Leslie Galloway, III a/k/a Leslie Galloway a/k/a Leslie \"Bo\" Galloway, III v. State of Mississippi ( 2020 )


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  •                     IN THE SUPREME COURT OF MISSISSIPPI
    NO. 2018-CA-01427-SCT
    LESLIE GALLOWAY, III a/k/a LESLIE
    GALLOWAY a/k/a LESLIE “BO” GALLOWAY, III
    v.
    STATE OF MISSISSIPPI
    DATE OF JUDGMENT:                          09/05/2018
    TRIAL JUDGE:                               HON. ROBERT P. KREBS
    TRIAL COURT ATTORNEYS:                     ANTHONY N. LAWRENCE, III
    NESHONDRIA DEQUANDRA ELLERBY
    JOSEPH RICHARD TRAMUTA
    VANESSA JUDITH CARROLL
    COURT FROM WHICH APPEALED:                 JACKSON COUNTY CIRCUIT COURT
    ATTORNEYS FOR APPELLANT:                   ANNA MARIE ARCENEAUX
    THOMAS M. FORTNER
    OLIVIA ENSIGN
    BRIAN W. STULL
    ATTORNEYS FOR APPELLEE:                    OFFICE OF THE ATTORNEY GENERAL
    BY: CAMERON LEIGH BENTON
    ASHLEY LAUREN SULSER
    MATTHEW WYATT WALTON
    NATURE OF THE CASE:                        CIVIL - POST-CONVICTION RELIEF
    DISPOSITION:                               AFFIRMED - 05/07/2020
    MOTION FOR REHEARING FILED:
    MANDATE ISSUED:
    EN BANC.
    BEAM, JUSTICE, FOR THE COURT:
    ¶1.    Leslie Galloway appeals from the Jackson County Circuit Court’s denial of his 2015
    petition for post-conviction relief (PCR) pertaining to his 2007 guilty plea to carjacking, a
    conviction that was used as an aggravating circumstance in Galloway’s 2010 capital-murder
    trial at which Galloway received a death sentence.
    ¶2.    Galloway claimed in the petition that his defense counsel Wendy Martin had an actual
    conflict of interest because, before becoming his defense counsel, Martin had served as an
    assistant district attorney in the same case, unbeknownst to Galloway. Galloway asserted that
    this deprived him of due process and effective assistance of counsel, requiring automatic
    reversal of his carjacking conviction. Galloway further asserted that, if the court found that
    Martin’s representation created only a potential conflict of interest, reversal is still required
    because he was prejudiced by Martin’s failing to conduct a reasonable investigation before
    advising him to plead guilty.
    ¶3.    The trial court ruled that Galloway’s PCR claim was time barred under Mississippi’s
    Uniform Post-Conviction Collateral Relief Act (UPCCRA), having been filed more than
    seven years after Galloway’s conviction for carjacking. The trial court alternatively found
    no merit to Galloway’s PCR claim, time bar notwithstanding. Accordingly, the trial court
    denied Galloway’s PCR petition.
    ¶4.    We agree with the trial court that Galloway’s PCR claim is time barred under the
    UPCCRA. See 
    Miss. Code Ann. § 99-39-5
    (2) (Rev. 2015) (“A motion for relief under the
    this article shall be made . . . within three (3) years after entry of the judgment of conviction”
    in the case of a guilty plea.).
    ¶5.    We also agree with the trial court that, time bar notwithstanding, there is no merit to
    Galloway’s PCR claim. The trial court found that, at the time Martin represented Galloway
    as his defense attorney, Martin did not realize that she had previously worked on the same
    2
    case as an assistant district attorney. Thus, according to the trial court, no actual conflict
    existed.
    ¶6.     We affirm.
    FACTS AND PROCEDURAL HISTORY
    1.       Events Before Galloway’s 2007 Carjacking Guilty Plea
    ¶7.     Galloway was arrested in July 2001 by Jackson County authorities for a carjacking
    that had occurred two nights before in Moss Point, Mississippi. Galloway was indicted for
    the offense in April 2002.1 Galloway failed to appear for his arraignment, and the trial court
    issued a bench warrant in August 2002 for Galloway’s arrest.2
    ¶8.     On September 27, 2002, a waiver of arraignment was entered in Galloway’s case, and
    an agreed trial date was set for November 25, 2002. At the time, assistant district attorney
    Wendy Martin represented the State in the matter. And Brenda Locke from the Jackson
    County Public Defender’s Office represented Galloway. An agreed order signed by Martin
    and Locke to set aside the bench warrant was also entered on September 27, 2002.
    ¶9.     On October 4, 2002, Locke filed a motion for discovery and a speedy-trial demand.
    A notice of trial was filed on December 16, 2002, setting the cause for trial on March 3,
    2003.
    ¶10.    On March 3, 2003, an order for continuance was entered at the request of the
    1
    The indictment alleged that Galloway “knowingly by force and violence” took a
    motor vehicle “from Monica Simmons’s immediate actual possession . . . .”
    2
    The order was signed by Circuit Court Judge James Backstrom.
    3
    “defendant/State.” The order was signed by Martin and public defender Brice Kerr.3
    ¶11.     In May 2003, at the request of Martin, subpoenas were filed for the following
    individuals: Monica Simmons, Erica Fairley, Carlton Logan, Anthony Cooley, and William
    Trussell.
    ¶12.     At a May 13, 2003 docket hearing, Martin informed the trial court that “a plea
    recommendation has been made, and the State could be ready for a trial, if necessary.”
    Locke, however, informed the trial court that she was unable to “get in touch” with Galloway
    after having made repeated attempts. Martin then requested a bench warrant for Galloway,
    which the trial court granted. The case sat idle on the docket from May 2003 until January
    2004.
    ¶13.     In January 2004, Anthony N. Lawrence, III, took office as the new district attorney.
    Martin had run unsuccessfully against Lawrence for the position, and she left the district
    attorney’s office soon after.
    ¶14.     In March 2004, the trial court entered an order passing Galloway’s case to the inactive
    files. Tanya Hasbrouck, the new assistant district attorney assigned to the case, signed the
    order.
    ¶15.     In October 2006, Hasbrouck informed the trial court that Galloway was in the
    Pascagoula city jail for an unrelated matter. Galloway was then transported to the Jackson
    County courthouse, at which time public defender Robert Rudder informed the trial court that
    3
    This order was signed by Circuit Court Judge Robert Krebs. Judge Krebs presided
    over Galloway’s 2007 guilty-plea hearing. Judge Krebs also presided over the underlying
    PCR.
    4
    he would be representing Galloway. Rudder requested a continuance to the next term of
    court, which the trial court granted, continuing the case to January 25, 2007.
    ¶16.   On January 25, 2007, Hasbrouck informed the trial court that Galloway had “a couple
    of unindicted cases,” and she requested that the court pass the case to the next court term.
