CS/CS/HB 7095

1
A bill to be entitled
2An act relating to prescription drugs; amending s.
3456.072, F.S.; making failure to comply with the
4requirements of s. 456.44, F.S., grounds for disciplinary
5action; providing mandatory administrative penalties for
6certain violations related to prescribing; amending s.
7456.42, F.S.; requiring prescriptions for controlled
8substances to be written on a counterfeit-resistant pad
9produced by an approved vendor or electronically
10prescribed; providing conditions for being an approved
11vendor; creating s. 456.44, F.S.; providing definitions;
12requiring certain physicians to designate themselves as
13controlled substance prescribing practitioners on their
14practitioner profiles; providing an effective date;
15requiring registered physicians to meet certain standards
16of practice; requiring a physical examination; requiring a
17written protocol; requiring an assessment of risk for
18aberrant behavior; requiring a treatment plan; requiring
19specified informed consent; requiring consultation and
20referral in certain circumstances; requiring medical
21records meeting certain criteria; providing an exemption
22for physicians meeting certain criteria; amending s.
23458.3265, F.S., relating to regulation of pain-management
24clinics and medical doctors; redefining the term "pain-
25management clinic"; providing definitions; providing an
26exemption from registration for clinics owned and operated
27by physicians or medical specialists meeting certain
28criteria; revising responsibilities of physicians in pain-
29management clinics; allowing physician assistants and
30advanced registered nurse practitioners to perform
31physical examinations; requiring physicians in pain-
32management clinics to ensure compliance with certain
33requirements; imposing facility and physical operations
34requirements; imposing infection control requirements;
35imposing health and safety requirements; imposing quality
36assurance requirements; imposing data collection and
37reporting requirements; revising rulemaking authority;
38conforming provisions to changes made by the act;
39providing for future expiration of provisions; amending s.
40458.327, F.S.; providing that dispensing certain
41controlled substances in violation of specified provisions
42is a third-degree felony; providing penalties; amending s.
43458.331, F.S.; providing that dispensing certain
44controlled substances in violation of specified provisions
45is grounds for disciplinary action; providing penalties;
46amending s. 459.0137, F.S., relating to regulation of
47pain-management clinics and osteopathic physicians;
48providing definitions; providing an exemption from
49registration for clinics owned and operated by physicians
50meeting certain criteria; revising responsibilities of
51osteopathic physicians in pain-management clinics;
52allowing physician assistants and advanced registered
53nurse practitioners to perform physical examinations;
54requiring osteopathic physicians in pain-management
55clinics to ensure compliance with certain requirements;
56imposing facility and physical operations requirements;
57imposing infection control requirements; imposing health
58and safety requirements; imposing quality assurance
59requirements; imposing data collection and reporting
60requirements; revising rulemaking authority; conforming
61provisions to changes made by the act; providing for
62future expiration of provisions; amending s. 459.013,
63F.S.; providing that dispensing certain controlled
64substances in violation of specified provisions is a
65third-degree felony; providing penalties; amending s.
66459.015, F.S.; providing that dispensing certain
67controlled substances in violation of specified provisions
68is grounds for disciplinary action; providing penalties;
69amending s. 465.015, F.S.; requiring a pharmacist to
70report to the sheriff within a specified period any
71instance in which a person fraudulently obtained or
72attempted to fraudulently obtain a controlled substance;
73providing criminal penalties; providing suggested criteria
74for the reports; amending s. 465.016, F.S.; providing
75additional grounds for denial of or disciplinary action
76against a pharmacist license; amending s. 465.018, F.S.;
77providing grounds for permit denial or discipline;
78requiring applicants to pay or make arrangements to pay
79amounts owed to the Department of Health; requiring an
80inspection; requiring permittees to maintain certain
81records; requiring a community pharmacy to be permitted
82under ch. 465, F.S., on or after a specified date in order
83to dispense Schedule II or Schedule III controlled
84substances; amending s. 465.022, F.S.; requiring the
85Department of Health to adopt rules related to procedures
86for dispensing controlled substances; providing
87requirements for the issuance of a pharmacy permit;
88requiring disclosure of financial interests; requiring
89submission of policies and procedures and providing for
90grounds for permit denial based on such policies and
91procedures; authorizing the Department of Health to phase
92in the policies and procedures requirement over an 18-
93month period beginning July 1, 2011; requiring the
94Department of Health to deny a permit to applicants under
95certain circumstances; requiring permittees to provide
96notice of certain management changes; requiring
97prescription department managers to meet certain criteria;
98imposing duties on prescription department managers;
99limiting the number of locations a prescription department
100manager may manage; requiring the board to adopt rules
101related to recordkeeping; providing that permits are not
102transferable; amending s. 465.0276, F.S.; deleting a
103provision establishing a 72-hour supply limit on
104dispensing certain controlled substances; prohibiting
105registered dispensing practitioners from dispensing
106certain controlled substances; revising the list of
107exceptions that allow registered dispensing practitioners
108to dispense certain controlled substances; amending s.
