97-10033. Client Identity and Statement of Facts  

  • [Federal Register Volume 62, Number 76 (Monday, April 21, 1997)]
    [Rules and Regulations]
    [Pages 19418-19420]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 97-10033]
    
    
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    LEGAL SERVICES CORPORATION
    
    45 CFR Part 1636
    
    
    Client Identity and Statement of Facts
    
    AGENCY: Legal Services Corporation.
    
    ACTION: Final rule.
    
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    SUMMARY: This final rule implements a restriction contained in the 
    Legal Services Corporation's (``LSC'' or ``Corporation'') FY 1996 
    appropriations act that is currently incorporated by reference in the 
    Corporation's FY 1997 appropriations act. The rule requires LSC 
    recipients to identify by name each plaintiff they represent in any 
    litigation. In the case of pre-litigation negotiation, the regulation 
    requires recipients to notify potential defendants of the names of 
    plaintiffs represented by the recipient. The rule also requires that a 
    plaintiff sign a written statement of facts on which the plaintiff's 
    complaint is based before the recipient engages in litigation or before 
    it undertakes pre-litigation negotiations on the plaintiff's behalf.
    
    DATES: Effective May 21, 1997.
    
    FOR FURTHER INFORMATION CONTACT: Victor M. Fortuno, General Counsel, 
    (202) 336-8910.
    
    SUPPLEMENTARY INFORMATION: On May 19, 1996, the Operations and 
    Regulations Committee (``Committee'') of the LSC Board of Directors 
    (``Board'') requested the LSC staff to prepare an interim rule to 
    implement Sec. 504(a)(8), a restriction in the Corporation's FY 1996 
    appropriations act which requires LSC recipients to identify the 
    plaintiffs they represent and have the plaintiffs sign written 
    statements of the facts underlying their claims. The Committee held 
    hearings on staff proposals on July 8 and 19, 1996. An interim rule was 
    adopted by the Board on July 20 and was published in the Federal 
    Register on August 29, 1996 (61 FR 45740), to be effective immediately. 
    The Corporation received 9 timely comments on the interim rule. The 
    Committee held public hearings to discuss the written comments and to 
    hear oral comments on December 13, 1996, and January 5, 1997, and made 
    revisions to the interim rule. The Board adopted the Committee's 
    recommended version as a final rule on January 6, 1997.
    
    [[Page 19419]]
    
        The Corporation's FY 1997 appropriations act became effective on 
    October 1, 1996, see Pub. L. 104-208, 110 Stat. 3009. It incorporated 
    by reference the Sec. 504 condition on LSC grants included in the FY 
    1996 appropriations act implemented by this rule. Accordingly, the 
    preamble and text of this rule continue to refer to the applicable 
    section number of the FY 1996 appropriations act.
        Generally, this rule implements Sec. 504(a)(8) of the Corporation's 
    FY 1996 appropriations act, which requires recipients to identify the 
    plaintiffs they represent when filing a complaint or initiating or 
    participating in litigation or prior to engaging in any pre-litigation 
    settlement negotiations with a prospective defendant, unless a court 
    issues an order based on a finding that disclosure would cause serious 
    harm to the plaintiff. In addition, the rule requires that, prior to 
    entering into any pre-litigation settlement negotiations with a 
    prospective defendant or prior to filing the complaint in court, each 
    recipient obtain from the client being represented a signed statement 
    of the facts supporting the complaint. The purpose of the rule is to 
    ensure that an LSC-funded program represents eligible clients who have 
    colorable claims when instituting litigation against or negotiating 
    with a defendant.
        A section-by-section discussion of this interim rule is provided 
    below.
    
