December Compliance Academy
December 13-16, 2010 | San
Diego, CA | Hard Rock
Hotel San Diego
Location:
Hard Rock Hotel San Diego
207 5th Avenue
San Diego, CA 92101
Sleeping Room Rate $179.00. Call 866.751.ROCK to make
reservations- Ask for Health Care Compliance Academy Rate. Valet Parking
is $20.00 for day use and $35.00 for overnight parking. Internet is
included in HCCA guests sleeping room rate
Four days of intensive, in-depth health care
compliance education for every compliance professional!
“My supervisor told me recently that when I was
hired as Compliance and Quality Assurance Manger he had no idea how
valuable my CHC would be. He said because of my background and this
certification that I have made compliance a high priority in an
organization that had little knowledge of how the field has changed in
recent years. I value my CHC certification and get so much information
from the Compliance Today articles, the webinars, and the national
convention.” — Cathy Garrey, Compliance & Quality
Assurance Manager, McHenry County Mental Health Board
Agenda:
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Please note: agenda and/or speakers are subject to change for
each Academy. |
Monday
Introduction to Compliance Practices: Abbreviated
Compliance 101
Introduction to Compliance Practice provides a basic
introduction to health care compliance and compliance programs. It
covers the seven essential elements of a compliance program and reviews
the organizational steps necessary to implement a successful compliance
program. The laws, rules and regulations pertinent to compliance
programs are introduced. Challenges confronting compliance officers are
discussed.
Quality and Compliance Strategies for Making Your Program
a Success
This is an introductory session designed to introduce the
relationship between quality and compliance and the necessity for
compliance professionals to monitor quality activities. During this
session, we will discuss monitoring quality, identifying clinical
champions, using quality tools and examine how quality issues can also
be compliance issues.
Risk Assessment
If there were an eighth key element of compliance program
guidance, risk assessment would be it. In this session, participants
will learn what risk is and how it can be assessed, who should be
involved in risk assessments, ways to identify risk areas, and what to
do with the results of a risk assessment.
Compliance Infrastructure
This course is designed to help compliance professionals
understand the components of an effective compliance infrastructure.
Discussed is implementation of a compliance program, selection of
qualified staff, budgeting for compliance and the overall structure of
the office. Time is spent discussing the various positions needed and
the qualifications for each. The auditing position along with
qualifications (coding credentials) is discussed. A compliance
professional should be able to use what is taught in this course to
design an adequate structure to facilitate an effective compliance
program.
Organizational Ethics
The HCCA Code of Ethics sets an important standard for
those doing compliance and ethics work in the healthcare field. In this
class you willlearn about such points as:
- What are the duties we, as professionals, owe to the public, our
clients and the profession?
- What do we do when confronted with misconduct?
- What is our duty to keep the board informed?
- How do we deal with limits placed on our professional
judgment?
Tuesday
Certification Discussion
Corporate Responsibility
This session covers the governing bodies’ role
in the oversight of the organizations compliance program, as well as, a
review of the kinds of questions boards should be asking about the
compliances’ program operations. There is a
discussion of the role of the Compliance Officer in providing the board
with reports on operational activities and how to address the necessary
ongoing educational needs of the board about compliance issues and
regulatory changes. In addition, there is a review and discussion of the
responsibilities of senior management, department director, and
supervisors with regard to compliance within their individual areas of
responsibility. Sample Board Agendas, report forms and other related
documents are discussed in the session.
Education and Training
This course is designed to aid the participant in
understanding adult learning techniques, effective teaching styles,
topics of interest, and evaluation of the educational programs. An
indepth discussion centers on adult learning and how to design the
classroom for retention. Also discussed is the adequate length of
sessions, who should be included, physicians working with coders, and
how often training should be held. The class designs and participates in
skits demonstrating effective training techniques focusing on
compliance-related topics.
Routine Auditing and Monitoring
Auditing and Monitoring is a critical element in any
compliance program. In this session, participants will learn about the
basic components of Auditing and Monitoring including different
considerations for developing an audit, examples of reporting formats to
communicate auditing and monitoring results and developing a compliance
audit plan and soliciting management’s involvement in
that plan.
Effectiveness and Evaluation
Since the early 1990s government agencies have indicated
that credit would be given in the context of criminal and civil law
enforcement actions, to organizations that operate effective compliance
programs. This session provides a historical review of what various
government agencies consider when determining what makes a compliance
program effective, reviews industry research and best practices related
to effectiveness and evaluation, and discusses methodologies for
evaluating and measuring the effectiveness of a compliance program.
Wednesday
Enterprise-Wide Billing—Reimbursement
Compliance Risks
The healthcare business continues to become more complex
with its many rules and regulations as health care costs continue to
climb. The enterprise-wide billing reimbursement across the continuum
curriculum provides compliance officers with a basic understanding of
Medicare and Medicaid services and health care claims submission. The
class covers basic compliance terminology as it relates to Evaluation
and Management (E & M) code selection and billing terms; presents
information on compliance billing risk areas that have been identified
by the Office of Inspector General (OIG); and provides an overview of
government activities to combat health care fraud and abuse.