109499.0051, F.S.; providing criminal penalties for
110violations of certain provisions of s. 499.0121, F.S.;
111amending s. 499.012, F.S.; requiring wholesale distributor
112permit applicants to submit documentation of credentialing
113policies; amending s. 499.0121, F.S.; providing reporting
114requirements regarding certain controlled substances for
115prescription drug wholesale distributors, out-of-state
116prescription drug wholesale distributors, retail pharmacy
117drug wholesale distributors, manufacturers, or repackagers
118that engage in the wholesale distribution of controlled
119substances to a retail pharmacy; requiring the Department
120of Health to share the reported data with law enforcement
121agencies; requiring the Department of Law Enforcement to
122make investigations based on the reported data; providing
123credentialing requirements for distribution of controlled
124substances to certain entities by wholesale distributors;
125requiring distributors to identify suspicious
126transactions; requiring distributors to determine the
127reasonableness of orders for controlled substances over
128certain amounts; requiring distributors to maintain
129documents that support the report submitted to the
130Department of Health; requiring the department to assess
131data; requiring the department to report certain data to
132the Governor, President of the Senate, and Speaker of the
133House of Representatives by certain dates; prohibiting
134distribution to entities with certain criminal
135backgrounds; amending s. 499.05, F.S.; authorizing
136rulemaking concerning specified controlled substance
137wholesale distributor reporting requirements and
138credentialing requirements; amending s. 499.067, F.S.;
139authorizing the Department of Health to take disciplinary
140action against wholesale distributors failing to comply
141with specified credentialing or reporting requirements;
142amending s. 810.02, F.S.; authorizing separate judgments
143and sentences for burglary with the intent to commit theft
144of a controlled substance under specified provisions and
145for any applicable possession of controlled substance
146offense under specified provisions in certain
147circumstances; amending s. 812.014, F.S.; authorizing
148separate judgments and sentences for theft of a controlled
149substance under specified provisions and for any
150applicable possession of controlled substance offense
151under specified provisions in certain circumstances;
152amending s. 893.055, F.S., relating to the prescription
153drug monitoring program; deleting obsolete dates; deleting
154references to the Office of Drug Control; requiring
155reports to the prescription drug monitoring system to be
156made in 7 days rather than 15 days; prohibiting the use of
157certain funds to implement the program; requiring criminal
158background screening for those persons who have direct
159access to the prescription drug monitoring program's
160database; requiring the State Surgeon General to appoint a
161board of directors for the direct-support organization;
162conforming provisions to changes made by the act; amending
163s. 893.065, F.S.; conforming provisions to changes made by
164the act; amending s. 893.07, F.S.; providing that law
165enforcement officers are not required to obtain a
166subpoena, court order, or search warrant in order to
167obtain access to or copies of specified controlled
168substance inventory records; requiring reporting of the
169discovery of the theft or loss of controlled substances to
170the sheriff within a specified period; providing criminal
171penalties; amending s. 893.13, F.S.; prohibiting a person
172from obtaining or attempting to obtain from a practitioner
173a controlled substance or a prescription for a controlled
174substance by misrepresentation, fraud, forgery, deception,
175subterfuge, or concealment of a material fact; prohibiting
176a health care provider from providing a controlled
177substance or a prescription for a controlled substance by
178misrepresentation, fraud, forgery, deception, subterfuge,
179or concealment of a material fact; prohibiting a person
180from adulterating a controlled substance for certain use
181without authorization by a prescribing physician;
182providing penalties; amending s. 893.138, F.S.; providing
183circumstances in which a pain-management clinic may be
184declared a public nuisance; providing for the disposition
185of certain controlled substance inventory held by
186specified licensed physicians; providing certain
187requirements for a physician returning inventory to a
188distributor; requiring wholesale distributors to buy back
189certain undispensed inventory of controlled substances;
190providing for a declaration of a public health emergency;
191requiring certain actions relating to dispensing
192practitioners identified as posing the greatest threat to
193public health; providing an appropriation; providing for
194future expiration of program provisions; requiring the
195Department of Health to establish a practitioner profile
196for dentists; providing for severability; providing an
197effective date.
