Florida Senate - 2010                                    SB 2480
       
       
       
       By Senator Garcia
       
       
       
       
       40-01188-10                                           20102480__
    1                        A bill to be entitled                      
    2         An act relating to health care; amending s. 400.990,
    3         F.S.; providing additional legislative findings;
    4         amending s. 400.9905, F.S.; redefining the term
    5         “clinic” for purposes of the Health Care Clinic Act to
    6         include certain additional providers; defining the
    7         term “specialty clinic”; including certain facilities
    8         owned by publicly traded corporations excluded by the
    9         definition of the term “clinic”; defining the terms
   10         “infusion therapy” and “fraud”; amending s. 400.991,
   11         F.S.; requiring specialty clinics to be subject to
   12         licensure requirements; requiring additional persons
   13         to be subject to background screening; revising
   14         certain requirements for applying for licensure as a
   15         health care clinic; creating additional requirements
   16         for applying for licensure as a specialty clinic;
   17         creating s. 400.9914, F.S.; providing additional
   18         grounds under which the Agency for Health Care
   19         Administration is required to deny or revoke a license
   20         due to a finding of guilt for committing a felony;
   21         providing grounds for the denial of specialty clinic
   22         licensure; amending s. 400.9915, F.S.; providing
   23         additional grounds for an emergency suspension of a
   24         license; creating s. 400.9921, F.S.; providing
   25         additional requirements for license renewal, and
   26         transfer of ownership; amending s. 400.9925, F.S.;
   27         authorizing the agency to adopt rules regarding
   28         specialty clinics; amending s. 400.993, F.S.;
   29         including specialty clinics within provisions
   30         regarding unlicensed clinics; amending s. 400.9935,
   31         F.S.; including specialty clinics within provisions
   32         regarding clinic responsibilities; revising the
   33         responsibilities of the medical director and the
   34         clinical director; requiring all persons providing
   35         health care services to individuals in a specialty
   36         clinic to comply with the licensure laws and rules
   37         under which that person is licensed; providing for a
   38         certificate of exemption from licensure as a clinic to
   39         expire within a specified period; providing for
   40         renewal of the certificate of exemption; providing the
   41         application procedures for a certificate of exemption;
   42         providing grounds for the denial, withdrawal, or
   43         emergency suspension of a certificate of exemption by
   44         the Agency for Health Care Administration; providing
   45         that it is a third-degree felony for an applicant to
   46         submit fraudulent or material and misleading
   47         information to the agency; requiring specialty clinics
   48         to display signs containing certain information
   49         relating to insurance fraud; authorizing compliance
   50         inspections by the Division of Insurance Fraud;
   51         requiring clinics to allow inspection access;
   52         requiring a specialty clinic to file an audited
   53         report; providing requirements for the audited report;
   54         requiring a specialty clinic to maintain compliance
   55         with part X of ch. 400, F.S.; amending s. 400.995,
   56         F.S.; authorizing the agency to impose administrative
   57         penalties against a specialty clinic; authorizing the
   58         agency to request a plan of corrective action from the
   59         clinic or specialty clinic; creating s. 400.996, F.S.;
   60         creating a process whereby the agency receives,
   61         documents, and processes complaints about specialty
   62         clinics; requiring the agency to request that
   63         complaints regarding billing fraud by a specialty
   64         clinic be made by sworn affidavit; requiring the
   65         agency to refer to the Office of Fiscal Integrity
   66         within the Department of Financial Services any sworn
   67         affidavit asserting billing fraud by a specialty
   68         clinic; requiring the department to report findings
   69         regarding billing fraud by a specialty clinic to the
   70         agency; requiring the department to refer an
   71         investigation to prosecutorial authorities and provide
   72         investigative assistance under certain circumstances;
   73         providing that it is a first-degree misdemeanor to
   74         submit an affidavit asserting billing fraud by a
   75         specialty clinic which is without any factual basis;
   76         allowing the department to conduct unannounced
   77         reviews, investigations, analyses, and audits to
   78         investigate complaints of billing fraud by a specialty
   79         clinic; authorizing the department to enter upon the
   80         premises of a specialty clinic and immediately secure
   81         copies of certain documents; requiring a specialty
   82         clinic to allow full and immediate access to the
   83         premises and records of the clinic to a department
   84         officer or employee under s. 400.996, F.S.; providing
   85         that failure to provide such access is a ground for
   86         emergency suspension of the license of the specialty
   87         clinic; permitting the agency to assess a fee against
   88         a specialty clinic equal to the cost of conducting a
   89         review, investigation, analysis, or audit performed by
   90         the agency or the department; providing that all
   91         investigators designated by the Chief Financial
   92         Officer to perform duties under part X of ch. 400,
   93         F.S., and certified under s. 943.1395, F.S., are law
   94         enforcement officers of the state; amending s.
   95         408.802, F.S.; providing that specialty clinics are
   96         subject to part X of ch. 400, F.S.; amending s.
   97         408.820, F.S.; providing that specialty clinics are
   98         exempt from s. 408.810(6), (7), and (10), F.S.;
   99         amending s. 456.072, F.S.; providing that
  100         intentionally placing false information in an
  101         application for a certificate of exemption from clinic
  102         licensure constitutes grounds for disciplinary action;
  103         designating the Florida Center for Nursing as the
  104         “Florida Barbara B. Lumpkin Center for Nursing”;
  105         directing the Department of Health to erect suitable
  106         markers; authorizing additional positions and
  107         providing an appropriation; providing an effective
  108         date.
  109  
  110  Be It Enacted by the Legislature of the State of Florida:
  111  
  112         Section 1. Section 400.990, Florida Statutes, is amended to
  113  read:
  114         400.990 Short title; legislative findings.—
  115         (1) This part, consisting of ss. 400.990-400.996 ss.
  116  400.990-400.995, may be cited as the “Health Care Clinic Act.”
  117         (2) The Legislature finds that the regulation of health
  118  care clinics must be strengthened to prevent significant cost
  119  and harm to consumers. The purpose of this part is to provide
  120  for the licensure, establishment, and enforcement of basic
  121  standards for health care clinics and to provide administrative
  122  oversight by the Agency for Health Care Administration.
  123         (3) The Legislature further finds the additional regulation
  124  of specialty health care clinics is necessary to prevent
  125  significant fraudulent practices in the provision of infusion
  126  therapy services in this state.
  127         (4) The purpose of this part is to provide for the
  128  licensure, establishment, and enforcement of basic standards for
  129  health care clinics and to provide administrative oversight by
  130  the Agency for Health Care Administration.
