Current through the 2024 Fourth Special Session
Section 36-11-306 - Conflicts of interest(1) As used in this section, "conflict of interest" means a circumstance where: (a) the representation of one principal or client will be directly adverse to another principal or client; or(b) there is a significant risk that the representation of one or more principals or clients will be materially limited by the lobbyist's responsibilities to: (i) another principal or client; or(ii) a personal interest of the lobbyist.(2) Except as provided in Subsection (3), a lobbyist may not represent a principal or client if the representation involves a conflict of interest.(3) Notwithstanding the existence of a conflict of interest, a lobbyist may represent a principal or client if: (a) the lobbyist reasonably believes that the lobbyist will be able to provide competent and diligent representation to each principal or client;(b) the representation is not otherwise prohibited by law;(c) the representation does not require the lobbyist to assert a position on behalf of one principal or client that is opposed to the position of another principal or client represented by the lobbyist involving the same legislative issue; and(d) each affected principal or client gives informed consent to the conflict of interest in writing.Enacted by Chapter 233, 2007 General Session.