Stark and Anti-Kickback
The Anti-Kickback and Stark laws are at the heart of every
health care organization’s compliance
program—severe civil and even criminal penalties can
result from compliance failures involving these important health care
legal requirements. This session provides an overview of each law
including discussion of recent enforcement actions, discusses
similarities and differences in the two laws, and discusses strategies
that can be implemented to promote compliance.
Internal & External Investigations
This session identifies the many government agencies that
can be involved in an investigation of a healthcare provider. It also
provides in-depth discussion of the many factors that compliance
professionals and their organizations must consider before, during, and
after an internal investigation. It addresses the use of experts and
consultants, and provides details about the attorney-client privilege
and attorney work product doctrine. It offers practical advice on how to
conduct investigations.
Conflicts of Interest
The discussion will focus on the nature of conflicts of
interest and the various healthcare areas where conflicts of interest
are of particular interest, including regulatory oversight, industry
guidance, and other documents that impact the compliance
professionals’ oversight of this area.
Thursday
Legal Issues, Risk Factors and Disclosure Issues
This session focuses on the legal risks involved in
compliance functions (in the circumstances of doing the right thing, and
not doing so.) It also addresses voluntary disclosures and the
government’s expectations when providers identify instances of
non-compliance. The session is practical and oriented toward addressing
the many considerations that compliance professionals must address when
designing, implementing, and practicing compliance functions, policies,
and procedures.
HIPAA Privacy & Security
This session is a detailed review of the HIPAA Privacy and
Security regulations. The discussion is focused on the primary
components of each set of regulations so the audience will have a basic
understanding of these regulations and be able to apply this knowledge
to their daily compliance activities.
Lunch: Q & A Review Panel
Friday
9:00 am – 11:00 am
Certified in Healthcare Compliance Examination
The CHC exam is optional. You must be preregistered to sit
for the exam. Visit www.hcca-info.org for more information and
the registration form.
Please note: agenda and/or speakers may vary slightly
for each Academy.
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Continuing Education Credits:
AAPC: This program has the prior approval of the
American Academy of Professional Coders (AAPC) for 25.5 continuing
education hours. Granting of prior approval in no way constitutes
endorsement by AAPC of the program content or the program sponsor.
ACHE: This program has prior approval from the
American College of Healthcare Executives (ACHE) for a recommended
maximum of 25 category II continuing education credits.
AHIMA: This program has been approved for 25
continuing education units (CEUs) for use in fulfilling the continuing
education requirements of the American Health Information Management
Association (AHIMA). Granting prior approval from AHIMA does not
constitute endorsement of the program content or its program
sponsor.
CA Nursing Credit: The Health Care Compliance
Association is preapproved by the California Board of Registered
Nursing: Provider Number CEP 12990, for a maximum of 30.3 contact
hour(s). The following states will accept CA Board of Nursing Contact
Hours: Alabama, Alaska, Arkansas, Iowa, Kansas, Kentucky, Louisiana,
Michigan, Minnesota, Nebraska, Nevada, New Mexico, North Carolina, North
Dakota, Ohio, Oregon, Texas, West Virginia and Wyoming. The following
states do not have continuing education requirements: Arizona, Colorado,
Connecticut, Georgia, Hawaii, Indiana, Maine, Missouri, Montana, New
York, Oklahoma, Pennsylvania, South Dakota,
Tennessee, Vermont, Virginia, Washington and Wisconsin. The following
states will not accept CA Board of Nursing contact hours: Delaware,
Florida, New Jersey and Utah. Massachusetts and Mississippi nurses may
submit CA Board of Nursing contact
hours to their state board, but approval will depend on review by the
board. Please contact the Accreditation Department at ccb@hcca-info.org with any questions you may
have.
NASBA/CPE: The Health Care Compliance Association is
registered with the National Association of State Boards of Accountancy
(NASBA) as a sponsor of continuing professional education on the
National Registry of CPE sponsors, Sponsor Identification No: 105638.
State boards of accountancy have final authority on the acceptance of
individual courses for CPE credit and may not accept one-half credits.
To verify if your state board of accountancy has adopted one-half
credits, please visit our website at www.hcca-info.org/accountancycredits.
Complaints regarding registered sponsors may be addressed to the
National Registry of CPE Sponsors, 150 Fourth Avenue North, Suite 700,
Nashville, TN 37219-2417. Website: www.nasba.org. A recommended maximum of 30.5
credits based on a 50-minute hour will be granted for the entire
learning activity. This program addresses topics that are of a current
concern in the compliance environment. This is an update, group-live
activity. For more information regarding administrative policies such as
complaints or refunds, call the HCCA at (888) 580-8373 or (952)
988-0141.
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