  131         Section 2. Subsection (4) of section 400.9905, Florida
  132  Statutes, is amended, and subsections (8), (9), and (10) are
  133  added to that section, to read:
  134         400.9905 Definitions.—
  135         (4) “Clinic” means an entity at which health care services
  136  are provided to individuals and which tenders charges for
  137  reimbursement for such services, including a mobile clinic and a
  138  portable equipment provider. For purposes of this part, the term
  139  does not include and the licensure requirements of this part do
  140  not apply to:
  141         (a) Entities licensed or registered by the state under
  142  chapter 395; or entities licensed or registered by the state and
  143  providing only health care services within the scope of services
  144  authorized under their respective licenses granted under ss.
  145  383.30-383.335, chapter 390, chapter 394, chapter 397, this
  146  chapter except part X, chapter 429, chapter 463, chapter 465,
  147  chapter 466, chapter 478, part I of chapter 483, chapter 484, or
  148  chapter 651; end-stage renal disease providers authorized under
  149  42 C.F.R. part 405, subpart U; or providers certified under 42
  150  C.F.R. part 485, subpart B or subpart H; or any entity that
  151  provides neonatal or pediatric hospital-based health care
  152  services or other health care services by licensed practitioners
  153  solely within a hospital licensed under chapter 395.
  154         (b) Entities that own, directly or indirectly, entities
  155  licensed or registered by the state pursuant to chapter 395; or
  156  entities that own, directly or indirectly, entities licensed or
  157  registered by the state and providing only health care services
  158  within the scope of services authorized pursuant to their
  159  respective licenses granted under ss. 383.30-383.335, chapter
  160  390, chapter 394, chapter 397, this chapter except part X,
  161  chapter 429, chapter 463, chapter 465, chapter 466, chapter 478,
  162  part I of chapter 483, chapter 484, chapter 651; end-stage renal
  163  disease providers authorized under 42 C.F.R. part 405, subpart
  164  U; or providers certified under 42 C.F.R. part 485, subpart B or
  165  subpart H; or any entity that provides neonatal or pediatric
  166  hospital-based health care services by licensed practitioners
  167  solely within a hospital licensed under chapter 395.
  168         (c) Entities that are owned, directly or indirectly, by an
  169  entity licensed or registered by the state pursuant to chapter
  170  395; or entities that are owned, directly or indirectly, by an
  171  entity licensed or registered by the state and providing only
  172  health care services within the scope of services authorized
  173  pursuant to their respective licenses granted under ss. 383.30
  174  383.335, chapter 390, chapter 394, chapter 397, this chapter
  175  except part X, chapter 429, chapter 463, chapter 465, chapter
  176  466, chapter 478, part I of chapter 483, chapter 484, or chapter
  177  651; end-stage renal disease providers authorized under 42
  178  C.F.R. part 405, subpart U; or providers certified under 42
  179  C.F.R. part 485, subpart B or subpart H; or any entity that
  180  provides neonatal or pediatric hospital-based health care
  181  services by licensed practitioners solely within a hospital
  182  under chapter 395.
  183         (d) Entities that are under common ownership, directly or
  184  indirectly, with an entity licensed or registered by the state
  185  pursuant to chapter 395; or entities that are under common
  186  ownership, directly or indirectly, with an entity licensed or
  187  registered by the state and providing only health care services
  188  within the scope of services authorized pursuant to their
  189  respective licenses granted under ss. 383.30-383.335, chapter
  190  390, chapter 394, chapter 397, this chapter except part X,
  191  chapter 429, chapter 463, chapter 465, chapter 466, chapter 478,
  192  part I of chapter 483, chapter 484, or chapter 651; end-stage
  193  renal disease providers authorized under 42 C.F.R. part 405,
  194  subpart U; or providers certified under 42 C.F.R. part 485,
  195  subpart B or subpart H; or any entity that provides neonatal or
  196  pediatric hospital-based health care services by licensed
  197  practitioners solely within a hospital licensed under chapter
  198  395.
  199         (e) An entity that is exempt from federal taxation under 26
  200  U.S.C. s. 501(c)(3) or (4), an employee stock ownership plan
  201  under 26 U.S.C. s. 409 that has a board of trustees not less
  202  than two-thirds of which are Florida-licensed health care
  203  practitioners and provides only physical therapy services under
  204  physician orders, any community college or university clinic,
  205  and any entity owned or operated by the federal or state
  206  government, including agencies, subdivisions, or municipalities
  207  thereof.
  208         (f) A sole proprietorship, group practice, partnership, or
  209  corporation, or other legal entity that provides health care
  210  services by physicians and physician assistants licensed under
  211  chapter 458, chapter 459, chapter 460, chapter 461, or chapter
  212  466 covered by s. 627.419, that is directly supervised by one or
  213  more of such physicians or physician assistants, and that is
  214  wholly owned by one or more of those physicians or physician
  215  assistants or by a physician or physician assistant and the
  216  spouse, parent, child, or sibling of that physician or physician
  217  assistant.
  218         (g) A sole proprietorship, group practice, partnership, or
  219  corporation, or other legal entity that provides health care
  220  services by licensed health care practitioners under chapter
  221  457, chapter 458, chapter 459, chapter 460, chapter 461, chapter
  222  462, chapter 463, chapter 466, chapter 467, chapter 480, chapter
  223  484, chapter 486, chapter 490, chapter 491, or part I, part III,
  224  part X, part XIII, or part XIV of chapter 468, or s. 464.012,
  225  which entities are wholly owned by one or more licensed health
  226  care practitioners, or the licensed health care practitioners
  227  set forth in this paragraph and the spouse, parent, child, or
  228  sibling of a licensed health care practitioner, so long as one
  229  of the owners who is a licensed health care practitioner is
  230  supervising the health care services business activities and is
  231  legally responsible for the entity’s compliance with all federal
  232  and state laws. However, the a health care services provided may
  233  not exceed the scope of the licensed owner’s health care
  234  practitioner may not supervise services beyond the scope of the
  235  practitioner’s license, except that, for the purposes of this
  236  part, a clinic owned by a licensee in s. 456.053(3)(b) that
  237  provides only services authorized pursuant to s. 456.053(3)(b)
  238  may be supervised by a licensee specified in s. 456.053(3)(b).
  239         (h) Clinical facilities affiliated with an accredited
  240  medical school at which training is provided for medical
  241  students, residents, or fellows.
  242         (i) Entities that provide only oncology or radiation
  243  therapy services by physicians licensed under chapter 458 or
  244  chapter 459 or entities that provide oncology or radiation
  245  therapy services by physicians licensed under chapter 458 or
  246  chapter 459 which are owned by a corporation whose shares are
  247  publicly traded on a recognized stock exchange.
