Module 3 COMPLETE
Module 3 COMPLETE
3. Ledesma v Climaco
FACTS: The petitioner was appointed Election Registrar for the Municipality of Cadiz, Province of Negros
Occidental. Then and there, he commenced to discharge its duties. He is also counsel de parte for one of the
accused in a case pending in the sala of respondent Judge, he filed a motion to withdraw as such. Not only did
respondent Judge deny such motion, but he also appointed him counsel de oficio for the two defendants.
Petitioner filed an urgent motion to be allowed to withdraw as counsel de oficio, premised on the policy of the
Commission on Elections to require full time service as well as on the volume or pressure of work of petitioner,
which could prevent him from handling adequately the defense. Respondent Judge, denied the said motion.
According to the respondent judge, "In view of the objection of the prosecution to the motion for postponement
of October 15, 1964 (alleging that counsel for the accused cannot continue appearing in this case without the
express authority of the Commission on Elections); and since according to the prosecution there are two witnesses
who are ready to take the stand, after which the government would rest, the motion for postponement is denied.
When counsel for the accused assumed office as Election Registrar on October 13, 1964, he knew since October 2,
1964 that the trial would be resumed. Nevertheless, in order not to prejudice the civil service status of counsel for
the accused, he is hereby designated counsel de oficio for the accused. The defense obtained postponements on
May 17, 1963, June 13, 1963, June 14, 1963, October 28, 1963, November 27, 1963, February 11, 1964, March 9,
1964, June 8, 1964 July 26, 1964, and September 7, 1964."
ISSUE: Whether or not the petitioner should be allowed to withdraw as counsel de oficio.
RULING:NO, Ledesma may not withdraw as counsel de oficio for the sole reason of his appointment as Election
Registrar. The provision in the Constitution states that, “Any person under investigation for the commission of an
offense shall have the right to remain silent and to counsel, and to be informed of such right. No force, violence,
threat, intimidation, or any other means which vitiates the free will shall be used against them. Any confession
obtained in violation of this section shall be inadmissible in evidence.”
This manifests the indispensable role of a member of the bar in the defense of an accused. What is incumbent
upon him as counsel de oficio must be fully fulfilled. The ends of justice would be served by allowing and requiring
Ledesma to continue as counsel the officio, since the prosecution has already rested its case—the case being
postponed at least eight (8) times. It was also noted that there was no incompatibility between his duty to the
accused and to the court and the performance of his task as Election Registrar.
Hence, because of these considerations, it is suffice for petitioner not being allowed to withdraw as counsel de
oficio.
6. Angalan vs Delante
Facts: In april 1971, herein complainants mortgaged 8.102 hectares of their property to the Eustaquio spouses in
consideration of a loan in the amount of P15,000. The Eustaqios prepared a document and sked the complainants
to sign it; but because complainants were illiterates, they affixed their marks instead. It turned out that the
document was a deed of absolute sale and not a real estate mortgage. Hence, TCT No. 9926 was issued in the
name of Navarro Eustaquio.
Complainants engaged the services of respondent Atty. Leonido Delante in November 1970 as shown in the receipt
by respondent of P12,000 representing full payment of his professional fees from the complainants. Thereafter, an
amicable settlement was entered into between complainants and the Eustaquios which stipulated that the
complainants would repurchase the lot at P30,000. But since the complainants did not have the money, Atty.
Delante advanced the money to complainants, possessed the property and gathered its produce. When the
complainants tried to repay the money and recover the property, Atty. Delante refused. Complainants learned that
Delante transferred the title of the property to his name as evidenced by TCT No. T-57932. On April 30, 204,
complainants filed with the RTC of Davao a complaint for (1) nullification of the deed of absolute sale, and (2)
nullification of TCT No. T-57932; and on December 28, 2005 charged respondent with gross violation of the Code
Professional Responsibilty. In April 2007, complainants filed with the Court a motion to withdraw the complaint for
disbarment and an affidavit of desistance.
Issues:
(1.) Whether or not a motion to withdraw the complaint for disbarment and an affidavit of desistance terminates
the disbarment proceeding;
(2.) Whether or not respondent committed grave violation of the Code of Professional Responsibility when he
bought the property of his clients without their consent and against their will.
Ruling:
1. No. A motion to withdraw the complaint for disbarment and an affidavit of desistance is immaterial. Section 5,
Rule 139-B of the Rules of Court states that, “No investigation shall be interrupted or terminated by reason of the
desistance, settlement, compromise, restitution, withdrawal of charges, or failure of the complainant to prosecute
the same.”
2. Yes. Respondent violated Canons 16 and 17 of the Code of Professional Responsibility. Canon 16 states that
lawyers shall hold in trust all properties of their clients that may come into their possession. Respondent should
have held in trust TCT No. T-9926 and returned the property to complainants upon demand. Instead of holding in
trust the property of complainants, respondent (1) transferred the title of the property to his name, (2) refused to
return the property to complainants, and (3) referred to complainants’ charges as malicious and untruthful. Canon
17 states that lawyers shall be mindful of the trust and confidence reposed in them. Respondent should have been
mindful of the trust and confidence complainants reposed in him. Complainants allege that they are illiterate and
that the Spouses Eustaquio took advantage of them. Complainants engaged the services of respondent in the hope
that he would help them recover their property. Instead of protecting the interests of complainants, respondent
took advantage of complainants and transferred the title of the property to his name.
Considering the depravity of respondent’s offense, the Court finds the recommended penalty too light. Violation of
Canons 16 and 17 constitutes gross misconduct. Section 27, Rule 138 of the Rules of Court states that a member of
the bar may be disbarred or suspended from his office as attorney by the Court for gross misconduct. A person
who takes the 8.102-hectare property of his illiterate clients and who is incapable of telling the truth is unfit to be a
lawyer. The Court finds Atty. Leonido C. Delante GUILTY of violating Canons 16 and 17 of the Code of Professional
Responsibility. Accordingly, the Court DISBARS him from the practice of law and ORDERS that his name be stricken
from the Roll of Attorneys.
9. IN RE: Suspension From The Practice Of Law In The Territory Of Guam Of Atty. Leon G. Maquera
Facts:
In a Letter dated August 20, 1996, the District Court of Guam informed this Court of the suspension of Atty.
Leon G. Maquera (Maquera) from the practice of law in Guam. He was suspended from the practice of law in
Guam for misconduct, as he acquired his client's property as payment for his legal services, then sold it and as a
consequence obtained an unreasonably high fee for handling his client's case.
Under Section 27, Rule 138 of the Revised Rules of Court, the disbarment or suspension of a member of the
Philippine Bar in a foreign jurisdiction, where he has also been admitted as an attorney, is also a ground for his
disbarment or suspension in this realm, provided the foreign court's action is by reason of an act or omission
constituting deceit, malpractice or other gross misconduct, grossly immoral conduct, or a violation of the lawyer's
oath.