198
199Be It Enacted by the Legislature of the State of Florida:
200
201     Section 1.  Paragraph (mm) is added to subsection (1) of
202section 456.072, Florida Statutes, subsection (7) is
203redesignated as subsection (8), and a new subsection (7) is
204added to that section, to read:
205     456.072  Grounds for discipline; penalties; enforcement.-
206     (1)  The following acts shall constitute grounds for which
207the disciplinary actions specified in subsection (2) may be
208taken:
209     (mm)  Failure to comply with controlled substance
210prescribing requirements of s. 456.44.
211     (7)  Notwithstanding subsection (2), upon a finding that a
212physician has prescribed or dispensed a controlled substance, or
213caused a controlled substance to be prescribed or dispensed, in
214a manner that violates the standard of practice set forth in s.
215458.331(1)(q) or (t), s. 459.015(1)(t) or (x), s. 461.013(1)(o)
216or (s), or s. 466.028(1)(p) or (x), the physician shall be
217suspended for a period of not less than 6 months and pay a fine
218of not less than $10,000 per count. Repeated violations shall
219result in increased penalties.
220     Section 2.  Section 456.42, Florida Statutes, is amended to
221read:
222     456.42  Written prescriptions for medicinal drugs.-
223     (1)  A written prescription for a medicinal drug issued by
224a health care practitioner licensed by law to prescribe such
225drug must be legibly printed or typed so as to be capable of
226being understood by the pharmacist filling the prescription;
227must contain the name of the prescribing practitioner, the name
228and strength of the drug prescribed, the quantity of the drug
229prescribed, and the directions for use of the drug; must be
230dated; and must be signed by the prescribing practitioner on the
231day when issued. A written prescription for a controlled
232substance listed in chapter 893 must have the quantity of the
233drug prescribed in both textual and numerical formats and must
234be dated with the abbreviated month written out on the face of
235the prescription. However, a prescription that is electronically
236generated and transmitted must contain the name of the
237prescribing practitioner, the name and strength of the drug
238prescribed, the quantity of the drug prescribed in numerical
239format, and the directions for use of the drug and must be dated
240and signed by the prescribing practitioner only on the day
241issued, which signature may be in an electronic format as
242defined in s. 668.003(4).
243     (2)  A written prescription for a controlled substance
244listed in chapter 893 must have the quantity of the drug
245prescribed in both textual and numerical formats, must be dated
246with the abbreviated month written out on the face of the
247prescription, and must be either written on a standardized
248counterfeit-proof prescription pad produced by a vendor approved
249by the department or electronically prescribed as that term is
250used in s. 408.0611. As a condition of being an approved vendor,
251a prescription pad vendor must submit a monthly report to the
252department which, at a minimum, documents the number of
253prescription pads sold and identifies the purchasers. The
254department may, by rule, require the reporting of additional
255information.
256     Section 3.  Section 456.44, Florida Statutes, is created to
257read:
258     456.44  Controlled substance prescribing.-
259     (1)  DEFINITIONS.-
260     (a)  "Addiction medicine specialist" means a board-
261certified physiatrist with a subspecialty certification in
262addiction medicine or who is eligible for such subspecialty
263certification in addiction medicine, an addiction medicine
264physician certified or eligible for certification by the
265American Society of Addiction Medicine, or an osteopathic
266physician who holds a certificate of added qualification in
267Addiction Medicine through the American Osteopathic Association.