  248         (j) Clinical facilities affiliated with a college of
  249  chiropractic accredited by the Council on Chiropractic Education
  250  at which training is provided for chiropractic students.
  251         (k) Entities that provide licensed practitioners to staff
  252  emergency departments or to deliver anesthesia services in
  253  facilities licensed under chapter 395 and that derive at least
  254  90 percent of their gross annual revenues from the provision of
  255  such services. Entities claiming an exemption from licensure
  256  under this paragraph must provide documentation demonstrating
  257  compliance.
  258         (l) Orthotic or prosthetic Clinical facilities that are a
  259  publicly traded corporation or that are wholly owned, directly
  260  or indirectly, by a publicly traded corporation. As used in this
  261  paragraph, a publicly traded corporation is a corporation that
  262  issues securities traded on an exchange registered with the
  263  United States Securities and Exchange Commission as a national
  264  securities exchange.
  265         (8) “Specialty clinic” means a clinic, as defined in
  266  subsection (4) and including those entities exempt under that
  267  subsection, which are not licensed as a home health agency that
  268  provides infusion therapy services to treat conditions caused by
  269  or related to HIV or AIDS to outpatients who remain less than 24
  270  hours at the facility or to patients who receive such services
  271  where they reside. The term does not include:
  272         (a) Entities licensed under part II or part III;
  273         (b) Entities licensed under part IV which provide infusion
  274  therapy to patients only in the home or residence of the
  275  patient; or
  276         (c) Entities licensed under chapter 395.
  277         (9) “Infusion therapy” includes, but is not limited to, the
  278  therapeutic infusion of substances into, or injection of
  279  substances through, the venous peripheral system and consists of
  280  activities that include observing, initiating, monitoring,
  281  discontinuing, maintaining, regulating, adjusting, documenting,
  282  planning, intervening, and evaluating. This definition embraces
  283  the administration of nutrition, antibiotic therapy, and fluid
  284  and electrolyte repletion.
  285         (10) “Fraud” means deception or misrepresentation made by a
  286  person or business entity with the intent that the deception
  287  will likely result in an unauthorized benefit to herself or
  288  himself or to another person. The term includes any act that
  289  constitutes fraud under applicable federal or state law.
  290         Section 3. Section 400.991, Florida Statutes, is amended to
  291  read:
  292         400.991 License requirements; background screenings;
  293  prohibitions.—
  294         (1)(a) The requirements of part II of chapter 408 apply to
  295  the provision of services that require licensure pursuant to
  296  this part and part II of chapter 408 and to entities licensed by
  297  or applying for such licensure from the agency pursuant to this
  298  part. A license issued by the agency is required in order to
  299  operate a clinic and a specialty clinic in this state. Each
  300  clinic and specialty clinic location shall be licensed
  301  separately regardless of whether the clinic or specialty clinic
  302  is operated under the same business name or management as
  303  another clinic or specialty clinic.
  304         (b) Each mobile clinic and specialty clinic must obtain a
  305  separate health care clinic license and must provide to the
  306  agency, at least quarterly, its projected street location to
  307  enable the agency to locate and inspect such clinic and
  308  specialty clinic. A portable equipment provider must obtain a
  309  health care clinic license for a single administrative office
  310  and is not required to submit quarterly projected street
  311  locations.
  312         (c) A specialty clinic operating without a specialty clinic
  313  license on or before January 1, 2011, shall be given until July
  314  2, 2011, to obtain a specialty clinic license.
  315         (2) The initial clinic license application and specialty
  316  clinic license application shall be filed with the agency by all
  317  clinics, as defined in s. 400.9905, on or before July 1, 2004. A
  318  clinic license and specialty clinic license must be renewed
  319  biennially.
  320         (3)(a) The application shall contain information that
  321  includes, but need not be limited to, information pertaining to
  322  the name, residence and business address, phone number, social
  323  security number, and license number of the medical or clinic
  324  director of the licensed medical providers employed or under
  325  contract with the clinic.
  326         (b) Any person or entity that has a pecuniary interest in a
  327  clinic who may or may not own stock or an equivalent interest in
  328  the clinic, but nonetheless has control over or the authority to
  329  approve, directly or indirectly, clinic billing, policy,
  330  business activities, or personnel decisions, including, but not
  331  limited to, contracted or employed third-party billing persons
  332  or entities, managers, and management companies, and persons and
  333  entities, directly or indirectly, which lend, give, or gift
  334  money of any denomination or anything of value exceeding an
  335  aggregate of $5,000, for clinic use, with or without an
  336  expectation of a return of the money or thing of value, and
  337  regardless of profit motive, are subject to background screening
  338  requirements under this part.
  339         (c) The agency may adopt rules to administer this
  340  subsection.
  341         (4) An application for a specialty clinic must contain, in
  342  addition to the information required in subsection (3) and s.
  343  408.806:
  344         (a) The correct business name of each business entity and
  345  full name of each individual holding any ownership interest of 5
  346  percent or more, or any pecuniary interest of $5,000 or more, in
  347  any legal entity that owns or operates any specialty clinic
  348  seeking licensure, whether such ownership or pecuniary interest
  349  arose out of a contract, loan, gift, investment, inheritance, or
  350  any other source. Individual possession of an ownership or
  351  pecuniary interest in any subject specialty clinic includes, but
  352  is not limited to, a direct or indirect interest in:
  353         1. The business operation, equipment, or legend
  354  pharmaceuticals used in the clinic;
  355         2. The premises in which the clinic provides its services;
  356  or
  357         3. Any legal entity that owns any such interest, directly
  358  or indirectly, in the business operation of the clinic; the
  359  equipment used in providing infusion therapy services at the
  360  clinic; the legend pharmaceuticals used at the clinic; or the
  361  premises in which the clinic provides its services.
  362         (b) In the case of an incorporated business entity that
  363  holds any ownership interest of 5 percent or more, or any
  364  pecuniary interest of $5,000 or more, in the specialty clinic,
  365  copies of the articles of incorporation and bylaws, and the
  366  names and addresses of all officers and directors of the
  367  corporation.
  368         (c) On a form furnished by the agency, a sworn, notarized
  369  statement by each business entity and individual that holds any
  370  ownership interest of 5 percent or more, or any pecuniary
  371  interest of $5,000 or more, in the subject specialty clinic
  372  which discloses the nature and degree of each such ownership or
  373  pecuniary interest and discloses the source of funds which gave
  374  rise to each such ownership or pecuniary interest.