The case was referred by the Court to the Integrated Bar of the Philippines (IBP) for investigation report
and recommendation. In its decision, the Superior Court of Guam stated that Maquera was the counsel of a certain
Castro. Benavente the creditor Castro, obtained a judgement against Castro, thus Castro;s property was to be sold
at a public auction in satisfaction of his obligation to Benavente. However, Castro retains the right of redemption.
In consideration of Maquera’s legal services, Castro entered into an oral agreement with Maquera and
assigned his right of redemption in favor of the latter. On January 8, 1988, Maquera exercised Castro's right of
redemption by paying Benavente US$525.00 in satisfaction of the judgment debt. Thereafter, Maquera had the
title to the property transferred in his name.And after, sold the property to C.S. Chang and C.C. Chang for Three
Hundred Twenty Thousand U.S. Dollars (US$320,000.00).
The Guam Bar Ethics Committee filed a Petition in the Superior Court of Guam praying that Maquera be
sanctioned for violations of Rules 1.5 and 1.8(a) of the Model Rules of Professional Conduct (Model Rules) in force
in Guam. In its Petition, the Committee claimed that Maquera obtained an unreasonably high fee for his services.
The Committee further alleged that Maquera himself admitted his failure to comply with the requirement in Rule
1.8 (a) of the Model Rules that a lawyer shall not enter into a business transaction with a client or knowingly
acquire a pecuniary interest adverse to a client unless the transaction and the terms governing the lawyer's
acquisition of such interest are fair and reasonable to the client, and are fully disclosed to, and understood by the
client and reduced in writing.
On the basis of the Decision of the Superior Court of Guam, the IBP concluded that although the said
court found Maquera liable for misconduct, "there is no evidence to establish that Maquera committed a breach of
ethics in the Philippines."However, the IBP still resolved to suspend him indefinitely for his failure to pay his annual
dues as a member of the IBP since 1977, which failure is, in turn, a ground for removal of the name of the
delinquent member from the Roll of Attorneys under Section 10, Rule 139-A of the Revised Rules of Court.
Issue:
Whether or not Maquera, who was suspended from the practice of law in Guam, be suspended as member of the
Philippine Bar on the same ground of his suspension in Guam.
Held:
Yes.
The power of the Court to disbar or suspend a lawyer for acts or omissions committed in a foreign
jurisdiction is found in Section 27, Rule 138 of the Revised Rules of Court, as amended by Supreme
Court Resolution dated February 13, 1992, which states:
Section 27. Disbarment or suspension of attorneys by Supreme Court, grounds therefor.—A member of the bar may
be disbarred or suspended from his office as attorney by the Supreme Court for any deceit, malpractice,
or other gross misconduct in such office, grossly immoral conduct, or by reason of his conviction of a
crime involving moral turpitude, or for any violation of the oath which he is required to take before
admission to practice, or for a willful disobedience appearing as attorney for a party to a case without
authority to do so. The practice of soliciting cases at law for the purpose of gain, either personally or
through paid agents or brokers, constitutes malpractice.
The disbarment or suspension of a member of the Philippine Bar by a competent court or other
disciplinatory agency in a foreign jurisdiction where he has also been admitted as an attorney is a ground
for his disbarment or suspension if the basis of such action includes any of the acts hereinabove
enumerated.
The judgment, resolution or order of the foreign court or disciplinary agency shall be prima facie evidence
of the ground for disbarment or suspension
In the case at bar such transaction made by Maquera falls squarely under Article 1492 in relation to Article
1491, paragraph 5 of the Civil Code of the Philippines. Paragraph 5 of Article 1491 prohibits the lawyer's acquisition
by assignment of the client's property which is the subject of the litigation handled by the lawyer. Under Article
1492, the prohibition extends to sales in legal redemption. This is founded on public policy because, by virtue of his
office, an attorney may easily take advantage of the credulity and ignorance of his client 30 and unduly enrich
himself at the expense of his client.
Such acts are violative of a lawyer's sworn duty to act with fidelity toward his clients. They are also
violative of the Code of Professional Responsibility, specifically, Canon 17 which states that "[a] lawyer owes
fidelity to the cause of his client and shall be mindful the trust and confidence reposed in him;" and Rule 1.01
which prohibits lawyers from engaging in unlawful, dishonest, immoral or deceitful conduct. The requirement of
good moral character is not only a condition precedent to admission to the Philippine Bar but is also a continuing
requirement to maintain one's good's standing in the legal profession.
The Court notes that Maquera has not yet been able to adduce evidence on his behalf regarding the
charges of unethical behavior in Guam against him, as it is not certain that he did receive the Notice of
Hearing earlier sent by the IBP's Commission on Bar Discipline. Thus, there is a need to ascertain Maquera's
current and correct address in Guam in order that another notice, this time specifically informing him of the
charges against him and requiring him to explain why he should not be suspended or disbarred on those
grounds (through this Resolution), may be sent to him.
Nevertheless, the Court agrees with the IBP that Maquera should be suspended from the practice of law for
non-payment of his IBP membership dues from 1977 up to the present. Under Section 10, Rule 139-A of the
Revised Rules of Court, non-payment of membership dues for six (6) months shall warrant suspension of
membership in the IBP, and default in such payment for one year shall be ground for removal of the name of the
delinquent member from the Roll of Attorneys.
16. Joselito F. Tejano vs. Atty. Benjamin F. Bateria, A.C. No. 8235, January 27, 2015
FACTS:
joselito F. Tejano filed an Affidavit-Complaint 1 before the Office of the Court Administrator (OCA) of the
Supreme Court and Tejano’s own counsel, Atty. Baterina and Judge Dominador LL. Arquelada, Presiding Judge of
the Regional Trial Court (RTC), Vigan City, Ilocos Sur, Branch 21. Tejano accused Judge Arquelada of acting in
conspiracy with Atty. Baterina for the former to take possession of his (Tejano) property, which was the subject
matter of litigation in the judge’s court. he case stems from Civil Case No. 4046-V, a suit for recovery of possession
and damages filed by Tejano, his mother and sisters against the Province of Ilocos Sur. In his Affidavit-Complaint,
Tejano accused Judge Arquelada of colluding with Atty. Baterina in the former’s bid to “take possession” of their
property and was “collecting rentals from squatters who had set up their businesses inside the whole of Lot [No.]
5663. As to his counsel, Tejano claims that Atty. Baterina “miserably failed to advance [his] cause.” Specifically,
Tejano alleged that Atty. Baterina (1) failed to object when the trial court pronounced that he and his co-plaintiffs
had waived their right to present evidence after several postponements in the trial because his mother was ill and
confined at the hospital;10 (2) manifested in open court that he would file a motion for reconsideration of the order
declaring their presentation of evidence terminated but failed to actually do so; 11 (3) not only failed to file said
motion for reconsideration, but also declared in open court that they would not be presenting any witnesses
without consulting his clients; 12 and (4) failed to comply with the trial court’s order to submit their formal offer of
exhibits.
Tejano was informed to file the complaint against his counsel at the Office of the Bar Confidant, and that
the complaint against Judge Arquelada was already “being acted upon” by the OCA. Court required Atty. Baterina
to file a Comment on the complaint within 10 days from notice. 15 Failing to comply with the Court’s order, Atty.
