that the representation of one or more

clients will be materially limited . . . by a personal interest of the lawyer," that

does not end the inquiry. A finding that Tambussi had a conflict based on his

"personal interest," in turn, requires us to consider whether his purported

conflict under RPC 1.7 is imputed to B&C under RPC 1.10. Assuming a

conflict exists for Tambussi under RPC 1.7(a)(2) because of a personal interest

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as a result of the indictment, there would be no imputed conflict to B&C under

RPC 1.10 because no conflict is imputed when the purported conflict is "based

on a personal interest of the prohibited lawyer," provided the personal interest

"does not present a significant risk of materially limiting the representation of

the client by the remaining lawyers in the firm." Plaintiff has made no such

showing here.

Plaintiff also does not explain how or why B&C "might be tempted to

favor one client over another." There is no indication B&C's representation of

any particular defendant would be adverse to another client or that B&C's

representation would be materially limited by the representation of another

client or former client under RPC 1.7. There is also no suggestion B&C

represented a client in the same or substantially related matter whose interests

are materially adverse to the interests of defendants here.

As the trial court stated, the record "does not cast any doubt" on defense

counsels' ability to zealously advocate for their clients. Therefore, no conflict

exists under RPC 1.7(a)(2) that would materially limit defense counsels' ability

to advocate for their clients and require B&C's disqualification. Moreover,

because we conclude there was no conflict under RPC 1.7, there is also no

imputed conflict as to B&C under RPC 1.10. Although the State cannot waive

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conflicts under RPC 1.7(b)(1), because we have concluded there is no such

conflict to waive, the trial court did not err.

Based on the foregoing, we conclude plaintiff has not met her burden in

establishing that B&C violated the AG Guidelines or has a conflict of interest

under RPC 1.7, RPC 1.9, or RPC 1.10. Accordingly, we affirm the trial court's

denial of plaintiff's motion to disqualify B&C.

Affirmed.

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Source: Frix Law Library, https://www.frixlaw.com/law-library/cases/10833112. Public record. Not legal advice.