    Rudder also informed the court at that time that Galloway had “two possession cases out of
    Pascagoula from early in the Fall” for which Rudder was trying to obtain police reports.
    ¶17.   On February 22, 2007, Martin entered an appearance as defense counsel for Galloway,
    at which time she filed a request for discovery and a demand for speedy trial. The record
    does not show who hired Martin to represent Galloway. Martin later testified at the
    evidentiary hearing on March 22, 2018, that she could not remember who had hired her to
    represent Galloway; she said, “It was probably a family member or a girlfriend.”
    ¶18.   In March 2007, Galloway entered a plea of not guilty to the carjacking charge, and a
    trial date was set for early May 2007.4 In April 2007, Martin requested a continuance on
    Galloway’s behalf, which the trial court granted.
    2.     Galloway’s 2007 Guilty-Plea Hearing
    ¶19.   On May 17, 2007, represented by Martin, Galloway appeared before the trial court
    after signing a petition to plead guilty to the crimes of carjacking and possession of a
    controlled substance.
    ¶20.   During the plea colloquy, Galloway informed the trial court that he was twenty-three
    4
    Galloway also stood charged with possession of a controlled substance, for which
    he had been arrested in 2006. Galloway, however, seeks relief only from his carjacking
    conviction.
    5
    years of age, that he had graduated from high school, and that he could read and write.
    Galloway acknowledged that he had fully discussed the plea petition with Martin and that
    it was his signature on the plea petition.
    ¶21.   Galloway stated that he had received his indictment and that he understood he was
    charged with “carjacking and possession of a controlled substance, crack cocaine.”
    Galloway told the trial court that Martin had discussed with him the elements of the crimes
    the State had to prove. Galloway also said that he knew the maximum and minimum
    sentences and the fines for each charge.
    ¶22.   Galloway said he understood that by pleading guilty, he was admitting that he was
    guilty. Galloway stated that no one had threatened him in order to make him plead guilty.
    And other than plea negotiations with the district attorney’s office, Galloway said that no
    one, including his attorney, had promised him anything for his guilty plea.
    ¶23.   Galloway told the trial court that he was satisfied with Martin’s services, that she
    properly advised him of his best interests, and that he had no complaints about Martin’s
    representation. Galloway further stated that he understood the constitutional rights he would
    be waiving by pleading guilty.
    ¶24.   When asked by the trial court, “what[,] in your own mind[,] makes you think you’re
    guilty?” Galloway responded, “I had possession of a controlled substance in my pocket, and
    I took a car by force.”
    ¶25.   Afterwards, Hasbrouck submitted to the trial court the following plea
    recommendation:
    6
    8 years in the Mississippi Department of Corrections, on each charge to run
    concurrent, recommendation for the [Regimented Inmate Discipline] program,
    retain jurisdiction, 4 years of Post-Release supervision, with a condition that
    [Galloway] complete the Adult Challenge Program, $1,000 fine on each case,
    $250 restitution[,] . . . lab fees[,] . . . [c]ourt costs, and we’re going to ask that
    he be required to stay away from the victim . . . .
    ¶26.   The trial court asked Galloway if there was anything he or Martin would like to say
    regarding any mitigating circumstances before rendering Galloway’s sentence. Martin stated
    the following:
    Yes, Your Honor. Mr. Galloway [had] just turned 18 when this
    carjacking happened. He was in high school. Basically, Your Honor, what
    happened is they had been drinking a little, they had gotten in the car with the
    girls. They had been riding around. The girls decided that they wanted them
    to get out. Mr. Galloway agreed to put $5 worth of gas in the car. They drove
    around a little more, and they got into an argument. He pulled the girl out of
    the car and drove home, because he didn’t want to walk. This is what the
    argument started over, about him getting out of the car and walking. He was
    very young. When he got into this trouble, - - Your Honor, his mother is here.
    She’s been here all day, and his sisters. She moved. She took him out of high
    school and moved to Greene County, because she wanted to get him away
    from his friends. . . . [T]he next year, his senior year, he graduated with honors
    from Green County, and had not been in any trouble. He worked for many
    years after this happened. This was in 2001, this incident, Your Honor. There
    was a bench warrant taken out. He never left Jackson County. He worked for
    three years at the Brass Hanger Cleaners as a presser right when this happened.
    And he can show you his hand when he got caught with possession.
    Basically, Your Honor, after working at Brass Hanger Cleaners, he
    severely burned his hand while pressing. He was out on workers’
    compensation. He was taking pain meds, and he started experimenting with
    crack cocaine, Your Honor.
    He had not been in any trouble, or any arrests at all, since the time he
    was 18 until this last incident, Your Honor. We would ask the Court for some
    mercy. His mother and family are here in support of him. And he’s been in
    jail for 7 months, Your Honor. We would [ask] that you, because of his age,
    consider time served, and putting him on 5 years Post-Release Supervision.
    He says that he learned his lesson. He’s never been in jail before. He’s never
    7
    been in jail before this, and he is pretty adamant that he doesn’t like it, and
    he’s not going back. And he’s just asking for a chance, Your Honor.
    ¶27.   The State then responded as follows:
    Your Honor, first off, I did make an error on restitution. It should be
    $680. I was just looking at the cost to get the car out of impound. I think there
    were some other items that was [sic] never returned.
    Your Honor, the reason for the recommendation initially is because this
    case happened in 2001, and the bench warrant was put out for the defendant
    in 2002, and it had not come up until now, and a substantial amount of time
    had passed. But the victim, at the time, not only did he drag her out of the car,
    but force was used. I mean, she had bruises on her legs. She had a black eye.
    There was a struggle involved. And we feel that that is a very serious charge.
    And we do understand that he did graduate with honors, with what his attorney
    has said; but we still feel that it is a crime of violence and a serious charge.
    He also has the new charge in 2006, a drug charge, that indicates that
    he may have a drug problem, which is initially why we had talked about drug
    treatment, which is what the victim had indicated that she would have like to
    have seen him get is [sic] drug treatment, and we thought that the Adult
    Challenge Program would be good to help get his in order after that,
    concerning what was involved initially on the carjacking case, as well as the
    drug case. And we feel it’s a very fair recommendation in light of the
    circumstances. He’s looking at doing up to 15 years if he went to trial on it,
    and [the victim] is willing to go forward. She does not want to. She doesn’t
    have to. She is still scared. She’s recently had a baby, and all that comes into
    play for the recommendation.
    ¶28.   The trial court found that Galloway’s guilty plea was “freely, voluntarily, and
    intelligently made” and accepted it. The court sentenced Galloway to eight years in the
    Mississippi Department of Corrections (MDOC) on each charge, the sentences to run
    concurrently, with four years of post-release supervision.         The court said it would
    recommend Galloway’s participation in the Regimented Inmate Discipline (RID) program
    and that the court would retain jurisdiction of the case pending Galloway’s completion of it.