Baterina was ordered to show cause why he should not be disciplinarily dealt with. Atty. Baterina explained that he
had been recuperating from a kidney transplant when he received a copy of the complaint. He begged the Court’s
indulgence and said that his failure to comply was “not at all intended to show disrespect to the orders of the
Honorable Tribunal.” Atty. Baterina also denied the allegation of bad faith and negligence in handling the Tejano
case. He explained that the reason he could not attend to the case was that in 2002, after the initial presentation
of the plaintiffs’ case, he was suspended by the Court from the practice of law for two years. 18 He alleged that this
fact was made known to Tejano’s mother and sister. However, the trial court did not order plaintiffs to secure the
services of another lawyer. On the contrary, it proceeded to hear the case, and plaintiffs were not represented by a
lawyer until the termination of the case.19 Atty. Baterina instead points to the “displayed bias” and “undue and
conflict of interest”20 of Judge Arquelada as the culprit in Tejano’s predicament. The IBP’s Commission on Bar
Discipline promulgated its Report and Recommendation that respondent’s acts constitute sufficient ground for
disciplinary action against him. His gross negligence under the circumstances cannot be countenanced. It is,
therefore, respectfully recommended that respondent be suspended from the practice of law for two (2) years.
ISSUE: WON Atty. Baterina acted with gross negligence?
HELD:
Yes. The Court adopts the IBP’s report and recommendation, with modification as to the penalty. The
Code of Professional Responsibility governing the conduct of lawyers states: CANON 18 – A LAWYER SHALL SERVE
HIS CLIENT WITH COMPETENCE AND DILIGENCE. RULE 18.03 – A lawyer shall not neglect a legal matter entrusted
to him, and his negligence in connection therewith shall render him liable. RULE 18.04 – A lawyer shall keep the
client informed of the status of his case and shall respond within a reasonable time to the client’s request for
information.
When a lawyer agrees to take up a client’s cause, he makes a commitment to exercise due diligence in
protecting the latter’s rights. Once a lawyer’s services are engaged, “he is duty bound to serve his client with
competence, and to attend to his client’s cause with diligence, care and devotion regardless of whether he accepts
it for a fee or for free. He owes fidelity to such cause and must always be mindful of the trust and confidence
reposed on him.”25 A lawyer’s acceptance to take up a case “impliedly stipulates [that he will] carry it to its
termination, that is, until the case becomes final and executory.”
Atty. Baterina’s duty to his clients did not automatically cease with his suspension. At the very least, such
suspension gave him a concomitant responsibility to inform his clients that he would be unable to attend to their
case and advise them to retain another counsel. A lawyer – even one suspended from practicing the profession –
owes it to his client to not “sit idly by and leave the rights of his client in a state of uncertainty.” 27 The client
“should never be left groping in the dark” and instead must be “adequately and fully informed about the
developments in his case.” Atty. Baterina practically abandoned this duty when he allowed the proceedings to run
its course without any effort to safeguard his clients’ welfare in the meantime. His failure to file the required
pleadings on his clients’ behalf constitutes gross negligence in violation of the Code of Professional
Responsibility29 and renders him subject to disciplinary action. 30 The penalties for a lawyer’s failure to file the
required brief or pleading range from warning, reprimand, fine, suspension, or in grave cases, disbarment.
17. Adelita B. Llunar v. Atty. Romulo Ricafort [A.C. 6484, June 16, 2015]
FACTS: Petitioner, as attorney-in-fact of Severina Bañez, hired the respondent to file a case against father and son
Ricardo and Ard Cervantes (Ard) for the recovery of a parcel of land allegedly owned by the Bañez family but was
fraudulently registered under the name of Ricardo and later was transferred to Ard. The property was mortgaged
by Ard with the Rural Bank of Malilipot, Albay, and was the subject of foreclosure proceedings at the time
respondent was hired. Respondent was paid P95k. Petitioner discovered 3 years later that no case involving the
subject property was ever filed by the respondent with RTC Legaspi. Petitioner demanded the return of the
amount she paid respondent. Respondent argued that a complaint for annulment of title against Ard Cervantes
had actually been filed in court, though not by him, but by another lawyer, Atty. Edgar M. Abitria. Thus, he was
willing to return only what was left of the P95k after deducting therefrom the P50k that he paid to Atty. Abitria as
acceptance fee for handling the case. Petitioner refused to recognize the complaint for annulment of title filed by
Atty. Abitria and claimed that she had no knowledge of Atty. Abitria's engagement as counsel. Besides, the
complaint was filed 3 years late and the property could no longer be redeemed from the bank. Also, the
complainant discovered that the respondent had been suspended indefinitely from the practice of law since May
29, 2002, pursuant to this Court's decision in Administrative Case No. 5054, which the complainant suspected was
the reason another lawyer, and not the respondent, filed the complaint for annulment of title in court.
ISSUE: WON respondent is guilty of grave misconduct
HELD: Yes. The respondent in this case committed several infractions making him liable for grave misconduct. First,
the respondent did not exert due diligence in handling the complainant's case. He failed to act promptly in
redeeming the complainant's property within the redemption period. The delay of 3 years before a complaint to
recover the property was actually filed in court. The respondent clearly wasted precious time and opportunity that
were then readily available to recover the complainant's property. Under these facts, the respondent violated Rule
18.03 of the CPR, which states that "a lawyer shall not neglect a legal matter entrusted to him, and his negligence
in connection therewith shall render him liable."
Note: Respondent was disbarred.
22. WACK WACK GOLF AND COUNTRY CLUB, INC vs.CA, PETRONILO ARCANGEL and ANTONIO D. BERNARDO
Warning! This case has no relation under 18.04. Rather, it focuses on the duty of attorney to client; court can
recognize no other representation on behalf of client except the counsel of record.
FACTS:
Petronilo Arcangel, a former employee of petitioner filed with the CFI a money claim for overtime services
rendered to said employer, for unenjoyed vacation leave, moral damages and attorney's fees. The case was
accordingly set for trial. At the hearing, however, neither the defendant employer (petitioner) nor its counsel,
Balcoff, Poblador and Angel Cruz appeared notwithstanding the fact that they were duly notified of the hearing.
The lower court rendered judgment for the plaintiff employee. The law firm of Juan Chuidian, on behalf of the
defendant employer, filed a petition to set aside the judgment on the ground of misunderstanding, mistake and
excusable neglect, which petition was denied. And such was affirmed by the CA
There is no disagreement as to the facts allegedly constituting the mistake, accident, or excusable negligence upon
which the employer's petition for relief was based. To which they are:
The records of this case show that the employer was represented by the law office of Balcoff and
Poblador and Angel Cruz from the inception of this case up to May 14, 1955, when law Office Juan T.
Chuidian filed its appearance upon being referred by law office of Balcoff and Poblador on May 12, 1955
the copy of the decision dated May 10, 1955 of the trial Court.
"Sometime before May 5, 1955 the employer manifested its desire to replace their counsel Messrs.
