1. Can the law firm continue its representation of Bank A while prosecuting the cause of action against Bank B without violating the Disciplinary Rules?; and
2. Would the answer to question 1 be different if some of the corporate directors of Bank A sit on the Board of Directors of the Bank Holding Company?
As respects both inquiries, we are asked to assume that the exceptions provided for in DR 5-105(C) do not exist, and we make such assumption.