    8
    The court ordered Galloway to attend the “Adult Challenge” program, to pay a $1,000 fine
    for each charge, to pay $680 in restitution along with lab fees and court costs, and to stay
    away from the victim.
    ¶29.   Galloway returned back to court nine months later on February 15, 2008. The State
    advised the trial court that Galloway had completed the RID program. And the State
    requested that the remainder of Galloway’s sentence, apart from the four years of post-release
    supervision, be suspended on the condition that Galloway complete the “Adult Challenge”
    program and pay the fines, fees, and court costs listed in the sentencing order.
    ¶30.   Martin agreed to the State’s recommendation, but she requested that the “Adult
    Challenge” program requirement be excluded. The trial court declined the request. The trial
    court, however, found that Galloway had met the prerequisites for post-release supervision
    and issued an order adjudicating Galloway guilty of carjacking and possession of a controlled
    substance. The court suspended the remainder Galloway’s original eight-year sentence,
    except for the four years to be served on post-release supervision and the requirement that
    Galloway pay the fines, fees, and court costs required by the original sentencing order.
    3.     Post-Conviction Relief
    ¶31.   On May 1, 2015, Galloway filed a PCR motion to vacate his conviction and sentence
    for carjacking. Galloway asserted that when Martin transitioned from Galloway’s prosecutor
    to his defense attorney in the very same case without disclosing her conflict or seeking a
    waiver from him, she deprived Galloway of his Sixth Amendment right to conflict-free
    counsel. Galloway claimed that the result created an actual conflict of interest that adversely
    9
    affected Martin’s representation of him and denied him his right to due process. Citing
    Cuyler v. Sullivan, 
    446 U.S. 335
    , 
    100 S. Ct. 1708
    , 
    64 L. Ed. 2d 333
     (1980), and Kiker v.
    State, 
    55 So. 3d 1060
     (Miss. 2011), Galloway contended that this requires reversal of his
    carjacking conviction.
    ¶32.   Galloway also asserted that if it were found that Martin’s representation created only
    a potential conflict of interest, reversal is still required because Martin’s conflict prejudiced
    him. Citing Strickland v. Washington, Galloway contended that Martin failed to conduct
    a reasonable investigation before advising him to plead guilty. Strickland v. Washington,
    
    466 U.S. 668
    , 
    104 S. Ct. 2052
    , 
    80 L. Ed. 2d 674
     (1984). Galloway claimed that a reasonable
    investigation would have uncovered substantial evidence that severely undermined the
    credibility of the State’s witnesses and created a reasonable doubt as to his guilt for the
    carjacking charge. And, Galloway continued, there was a reasonable probability that this
    evidence would have altered Galloway’s decision to plead guilty.5 Galloway further claimed
    that the State violated Brady v. Maryland because it failed to disclose favorable, exculpatory,
    and material evidence to the defense.6
    5
    Galloway also cites Hill v. Lockhart, 
    474 U.S. 52
    , 
    106 S. Ct. 366
    , 
    88 L. Ed. 2d 203
    (1985), which held that the two-part test announced in Strickland also applies to guilty-plea
    proceedings. See also Coleman v. State, 
    483 So. 2d 680
    , 683 (Miss. 1986) (adopting Hill’s
    test in the context of guilty pleas and holding that the defendant must show that were it not
    for counsel’s errors, the defendant would not have pleaded guilty and would have insisted
    on going to trial).
    6
    In Brady v. Maryland, 
    373 U.S. 83
    , 87, 
    83 S. Ct. 1194
    , 
    10 L. Ed. 2d 215
     (1963),
    the United States Supreme Court held that “the suppression by the prosecution of evidence
    favorable to an accused upon request violates due process where the evidence is material
    either to guilt or to punishment, irrespective of the good faith or bad faith of the
    prosecution.”
    10
    ¶33.   The trial court conducted an evidentiary hearing, at which the trial court heard
    testimony from, among others, Martin, Locke, Hasbrouck, and Professor Benjamin Cooper,
    an expert on legal ethics. Afterwards, the trial court issued a detailed opinion order denying
    Galloway’s PCR petition. The trial court, as mentioned, held that Galloway’s PCR claim is
    time barred and otherwise without merit.
    ¶34.   The trial court found credible Martin’s testimony that she did not realize, at the time
    she represented Galloway at his guilty plea hearing in 2007 and at the follow-up sentencing
    hearing in 2008, that she had worked as a prosecutor in the same carjacking case in 2002 and
    2003. The trial court concluded as follows:
    Nine months elapsed between Galloway’s arraignment and his case being
    passed to the inactive files. Almost four years later, Martin entered her
    appearance. Martin’s caseload of thousands in a four year period at the D.A.’s
    office coupled with the lack of substantive activity in the case such that it was
    passed to the inactive files lends credence to Martin’s testimony that she had
    no memory of Galloway or the facts of his case. The [c]ourt is unable to find
    that Martin consciously chose between or blended the competing interests of
    the State and Galloway based on speculation and generous inferences.
    ¶35.   Accordingly, the trial court ruled that Galloway failed to demonstrate that his Sixth
    Amendment right to counsel was violated by an actual conflict of interest.
    ¶36.   The trial court also denied Galloway’s claim that he was prejudiced by Martin’s
    failure to conduct a reasonable investigation in the case before advising Galloway to plead
    guilty to carjacking. And the trial court rejected Galloway’s contention that substantial
    evidence existed that would have severely undermined the State’s witnesses in the carjacking
    case, or that would have showed that a Brady violation had occurred or that would have
    created a reasonable doubt as to Galloway’s guilt for carjacking.
    11
    ¶37.   The trial court found that, although Galloway submitted affidavits from several people
    whom Martin never contacted, none of the affiants were fact witnesses with personal
    knowledge of the crime that occurred on July 15, 2001. The trial court noted that shortly
    after Galloway’s arrest for carjacking, Galloway admitted to the police that he had ridden in
    Simmons’s vehicle with Simmons on the night Simmons said she was carjacked. The trial
    court also noted that Simmons had acknowledged that she initially had told the police that
    an individual named Paul Martin was the perpetrator, but she said the perpetrator had
    identified himself to her as Paul Martin. The trial court pointed out that in Simmons’s
    handwritten statement to the police, the name Paul Martin was written in quotation marks.
    ¶38.   Citing Strickland, 
    466 U.S. at 681
    , the trial court said that an attorney can still be
    constitutionally effective without investigating every plausible line of defense. Time
    limitations and money may “force early strategic choices, often based solely on conversations
    with the defendant and a review of the prosecution’s evidence.” 
    Id.