268     (b)  "Adverse incident" means any incident set forth in s.
269458.351(4)(a)-(e) or s. 459.026(4)(a)-(e).
270     (c)  "Board-certified pain management physician" means a
271physician who possesses board certification in pain medicine by
272the American Board of Pain Medicine, board certification by the
273American Board of Interventional Pain Physicians, or board
274certification or subcertification in pain management by a
275specialty board recognized by the American Association of
276Physician Specialists or an osteopathic physician who holds a
277certificate in Pain Management by the American Osteopathic
278Association.
279     (d)  "Chronic nonmalignant pain" means pain unrelated to
280cancer or rheumatoid arthritis which persists beyond the usual
281course of disease or the injury that is the cause of the pain or
282more than 90 days after surgery.
283     (e)  "Mental health addiction facility" means a facility
284licensed under chapter 394 or chapter 397.
285     (2)  REGISTRATION.-Effective January 1, 2012, a physician
286licensed under chapter 458, chapter 459, chapter 461, or chapter
287466 who prescribes any controlled substance, as defined in s.
288893.03, for the treatment of chronic nonmalignant pain, must:
289     (a)  Designate himself or herself as a controlled substance
290prescribing practitioner on the physician's practitioner
291profile.
292     (b)  Comply with the requirements of this section and
293applicable board rules.
294     (3)  STANDARDS OF PRACTICE.-The standards of practice in
295this section do not supersede the level of care, skill, and
296treatment recognized in general law related to healthcare
297licensure.
298     (a)  A complete medical history and a physical examination
299must be conducted before beginning any treatment and must be
300documented in the medical record. The exact components of the
301physical examination shall be left to the judgment of the
302clinician who is expected to perform a physical examination
303proportionate to the diagnosis that justifies a treatment. The
304medical record must, at a minimum, document the nature and
305intensity of the pain, current and past treatments for pain,
306underlying or coexisting diseases or conditions, the effect of
307the pain on physical and psychological function, a review of
308previous medical records, previous diagnostic studies, and
309history of alcohol and substance abuse. The medical record shall
310also document the presence of one or more recognized medical
311indications for the use of a controlled substance. Each
312registrant must develop a written plan for assessing each
313patient's risk of aberrant drug-related behavior, which may
314include patient drug testing. Registrants must assess each
315patient's risk for aberrant drug-related behavior and monitor
316that risk on an ongoing basis in accordance with the plan.
317     (b)  Each registrant must develop a written individualized
318treatment plan for each patient. The treatment plan shall state
319objectives that will be used to determine treatment success,
320such as pain relief and improved physical and psychosocial
321function, and shall indicate if any further diagnostic
322evaluations or other treatments are planned. After treatment
323begins, the physician shall adjust drug therapy to the
324individual medical needs of each patient. Other treatment
325modalities, including a rehabilitation program, shall be
326considered depending on the etiology of the pain and the extent
327to which the pain is associated with physical and psychosocial
328impairment. The interdisciplinary nature of the treatment plan
329shall be documented.
330     (c)  The physician shall discuss the risks and benefits of
331the use of controlled substances, including the risks of abuse
332and addiction, as well as physical dependence and its
333consequences, with the patient, persons designated by the
334patient, or the patient's surrogate or guardian if the patient
335is incompetent. The physician shall use a written controlled
336substance agreement between the physician and the patient
337outlining the patient's responsibilities, including, but not
338limited to:
339     1.  Number and frequency of controlled substance
340prescriptions and refills.
341     2.  Patient compliance and reasons for which drug therapy
342may be discontinued, such as a violation of the agreement.
343     3.  An agreement that controlled substances for the
344treatment of chronic nonmalignant pain shall be prescribed by a
345single treating physician unless otherwise authorized by the
346treating physician and documented in the medical record.