    Section 1636.1  Purpose
    
        The purpose of the rule is to ensure that during pre-litigation 
    settlement negotiations with a prospective defendant and when filing a 
    complaint in a court of law or otherwise participating in litigation 
    against a defendant, LSC recipients identify their clients to the 
    adverse party. The rule also seeks to ensure that recipients undertake 
    such activities based on facts which support the complaint. This final 
    rule revises the interim rule by adding language that clarifies that 
    the purpose of this rule is to ensure disclosure of the plaintiff's 
    identity to the defendant rather than to the public at large. Thus, 
    filings in bankruptcy would not fall under this rule, because they do 
    not implicate any defendant.
    
    Section 1636.2  Requirements
    
        This section sets forth the requirement that recipients identity 
    plaintiffs they represent in all court complaints filed and prior to 
    engaging in any pre-litigation settlement negotiations. The disclosure 
    of a client's identity is not required when a court of competent 
    jurisdiction has entered an order protecting the client from such 
    disclosure to prevent probable, serious harm the client.
        Public comments pointed out types of cases and certain situations 
    they believed would not fall within the exception for probable serious 
    harm but where the identities of plaintiffs should not be disclosed to 
    the public in a complaint because they are protected by State law or 
    court rules, or public disclosure would cause great embarrassment and 
    humiliation. Comments pointed out, for example, that State law usually 
    protects the identities of juveniles or persons who are mentally 
    incompetent in such cases as guardianships, paternity actions, and 
    juvenile court actions initiated for the protection of the child. Other 
    comments stated that, in certain types of cases, the identity of the 
    plaintiff is generally already known to the defendant, such as divorces 
    and domestic violence cases, or where both parties have agreed to keep 
    the plaintiff's identity confidential.
        In response to these comments, the Board agreed to add language to 
    allow a recipient the alternative of providing notice directly to the 
    defendant against whom the complaint is filed where public disclosure 
    would be contrary to law or court rules or practices. This revision is 
    consistent with the purpose of the underlying statutory requirement, 
    which pertains only to complaints or negotiation efforts against a 
    defendant or prospective defendant.
        One comment stated that the interim rule seemed to apply to 
    situations where the recipient program is co-counseling with another 
    attorney and, thus, the recipient would need to identify each plaintiff 
    represented by all plaintiffs' attorneys to the defendants. The comment 
    suggested language clarifying this point. The Board revised the rule to 
    clarify that recipients need only identify clients they represent.
        One comment pointed out that it is unclear that procedures exist in 
    most jurisdictions for making a motion to the court to protect the 
    identity of a client prior to filing a complaint. Thus, for a client 
    who is in pre-litigation settlement negotiations, it is unclear how a 
    recipient would obtain a court order to protect the identity of a 
    client. The comment suggested that it would require the filing of a 
    separate action to obtain the protective order and requiring extra 
    litigation simply to obtain a protective order goes against judicial 
    efficiency.
        No revisions were made to the rule in response to this comment. 
    Section 504(a)(8) applies the exception for probable serious harm to 
    pre-litigation negotiations as well as to complaints filed in court. 
    Therefore, the Corporation determined it has no discretion to make 
    exceptions for pre-litigation negotiations, either to promote judicial 
    economy or in recognition that procedures for such actions may not 
    exist.
        This section also requires that prior to the recipient's entering 
    into any pre-litigation settlement negotiations or prior to filing the 
    complaint in court, each recipient obtain from the client being 
    represented a signed statement of the facts supporting the complaint. 
    The requirement does not apply to defendants represented by a recipient 
    for counterclaims filed against a plaintiff. Nor does it apply to a 
    recipient's delivery of advice and brief services or to attempts to 
    resolve matters for a client through negotiations in which there is no 
    contemplation of litigation.
        The statement of facts is to be written in English and in the 
    client's language if the client does not understand English. If the 
    client's language is only an oral and not a written language, such as 
    the Navajo language, the statement in English should be certified to 
    have been translated orally to the client prior to the client's 
    signing.
        In a few emergency situations, it may be necessary for the 
    recipient to negotiate with a prospective defendant or to file an 
    action before the plaintiff's statement of facts can be prepared or 
    signed. A recipient may proceed without a signed statement in such 
    emergencies, if delay in proceeding is reasonably likely to cause harm 
    to a significant interest of the client. Emergency situations might 
    include threats to take the client's child out of State, to assault the 
    client, or to evict the client without following the required legal 
    procedures. Where a recipient proceeds on an emergency basis, a 
    statement must be prepared and signed as soon as practicable.
    