  375         (d) On a form furnished by the agency, a sworn, notarized
  376  statement by each individual and business entity that holds any
  377  ownership interest of 5 percent or more, or any pecuniary
  378  interest of $5,000 or more, in the subject specialty clinic
  379  which discloses whether he or she has been an owner or part
  380  owner, individually or through any business entity, of any
  381  business entity whose health care license has been revoked or
  382  suspended in any jurisdiction.
  383         (e) On a form furnished by the agency, an estimate of the
  384  costs for establishing the specialty clinic and the source of
  385  funds for payment of those costs and for sustaining the
  386  operation of the clinic until its operation produces a positive
  387  cash flow.
  388  
  389  For purposes of this subsection, the terms “ownership or
  390  pecuniary interest” does not include an individual whose
  391  interest in a specialty clinic arises only out of his or her
  392  interest in a lending company, insurance company, or banking
  393  institution licensed by this state or any other state of the
  394  United States; a company regularly trading on a national stock
  395  exchange of the United States; or a governmental entity in the
  396  United States.
  397         (5)(4) In addition to the requirements of part II of
  398  chapter 408, the applicant must file with the application
  399  satisfactory proof that the clinic or specialty clinic is in
  400  compliance with this part and applicable rules, including:
  401         (a) A listing of services to be provided either directly by
  402  the applicant or through contractual arrangements with existing
  403  providers;
  404         (b) The number and discipline of each professional staff
  405  member to be employed; and
  406         (c) Proof of financial ability to operate as required under
  407  s. 408.810(8). As an alternative to submitting proof of
  408  financial ability to operate as required under s. 408.810(8),
  409  the applicant may file a surety bond of at least $500,000 which
  410  guarantees that the clinic or specialty clinic will act in full
  411  conformity with all legal requirements for operating a clinic,
  412  payable to the agency. The agency may adopt rules to specify
  413  related requirements for such surety bond.
  414         (6)(5) Each applicant for licensure shall comply with the
  415  following requirements:
  416         (a) As used in this subsection, the term “applicant” means
  417  an individual individuals owning or controlling, directly or
  418  indirectly, 5 percent or more of an interest in a clinic or an
  419  individual owning or controlling, directly or indirectly, any
  420  interest in a specialty clinic; the medical or clinic director,
  421  or a similarly titled person who is responsible for the day-to
  422  day operation of the licensed clinic; the financial officer or
  423  similarly titled individual who is responsible for the financial
  424  operation of the clinic; and licensed health care practitioners
  425  at the clinic.
  426         (b) Upon receipt of a completed, signed, and dated
  427  application, the agency shall require background screening of
  428  the applicant, in accordance with the level 2 standards for
  429  screening set forth in paragraph (d) chapter 435. Proof of
  430  compliance with the level 2 background screening requirements of
  431  paragraph (d) chapter 435 which has been submitted within the
  432  previous 5 years in compliance with the any other health care
  433  clinic licensure requirements of this part state is acceptable
  434  in fulfillment of this paragraph. Applicants who own less than
  435  10 percent of a health care clinic are not required to submit
  436  fingerprints under this section.
  437         (c) Each applicant must submit to the agency, with the
  438  application, a description and explanation of any exclusions,
  439  permanent suspensions, or terminations of an applicant from the
  440  Medicare or Medicaid programs. Proof of compliance with the
  441  requirements for disclosure of ownership and control interest
  442  under the Medicaid or Medicare programs may be accepted in lieu
  443  of this submission. The description and explanation may indicate
  444  whether such exclusions, suspensions, or terminations were
  445  voluntary or not voluntary on the part of the applicant. The
  446  agency may deny or revoke licensure based on information
  447  received under this paragraph.
  448         (d) A license may not be granted to a clinic if the
  449  applicant, or a person or entity identified in paragraph (3)(b),
  450  has been found guilty of, regardless of adjudication, or has
  451  entered a plea of nolo contendere or guilty to, any offense
  452  prohibited under the level 2 standards for screening set forth
  453  in chapter 435; any felony under chapter 400, chapter 408,
  454  chapter 409, chapter 440, chapter 624, chapter 626, chapter 627,
  455  chapter 812, chapter 817, chapter 831, chapter 837, chapter 838,
  456  chapter 895, or chapter 896; or any substantially comparable
  457  offense or crime of another state or of the United States, if a
  458  felony in that jurisdiction, within the past 10 years. Each
  459  person required to provide background screening shall disclose
  460  to the agency any arrest for any crime for which any court
  461  disposition other than dismissal has been made within the past
  462  10 years. Failure to provide such information is a material
  463  omission in the application process., or a violation of
  464  insurance fraud under s. 817.234, within the past 5 years. If
  465  the applicant has been convicted of an offense prohibited under
  466  the level 2 standards or insurance fraud in any jurisdiction,
  467  the applicant must show that his or her civil rights have been
  468  restored prior to submitting an application.
  469         (e) Each applicant that performs the technical component of
  470  magnetic resonance imaging, static radiographs, computed
  471  tomography, or positron emission tomography, and also provides
  472  the professional components of such services through an employee
  473  or independent contractor, must provide to the agency on a form
  474  provided by the agency, the name and address of the clinic, the
  475  serial or operating number of each magnetic resonance imaging,
  476  static radiograph, computed tomography, and positron emission
  477  tomography machine, the name of the manufacturer of the machine,
  478  and such other information as required by the agency to identify
  479  the machine. The information must be provided to the agency upon
  480  renewal of the clinic’s licensure and within 30 days after a
  481  clinic begins using a machine for which it has not provided the
  482  information to the agency.
  483         Section 4. Section 400.9914, Florida Statutes, is created
  484  to read:
  485         400.9914Revocation or denial of a specialty clinic
  486  license.—In addition to s. 408.831, the agency:
  487         (1) Shall deny or revoke a specialty clinic license if an
  488  applicant has been found guilty of, regardless of adjudication,
  489  or entered a plea of nolo contendere or guilty to, any felony
  490  involving dishonesty or making a false statement in any
  491  jurisdiction within the preceding 10 years.
  492         (2) Shall deny a specialty clinic license application when
  493  any business entity or individual possessing an ownership or
  494  pecuniary interest in the specialty clinic also possessed an
  495  ownership or pecuniary interest, individually or through any
  496  business entity, in any health care facility whose license was
  497  revoked in any jurisdiction during the pendency of that
  498  interest.