Paredes, Balcoff and Poblador in this case with Law Office Juan Chuidian. On May 5, 1955 Atty. Jesus
Sayoc of the undersigned law firm conferred with Atty. Angel Cruz of Messrs. Paredes, Balcoff and
Poblador for the purpose of securing the court file in this case and effect the substitution of attorney.
Unfortunately, Mr. Balcoff was not in the office at the moment and no one else had no authority to turn
over to Law office of Juan T. Chuidian the court papers and file in this case; besides, there were unpaid bill
due Messrs. Paredes, Balcoff and Poblador. In view of this development, Atty. Chuidian called up Atty.
Balcoff by telephone and it was agreed between the two that inasmuch as Attys. Paredes, Balcoff and
Poblador were still the attorneys of record in the case, Atty. Balcoff would sent a representative of his law
office to appear at the hearing in order to ask for postponement of the case. Consequently, nobody in Law
Office Juan Chuidian. As a matter of fact, the records of the case were turned over to Law Office Juan T.
Chuidian only after it received on May 12, 1955
ISSUE: W/N court can recognize no other representation on behalf of client except the counsel of record.
RULING: YES
The law firm of Balcoff and Poblador and Angel Cruz were still the employer's counsel of record, the law office of
Juan Chuidian having entered its appearance in the case only on May 14, 1955. As such counsel of record, said law
firm must have known that, its impending relief as counsel for the defendant notwithstanding, it is under
obligation to protect the client's interest (which includes appearance at the hearing) until its final release from the
professional relationship with such client. For its part, the court could recognize no other representation on behalf
of the client except such counsel of record until a formal substitution of attorney is effected. Thus, any agreement
or arrangement such counsel of record and its client may reach regarding the presentation of the client' case in the
court is purely their private concern. Proceedings in the court cannot be made to depend on them. The lack of
coordination or understanding between the two law firms in the instant case cannot be considered as a legal
excuse or falling within the ambit of excusable negligence to justify the granting of relief from the order declaring
the client in default, or as in the case, from a decision entered after presentation of evidence in his absence.
27. IN RE: PUBLISHED ALLEGED THREATS AGAINST MEMBERS OF THE COURT IN THE PLUNDER LAW CASE
HURLED BY ATTY. LEONARD DE VERA
FACTS: The court En Banc issued the following Resolution directing respondent Atty. Leonard De Vera to explain
why he should not be cited for indirect contempt of court for uttering some allegedly contemptuous statements as
published in the Philippine Daily Inquirer newspaper in relation to the case involving the constitutionality of the
Plunder Law (Republic Act No. 7080) which was then pending resolution. To wit:
De Vera asked the Supreme Court to dispel rumors that it would vote in favor of a petition filed by
Estrada's lawyers to declare the plunder law unconstitutional for its supposed vagueness.
"We are afraid that the Estrada camp's effort to coerce, bribe, or influence the justices
---considering that it has a P500 million slush fund from the aborted power grab that May-will
most likely result in pro-Estrada decision declaring the Plunder Law either unconstitutional or
vague." De Vera said he and his group were "greatly disturbed" by the rumors from Supreme
Court insiders.
De Vera warned of a crisis far worse than the "jueteng" scandal that led to People Power II if the
rumor turned out to be true. "People wouldn't just swallow any Supreme Court decision that is
basically wrong. Sovereignty must prevail."
In his Answer, respondent admitted the report in issue of the Inquirer but argued that he was merely exercising his
constitutionally guaranteed right to freedom of speech. While he admitted to having uttered the aforecited
statements, respondent denied having made the same to degrade the Court, to destroy public confidence in it and
to bring it into disrepute.
ISSUE: W/N Atty. Leonardo De Vera be held in indirect contempt for uttering those statements.
RULING: Yes. Freedom of speech includes the right to know and discuss judicial proceedings, but such right does
not cover statements aimed at undermining the Court's integrity and authority, and interfering with the
administration of justice. Freedom of speech is not absolute, and must occasionally be balanced with the
requirements of equally important public interests, such as the maintenance of the integrity of the courts and
orderly functioning of the administration of justice.
Thus, the making of contemptuous statements directed against the Court is not an exercise of free speech; rather,
it is an abuse of such right. Unwarranted attacks on the dignity of the courts cannot be disguised as free speech,
for the exercise of said right cannot be used to impair the independence and efficiency of courts or public respect
therefor and confidence therein. It is a traditional conviction of civilized society everywhere that courts should be
immune from every extraneous influence as they resolve the issues presented before them.
In this case, it is undisputed that at the time the respondent filed the replevin case on behalf of AIB he was still the
counsel of record of the complainant in the pending ejectment case. We do not sustain respondent's theory that
since the ejectment case and the replevin case are unrelated cases fraught with different issues, parties, and
subject matters, the prohibition is inapplicable. His representation of opposing clients in both cases, though
unrelated, obviously constitutes conflict of interest or, at the least, invites suspicion of double-dealing. While the
respondent may assert that the complainant expressly consented to his continued representation in the ejectment
case, the respondent failed to show that he fully disclosed the facts to both his clients and he failed to present any
written consent of the complainant and AIB as required under Rule 15.03, Canon 15 of the Code of Professional
Responsibility.
Neither can we accept respondent's plea that he was duty-bound to handle all the cases referred to him by AIB,
including the personal cases of its officers which had no connection to its corporate affairs. That the representation
of conflicting interest is in good faith and with honest intention on the part of the lawyer does not make the
prohibition inoperative. Moreover, lawyers are not obliged to act either as an adviser or advocate for every person
who may wish to become their client. They have the right to decline such employment, subject, however, to Canon
14 of the Code of Professional Responsibility. Although there are instances where lawyers cannot decline
representation, they cannot be made to labor under conflict of interest between a present client and a prospective
one.
41. Alisbo vs Jalandoon
Facts:
Ramon Alisbo engaged respondent Atty. Jalandoon as his counsel in an action to recover his share of the
estate of the deceased sps Catalina Sales and Restituto Gozuma w/c had been adjudicated to him under the
judgment of CC No. 4963 because Alisbo failed to file a motion for execution of judgment in his favor w/in the
reglementary 5year period. The salient provisions of the Contract for Professional Services (Exhibit A) between
Alisbo and Attorney Jalandoon were the following: 1. That respondent will decide whether or not to file a suit for
the recovery of Ramon Alisbo's share 2. That respondent will shoulder all expenses of litigation; and 3. As
attorney's fees, respondent will be paid 50% of the value of the property recovered.