     And an attorney’s
    decision to forego an investigation to pursue a plea deal rather than defend at trial can be
    reasonable under the circumstances. Id.
    ¶39.   The trial court noted that Galloway was facing up to fifteen years in prison if
    convicted of carjacking. But he was sentenced to eight years with four years of post-release
    supervision and was recommended to the RID program. Less than one year later, after
    successfully completing the program, the remainder of Galloway’s sentence was suspended
    apart from the four years of post-release supervision.
    ¶40.   The trial court found that Martin’s decision to forego an investigation to pursue a plea
    12
    deal, that included the opportunity for release and significant reduced prison time was
    reasonable. The trial court rejected Galloway’s assertion that his lenient sentence is
    irrelevant since Galloway was a first-time offender and could have possibly been acquitted.
    The trial court stated, “It is a matter of public record in Jackson County that first-time
    offenders of violent crimes rarely receive such a lenient sentence.”
    DISCUSSION
    ¶41.   At the outset, we agree with the trial court that Galloway’s PCR claim is time barred
    under the UPCCRA’s three-year statute of limitations. See 
    Miss. Code Ann. § 99-39-5
    (2);
    Jordan v. State, 
    268 So. 3d 570
    , 571 (Miss. 2018) (barring PCR claim asserting ineffective
    assistance of counsel based on a conflict of interest because the claim did not “surmount the
    time, waiver, and successive-writ bars” set forth by the UPCCRA).
    ¶42.   Time bar notwithstanding, the trial court also concluded, in a thorough and detailed
    order containing the court’s factual findings, that Galloway failed to demonstrate a violation
    of his Sixth Amendment rights under either the Crawford standard or the less burdensome
    Cuyler standard. We affirm the trial court’s decision.
    ¶43.   Conflict-of-interest claims involving attorneys in criminal cases are a species of
    ineffective assistance of counsel under the Sixth Amendment. Strickland, 
    466 U.S. at 688
    (“Counsel’s function is to assist the defendant, and hence counsel owes the client a duty of
    loyalty, a duty to avoid conflicts of interest.”). Such claims are evaluated under one of two
    separate standards: the Strickland standard or the standard from Cuyler, 
    446 U.S. 335
    .
    Crawford v. State, 
    192 So. 3d 905
    , 917-18 (Miss. 2015) (citing Strickland, 
    466 U.S. at
    687-
    13
    92).
    ¶44.   The Strickland standard requires a showing of deficient performance that prejudiced
    the defense. Strickland, 
    466 U.S. at 687
    . The Cuyler standard relieves the burden of
    showing prejudice when a claimant can show that “an actual conflict of interest adversely
    affected his lawyer’s performance.” 
    Id. at 692
     (internal quotation marks omitted) (quoting
    Cuyler, 
    446 U.S. at 350
    ). “Prejudice is presumed only if the defendant demonstrates that
    counsel ‘actively represented conflicting interests’ and that ‘an actual conflict of interest
    adversely affected his lawyer’s performance.’” 
    Id.
     (quoting Cuyler, 
    446 U.S. at 350
    ).
    ¶45.   Strickland explained that the Cuyler standard provides a “more limited[] presumption
    of prejudice[ ]” than in instances in which there is “[a]ctual or constructive denial of the
    assistance of counsel altogether[ ]” or in which the “state interfere[s] with counsel’s
    assistance.” Strickland, 
    466 U.S. at 692
    . “Prejudice in th[o]se circumstances is so likely that
    case-by-case inquiry into prejudice is not worth the cost.” 
    Id.
     (citing United States v.
    Cronic, 
    466 U.S. 648
    , 
    104 S. Ct. 2039
    , 
    80 L. Ed. 2d 657
     (1984)).
    ¶46.   The Cuyler standard “is not quite the per se rule of prejudice that exists for the Sixth
    Amendment claims mentioned above[:]” denial of counsel altogether or interference by the
    State with counsel’s assistance. 
    Id.
     Rather, the Cuyler standard “sets a lower threshold for
    reversal of a criminal conviction than does the Strickland test . . . .” Crawford v. State, 192
    So. 3d at 917-18 (citing Strickland, 
    466 U.S. at 687-88
    ).
    ¶47.   As Crawford recognized, four seminal United States Supreme Court cases deal with
    conflict-of-interest claims under the Sixth Amendment. Crawford, 192 So. 3d at 917-18
    14
    (citing Holloway v. Arkansas, 
    435 U.S. 475
    , 
    98 S. Ct. 1173
    , 
    55 L. Ed. 2d 426
     (1978);
    Cuyler, 
    446 U.S. 335
    ; Wood v. Georgia, 
    450 U.S. 261
    , 
    101 S. Ct. 1097
    , 
    67 L. Ed. 2d 220
    (1981); Mickens v. Taylor, 
    535 U.S. 162
    , 
    122 S. Ct. 1237
    , 
    152 L. Ed. 2d 291
     (2002)). Each
    case concerned a lawyer’s conflict of interest based solely on representation of multiple
    clients. Crawford, 192 So. 3d at 918. And each case dealt with a trial court’s duty to inquire
    into the possible conflict.7 Id.
    ¶48.   As the trial court explained, “[a] mere possibility of a conflict does not raise a
    presumption of prejudice . . . .” Hernandez v. Johnson, 
    108 F.3d 554
    , 560 (5th Cir. 1997);
    see also Stringer v. State, 
    485 So. 2d 274
    , 275 (Miss. 1986) (“[A] potential for conflict or
    hypothetical or speculative conflicts will not suffice for reversal.”). “[U]ntil a defendant
    shows that his counsel actively represented conflicting interest, he has not established the
    constitutional predicate for his claim of ineffective assistance.” Hernandez, 
    108 F.3d at 560
    (internal quotation marks omitted) (quoting Cuyler, 
    446 U.S. at 350
    ). An actual conflict
    exists “when defense counsel is compelled to compromise his or her duty of loyalty or
    zealous advocacy to the accused by choosing between or blending the divergent or competing
    7
    In Holloway, the Supreme Court applied an automatic-reversal rule only when
    defense counsel is forced to represent codefendants over a timely objection, unless the trial
    court has determined that there is no conflict. Holloway, 
    435 U.S. at 488
    . Cuyler declined
    to extend Holloway’s automatic-reversal rule to a situation in which no one objected to a
    multiple representation by the same counsel. Cuyler, 
    446 U.S. at 337-38
    . In Wood, the
    record suggested that the trial court knew or should have known that an actual conflict
    existed, and the Wood Court remanded the case for a determination of whether an actual
    conflict existed. Wood, 
    450 U.S. at 272-73
    . In Mickens, the Court clarified that even if the
    trial court knew or should have known potential conflict existed, a defendant still must
    establish that the conflict adversely affected counsel’s performance. Mickens, 
    535 U.S. at 167-73
    .