  499         (3) May not issue a specialty clinic license to any
  500  applicant to whom the agency has sent notice that there is a
  501  pending question as to whether one or more of the individuals
  502  having an ownership of 5 percent or more or a pecuniary interest
  503  of $5,000 or more in the clinic has a disqualifying criminal
  504  record. The agency notice shall request the applicant to submit
  505  any additional information necessary to resolve the pending
  506  criminal background question within 21 days after receipt of the
  507  notice. The agency shall deny a specialty clinic license
  508  application if the applicant fails to resolve a criminal
  509  background screening issue pertaining to an individual who is
  510  required to meet criminal background screening requirements of
  511  this part and the agency raised such background screening issue
  512  by notice as set forth in this part.
  513         Section 5. Section 400.9915, Florida Statutes, is amended
  514  to read:
  515         400.9915 Emergency suspension; costs.—
  516         (1) Failure by a clinic or specialty clinic licensed under
  517  this part to allow full and complete access to the premises and
  518  to billing records or information to any representative of the
  519  agency who makes a request to inspect the clinic or specialty
  520  clinic to determine compliance with this part or failure by a
  521  clinic or specialty clinic to employ a qualified medical
  522  director or clinic director constitutes a ground for emergency
  523  suspension of the license by the agency pursuant to s. 408.814.
  524         (2) In addition to any administrative fines imposed
  525  pursuant to this part or part II of chapter 408, the agency may
  526  assess a fee equal to the cost of conducting a complaint
  527  investigation.
  528         Section 6. Section 400.9921, Florida Statutes, is created
  529  to read:
  530         400.9921 License renewal; transfer of ownership.—In
  531  addition to the requirements set forth in ss. 408.806 and
  532  408.807:
  533         (1)An application for license renewal must contain
  534  information as required by the agency.
  535         (2)The clinic or specialty clinic must file with the
  536  renewal application satisfactory proof that it is in compliance
  537  with this part and applicable rules. If there is evidence of
  538  financial instability, the clinic or specialty clinic must
  539  submit satisfactory proof of its financial ability to comply
  540  with the requirements of this part.
  541         (3)An application for change of ownership of a clinic or
  542  specialty clinic is required only when 45 percent or more of the
  543  ownership, voting shares, or controlling interest of a clinic or
  544  specialty clinic is transferred or assigned, including the final
  545  transfer or assignment of multiple transfers or assignments over
  546  a 2-year period which cumulatively total 45 percent or greater.
  547         (4)The license may not be sold, leased, assigned, or
  548  otherwise transferred, voluntarily or involuntarily, and is
  549  valid only for the clinic or specialty clinic owners and
  550  location for which originally issued.
  551         Section 7. Section 400.9925, Florida Statutes, is amended
  552  to read:
  553         400.9925 Rulemaking authority; license fees.—
  554         (1) The agency shall adopt rules necessary to administer
  555  the clinic and specialty clinic administration, regulation, and
  556  licensure program, including rules pursuant to this part and
  557  part II of chapter 408, establishing the specific licensure
  558  requirements, procedures, forms, and fees. It shall adopt rules
  559  establishing a procedure for the biennial renewal of licenses.
  560  The agency may issue initial licenses for less than the full 2
  561  year period by charging a prorated licensure fee and specifying
  562  a different renewal date than would otherwise be required for
  563  biennial licensure. The rules shall specify the expiration dates
  564  of licenses, the process of tracking compliance with financial
  565  responsibility requirements, and any other conditions of renewal
  566  required by law or rule.
  567         (2) The agency shall adopt rules specifying limitations on
  568  the number of licensed clinics and specialty clinics and
  569  licensees for which a medical director or a clinic director may
  570  assume responsibility for purposes of this part. In determining
  571  the quality of supervision a medical director or a clinic
  572  director can provide, the agency shall consider the number of
  573  clinic or specialty clinic employees, the clinic location or the
  574  specialty clinic location, and the health care services provided
  575  by the clinic or specialty clinic.
  576         (3) In accordance with s. 408.805, an applicant or a
  577  licensee shall pay a fee for each license application submitted
  578  under this part, part II of chapter 408, and applicable rules.
  579  The amount of the fee shall be established by rule and may not
  580  exceed $2,000.
  581         Section 8. Subsection (3) of section 400.993, Florida
  582  Statutes, is amended to read:
  583         400.993 Unlicensed clinics; reporting.—
  584         (3) In addition to the requirements of part II of chapter
  585  408, any health care provider who is aware of the operation of
  586  an unlicensed clinic or specialty clinic shall report that
  587  facility to the agency. Failure to report a clinic or specialty
  588  clinic that the provider knows or has reasonable cause to
  589  suspect is unlicensed shall be reported to the provider’s
  590  licensing board.
  591         Section 9. Section 400.9935, Florida Statutes, is amended
  592  to read:
  593         400.9935 Clinic responsibilities.—
  594         (1) Each clinic and specialty clinic shall appoint a
  595  medical director or clinic director who shall agree in writing
  596  to accept legal responsibility for the following activities on
  597  behalf of the clinic or specialty clinic. The medical director
  598  or the clinic director shall:
  599         (a) Have signs identifying the medical director or clinic
  600  director posted in a conspicuous location within the clinic
  601  readily visible to all patients.
  602         (b) Ensure that all practitioners providing health care
  603  services or supplies to patients maintain a current active and
  604  unencumbered Florida license.
  605         (c) Review any patient referral contracts or agreements
  606  executed by the clinic.
  607         (d) Ensure that all health care practitioners at the clinic
  608  have active appropriate certification or licensure for the level
  609  of care being provided.
  610         (e) Serve as the clinic records owner as defined in s.
  611  456.057.
  612         (f) Ensure compliance with the recordkeeping, office
  613  surgery, and adverse incident reporting requirements of chapter
  614  456, the respective practice acts, and rules adopted under this
  615  part and part II of chapter 408.
  616         (g) Conduct systematic reviews of clinic billings to ensure
  617  that the billings are not fraudulent or unlawful. Upon discovery
  618  of an unlawful charge, the medical director or clinic director
  619  shall take immediate corrective action. If the clinic performs
  620  only the technical component of magnetic resonance imaging,
  621  static radiographs, computed tomography, or positron emission
  622  tomography, and provides the professional interpretation of such
  623  services, in a fixed facility that is accredited by the Joint
  624  Commission on Accreditation of Healthcare Organizations or the
  625  Accreditation Association for Ambulatory Health Care, and the
  626  American College of Radiology; and if, in the preceding quarter,
  627  the percentage of scans performed by that clinic which was
  628  billed to all personal injury protection insurance carriers was
  629  less than 15 percent, the chief financial officer of the clinic
  630  may, in a written acknowledgment provided to the agency, assume
  631  the responsibility for the conduct of the systematic reviews of
  632  clinic billings to ensure that the billings are not fraudulent
  633  or unlawful.