– 4/18/70: respondent prepared a complaint w/ Ramon, Teotimo, and Pacifico Alisbo as plaintiffs and
Carlito Sales as defendant signed by him alone (CC No. 9559); on the same day, he withdrew it and replaced it with
a complaint w/ Ramon as sole plaintiff and Teotimo and Pacifico impleaded as defendants w/c respondent and
Atty. Pablo signed as counsel - 12/8/71: an amended complaint was filed w/ Ramon, his judicial guardian Norberto,
and eight others as plaintiffs, signed by Atty. Pablo alone (10 years after final judgment) - 8/21/73: defendant Sales
filed a motion to dismiss on the ground that the action had prescribed - 10/3/73: the CFI of Negros Occidental
dismissed the case on the ground of prescription (though Ramon filed the complaint w/in the ten-year prescriptive
period, it was null and void since Ramon was insane and hence w/o capacity to sue)
- 1/2/74: complainants charged Jalandoon w/ having deliberately caused the dismissal of CC No. 9559
and concealing the fact that he had been the former legal counsel of Sales - Jalandoon claims he only discovered
his previous professional relationship with Sales during the pre-trial on Oct. 6, 1972
ISSUE: WON Jalandoon is guilty of non-disclosure to client of adverse or conflicting interest
Ruling:
YES because: 1. Before filing the complaint, he had several interviews w/ Ramon and Norberto re: CC No.
4963 2. He must have done research on the court records of CC No. 4963 3. For CC No. 9559, he had to inform
himself of the personal circumstances of defendant Sales -w/ this knowledge, he should have declined
employment by Alisbo due to conflict of interest - The actuations of respondent attorney violated Paragraphs 1 and
2, No. 6 of the Canons of Professional Ethics which provide: 6. ADVERSE INFLUENCE AND CONFLICTING INTEREST It
is the duty of a lawyer at the time of retainer to disclose to the client all the circumstances of his relations to the
parties, and any interest in or connection with the controversy, which might influence the client in the selection of
counsel. It is unprofessional to represent conflicting interests, except by express consent of all concerned given after
a full disclosure of the facts.
Within the meaning of this canon, a lawyer represents conflicting interests when, in behalf of one client, it
is his duty to contend for that which duty to another client requires him to oppose. (pp. 14-15, Solicitor General's
Report.) -Jalandoon had delayed the filing of CC No. 9559, instead asking the court to resolve the pending incidents
in CC No. 4963. The first complaint w/ Ramon and his brothers was only partially defective due to Ramon‘s
insanity; by making Ramon the sole plaintiff in the second complaint, it was rendered wholly defective and
ineffectual in stopping the prescriptive period - Jalandoon alleges to have only found out about Ramon‘s incapacity
on July 17, 1971, he only amended the complaint impleading his guardian as plaintiff 5 months . later when it had
prescribed Disposition It was more than simple negligence; the Court found respondent guilty of serious
misconduct and infidelity and was suspended for a period of 2 years.
2.) When the acceptance of a new relation would prevent the full discharge of the lawyer’s duty of the
undivided fidelity and loyalty to the client or invite suspicion of unfaithfulness or double dealing in the
performance of that duty
3.) Whether the lawyer would be called upon in the new relation to use against a former client any
confidential information acquired through their connection or previous employment.
Based on the test there was a violation on the rule against conflict of interest due to the following:
1.) Sabitsana’s legal services were initially engaged by Aninon to protect her interest and Sabitsana
executed a deed in Aninon’s favor
2.)
3.) Sabitsana met Canete to discuss her interest over the lot bought by Aninon despite having knowledge
that Aninon’s interest clashed with Canete’s interest
4.) Despite that knowledge, he accepted the engagement from Canete
5.) Sabitsana’s knowledge of conflicting interest could be seen when he filed a case against aninon in
behalf of canete, when he impleaded aninon as a defendant in the annulment of deed of sale case
and when he filed for the annulment of the deed which he himself prepared and executed for aninon.
The exception to the violation under Rule 15.03 cannot be applied because he did not provide full disclosure about
the cases to Aninon and Canete and acquiring their consent before accepting the engagement
44. JOSEPHINE L. OROLA v. ATTY. JOSEPH ADOR RAMOS AC. No. 9860, Sep 11, 2013
FACTS:
The respondent acted as a collaborating counsel with Atty. Ely Azaragga Jr. in representing Maricar, Karen,
and the other heirs of the late Antonio Orola in the settlement of the estate of Trinidad Laserna-Orola. The heirs of
Antonio together with the heirs of Trinidad moved for the removal Emilio Orola as the administrator of Trinidad’s
estate. Subsequently, respondent appeared as collaborating counsel for Emilio in the same case. As such,
complaints for disbarment were filed against respondent for representing conflicting interests in violation of Rule
15.03 of the CPR.
ISSUE: whether or not respondent is guilty of representing conflicting interests in violation of Rule 15.03 of the
Code?
HELD:
YES. Rule 15.03 - A lawyer shall not represent conflicting interests except by written consent of all
concerned given after a full disclosure of the facts. Under the afore-cited rule, it is explicit that a lawyer is
prohibited from representing new clients whose interests oppose those of a former client in any manner, whether
or not they are parties in the same action or on totally unrelated cases. The prohibition is founded on the
principles of public policy and good taste. In Hornilla v. Salunat the Court explained the concept of conflict of
interest, to wit: There is conflict of interest when a lawyer represents inconsistent interests of two or more
opposing parties. The test is "whether or not in behalf of one client, it is the lawyer's duty to fight for an issue or
claim, but it is his duty to oppose it for the other client. In brief, if he argues for one client, this argument will be
opposed by him when he argues for the other client." This rule covers not only cases in which confidential
communications have been confided, but also those in which no confidence has been bestowed or will be used.
Also, there is conflict of interests if the acceptance of the new retainer will require the attorney to perform an act
which will injuriously affect his first client in any matter in which he represents him and also whether he will be
called upon in his new relation to use against his first client any knowledge acquired through their connection.
Another test of the inconsistency of interests is whether the acceptance of a new relation will prevent an attorney
from the full discharge of his duty of undivided fidelity and loyalty to his client or invite suspicion of unfaithfulness
or double dealing in the performance thereof.
It must, however, be noted that a lawyer's immutable duty to a former client does not cover transactions
that occurred beyond the lawyer's employment with the client. The intent of the law is to impose upon the lawyer
the duty to protect the client's interests only on matters that he previously handled for the former client and not
for matters that arose after the lawyer-client relationship has terminated.
Records reveal that respondent was the collaborating counsel not only for Maricar as claimed by him, but
for all the Heirs of Antonio in Special Proceeding No. V-3639. In the course thereof, the Heirs of Trinidad and the
Heirs of Antonio succeeded in removing Emilio as administrator for having committed acts prejudicial to their
interests. Hence, when respondent proceeded to represent Emilio for the purpose of seeking his reinstatement as
administrator in the same case, he clearly worked against the very interest of the Heirs of Antonio particularly,
Karen in violation of the above-stated rule.
Respondent's justification that no confidential information was relayed to him cannot fully exculpate him
for the charges against him since the rule on conflict of interests, as enunciated in Hornilla, provides an absolute
prohibition from representation with respect to opposing parties in the same case. In other words, a lawyer cannot
change his representation from one party to the latter's opponent in the same case. That respondent's previous
appearances for and in behalf of the Heirs of Antonio was only a friendly accommodation cannot equally be given
any credence since the aforesaid rule holds even if the inconsistency is remote or merely probable or even if the
lawyer has acted in good faith and with no intention to represent conflicting interests.