    Section 1636.3  Access to Written Statements
    
        This section implements the statutory provision granting a right of 
    access to the statements of facts for certain specified governmental 
    officials and their agents but not for adverse parties and others. 
    Comments stated that the access provisions should be strengthened to 
    limit any potential for abuse by parties not specifically granted 
    access by this rule. The first comment suggested adding language 
    stating that the access provision should not be deemed a waiver of any 
    privilege. The second proposed that language be added referencing the 
    rules protecting client confidentiality generally and those
    
    [[Page 19420]]
    
    governing the attorney-client privilege specifically.
        In response, the Board revised Sec. 1636.3(b) to limit access for 
    persons and parties who are not specifically provided access under 
    paragraph (a) of this section. The interim rule provided some 
    protection for the statements under the discovery rule. As applied to 
    those not identified in paragraph (a), the final rule has added the 
    protection of other ``applicable law,'' which would include rules 
    protecting client confidentiality generally and those governing the 
    attorney-client privilege specifically. This language is consistent 
    with the access requirements of paragraph (a) but also conforms to the 
    requirement of Sec. 1006(b)(3) in the LSC Act that the Corporation 
    ensure that recipient activities be carried out in a manner consistent 
    with professional responsibilities.
        This section does not create any new right of access to information 
    for parties to a lawsuit or for others, and the Corporation anticipates 
    that, in most cases, courts will determine that statements are not 
    discoverable by an adverse party in litigation. Recipients should draft 
    the statements of facts, however, mindful of their local law regarding 
    confidentiality.
        A copy of each statement drafted according to this section should 
    be maintained separate from the client's case file.
    
    Section 1636.4  Applicability
    
        This section specifies that the requirements of this part apply not 
    only to cases handled by recipient staff but also to cases for which 
    private attorneys are compensated by the recipient. Attorneys who are 
    handling cases pro bono, however, are not subject to the requirements 
    of this rule, because pro bono attorneys are uncompensated. It is the 
    Corporation's judgment that the requirements of this part, especially 
    the requirement for the plaintiff's statement of facts, would be a 
    substantial impediment to the recruitment of pro bono lawyers. In 
    addition, the fact that pro bono lawyers are volunteering their time 
    serves as an additional impediment to their bringing frivolous law 
    suits.
        A judicare program commented that the distinction between PAI 
    attorneys who accept a reduced fee and those who provide free 
    representation is an artificial distinction considering that the 
    reduced fees are insignificant amounts and do not constitute any real 
    incentive for private attorneys to handle PAI cases. According to the 
    program, the reduced fees should not be considered compensation 
    significant enough to provide an exception for judicare attorneys. The 
    Board disagreed that reduced fees to judicare attorneys are too 
    insignificant to be considered compensation and included no exception 
    for judicare programs.
    
    Section 1636.5  Recipient Policies, Procedures and Recordkeeping
    
        This section requires recipients to establish policies and 
    procedures to ensure compliance with this part and to maintain records 
    sufficient to document compliance with this part.
    
    List of Subjects in 45 CFR Part 1636
    
        Client identity, Grant programs, Legal services.
    
        For reasons set forth in the preamble, 45 CFR part 1636 is revised 
    as follows:
    
    PART 1636--CLIENT IDENTIFY AND STATEMENT OF FACTS
    
    Sec.
    1636.1  Purpose.
    1636.2  Requirements.
    1636.3  Access to written statements.
    1636.4  Applicability.
    1636.5  Recipient policies, procedures and recordkeeping.
    