  634         (h) Not refer a patient to the clinic if the clinic
  635  performs magnetic resonance imaging, static radiographs,
  636  computed tomography, or positron emission tomography. The term
  637  “refer a patient” means the referral of one or more patients of
  638  the medical or clinical director or a member of the medical or
  639  clinical director’s group practice to the clinic for magnetic
  640  resonance imaging, static radiographs, computed tomography, or
  641  positron emission tomography. A medical director who is found to
  642  violate this paragraph commits a felony of the third degree,
  643  punishable as provided in s. 775.082, s. 775.083, or s. 775.084.
  644         (i) Serve in that capacity for no more than a maximum of
  645  five health care clinics that have a cumulative total of no more
  646  than 200 employees and persons under contract with the health
  647  care clinic at a given time. A medical or clinic director may
  648  not supervise a health care clinic more than 200 miles away from
  649  any other health care clinic supervised by the same medical or
  650  clinic director. The agency may allow for waivers to the
  651  limitations of this paragraph upon a showing of good cause and a
  652  determination by the agency that the medical director will be
  653  able to adequately perform the requirements of this subsection.
  654         (2) Any contract to serve as a medical director or a clinic
  655  director entered into or renewed by a physician or a licensed
  656  health care practitioner in violation of this part is void as
  657  contrary to public policy. This subsection shall apply to
  658  contracts entered into or renewed on or after March 1, 2004.
  659         (3) All charges or reimbursement claims made by or on
  660  behalf of a clinic that is required to be licensed under this
  661  part, but that is not so licensed, or that is otherwise
  662  operating in violation of this part, are unlawful charges, and
  663  therefore are noncompensable and unenforceable.
  664         (4) In addition to the requirements of s. 408.812, any
  665  person establishing, operating, or managing an unlicensed clinic
  666  otherwise required to be licensed under this part or part II of
  667  chapter 408, or any person who knowingly files a false or
  668  misleading license application or license renewal application,
  669  or false or misleading information related to such application
  670  or department rule, commits a felony of the third degree,
  671  punishable as provided in s. 775.082, s. 775.083, or s. 775.084.
  672         (5) Any licensed health care provider who violates this
  673  part is subject to discipline in accordance with this chapter
  674  and his or her respective practice act.
  675         (6) Any person or entity providing health care services
  676  which is not a clinic or specialty clinic, as defined under s.
  677  400.9905, may voluntarily apply for a certificate of exemption
  678  from licensure under its exempt status. Other than certificates
  679  of exemptions granted pursuant to the exemption under s.
  680  400.9905(4)(f), certificates of exemption shall expire after 2
  681  years and may be renewed. with the agency on a form that sets
  682  forth its name or names and addresses, a statement of the
  683  reasons why it cannot be defined as a clinic, and other
  684  information deemed necessary by the agency. An exemption is not
  685  transferable. The agency may charge an applicant for a
  686  certificate of exemption in an amount equal to $100 or the
  687  actual cost of processing the certificate, whichever is less.
  688         (a) The agency shall provide a form that requires the name
  689  or names and addresses, a statement of the reasons why the
  690  applicant is exempt from licensure as a health care clinic or
  691  specialty clinic, and other information deemed necessary by the
  692  agency. The signature on an application for a certificate of
  693  exemption must be notarized and signed by persons having
  694  knowledge of the truth of its contents. An exemption is not
  695  transferable and is valid only for the reasons, location,
  696  persons, and entity set forth on the application form. A person
  697  or entity that claims an exemption under this part or that holds
  698  a current certificate of exemption must be exempt from the
  699  licensing provisions of this part at all times, or such claim or
  700  certificate is invalid from the date that such person or entity
  701  is not exempt.
  702         (b) The agency shall charge an applicant for a certificate
  703  of exemption a fee of $100 to cover the cost of processing the
  704  certificate or the actual cost of processing the certificate,
  705  whichever is less.
  706         (c) An application for the renewal of a certificate of
  707  exemption must be submitted to the agency before the expiration
  708  of the certificate of exemption. The agency may investigate any
  709  applicant, person, or entity claiming an exemption for purposes
  710  of determining compliance when a certificate of exemption is
  711  sought. Authorized personnel of the agency shall have access to
  712  the premises of any certificateholder, applicant, or specialty
  713  clinic, other than a person or entity who is exempt pursuant to
  714  s. 400.9905(4)(f), for the sole purpose of determining
  715  compliance with an exemption under this part. The agency shall
  716  have access to all billings and records. The agency may deny or
  717  withdraw a certificate of exemption when a person or entity does
  718  not qualify under this part.
  719         (d) A certificate of exemption is considered withdrawn when
  720  the agency determines that an exempt status cannot be confirmed.
  721  The provisions applicable to the unlicensed operation of a
  722  health care clinic or specialty clinic apply to any health care
  723  provider that self-determines or claims an exemption or that is
  724  issued a certificate of exemption if, in fact, such clinic does
  725  not meet the exemption claimed.
  726         (e) Any person or entity that submits an application for a
  727  certificate of exemption which contains fraudulent or material
  728  and misleading information commits a felony of the third degree,
  729  punishable as provided in s. 775.082, s. 775.083, or s. 775.084.
  730         (f) A response to a request in writing for additional
  731  information or clarification must be filed with the agency no
  732  later than 21 days after receipt of the request or the
  733  application shall be denied.
  734         (g) The agency shall grant or deny an application for a
  735  certificate of exemption in accordance with s. 120.60(1).
  736         (h) A person or entity that qualifies as a health care
  737  clinic or specialty clinic and has been denied a certificate of
  738  exemption must file an initial application and pay the fee. A
  739  certificate of exemption is valid only when issued and current.
  740         (i) The agency shall issue an emergency order of suspension
  741  of a certificate of exemption when the agency finds that the
  742  applicant has provided false or misleading material information
  743  or omitted any material fact from the application for a
  744  certificate of exemption which is permitted or required by this
  745  part, or has submitted false or misleading information to the
  746  agency when self-determining an exempt status and materially
  747  misleading the agency as to such status.