WHEREFORE, respondent Atty. Joseph Ador Ramos is hereby held GUILTY of representing conflicting
interests in violation of Rule 15.03, Canon 15 of the Code of Professional Responsibility. Accordingly, he is
hereby SUSPENDED from the practice of law for a period of three (3) months, with WARNING that a repetition of
the same or similar acts in the future will be dealt with more severely.
45. Mabini Colleges v. Atty. Jose D. Pajarillo [A.C. 10687, July 22, 2015]
FACTS: The board of trustees of Mabini Colleges was divided into two opposing factions: (1) The Adeva Group and
(2) the Lukban Group. Mabini appointed respondent as its corporate secretary. Adeva Group issued an
unnumbered Board Resolution which authorized its members to apply for a loan with the Rural Bank of Paracale
(RBP). Lukban Group opposed the loan application because among those appointed to apply for the loan, two were
allegedly not registered as stockholders of Mabini, and that Mabini had financial difficulties. Respondent sent a
letter to RBP to assure the latter of Mabini’s financial capacity to pay the loan. RBP granted the loan of P200k,
which was secured by a Real Estate Mortgage over the properties of the complainant. SEC issued an order
nullifying the appointment of the members made by Adeva group, as a result, Mabini sent RBP a letter, informing it
of the SEC Order. RBP sent Mabini a letter, informing it that the SEC Order was referred to its legal counsel. Mabini
alleged that it was only upon receipt of such letter that it became aware that respondent is also the legal counsel
of RBP. Property of Mabini was foreclosed. Mabini filed for an annulment of mortgage against RBP. The
Investigating Commissioner noted that respondent appeared for RBP in the case for annulment of mortgage filed
by his former client, Mabini.
ISSUE: WON respondent is guilty of representing conflicting interests when he entered his appearance as counsel
for RBP in the case for annulment of mortgage filed by Mabini against RBP.
HELD: Yes. Respondent represented conflicting interest in violation of Canon 15, Rule 15.03 of the Code of
Professional Responsibility which provides that [a] lawyer shall not represent conflicting interests except by written
consent of all concerned given after a full disclosure of the facts. The rule prohibiting conflict of interest applies to
situations where in a lawyer would be representing a client whose interest is directly adverse to any of his present
or former clients. Applying the foregoing to the case at bar, the Court finds that respondent represented
conflicting interests when he served as counsel for RBP in the case for annulment of mortgage filed by the
complainant, respondent’s former client, against RBP.
Note: Respondent suspended from practice of law for 1 year.
61. Natividad Navarro and Hilda Presbitero vs. Ivan Solidum A.C. No. 9872
Facts: Hilda S. Presbitero and Natividad P. Navarro filed a disbarment case against Atty. Ivan M. Solidum, Jr.
Presbitero and her other daughter, Ma. Theresa P. Yulo, engaged in the services of Solidum for each of their own
cases concerning land. Yulo, pursuant to her land registration case, convinced Navarro to finance the expenses.
Navarro paid Php200, 000 for the registration expenses, but later learned that the property was already registered
in the name of one Teodoro Yulo. Meanwhile, Solidum obtained two loans of Php1,000,000.00 from Navarro and
one loan of Php1,000,000.00 to finance his sugar trading business, securing them with postdated checks and
drafting a MOA in each.
Solidum was able to pay complainants a total of Php900,000.00. Thereafter, he failed to pay either the
principal amount or the interest thereon. The checks issued by Solidum to the complainants could no longer be
negotiated because the accounts against which they were drawn were already closed. When complainants called
Solidum’s attention, he promised to pay the agreed interest for September and October 2006 but asked for a
reduction of the interest for the succeeding months. Complainants alleged that Solidum induced them to grant him
loans by offering very high interest rates. He also prepared and signed the checks which turned out to be drawn
against his son’s accounts. Complainants further alleged that respondent deceived them regarding the identity and
value of the property he mortgaged because he showed them a different property from that which he owned.
Presbitero further alleged that respondent mortgaged his 263-square-meter property to her for Php1,000,000.00
but he later sold it for only Php150,000.00.
The IBP-CBD found that respondent was guilty of violating Rule 1.01 of the Code of Professional
Responsibility for committing the following acts:
(1) signing drawn checks against the account of his son as if they were from his own account;
(2) misrepresenting to Navarro the identity of the lot he mortgaged to her;
(3) misrepresenting to Presbitero the true value of the 263-square-meter lot he mortgaged to her;
(4) conspiring with Yulo to obtain the loans from complainants;
(5) agreeing or promising to pay 10% interest on his loans although he knew that it was exorbitant; and
(6) failing to pay his loans because the checks he issued were dishonored as the accounts were already
closed.
Issue: Whether respondent violated the Code of Professional Responsibility.
Ruling: Yes Respondent violated at least four provisions: Rule 1.01, Canon 16, Rule 16.01, and Rule 16.04 of the
CPR. Solidum was disbarred from the practice of law.
Rule 1.01. - A lawyer shall not engage in unlawful, dishonest, immoral or deceitful conduct.
Respondent agreed to pay a high interest rate on his loan from the complainants. He drafted the MOA. Yet, when
he could no longer pay his loan, he sought to nullify the same MOA he drafted on the ground that the interest rate
was unconscionable. It was also established that respondent mortgaged a 263-square-meter property to
Presbitero for P1,000,000.00, but he later sold the property for only P150,000.00, showing that he deceived his
client as to the real value of the mortgaged property. Respondent’s allegation that the sale was eventually
rescinded did not distract from the fact that he did not apprise Presbitero as to the real value of the property.
Respondent failed to refute that the checks he issued to his client Presbitero and to Navarro belonged to his son,
Ivan Garcia Solidum III whose name is similar to his name. He only claimed that complainants knew that he could
no longer open a current bank account, and that they even suggested that his wife or son issue the checks for him.
However, we are inclined to agree with the IBP-CBD’s finding that he made complainants believe that the account
belonged to him. In fact, respondent signed in the presence of Navarro the first batch of checks he issued to
Navarro. Respondent sent the second batch of checks to Navarro and the third batch of checks to Presbitero
through a messenger, and complainants believed that the checks belonged to accounts in respondent’s name.
CANON 16. - A LAWYER SHALL HOLD IN TRUST ALL MONEYS AND PROPERTIES OF HIS CLIENT THAT MAY COME
INTO HIS POSSESSION.
Rule 16.01 – A lawyer shall account for all money or property collected or received for or from the client.
Respondent had been negligent in properly accounting for the money he received from his client, Presbitero.
Indeed, his failure to return the excess money in his possession gives rise to the presumption that he has
misappropriated it for his own use to the prejudice of, and in violation of the trust reposed in him by, the client.
Rule 16.04. - A lawyer shall not borrow money from his client unless the client’s interests are fully protected by the
nature of the case or by independent advice. Neither shall a lawyer lend money to a client except, when in the
interest of justice, he has to advance necessary expenses in a legal matter he is handling for the client.
While respondent’s loan from Presbitero was secured by a MOA, postdated checks and real estate mortgage, it
turned out that respondent misrepresented the value of the property he mortgaged and that the checks he issued
were not drawn from his account but from that of his son. Respondent eventually questioned the terms of the
MOA that he himself prepared on the ground that the interest rate imposed on his loan was unconscionable.