    15
    interests of a former or current client.” Perillo v. Johnson, 
    205 F.3d 775
    , 781 (5th Cir.
    2000). And “[i]t must be demonstrated that the attorney made a choice between possible
    alternative courses of action . . . . If [counsel] did not make such a choice, the conflict
    remained hypothetical.” United States v. Garcia-Jasso, 
    472 F.3d 239
    , 243 (5th Cir. 2006)
    (internal quotation marks omitted) (quoting Stevenson v. Newsome, 
    774 F.2d 1558
    , 1561-62
    (11th Cir. 1985)).
    ¶49.   Based on all of the evidence presented, the trial court concluded that Galloway failed
    to demonstrate an actual conflict of interest. The trial court found that Martin had no
    memory of Galloway or the facts of his case, and the trial court was unable to find, beyond
    speculation and generous inferences, that Martin “consciously chose between or blended the
    competing interests of the State and Galloway.” Accordingly, Galloway’s conflict-of-interest
    claim remained hypothetical.
    ¶50.   The trial court reached this conclusion based on factual findings drawn from the
    evidence, which we are not permitted to second guess. See Walker v. State, 
    230 So. 3d 703
    ,
    704 (Miss. 2017) (trial court’s factual finding(s) may not be disturbed on appeal unless
    shown to be clearly erroneous). Accordingly, we must affirm the trial court’s decision.
    ¶51.   In so holding, however, we must express our great consternation with the obvious lack
    of diligence on Martin’s part in this case. Irrespective of Martin’s memory or recollection
    of Galloway and the facts of his criminal case, a former prosecutor such as Martin should
    have spotted and properly acted on indisputable red flags here before taking on Galloway’s
    representation. Martin certainly knew that she had been employed in the district attorney’s
    16
    office at the time of Galloway’s crime and indictment. And while, as the trial court found,
    the activity in Galloway’s criminal case in which Martin was involved as a prosecutor had
    not been substantial, it was enough that a former prosecutor could have discovered it.
    ¶52.   We point out that some states have dealt with these type of situations as a per se
    conflict of interest warranting automatic reversal. See, e.g., People v. Lawson, 
    644 N.E.2d 1172
    , 1183 (Ill. 1994); Skelton v. State, 
    672 P.2d 671
     (Ok. 1983); State v. Gibbons, 
    462 P.2d 680
     (Or. Ct. App. 1969). Other courts adhere to a prejudicial-showing requirement but
    condemn such practice nonetheless. E.g., Flaherty v. State, 
    221 So. 3d 633
    , 637 (Fla. Dist.
    Ct. App. 2017).
    ¶53.   We also note that the Supreme Court of Wisconsin has spoken to such circumstances
    as follows:
    In all these situations, the court must be empowered to disqualify attorneys in
    the interest of justice. In State v. Miller, 160 Wis. 2d at 653, 
    467 N.W.2d 118
    [(1991)], this court stated that “An actual conflict or serious potential for
    conflict of interest imperils the accused’s right to adequate representation and
    jeopardizes the integrity of the adversarial trial process and the prospect of a
    fair trial with a just, reliable result.”
    State v. Love, 
    594 N.W.2d 806
    , 816 (Wis. 1999). Love reiterated what the United States
    Supreme Court enumerated in Wheat v. United States, 
    486 U.S. 153
    , 
    108 S. Ct. 1692
    , 
    100 L. Ed. 2d 140
     (1988), “when a criminal defense attorney has an actual or serious potential
    conflict of interest[:]”
    First, a court’s institutional interest in ensuring that “criminal trials are
    conducted within the ethical standards of the profession.” Wheat, 
    486 U.S. at 160
    . Second, a court’s institutional interest in ensuring that “legal proceedings
    appear fair to all who observe them.” 
    Id.
     Third, a court’s institutional interest
    that the court’s “judgments remain intact on appeal” and be free from future
    17
    attacks over the adequacy of the waiver or fairness of the proceedings. 
    Id. at 161
    .
    Love, 594 N.W.2d at 816-17 (quoting Miller, 
    467 N.W.2d at
    120 n.2).
    ¶54.   Love also took into consideration circumstances in which such serial-representation
    claims are alleged for the first time in a post-conviction proceeding, stating,
    In a post-conviction motion, the institutional factors are different. If a
    defendant has received a fair trial, the court has an institutional interest in
    protecting the finality of its judgment. Moreover, theoretical imperfections
    and potential problems ought not be treated more seriously than real
    deficiencies and real problems, for such skewed values would undermine
    public confidence in the administration of justice.
    Id. at 817.
    ¶55.   In striking a balance, Love issued the following rule:
    We hold that in order to establish a Sixth Amendment violation on the basis
    of a conflict of interest in a serial representation case, a defendant who did not
    raise an objection at trial must demonstrate by clear and convincing evidence
    that his or her counsel converted a potential conflict of interest into an actual
    conflict of interest by (1) knowingly failing to disclose to the defendant or the
    circuit court before trial the attorney’s former prosecution of the defendant, or
    (2) representing the defendant in a manner that adversely affected the
    defendant’s interests. If either of these factors can be shown, the circuit court
    should provide the defendant with appropriate relief. If an attorney knowingly
    fails to disclose to a defendant or the circuit court his or her former role in
    prosecuting the defendant, the attorney is subject to discipline from the Board
    of Attorneys Professional Responsibility.
    Id.
    ¶56.   Here, we decline to issue a specific rule to govern this type of situation. Again,
    Galloway’s PCR claim is time barred. And as the trial court found, at Galloway’s own doing,
    the carjacking charge filed against him in 2002 failed to proceed and was passed to the
    inactive files in 2004, and it was not reinstituted until 2006 after Galloway’s arrest for new
    18
    drug charges. Further, Galloway did not file a PCR claim alleging his conflict-of-interest
    claim until 2015.
    ¶57.   Thus, even though we conclude that Martin failed to take appropriate measures when
    taking on legal representation of Galloway, we cannot conclude that Martin knowingly failed
    to disclose to Galloway and the trial court that she had prior involvement with Galloway’s
    criminal case during her time at the district attorney’s office. This is what the trial court
    ultimately concluded to be the case based on credibility determinations and other factual
    findings.
    ¶58.   Finding no clear error with the trial court’s findings, we affirm the trial court’s denial
    of post-conviction relief.
    CONCLUSION
    ¶59.   For these reasons, the trial court’s denial of Galloway’s motion for post-conviction
    relief is affirmed.
    ¶60.   AFFIRMED.
    RANDOLPH, C.J., COLEMAN, MAXWELL, CHAMBERLIN, ISHEE AND
    GRIFFIS, JJ., CONCUR. KITCHENS, P.J., DISSENTS WITH SEPARATE
    WRITTEN OPINION JOINED BY KING, P.J.