  748         (7)(a) Each clinic engaged in magnetic resonance imaging
  749  services must be accredited by the Joint Commission on
  750  Accreditation of Healthcare Organizations, the American College
  751  of Radiology, or the Accreditation Association for Ambulatory
  752  Health Care, within 1 year after licensure. A clinic that is
  753  accredited by the American College of Radiology or is within the
  754  original 1-year period after licensure and replaces its core
  755  magnetic resonance imaging equipment shall be given 1 year after
  756  the date on which the equipment is replaced to attain
  757  accreditation. However, a clinic may request a single, 6-month
  758  extension if it provides evidence to the agency establishing
  759  that, for good cause shown, such clinic cannot be accredited
  760  within 1 year after licensure, and that such accreditation will
  761  be completed within the 6-month extension. After obtaining
  762  accreditation as required by this subsection, each such clinic
  763  must maintain accreditation as a condition of renewal of its
  764  license. A clinic that files a change of ownership application
  765  must comply with the original accreditation timeframe
  766  requirements of the transferor. The agency shall deny a change
  767  of ownership application if the clinic is not in compliance with
  768  the accreditation requirements. When a clinic adds, replaces, or
  769  modifies magnetic resonance imaging equipment and the
  770  accreditation agency requires new accreditation, the clinic must
  771  be accredited within 1 year after the date of the addition,
  772  replacement, or modification but may request a single, 6-month
  773  extension if the clinic provides evidence of good cause to the
  774  agency.
  775         (b) The agency may deny the application or revoke the
  776  license of any entity formed for the purpose of avoiding
  777  compliance with the accreditation provisions of this subsection
  778  and whose principals were previously principals of an entity
  779  that was unable to meet the accreditation requirements within
  780  the specified timeframes. The agency may adopt rules as to the
  781  accreditation of magnetic resonance imaging clinics.
  782         (8) The agency shall give full faith and credit pertaining
  783  to any past variance and waiver granted to a magnetic resonance
  784  imaging clinic from rule 64-2002, Florida Administrative Code,
  785  by the Department of Health, until September 2004. After that
  786  date, such clinic must request a variance and waiver from the
  787  agency under s. 120.542.
  788         (9) In addition to the requirements of part II of chapter
  789  408, the clinic or specialty clinic shall display a sign in a
  790  conspicuous location within the clinic or specialty clinic
  791  readily visible to all patients indicating that, pursuant to s.
  792  626.9892, the Department of Financial Services may pay rewards
  793  of up to $25,000 to persons providing information leading to the
  794  arrest and conviction of persons committing crimes investigated
  795  by the Division of Insurance Fraud arising from violations of s.
  796  440.105, s. 624.15, s. 626.9541, s. 626.989, or s. 817.234. An
  797  authorized employee of the Division of Insurance Fraud may make
  798  unannounced inspections of a clinic or specialty clinic licensed
  799  under this part as necessary to determine whether the clinic or
  800  specialty clinic is in compliance with this subsection. A
  801  licensed clinic or specialty clinic shall allow full and
  802  complete access to the premises to such authorized employee of
  803  the division who makes an inspection to determine compliance
  804  with this subsection.
  805         (10) In addition to the requirements set forth in s.
  806  408.8065, every licensed specialty clinic shall annually file
  807  with the agency, including concurrently with the filing of any
  808  change of ownership application, upon forms to be furnished by
  809  the agency, an audited report showing the following information:
  810         (a) A report of the number of patients served by the
  811  specialty clinic during the previous 12-month period. The report
  812  may exclude any partial month for the month when the report was
  813  prepared;
  814         (b) Total specialty clinic operating expenses;
  815         (c) Gross patient charges by payor category, including
  816  Medicare, Medicaid, county indigent programs, any other
  817  governmental programs, private insurance, self-paying patients,
  818  nonpaying patients, and other payees;
  819         (d) The cost of operation of the specialty clinic during
  820  the previous 12-month period, excluding any partial month during
  821  which time the report was prepared;
  822         (e) Unless the specialty clinic can demonstrate that the
  823  clinic already has furnished the required information regarding
  824  a particular subject individual, the full name of any individual
  825  who became an owner or became possessed of any pecuniary
  826  interest in the subject clinic since the last report to the
  827  agency, along with the disclosure of the information required by
  828  s. 400.991 as to such individual; and
  829         (f) A current statement of the source of funds for payment
  830  of the costs of establishing the specialty clinic and for
  831  sustaining the operation of the specialty clinic until its
  832  operation produces a positive cash flow.
  833         (11) Each licensee of a specialty clinic has a continuing
  834  obligation to comply with this part and to report to the agency
  835  any change of circumstance related to the clinic’s continuing
  836  compliance with this part. Such change of circumstance includes,
  837  but is not limited to, any change in the ownership of the
  838  specialty clinic, the addition of any individual or business
  839  entity possessing a pecuniary interest in the specialty clinic,
  840  the employment of any individual as a member of the specialty
  841  clinic’s staff who would be required to undergo a criminal
  842  background screening if such individual had been an employee at
  843  the time of the initial licensure, and any change in the medical
  844  or clinic director. The specialty clinic shall furnish the
  845  information about any change of circumstances which is required
  846  under this part and s. 400.991 within 30 days after the
  847  occurrence of such change of circumstance.
  848         Section 10. Section 400.995, Florida Statutes, is amended
  849  to read:
  850         400.995 Agency administrative penalties.—
  851         (1) In addition to the requirements of part II of chapter
  852  408, the agency may deny the application for a license renewal,
  853  revoke and suspend the license, and impose administrative fines
  854  of up to $5,000 per violation for violations of the requirements
  855  of this part or rules of the agency. In determining if a penalty
  856  is to be imposed and in fixing the amount of the fine, the
  857  agency shall consider the following factors:
  858         (a) The gravity of the violation, including the probability
  859  that death or serious physical or emotional harm to a patient
  860  will result or has resulted, the severity of the action or
  861  potential harm, and the extent to which the provisions of the
  862  applicable laws or rules were violated.
  863         (b) Actions taken by the owner, medical director, or clinic
  864  director to correct violations.
  865         (c) Any previous violations.
  866         (d) The financial benefit to the clinic or specialty clinic
  867  of committing or continuing the violation.
  868         (2) Each day of continuing violation after the date fixed
  869  for termination of the violation, as ordered by the agency,
  870  constitutes an additional, separate, and distinct violation.
  871         (3) Any action taken to correct a violation shall be
  872  documented in writing by the owner, medical director, or clinic
  873  director of the clinic or specialty clinic and verified through
  874  followup visits by agency personnel. The agency may impose a
  875  fine and, in the case of an owner-operated clinic or specialty
  876  clinic, revoke or deny a clinic’s license when a clinic medical
  877  director or clinic director knowingly misrepresents actions
  878  taken to correct a violation.
  879         (4) Any licensed clinic whose owner, medical director, or
  880  clinic director concurrently operates an unlicensed clinic shall
  881  be subject to an administrative fine of $5,000 per day.
  882         (5) Any clinic or specialty clinic whose owner fails to
  883  apply for a change-of-ownership license and operates the clinic
  884  or specialty clinic under the new ownership is subject to a fine
  885  of $5,000.
