Medical compliance testa
-
Upload
nomienredes -
Category
Economy & Finance
-
view
297 -
download
0
Transcript of Medical compliance testa
Mark A. Testa, DC, MHA, MCS-P
I am a practitioner
I don’t like more regulation
I want to make and keep as
much revenue as I can
I want to be efficient
I want to provide quality care
I want to sleep at night
We want the same things
Required by law if you accept federal funds
Will be enforced in ~2014
Proactive vs. Reactive
OIG provides guidelines and help
Designed to limit
Fraud
Waste
Abuse
Reduce risk
CMS announced in June that during the first calendar quarter of 2011, it found and recovered $162 million in overpayments—more than doubling the $75.8 million recovered in the last calendar quarter of 2010.
$10-50,000 per violation
Repayment of over payments
Jail time with fraud
Sanctions
Exclusion
Corporate integrity agreements
Who evaluates the OIG exclusion list?
Which EM guidelines does your practice use?
What was the error rate of your last chart audit? How did you fix the problems?
Do you have a Code of Conduct?
Do you have a compliance hotline/officer/log?
Does your billing service have a
compliance program?
Provides a protective shield
Reduces risk of whistleblowers
Increases revenue
Improves documentation and coding quality
Providing medically necessary, quality care
1. Written policies and procedures
2. Compliance professionals
3. Effective training
4. Effective communication
5. Internal monitoring
6. Enforcement of standards
7. Prompt response
Policies and procedures are up to-date and user-friendly
Standards of conduct
Code of conduct
Retention of Records and Information Systems
Compliance as an Element of
Performance Plan
Site Name is committed to providing quality, comprehensive health care to the patients of our Community. Our services will be provided in a professional manner within a safe and orderly environment. All personnel will be expected to maintain high moral and ethical standards and abide by the State and Federal regulations as they pertain to the delivery of health care. All personnel will adhere to the Compliance Program of Site Name.
Compliance Officer or Compliance Committee
Oversee the implementation
Maintenance
Effectiveness
Company watch-dog
JOB DESCRIPTION:
Effective Date:
Approved By:
Policy Number:
Page(s) 1 of 2
Title:
Job Title: Compliance Officer
Department: Administration
Reports to: Board of Directors, President, Physician Services Organization
Job Summary:
The Compliance Officer is responsible for the administration, evaluation and continued development of the Compliance Program to ensure adherence to applicable state and federal healthcare laws, statutes and regulations.
Job Responsibilities:
Design, develop, implement and monitor a comprehensive Compliance Program in accordance with the Code of Conduct and Compliance Program Elements.
Develop and implement policies and procedures necessary to adhere to applicable state and federal healthcare laws, statutes and regulations.
Submit annual budget for Compliance Program activities.
Provide monthly report of Compliance Program activities to the Board of Directors.
Coordinate, conduct and facilitate audit functions to identify inappropriate conduct or behavior. Provide subsequent education and materials to implement corrective actions as necessary.
Coordinate, conduct and facilitate continued educational programs for providers and personnel that contain focused emphasis on the seven elements of the Compliance Program.
Continually revise policies and procedures to reflect current changes in state and federal healthcare laws, statutes and regulations.
Formal Training Programs
Informal On-going Compliance Training
Staff
Physicians
Billing department
PURPOSE:
The purpose of compliance training is to provide continual information concerning the Compliance Program policies and procedures and to ensure personnel have information necessary to perform their job responsibilities in accordance with all applicable federal and state laws, statues, and regulations.
POLICY:
Compliance education will be conducted at least annually or more frequently if necessary. Education will include the Code of Conduct, the elements of the Compliance Program and Compliance Program policies and procedures. All personnel are required to attend compliance educational programs. Education will be of a frequency to ensure personnel are aware of changes or additions in the laws, statutes and regulations concerning the delivery of healthcare in a clinical environment. All new personnel will receive compliance training within sixty days of employment start date.
PROCEDURE:
It is the responsibility of the Compliance Officer to:
Develop the content of the educational material used for compliance training.
Schedule and direct compliance training activities.
Develop and implement modified or new compliance policies and procedures if necessary.
Monitor results of educational activities to ensure personnel compliance with all state and federal laws, statutes and regulations. Provide additional education if necessary.
Provide new employee compliance education within sixty days of employment start date.
Provide all employees with at least annual compliance education or more frequently if necessary.
Provide information regarding the consequences of non-compliant behavior, conduct or activities to all employees on a quarterly basis.
Provide information regarding the consequences of not reporting suspected non-compliant behavior, conduct or activities to all employees on a quarterly basis.