    KITCHENS, PRESIDING JUSTICE, DISSENTING:
    ¶61.   I respectfully dissent. The majority finds that Galloway’s motion for post-conviction
    relief (PCR) is time barred and that Galloway failed to show that he suffered from an actual
    conflict of interest. I find that Galloway’s claim involves a fundamental constitutional right,
    which overcomes the time bar, and that Attorney Martin’s later representation of Galloway
    19
    was a per se actual conflict of interest. As such, Galloway is entitled to an automatic reversal
    of his conviction. I would grant his motion for PCR and would reverse and remand for a new
    trial.
    ¶62.     The majority is correct that Galloway filed his PCR claim more than seven years after
    his conviction; but it does not consider whether his fundamental right to effective assistance
    of counsel suffered any adverse effect. The Sixth Amendment provides that “[i]n all criminal
    prosecutions, the accused shall enjoy the right . . . to have the assistance of counsel for his
    defence.” U.S. Const. amend. VI; U.S. Const. amend XIV. The Sixth Amendment right to
    counsel protects a defendant’s “fundamental right to a fair trial.” Strickland v. Washington,
    
    466 U.S. 668
    , 684, 
    104 S. Ct. 2052
    , 
    80 L. Ed. 2d 674
     (1984). The “right to counsel, conflict
    free, is attendant to the Sixth Amendment right to effective assistance of counsel.”
    Armstrong v. State, 
    573 So. 2d 1329
    , 1334 (Miss. 1990); see also Sykes v. State, 
    624 So. 2d 500
    , 503 (Miss. 1993) (“It is axiomatic that the Sixth Amendment right to counsel
    encompasses a right to effective assistance from an attorney who is conflict-free.”).
    Mississippi’s constitution and case law guarantee a defendant’s right to effective assistance
    of counsel, providing that “[i]n all criminal prosecutions the accused shall have a right to be
    heard by himself or counsel, or both . . . .” Miss. Const. art. 3, § 26; see also Miss. Const. art
    3, § 14 (“No person shall be deprived of life, liberty, or property except by due process of
    law.”). “It is conceivable that under the facts of a particular case, this Court might find that
    a lawyer’s performance was so deficient, and so prejudicial to the defendant, that the
    defendant’s fundamental constitutional rights were violated.” Bevill v. State, 
    669 So. 2d 14
    ,
    20
    17 (Miss. 1996). Additionally, this Court has held “unequivocally, that errors affecting
    fundamental constitutional rights are excepted from the procedural bars of the UPCCRA.”
    Rowland v. State, 
    42 So. 3d 503
    , 506 (Miss. 2010). Galloway’s claim concerns an actual
    conflict of interest that affects his fundamental right to conflict-free counsel and is “excepted
    from the procedural bars of the UPCCRA.” 
    Id. ¶63
    .   I disagree also with the majority’s application of federal standards over Mississippi’s
    standard for determining the existence of conflicts of interest. The majority focuses on the
    federal standards articulated by the United States Supreme Court in Strickland and Cuyler
    v. Sullivan. Maj. Op. ¶ 43 (citing Strickland, 
    466 U.S. 668
    ; Cuyler v. Sullivan, 
    446 U.S. 335
    , 
    100 S. Ct. 1708
    , 
    64 L. Ed. 2d 333
     (1980)). While these federal standards have some
    applicability to this case, they merely pronounce the “minimum standard that the federal
    government has set for itself;” this Court is “empowered by our state constitution to exceed
    federal minimum standards of constitutionality[.]” Downey v. State, 
    144 So. 3d 146
    , 151
    (Miss. 2014); see also Penick v. State, 
    440 So. 2d 547
    , 551 (Miss. 1983) (“We . . . reserve
    for this Court the sole and absolute right to make the final interpretation of our state
    Constitution . . . .”). This Court exercised its state constitutional authority by establishing for
    Mississippi a higher standard for the determination of actual conflicts of interests than that
    required by Cuyler in Kiker v. State, 
    55 So. 3d 1060
     (Miss. 2011).
    ¶64.   In Kiker, while recognizing the Cuyler standard, we made clear the higher standard
    that our state courts are to apply when an accused person is represented by an attorney who
    has a conflict of interest. Kiker, 55 So. 3d at 1065-66. The lower federal standard explained
    21
    in Cuyler is that “prejudice is presumed when counsel is burdened by an actual conflict of
    interest[,]” but the “[p]rejudice is presumed only if the defendant demonstrates that counsel
    ‘actively represented conflicting interests’ and that ‘an actual conflict of interest adversely
    affected his lawyer’s performance.’” Strickland, 466 U.S. at 692 (quoting Cuyler, 
    446 U.S. at 350
    ). In Kiker, this Court reinforced its holding in Armstrong that, “[w]hen the accused
    is represented by an attorney with an actual conflict of interest, the accused has received
    ineffective assistance of counsel as a matter of law, and ‘reversal is automatic irrespective
    of a showing of prejudice unless [the accused] knowingly and intelligently waived his
    constitutional right to conflict free representation.’” Id. at 1066 (alteration in original)
    (quoting Armstrong, 573 So. 2d at 1335). Unlike Cuyler, our standard, as set out in Kiker,
    does not require a showing that the attorney’s performance was adversely affected by the
    conflict of interest, but it requires only a showing that an actual conflict of interest exists. The
    standard set forth in Kiker embraces this Court’s rationale that
    Once an actual conflict is demonstrated, a showing of specific prejudice is not
    necessary, for to hold otherwise would engage a reviewing court in unreliable
    and misguided speculation as to the amount of prejudice suffered by a
    particular defendant. An accused’s constitutional right to effective
    representation of counsel is too precious to allow such imprecise calculations.
    Id. (quoting Littlejohn v. State, 
    593 So. 2d 20
    , 25 (Miss. 1992)). This Court has stated
    plainly that the prejudice standard of Strickland does not apply to Mississippi state court
    cases in which an actual conflict of interest exists. 
    Id. ¶65
    .   The Kiker standard “turns on whether there was an actual, as opposed to a potential,
    conflict of interest.” 
    Id. at 1067
    . Only when the conflict of interest is a potential one is a
    22
    defendant required to show that “a conflict of interest actually affected the adequacy of his
    representation” as enunciated in Cuyler. 
    Id. at 1066
     (internal quotation marks omitted)
    (quoting Mickens v. Taylor, 
    535 U.S. 162
    , 168, 
    122 S. Ct. 1237
    , 
    152 L. Ed. 2d 291
     (2002)).
    Thus, the Mississippi standard differs from the federal standard articulated in Cuyler: when
    a lawyer’s representation creates an actual conflict of interest, this constitutes “per se
    ineffective assistance of counsel,” requiring automatic reversal, regardless of the defendant’s
    ability to demonstrate prejudice. Rowsey v. State, 
    188 So. 3d 486
    , 498 (Miss. 2015) (citing
    Kiker, 55 So. 3d at 1067)).
