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Upholding the Rule of Law: Wrongful Conviction Review Program

FY24 Funding Available

Training and Technical Assistance

The Bureau of Justice Assistance (BJA) awarded funding to the National Association of Criminal Defense Lawyers (NACDL) in 2015 to conduct national trainings, provide technical assistance and webinars, and expand online resource materials for lawyers who evaluate and litigate post-conviction innocence claims. BJA provided additional funding to NACDL in fiscal year 2017 to conduct a new assessment of the current state of the program to inform BJA's advancement of its wrongful conviction prevention efforts. This assessment will also evaluate the impact of BJA funding on the efficiency of evaluating post-conviction claims of innocence and increasing representation in post-conviction cases.

University of Pennsylvania Law School's Quattrone Center for the Fair Administration of Justice (Quattrone Center) was awarded funding by BJA to provide training and technical assistance to seven selected projects in 2018. The Quattrone Center's focus is on conviction integrity and review units (CIUs or Units) and seeks to improve collaboration between CIUs and wrongful conviction entities; develop best practices, guidelines, and policies for existing or newly created Units; and provide wider reaching trainings and information to the field.

Sites

  • First Department Assigned Counsel Corporation
  • University of Michigan
  • The Arizona Justice Project, Inc.
  • University of Cincinnati
  • Loyola Marymount University
  • Mid-Atlantic Innocence Project
  • State of New Jersey, Department of Law & Public Safety
  • Innocence Project of Texas
  • Alaska Innocence Project
  • St. Louis Circuit Attorney's Office
  • Committee for Public Counsel Services (Massachusetts)
  • Wayne County Prosecutor (Detroit, Michigan)
  • Office of the State Attorney of the Fourth Judicial Circuit

Assessments

BJA originally funded NACDL in 2010 to conduct an assessment of BJA's Wrongful Conviction Review (WCR) Program. The goal of the resulting report, "Innocence Invigorated: The Assessment of the FY2010 Wrongful Conviction Review Program," was to provide an in-depth assessment of the recipients of funds from BJA's fiscal year 2010 WCR Program. It examined the impact that BJA grant funds had on improving and expanding access to representation and increasing efficiency in criminal cases involving post-conviction claims of innocence. The performance metrics analyzed include not only case outcomes and the number of innocence claims screened but other factors such as reduction in case backlogs, changes in the number and nature of cases investigated and accepted, legal filings, and the length of the case screening process.

Conflict of Interest Policy Guidance

Avoiding Personal Conflicts:

Having a trial or appellate prosecutor who handled the underlying conviction work be part of a post-conviction review is problematic because the prosecutor has taken multiple stances to affirm the conviction that only serve to cement the “correctness” of that conviction in their mind. The trial prosecutor, especially, may have developed a relationship with the victim or the victim’s family and be invested in protecting them and their sensibilities in a post-conviction review.

Basic requirement: A strong Conflict of Interest Statement excludes any prosecutor who participated in the underlying conviction or helped to preserve it on appeal from a post-conviction innocence claim review.

  • Prior prosecutors may be consulted as fact witnesses insofar as they are the ones most familiar with a case and its dynamics, but they should not have any role in deciding whether relief should be granted.

More robust provisions:

  • A written policy detailing when/how prior prosecutors will be consulted in the review process
  • A written policy explaining how prior prosecutors will be notified of the outcome of a given review

Avoiding Officewide Conflicts:

It is more difficult to deal with conflicts that impact an entire office, its finances, or its general reputation. Exonerations and reversals of convictions by their nature call into question the ethical and moral work of the office that achieved and enforced the conviction. Moreover, offices may be concerned with potential widespread civil liability for cases of endemic misconduct by prosecutors or law enforcement. Finally, as heads of prosecutor offices are elected officials, there may be concerns over what the political fallout will be should relief be granted on a particular case—a situation amplified by a high profile, notorious, or otherwise difficult conviction and/or when the victim or the victim’s family does not support the outcome.

Offices should have an understanding of these potential conflicts and, to the extent possible, have policies in place that address issues related to potential civil liability in the event of a successful exoneration or conviction reversal.

In order to intelligently waive their right to protected information or communication, a convicted individual/petitioner must fully understand both the risks of working with a conviction integrity or review unit (CIU) as well as what they are giving up vis à vis confidentiality with their attorney.

First, the policy should explain how the potential client will be made fully aware of the implications of the risks in working with the CIU. Although it would include the benefits of potential agreement on reversal of conviction and release from imprisonment, it also must include that the convicted individual will be handing information to the prosecutor’s office that could be detrimental to them. The convicted individual should be advised:

  • The outcome of the investigation or collaboration cannot be predicted from the outset.
  • It is possible the prosecutor will uncover information conclusive of guilt or involvement in the case, or that implicates the person in other crimes for which they were not prosecuted or could be prosecuted.
  • The prosecutor may uncover information which implicates a friend or loved one in criminal activity for which they can be prosecuted.
  • It is also possible the CIU could stop its investigation at any time or the process could turn adversarial. Should the process turn adversarial, the convicted individual should know what the process would be for moving out of the CIU and into the prosecutor’s office generally.

In addition, the potential client must be fully apprised of what they are potentially giving up to have the CIU review their case, particularly where a waiver of privilege or confidentiality is expected or required in order to have the unit review and investigate the case. For example, the client should be informed:

  • They are losing some protections afforded by the attorney-client relationship.
  • The attorney working with the CIU may have to turn over or produce documents prepared by other attorneys who have represented the convicted individual; therefore, any conversation or communication the client had with prior attorneys may be subject to disclosure.
  • The CIU may be able to get information from other attorneys that the current defense attorney/innocence organization does not have.
  • The work product—memos of interviews with other witnesses, family members, or experts—would be subject to being turned over.
  • Information concerning the client’s or their family members’ involvement in other crimes would be turned over.
  • The waiver would not only apply to the innocence organization or attorney representing the client in front of the CIU but to all attorneys who represented the client in the process, including trial or appellate attorneys.
  • Discussions about why the petitioner did not testify at trial or other trial strategic discussions would be subject to disclosure.
Date Created: December 9, 2019