        Authority: Pub. L. 104-208, 110 Stat. 3009; Pub. L. 104-134, 110 
    Stat. 1321.
    
    
    Sec. 1636.1  Purpose.
    
        The purpose of this rule is to ensure that, when an LSC recipient 
    files a complaint in a court of law or otherwise initiates or 
    participates in litigation against a defendant or engages in pre-
    complaint settlement negotiations, the recipient identifies the 
    plaintiff it represents to the defendant and ensures that the plaintiff 
    has a colorable claim.
    
    
    Sec. 1636.2  Requirements.
    
        (a) When a recipient files a complaint in a court of law or 
    otherwise initiates or participates in litigation against a defendant, 
    or before a recipient engages in pre-complaint settlement negotiations 
    with a prospective defendant on behalf of a client who has authorized 
    it to file suit in the event that the settlement negotiations are 
    unsuccessful, it shall:
        (1) Identify each plaintiff it represents by name in any complaint 
    it files, or in a separate notice provided to the defendant against 
    whom the complaint is filed where disclosure in the complaint would be 
    contrary to law or court rules or practice, and identify each plaintiff 
    it represents to prospective defendants in pre-litigation settlement 
    negotiations, unless a court of competent jurisdiction has entered an 
    order protecting the client from such disclosure based on a finding, 
    after notice and an opportunity for a hearing on the matter, of 
    probable, serious harm to the plaintiff if the disclosure is not 
    prevented; and
        (2) Prepare a dated written statement signed by each plaintiff it 
    represents, enumerating the particular facts supporting the complaint, 
    insofar as they are known to the plaintiff when the statement is 
    signed.
        (b) The statement of facts must be written in English and, if 
    necessary, in a language other than English that the plaintiff 
    understands.
        (c) In the event of an emergency, where the recipient reasonably 
    believes that delay is likely to cause harm to a significant safety, 
    property or liberty interest of the client, the recipient may proceed 
    with the litigation or negotiation without a signed statement of facts, 
    provided that the statement is prepared and signed as soon as possible 
    thereafter.
    
    
    Sec. 1636.3  Access to written statements.
    
        (a) Written statements of facts prepared in accordance with this 
    part are to be kept on file by the recipient and made available to the 
    Corporation or to any Federal department or agency auditing or 
    monitoring the activities of the recipient or to any auditor or monitor 
    receiving Federal funds to audit or monitor on behalf of a Federal 
    department or agency or on behalf of the Corporation.
        (b) This part does not give any person or party other than those 
    listed in paragraph (a) of this section any right of access to the 
    plaintiff's written statement of facts, either in the lawsuit or 
    through any other procedure. Access to the statement of facts by such 
    other persons or parties is governed by applicable law and the 
    discovery rules of the court in which the action is brought.
    
    
    Sec. 1636.4  Applicability.
    
        This part applies to cases for which private attorneys are 
    compensated by the recipient as well as to those cases initiated by the 
    recipient's staff.
    
    
    Sec. 1636.5  Recipient policies, procedures and recordkeeping.
    
        Each recipient shall adopt written policies and procedures to guide 
    its staff in complying with this part and shall maintain records 
    sufficient to document the recipient's compliance with this part.
    
        Dated: April 14, 1997.
    Victor M. Fortuno,
    General Counsel.
    [FR Doc. 97-10033 Filed 4-18-97; 8:45 am]
    BILLING CODE 7050-01-P
    
    
    

Document Information

Effective Date:
5/21/1997
Published:
04/21/1997
Department:
Legal Services Corporation
Entry Type:
Rule
Action:
Final rule.
Document Number:
97-10033
Dates:
Effective May 21, 1997.
Pages:
19418-19420 (3 pages)
PDF File:
97-10033.pdf
CFR: (5)
45 CFR 1636.1
45 CFR 1636.2
45 CFR 1636.3
45 CFR 1636.4
45 CFR 1636.5