    ¶66.   The majority expresses “great consternation with the obvious lack of diligence on
    Martin’s part in this case” but finds, nevertheless, that the conflict of interest in this case was
    purely hypothetical. Maj. Op. ¶¶ 49, 51. While I share the majority’s consternation, the facts
    and the applicable law compel my respectful rejection of its conclusion that Martin’s conflict
    does not rise above the level of a mere hypothesis.
    ¶67.   As an assistant district attorney Martin was representing the State, as was her duty,
    when this case arrived in the Office of the District Attorney for the 19th Circuit Court
    District. From the record it is indisputable that, as a prosecutor, she did considerable work
    on the case, which included agreeing—on behalf of the State—to a continuance, requesting
    the issuance of witness subpoenas for Galloway’s scheduled trial, informing the court of a
    plea recommendation, announcing to the court that the State was ready for trial, obtaining
    from the court a bench warrant for Galloway’s arrest, and signing—on behalf of the
    State—an agreed order setting aside the bench warrant and a judgment nisi. The court
    23
    documents and the transcript of pretrial proceedings lead to the conclusion that Martin
    actually was in charge of the prosecution, and this is acknowledged by the majority. Maj. Op.
    ¶ 8. For this work and more, Martin was paid by the state of Mississippi, as she should have
    been.
    ¶68.    Years later, after she had been an unsuccessful candidate for district attorney for the
    same district in which she had worked as an assistant district attorney,8 Galloway, who had
    disappeared for a few years, reappeared in her life when, as a private practitioner, Martin was
    offered employment, either by him or by someone acting on his behalf, to serve Galloway
    as his defense attorney in the very same case. When offered that opportunity, if Martin
    actually conducted a routine conflicts check before accepting the employment, she either
    made an extraordinarily careless oversight, or she accepted the case without regard to the
    glaringly obvious conflict of interest. It appears that Martin chose an attorney fee over
    diligent and ethical conduct. Sadly, this attorney created the ultimate conflict of interest. No
    two legal interests could be more fundamentally adverse than those of the prosecution versus
    the defendant in criminal litigation. There is nothing hypothetical about such a conflict.
    ¶69.    As the majority has said, an actual conflict of interest exists when an attorney “is
    compelled to compromise his or her duty of loyalty or zealous advocacy to the accused by
    choosing between or blending the divergent or competing interests of a former or current
    client.” Maj. Op. ¶ 48 (internal quotation mark omitted) (quoting Perillo v. Johnson, 205
    8
    Martin ran for district attorney in 2003. She left the district attorney’s office after the
    new district attorney, who had defeated her in the election, took office at the beginning of
    2004.
    
    24 F.3d 775
    , 781 (5th Cir. 2000)); see also Kiker, 55 So. 3d at 1067 (“Barnett owed a duty of
    loyalty both to Kiker and to Crawford, a duty that was impossible to fulfill if one of his
    clients was offering testimony against the other. . . . Therefore, we find that Barnett was
    under an actual conflict of interest, and Kiker need not demonstrate any specific prejudice
    to his defense.”). This Court has held that, “[u]nder our system of jurisprudence, if a lawyer
    is not one hundred percent loyal to his client, he flunks.” Littlejohn, 593 So. 2d at 22. Thus,
    I would find that Attorney Martin’s switching sides9 created a situation in which her duty of
    loyalty was compromised and was split between Galloway and the State, resulting in an
    actual conflict of interest. Galloway is not required to show that he was prejudiced.
    ¶70.   Regarding duties owed by lawyers to criminal defendants, this Court has held that
    Even if we begin with the proposition that counsel’s conduct is presumed to
    be within the wide range of reasonable professional conduct, certain
    indispensable duties are required of an attorney representing a criminal
    defendant. Leatherwood v. State, 
    473 So. 2d 964
    , 969 (Miss. 1985). These
    duties include, but are certainly not limited to, assisting the defendant,
    informing her of important decisions and developments, asserting the client’s
    position with zeal. 
    Id.
    Armstrong, 573 So. 2d at 1334. Martin owed a duty of loyalty both to Galloway and to the
    State. See Miss. R. Prof’l Conduct 1.7 cmt. (“Loyalty is an essential element in the lawyer’s
    relationship to a client.”). Martin owed Galloway not only a duty of loyalty, but also a duty
    to act as his zealous advocate. As a prosecutor, Martin could have acquired knowledge about
    Galloway’s case—perhaps even confidential or personal information about the crime
    9
    “Switching sides occurs when an attorney starts out representing one party, then
    represents an adverse party in the same or related litigation.” Vega v. Johnson, 
    149 F.3d 354
    ,
    357 (5th Cir. 1998).
    25
    victim—that no defense counsel would have been entitled to have. Martin could not use this
    sort of information for Galloway’s benefit because she was under a duty of loyalty to the
    State to keep such information confidential. See Miss. R. Prof’l Conduct 1.6 cmt. (“The duty
    of confidentiality continues after the client-lawyer relationship has terminated.”). Her
    possession of such knowledge is one of the circumstances that breaches her duties of loyalty
    and zeal to Galloway. Martin cannot satisfy her duty of being one hundred percent loyal to
    Galloway or her duty to be a zealous advocate for Galloway if she is bound to keep certain
    information from her client or if she is limited in her ability to use it for his benefit.
    ¶71.   In order to advocate zealously for Galloway, Defense Attorney Martin would have to
    attack the work she had done on the case as a prosecutor. Galloway supported his position
    by providing expert opinions on Mississippi legal ethics. One expert, Professor Donald
    Campbell, submitted an affidavit in which he attested that a lawyer could not be a zealous
    advocate in this type of situation because the lawyer would have to attack his or her own
    work product done as a prosecutor. Another expert on Mississippi legal ethics, Professor
    Benjamin Cooper, testified in agreement with Professor Campbell. The two of them opined
    that any attack Martin would make on her own work as a prosecutor would be against the
    interest of her former client, the State, and any failure or reluctance to attack her
    prosecutorial work would be detrimental to Galloway. The State provided no evidence to the
    contrary.
    ¶72.   Because Attorney Martin switched sides, she compromised her professional
    relationship not only with Galloway, but also with the State, making it impossible to fulfill
    26
    her duties to both. Thus, Attorney Martin created an actual conflict of interest when she
    signed on as Galloway’s lawyer.
    ¶73.   Martin was constrained by several ethical duties. See Miss. R. Prof’l Conduct 1.7(b);
    Miss. R. Prof’l Conduct 1.9(a). Under Mississippi Rule of Professional Conduct 1.7(b), she
    had a duty to avoid representation of a client, such as Galloway, when the representation
    might “be materially limited” by her duties to “another client or a third person,” here, the
    State. She had a duty to her former client, the State, to refrain from “represent[ing] another
    in the same or substantially related matter in which that person’s interests are materially
    adverse to the interests of the former client” without the former client’s consent. Miss. R.