Finally, the checks issued by respondent to Presbitero were dishonored because the accounts were already closed.
The interest of his client, Presbitero, as lender in this case, was not fully protected. Respondent violated Rule 16.04
of the Code of Professional Responsibility, which presumes that the client is disadvantaged by the lawyer’s ability
to use all the legal maneuverings to renege on his obligation.6 In his dealings with his client Presbitero, respondent
took advantage of his knowledge of the law as well as the trust and confidence reposed in him by his client.
FACTS: A proceeding for disbarment was filed by complainant Angel Albano against respondent Perpetua Coloma,
a member of the Philippine Bar. In his letter complaint, complainant alleged that during the Japanese occupation,
he and his mother retained the services of respondent as counsel for them as plaintiffs in a civil case. After which
came the accusation that after liberation and long after the courts had been reorganized, respondent failed to
expedite the hearing and termination of the case, as a result of which they had themselves represented by another
lawyer. This notwithstanding, it was claimed that respondent intervened in the case to collect her attorney’s fees.
It was then alleged that during the hearing they were surprised that respondent presented to exhibit a document
showing that they as well as their co-plaintiffs in the case promised to pay her contingent fee of whatever could be
recovered in damages.
ISSUE: Whether or not the charge against respondent Perpetua Coloma should be dismissed.
RULING: YES. If there was anyone guilty of bad faith in this case it is complainant and his co-plaintiffs in the Civil
Case who, after benefiting from the valuable services of respondent in said case, tried to renege on their
agreement for the payment of the latter's contingent attorney's fees by dismissing her as their counsel after she
had already won for them said case in the trial court and the Court of Appeals, and later, by attempting to impugn
the authenticity and genuineness of their written agreement for the payment of attorney's fees.
A counsel who is worthy of his hire, is entitled to be fully recompensed for his services. With his capital consisting
solely of his brains and with his skill, acquired at tremendous cost not only in money but in the expenditure of time
and energy, he is entitled to the protection of any judicial tribunal against any attempt on the part of a client to
escape payment of his fees. It is indeed ironic if after putting forth the best that is in him to secure justice for the
party he represents, he himself would not get his due. Such an eventuality this Court is determined to avoid. It
views with disapproval any and every effort of those benefited by counsel's services to deprive him of his hard-
earned honorarium. Such an attitude deserves condemnation.
Facts: Czarina T. Malvar filed a complaint for illegal suspension and illegal dismissal against respondents Kraft Food
Philippines, Inc. (KFPI) and/or Bienvenido Bautista.
While her appeal was pending in the SC, she and respondents entered into a compromise agreement, whereby she
was paid P40,000,000 in addition to the P14,252,192.12 earlier paid to her. She later filed a motion to
dismiss/withdraw case but before it could be acted upon, a motion for intervention to protect attorney’s rights
was filed by the law firm of Dasal, Llasos and Associates, through its counsel, retired SC Associate Justice Josue N.
Bellosillo. The motion sought, among others, that both Malvar and KFPI be held and ordered to pay jointly and
severally the intervenor’s contingent fees.
In opposing the motion, Malvar claimed that the intervenor lacked the legal capacity to intervene because it had
ceased to exist after Atty. Marwil N. Llasos resigned from the intervenor and Atty. Richard B. Dasal became barred
from private practice upon his appointment to a position in a government subsidiary. They both personally
handled her case. Besides, their dismissal was based on a justifiable cause.
Issue: Does this contention find merit?
Ruling: No. In the absence of the lawyer’s fault, consent or waiver, a client cannot deprive the lawyer of his just
fees already earned in the guise of a justifiable reason. Here, Malvar not only downplayed the worth of the
intervenor’s legal service to her but also attempted to camouflage her intent to defraud her lawyer by offering
excuses that were not only inconsistent with her actions but, most importantly, fell short of being justifiable.
The letter Malvar addressed to Retired Justice Bellosillo, who represented the intervenor, debunked her
allegations of unsatisfactory legal service because she thereby lavishly lauded the intervenor for its dedication and
devotion to the prosecution of her case and to the protection of her interests. Also significant was that the
attorney-client relationship between her and the intervenor was not severed upon Atty. Dasal’s appointment to
public office and Atty. Llasos’ resignation from the law firm.
In other words, the intervenor remained as her counsel of record, for, as we held in Rilloraza, Africa, De Ocampo
and Africa v. Eastern Telecommunication Philippines, Inc., G.R. No. 104600, July 2, 1999, 309 SCRA 566, 574, a
client who employs a law firm engages the entire law firm; hence, the resignation, retirement or separation
from the law firm of the handling lawyer does not terminate the relationship, because the law firm is bound to
provide a replacement.
The stipulations of the written agreement between Malvar and the intervenors, not being contrary to law, morals,
public policy, public order or good customs, were valid and binding on her. They expressly gave rise to the right of
the intervenor to demand compensation.
In a word, she could not simply walk away from her contractual obligations toward the Intervenor, for Article 1159
of the Civil Code provides that obligations arising from contracts have the force of law between the parties and
should be complied with in good faith
71. Balingit vs Cervantes an Delarmente
Facts:
Balangit’s two sons, Jose and Carlo figured in a collision with a car driven by Alizadeh. Carlo suffered serious
injuries and Jose was pronounced dead on arrival. An information for criminal negligence was filed against
Alizadeh.
Balingit engaged the services of Atty. Cervantes and Delarmente for the separate civil case and administrative case
against Alizadeh. Atty. Cervantes sent a demand letter to Alizadeh for the payment of 2 million pesos + 25%
thereof as attorney’s fees.
Meanwhile, Atty. Cervantes prepared an agreement embodying the terms of agreement with Balangit for his legal
services. Among others, the agreement provided a payment of 30k acceptance fee, 4k appearance fee, 20%
success fee, and office fees for the account of Balangit.
Balangit did not sign the agreement, but paid 45k as partial acceptance fee for the filing of the civil suit. Cervantes
also received 10k from Balangit’s daughter in law without issuing any receipt.
Despite the payments, the respondents still failed to file the separate civil suit agreed upon. During the criminal
case, the parties agreed to compromise on the amount of 1 million pesos. Learning of this, Atty. Cervantes sent a
demand letter to Balangit seeking 100k as attorney’s fees and appearance fees of 5k.
Balangit refused to pay prompting Cervantes to file a case against him for estafa.
Issue: W/N respondents violated the CPR.
Ruling:
Yes. They violated Canons 15, 16, 17, and 18.
Firstly, they failed to file the separate civil action for damages against Alizadeh despite receipt of payments from
Balangit.
Secondly, Atty. Cervantes demanded payment of 5k as appearance fee and 10% of the settlement of 1milion as
success fee even though such award was from the criminal case, and not the civil case agreed upon. It is highly
improper for a lawyer to impose additional professional fees upon his clients which were never mentioned nor
agreed upon at the time of the engagement of his services.