  886         (6) As an alternative to or in conjunction with an
  887  administrative action against a clinic or specialty clinic for
  888  violations of this part and adopted rules During an inspection,
  889  the agency shall make a reasonable attempt to discuss during the
  890  inspection each violation with the owner, medical director, or
  891  clinic director of the clinic or specialty clinic, prior to
  892  written notification. The agency, instead of fixing a period
  893  within which the clinic or specialty clinic shall enter into
  894  compliance with standards, may request a plan of corrective
  895  action from the clinic or specialty clinic which demonstrates a
  896  good faith effort to remedy each violation by a specific date,
  897  subject to the approval of the agency.
  898         Section 11. Section 400.996, Florida Statutes, is created
  899  to read:
  900         400.996Specialty clinics; complaints; audits; referrals.—
  901         (1) The agency shall receive, document, and process
  902  complaints about specialty clinics. Upon receipt of any
  903  complaint that asserts the existence of facts evidencing
  904  possible billing fraud by a specialty clinic or by any employee
  905  of a specialty clinic, the agency shall request the complainant
  906  to make such assertions by sworn affidavit.
  907         (2) Upon receipt of any sworn affidavit that asserts the
  908  existence of facts evidencing possible billing fraud by a
  909  specialty clinic or any of its employees, the agency shall refer
  910  the complaint to the Office of Fiscal Integrity within the
  911  Department of Financial Services.
  912         (3) The Department of Financial Services shall report
  913  findings to the agency for any appropriate licensure action.
  914  Such report shall include a statement of facts as determined by
  915  the Department of Financial Services to exist, specifically with
  916  regard to the possible violations of licensure requirements. If,
  917  during an investigation, the Department of Financial Services
  918  has reason to believe that any criminal law of this state has or
  919  may have been violated, the department shall refer such
  920  investigation to appropriate prosecutorial agencies and shall
  921  provide investigative assistance to those agencies as required.
  922         (4) The investigating authority and the agency shall
  923  cooperate with each other and prepare a record and share
  924  information from which the agency may determine if any action
  925  for sanctions under this part are warranted.
  926         (5) A person commits a misdemeanor of the first degree,
  927  punishable as provided in s. 775.082 or s. 775.083 if:
  928         (a) He or she submits a sworn complaint that initiates a
  929  complaint investigation pursuant to this section; and
  930         (b) The sworn complaint is determined to be totally without
  931  any factual basis to support the assertions made in the
  932  complaint that facts existed evidencing possible fraudulent
  933  practices by a specialty clinic or any of its employees.
  934         (6) The Office of Fiscal Integrity within the Department of
  935  Financial Services shall conduct unannounced reviews,
  936  investigations, analyses, and audits to investigate complaints
  937  and, as necessary, to determine whether a specialty clinic’s
  938  billings are fraudulent or unlawful. The Department of Financial
  939  Services may enter upon the premises of the clinic during
  940  regular business hours and demand and immediately secure copies
  941  of billing and other records of the clinic which will enable the
  942  Department of Financial Services to investigate complaints or
  943  determine whether a specialty clinic’s billings are fraudulent
  944  or unlawful.
  945         (7) A licensed specialty clinic shall allow full, complete,
  946  and immediate access to the premises and to billing records or
  947  information to any such officer or employee who conducts a
  948  review, investigation, analysis, or audit to determine
  949  compliance with this part and with applicable rules. Failure to
  950  allow full, complete, and immediate access to the premises and
  951  to billing records or information to any representative of the
  952  agency or Department of Financial Services who attempts to
  953  conduct a review, investigation, analysis, or audit to determine
  954  compliance with this part constitutes a ground for emergency
  955  suspension of the license by the agency pursuant to s.
  956  120.60(6).
  957         (8) In addition to any administrative fines imposed, the
  958  agency may assess a fee equal to the cost of conducting any
  959  review, investigation, analysis, or audit performed by the
  960  agency or the Department of Financial Services.
  961         (9) All investigators designated by the Chief Financial
  962  Officer to perform duties under this part and who are certified
  963  under s. 943.1395 are law enforcement officers of the state.
  964  Such investigators may conduct criminal investigations, bear
  965  arms, make arrests, and apply for, serve, and execute search
  966  warrants, arrest warrants, capias, and other processes
  967  throughout the state pertaining to fraud investigations under
  968  this section.
  969         Section 12. Subsection (27) of section 408.802, Florida
  970  Statutes, is amended to read:
  971         408.802 Applicability.—The provisions of this part apply to
  972  the provision of services that require licensure as defined in
  973  this part and to the following entities licensed, registered, or
  974  certified by the agency, as described in chapters 112, 383, 390,
  975  394, 395, 400, 429, 440, 483, and 765:
  976         (27) Health care clinics and specialty clinics, as provided
  977  under part X of chapter 400.
  978         Section 13. Subsection (25) of section 408.820, Florida
  979  Statutes, is amended to read:
  980         408.820 Exemptions.—Except as prescribed in authorizing
  981  statutes, the following exemptions shall apply to specified
  982  requirements of this part:
  983         (25) Health care clinics and specialty clinics, as provided
  984  under part X of chapter 400, are exempt from s. 408.810(6), (7),
  985  and (10).
  986         Section 14. Paragraph (mm) is added to subsection (1) of
  987  section 456.072, Florida Statutes, to read:
  988         456.072 Grounds for discipline; penalties; enforcement.—
  989         (1) The following acts shall constitute grounds for which
  990  the disciplinary actions specified in subsection (2) may be
  991  taken:
  992         (mm) Intentionally providing false information on an
  993  application for a certificate of exemption from clinic licensure
  994  under part XIII of chapter 400.
  995         Section 15. Florida Barbara B. Lumpkin Center for Nursing
  996  designated; Department of Health to erect suitable markers.—
  997         (1) The Florida Center for Nursing, created by s. 464.0195,
  998  Florida Statutes, and located in Orlando is designated as the
  999  “Florida Barbara B. Lumpkin Center for Nursing.”
 1000         (2) The Department of Health is directed to erect suitable
 1001  markers designating the Florida Barbara B. Lumpkin Center for
 1002  Nursing as described in subsection (1).
 1003         Section 16. The sums of $212,528 in recurring funds from
 1004  the Health Care Trust Fund, and $25,347 in nonrecurring funds
 1005  from the Health Care Trust Fund are appropriated to the Agency
 1006  for Health Care Administration and four full-time equivalent
 1007  positions and associated salary rate of 134,455 are authorized,
 1008  for the 2010-2011 fiscal year for the purpose of administering
 1009  the provisions of this act.
 1010         Section 17. This act shall take effect July 1, 2010.