    Prof’l Conduct 1.9(a). Clearly, the interests of the State and Galloway did not change from
    the beginning of this case to its end. They always were, and they always will be, adverse,
    each to the other.
    ¶74.   The Mississippi Court of Appeals has dealt with a case in which a former prosecutor
    represented a defendant after having prosecuted that defendant years earlier for an unrelated
    crime, not for the same crime, as here. See Gregory v. State, 
    96 So. 3d 54
    , 56-57 (Miss. Ct.
    App. 2012). In Gregory, Attorney T.R. Trout, who had prosecuted Gregory six years earlier
    on an unrelated drug charge, agreed to defend Gregory for possession of cocaine. 
    Id.
     The
    Court of Appeals, although it did not cite Kiker, nevertheless applied the standard set forth
    in Kiker and applied Rule 1.9 in determining whether an actual conflict of interest existed.
    
    Id. at 57-58
    . The court found that, although “Trout had represented the State where
    Gregory’s (his current client) interests were materially adverse to the State’s (his former
    27
    client) interests,” there was no evidence that Trout’s duty of loyalty was compromised. 
    Id. at 58
    . Unlike Attorney Trout, Martin’s representation of Galloway was for the same, exact
    matter in which she had represented the State. Rule 1.9(a) clearly prohibited Attorney
    Martin’s representation of Galloway.
    ¶75.   In Gray v. State, a defense attorney, Robert Taylor, met with Gray at a jail for
    approximately forty-five minutes with a view toward employment as his defense lawyer, but
    Taylor “subsequently joined the district attorney’s office and actively participated in the
    prosecution of [Gray].” Gray v. State, 
    469 So. 2d 1252
    , 1254 (Miss. 1985). Although Taylor
    testified that “he had no independent recollection” of his conversation with Gray, the Court
    reversed and remanded the case, disqualifying the entire district attorney’s office without
    regard to whether there had been an actual breach of Gray’s confidential information. 
    Id. at 1255
    . The Court reasoned that its holding “[was] not grounded upon the demonstration of
    any actual abuse but rather on the duty to eliminate the very serious appearance of
    impropriety present in this case.” 
    Id.
     (emphasis added).
    ¶76.   Similarly, Martin testified that she did not remember prosecuting or defending
    Galloway. This Court’s firm position is that, once an actual conflict has been demonstrated,
    the conviction shall be reversed automatically. Kiker, 55 So. 3d at 1066. There is no need to
    show specific prejudice because doing so would require courts to engage in “unreliable and
    misguided speculation” and “[a]n accused’s constitutional right to effective representation
    of counsel is too precious to allow such imprecise calculations.” Id. at 1066-67 (quoting
    Littlejohn, 593 So. 2d at 25). Therefore, as in Gray, we are not to engage in speculation
    28
    about what Martin truly knew, but instead we must perform this Court’s duty to eliminate the
    extreme appearance of impropriety caused by Martin’s having switched sides.
    ¶77.   The defendant need only demonstrate that the duty of loyalty has been compromised
    to establish the existence of an actual conflict of interest. Id. at 1067. Here, Galloway
    demonstrated that an actual conflict of interest existed by establishing that Martin was the
    assistant district attorney handling the carjacking charge before she swapped sides to defend
    Galloway on the same charge. The majority concentrates on whether Martin was aware of
    the existence of the conflict of interest rather than on whether her duty of loyalty was
    compromised by her prior, hands-on representation of the State in the same case. Even
    though Martin testified she did not remember prosecuting or defending Galloway, she did
    acknowledge that, as she reviewed the documents while on the witness stand, she started to
    remember some of the facts regarding Galloway’s case. This testimony establishes that
    Martin had failed to consider whether a conflict of interest existed before agreeing to
    represent Galloway. The date of the offense alone should have triggered, at the very least,
    her memory that she was an assistant district attorney at that time. Even if she had neglected
    to engage in a pre-employment conflicts check, her review of the court file should have made
    her own name jump out at her, at which point she should have withdrawn as Galloway’s
    lawyer. It is inconceivable that Martin, in the normal course of handling this case, would not
    have realized that she had a major conflict. Upon such realization she should have informed
    Galloway, the judge, and the prosecutor. In the absence of an informed waiver by Galloway
    she should have withdrawn, although I think it highly probable that the district attorney
    29
    would have opposed her continued involvement as Galloway’s attorney.
    ¶78.   In the Gray case this Court reversed and remanded a conviction, and in the process
    disqualified, on remand, every lawyer in the largest district attorney’s office in the state,10 “to
    eliminate the very serious appearance of impropriety in this case.” Gray, 469 So. 2d at 1255.
    The appearance of impropriety is of equal, if not greater, seriousness in the present case. Let
    us not overlook that, in addition to the general public, the judiciary, and the Bar, this
    impropriety may well have appeared especially egregious to the crime victim, who
    undoubtedly had interaction with the prosecutor in charge, Assistant District Attorney
    Martin, in the early stages of the case. At the beginning of this case Martin was Assistant
    District Attorney Martin, which stands in stark contrast to the end of the case when Defense
    Attorney Martin stood beside the defendant, Galloway, imploring the sentencing judge to
    deal leniently with him. It is hard to think of any aspect of this scenario that would instill in
    anyone an abiding confidence in the fairness of Mississippi’s criminal justice system. It is
    far less difficult to imagine how it could have had a drastically opposite effect.
    ¶79.   The ethical rules about conflicts of interest and the myriad judicial decisions that
    apply them to real-life criminal cases, such as this one, exist to protect the integrity of our
    system of justice and of the legal profession, and to assure, insofar as is humanly possible,
    that the courts, consistently and reliably, are fair, and that they look fair. It therefore is not
    surprising that this Court was so deeply concerned about the very appearance of impropriety
    that moved it to reverse in the Gray case. We should be as concerned today. The affirmance
    10
    The 7th Circuit Court District, then comprised of Hinds and Yazoo Counties.
    30
    of Galloway’s conviction, under these circumstances, will not reflect favorably upon the
    integrity and fairness of this Court.
    ¶80.   Attorney Martin’s prosecution of Galloway in the carjacking case, followed by her
    switching sides to defend him in the same case, created a per se conflict of interest that
    mandates automatic reversal. Galloway was deprived of his fundamental right to effective,
    conflict-free counsel and of the prospect of a fair trial. This Court should grant Galloway’s
    motion for post-conviction relief, reverse his conviction, and remand for a new trial.
    KING, P.J., JOINS THIS OPINION.
    31