Evaluate and make recommendations to the Compliance Committee regarding educational opportunities available to personnel that may be provided by other entities.
Provide the Compliance Committee with a quarterly report of compliance training activities.
Hotline or Other System for Reporting Suspected Noncompliance
Routine Communication and Access to the Compliance Officer
PURPOSE:
A Communication Policy will provide a format for providers, personnel and patients to anonymously present complaints regarding alleged non-compliant behavior or conduct allowing prompt investigation and immediate remedy.
POLICY:
The Compliance Officer will maintain:
An ‘open door’ policy for all providers, personnel and patients to discuss compliance related issues.
A Compliance Bulletin Board strategically located within the practice site.
A telephone hotline for anonymous reporting of alleged fraudulent or erroneous conduct.
PROCEDURE:
A notice is posted on the Compliance Bulletin Board reminding patients, providers and personnel that they can discuss compliancerelated issues with the Compliance Officer at all times.
Compliance related information with subject matter relevant to the delivery of health care will be posted to the Compliance Bulletin Board. The Bulletin Board is placed in a strategic place allowing continual access by patients, providers and personnel. Materials are reviewed on a monthly basis to ensure accuracy of information posted.
A separate telephone line has been established for reporting of alleged non-compliant behavior or conduct. The red telephone islocated in the office of the Compliance Officer, in a locked cabinet. An answering machine is attached to the line for twenty-four hour contacts. The volume on the answering machine will remain in the ‘off’ position so callers leaving a message can not beoverheard. Hotline information will be posted to the Compliance Bulletin Board encouraging communication between providers, patients and practice personnel.
The Compliance Officer will monitor the telephone on a daily basis, documenting all calls. Responsive actions will be initiated within twenty-four hours of receipt of alleged complaint. The Compliance Officer will maintain confidential files on all hotlineactivity documenting actions taken. An activity report will be generated on a monthly basis and provided to the Board of Directors. All calls will be assigned a number, to maintain informant confidentiality.
The Compliance Officer and the Practice Manager will have a key to the telephone cabinet. During an absence of the Compliance Officer the Practice Manager will monitor the hotline.
Chart Audit
Coding Audit
Monitoring
Risk Areas
Error Rate
Consistent Enforcement of Disciplinary Policies
Employment of, and Contracting with, Ineligible Persons
PURPOSE:
Establishment of disciplinary actions for violations of the Compliance Program encourages strict adherence of state or federal laws, statutes, or regulations.
POLICY:
Inappropriate behavior, conduct or activities will result in penalties or disciplinary actions.
Failure to report inappropriate behavior, conduct or activities will result in penalties or disciplinary actions.
Penalties will be fair and consistent. Mitigating circumstances will be taken into consideration.
All providers, practice personnel, vendors, contractors or other individuals or entities providing health related services will be informed of the consequences of violating the Compliance Program.
PROCEDURE:
Each case will be evaluated to determine the severity of the violation allowing for any unusual or mitigating circumstance.
All disciplinary actions will be under the supervision of the Compliance Officer.
Cases will be referred to the appropriate authorities for criminal prosecution if recommended by legal counsel.
Reckless or intentional disregard for state or federal laws, statutes or regulations that apply to the delivery of healthcare will result in employment termination.
Offense:
First Offense, minor or mitigating circumstance Documented oral warning
Second Offense, minor or mitigating circumstance Additional Education; retraining
Third Offense, minor or mitigating circumstance Written Reprimand
Fourth Offense, minor or mitigating circumstance Termination
First Offense, serious or severe Probation Period or termination
Second Offense, serious or severe Demotion or termination
Third Offense, serious or severe Termination
Enforcement actions will be equally administered to all providers, practice personnel, vendors, contractors or other persons or entities providing services to the practice site.
Responding to Offenses and Developing Corrective Action
Reporting to the Government
Stark- self-referral
Anti-kickback- paying for referrals
False claims act
Civil monetary penalties
Exclusion
Referral from a physician
to another health service
Is there a financial
relationship
Is there an exception
(safe harbor)
Prohibits asking for or receiving anything of value to induce or reward referrals of Federal health care program business
Prohibits the submission of false or fraudulent claims to the Government
On the back of the claim form
Documenting medical necessity
Lack of documentation
Incorrect billing/coding
HIPAA
OSHA
CLIA
FMLA
HR Policies
A message of quality and caringto stakeholders To improve revenue To build a cultureof quality, safety and collaboration As a tool of fiduciary responsibility In marketing messagesWhen renegotiating insurance contracts
Mark A. Testa, DC, MHA, MCS-P
303.885.9630
It takes less time to do things right
than to explain why you did it wrong.
Henry Wadsworth Longfellow