Assuming he was entitled to the fees, his manner of enforcement was improper. Rule 20 provides that lawyers
should avoid controversies with clients concerning their compensiation and should only resort to judicial action to
prevent imposition, injustice or fraud.
The manner of enforcement is by filing the necessary petition as an incident of the main action in which his service
was rendered. For example, the filiing of a motion for intervention or an independent civil action against his client
is permissible.
In this case however, Atty Cervantes chose to file a criminal case for estafa which the court cannot countenance.
72. INTESTATE ESTATE OF THE DECEASED LUIS C. DOMINGO, SR., CONSUELO DOMINGO DE LOPEZ vs. PEDRO A.
AQUINO G.R. No. L-28078 April 29, 1971
FACTS:
Court of First Instance of Pangasinan rendered judgment approving the money claim of respondent Pedro
A. Aquino against the petitioner estate by ordering the then special administratrix, Asuncion Domingo Sta. Maria,
"to pay from the available funds of the estate to Pedro A. Aquino." On appeal, the court found the claim to be
valid. According to the present petition itself, the estate's counsel of record in the appellate court, Atty. Jose A.
Unson, did not receive the notice and copy of the appellate court's judgment sent to him by registered mail; but
the estate's attorneys in the intestate proceedings pending in the lower court, Attys. Primicias, Del Castillo and
Macaraeg, were verbally informed by respondent's counsel of the judgment rendered on appeal by the appellate
court. Pursuant to said information, petitioner caused to be filed on March 9, 1967, with the appellate court an
"Appearance with Motions for Substitution and to be served with a copy of the Judgment," stating inter alia, that
the former special administratrix, Asuncion Domingo Sta. Maria had long resigned as such with the permission of
the intestate court, that the other co-special administrator, Atty. Luis Domingo, Jr. (who had caused the
prosecution of the appeal) was removed from his trust by the intestate court's order dated May 21, 1963, for
having squandered cash funds of the estate, and that as a consequence, Mrs. Consuelo Domingo de Lopez was
appointed judicial administratrix and has since been administering the estate alone; that Mrs. Lopez as judicial
administratrix wished to file a motion for reconsideration of the appellate court's judgment and that the clerk of
court be directed to serve copy of said judgment on her counsel instead of on Atty. Unson as the former special
administrator's counsel "for purposes of starting of time to move for re-hearing or reconsideration;" and praying
that as present judicial administratrix, she be substituted in lieu of the former joint administrators and that her
counsel be served with copy of the appellate court's decision.
ISSUE: Was it proper for petitioners to substitute counsels without informing the court?
HELD:
NO. One vital factor that the present administratrix, Mrs. Lopez, has obviously failed to appreciate,
wittingly or otherwise, is that the party in the Subject case was the intestate estate of the deceased Luis C.
Domingo, Sr. and that Atty. Unson represented the estate as counsel in the said case. The fact that his services
were engaged by Luis Domingo, Jr. in his (Luis') official capacity as administrator, did not make him the personal
counsel of Luis. Thus, nothwithstanding Luis' removal as administrator, Atty. Unson continued to represent the
estate as counsel in the appellate court. He continued to be authorized to represent the estate as its counsel, until
the new administrator should terminate his services, which she never did.
The representations made by the present administrator and her counsel in the petition at bar — filed
almost five months after the appellate court's denial of her belated motion for substitution and to be served with
copy of its decision — to the effect that the appellate court had granted respondent "new and further relief" in its
decision by the award of compound interest on the sum due respondent are deplorable. They failed to set out
before the Court the full facts, viz, that respondent had duly prayed for the award of compound interest by the
intestate court in accordance with the very stipulation of the promissory note sued upon; that respondent had
duly moved the intestate court to reconsider its decision failing to provide for such compound interest; that the
intestate court, in denying respondent's motion, merely stated "that the issue may just as well be decided in the
appellate court, since both parties had indicated their intention to appeal; and that respondent in fact filed his
appeal from this adverse portion of the intestate court's decision, as well as the non-award of the stipulated
attorney's fees of P500.00. The appellate court therefore properly modified the intestate court's decision by
awarding such compound interest and attorney's fees as prayed for in the errors assigned in respondent's brief as
appellant. It results clearly that the petition, alleging and praying that the appellate court's decision of January 20,
1967, be declared null and void for having been rendered and entered in excess of or without jurisdiction or that
this Court send for the records from the appellate court "for purposes of review and thereafter render its own
decision reversing the judgment [of the appellate court]" notwithstanding its long having become final and
executory, is utterly untenable and without legal justification.
Petitioner's counsel are reminded of this Court's admonition in Pajares vs. Abad Santos,6 and other cases
cited therein, to wit, that "the cooperation of litigants and their attorneys is needed so that needless clogging of
the court dockets with unmeritorious cases may be avoided. There must be more faithful adherence to Rule 7,
section 5 of the Rules of Court which provides that 'the signature of an attorney constitutes a certificate by him
that he has read the pleading and that to the best of his knowledge, information and belief, there is good ground
to support it; and that it is not interposed for delay' and expressly admonishes that 'for a willful violation of this
rule, an attorney may be subjected to disciplinary action.' "
73. Felicisimo M. Montano v. IBP and Atty. Juan S. Dealca [A.C. 4215, May 21, 2001]
FACTS: Montano hired the services of Atty. Dealca as his counsel in collaboration with Atty. Ronando L. Gerona in a
case pending before the CA. The parties agreed upon attorney's fees in the amount of P15k, 50% of which was
payable upon acceptance of the case and the remaining balance upon the termination of the case. Accordingly,
Montano paid respondent the amount of P7.5k representing 50% of the attorney's fee. Even before respondent
counsel had prepared the appellant's brief and contrary to their agreement that the remaining balance be payable
after the termination of the case, Atty. Dealca demanded an additional payment from complainant obliged by
paying the amount of P4k. Prior to the filing of the appellant's brief, respondent counsel again demanded payment
of the remaining balance of P3.5k. When complainant was unable to do so, respondent lawyer withdraw his
appearance as complainant's counsel without his prior knowledge and/or conformity.
ISSUE: WON Atty. Dealca’s conduct was just and proper.
HELD: No. The Court finds Atty. Dealca's conduct unbecoming of a member of the legal profession. Under Canon
22 of the Code of Professional Responsibility, a lawyer shall withdraw his services only for good cause and upon
notice appropriate in the circumstances. Although he may withdraw his services when the client deliberately fails
to pay the fees for the services, under the circumstances of the present case, Atty. Dealca's withdrawal was
unjustified as complainant did not deliberately fail to pay him the attorney's fees. In fact, complainant exerted
honest efforts to fulfill his obligation. Respondent's contemptuous conduct does not speak well of a member of the
bar considering that the amount owing to him was only P3.5k rule 20.4 of Canon 20, mandates that a lawyer shall
avoid controversies with clients concerning his compensation and shall resort to judicial action only to prevent
imposition, injustice or fraud. Sadly, for not so large a sum owed to him by complainant, respondent lawyer failed
to act in accordance with the demands of the Code.
Note: Atty. Dealca was reprimanded with a warning.