347     (d)  The patient shall be seen by the physician at regular
348intervals, not to exceed 3 months, to assess the efficacy of
349treatment, ensure that controlled substance therapy remains
350indicated, evaluate the patient's progress toward treatment
351objectives, consider adverse drug effects, and review the
352etiology of the pain. Continuation or modification of therapy
353shall depend on the physician's evaluation of the patient's
354progress. If treatment goals are not being achieved, despite
355medication adjustments, the physician shall reevaluate the
356appropriateness of continued treatment. The physician shall
357monitor patient compliance in medication usage, related
358treatment plans, controlled substance agreements, and
359indications of substance abuse or diversion at a minimum of 3-
360month intervals.
361     (e)  The physician shall refer the patient as necessary for
362additional evaluation and treatment in order to achieve
363treatment objectives. Special attention shall be given to those
364patients who are at risk for misusing their medications and
365those whose living arrangements pose a risk for medication
366misuse or diversion. The management of pain in patients with a
367history of substance abuse or with a comorbid psychiatric
368disorder requires extra care, monitoring, and documentation and
369requires consultation with or referral to an addictionologist or
370physiatrist.
371     (f)  A physician registered under this section must
372maintain accurate, current, and complete records that are
373accessible and readily available for review and comply with the
374requirements of this section, the applicable practice act, and
375applicable board rules. The medical records must include, but
376are not limited to:
377     1.  The complete medical history and a physical
378examination, including history of drug abuse or dependence.
379     2.  Diagnostic, therapeutic, and laboratory results.
380     3.  Evaluations and consultations.
381     4.  Treatment objectives.
382     5.  Discussion of risks and benefits.
383     6.  Treatments.
384     7.  Medications, including date, type, dosage, and quantity
385prescribed.
386     8.  Instructions and agreements.
387     9.  Periodic reviews.
388     10.  Results of any drug testing.
389     11.  A photocopy of the patient's government-issued photo
390identification.
391     12.  If a written prescription for a controlled substance
392is given to the patient, a duplicate of the prescription.
393     13.  The physician's full name presented in a legible
394manner.
395     (g)  Patients with signs or symptoms of substance abuse
396shall be immediately referred to a board-certified pain
397management physician, an addiction medicine specialist, or a
398mental health addiction facility as it pertains to drug abuse or
399addiction unless the physician is board-certified or board-
400eligible in pain management. Throughout the period of time
401before receiving the consultant's report, a prescribing
402physician shall clearly and completely document medical
403justification for continued treatment with controlled substances
404and those steps taken to ensure medically appropriate use of
405controlled substances by the patient. Upon receipt of the
406consultant's written report, the prescribing physician shall
407incorporate the consultant's recommendations for continuing,
408modifying, or discontinuing controlled substance therapy. The
409resulting changes in treatment shall be specifically documented
410in the patient's medical record. Evidence or behavioral
411indications of diversion shall be followed by discontinuation of
412controlled substance therapy and the patient shall be discharged
413and all results of testing and actions taken by the physician
414shall be documented in the patient's medical record.
415
416This subsection does not apply to a board-certified
417anesthesiologist, physiatrist, or neurologist, or to a board-
418certified physician who has surgical privileges at a hospital or
419ambulatory surgery center and primarily provides surgical
420services. This subsection does not apply to a board-certified
421medical specialist who has also completed a fellowship in pain
422medicine approved by the Accreditation Council for Graduate
423Medical Education or the American Osteopathic Association, or
424who is board certified in pain medicine by a board approved by
425the American Board of Medical Specialties or the American
426Osteopathic Association and performs interventional pain
427procedures of the type routinely billed using surgical codes.
428     Section 4.  Section 458.3265, Florida Statutes, is amended
429to read:
430     458.3265  Pain-management clinics.-
431     (1)  REGISTRATION.-
432     (a)1.  As used in this section, the term:
433     a.  "Chronic nonmalignant pain" means pain unrelated to
434cancer or rheumatoid arthritis which persists beyond the usual
435course of disease or the injury that is the cause of the pain or
436more than 90 days after surgery.
437     b.  "Pain-management clinic" or "clinic" means any publicly
438or privately owned facility:
439     (I)  That advertises in any medium for any type of pain-
440management services; or
441     (II)  Where in any month a majority of patients are
442prescribed opioids, benzodiazepines, barbiturates, or
443carisoprodol for the treatment of chronic nonmalignant pain. All
444privately owned pain-management clinics, facilities, or offices,
445hereinafter referred to as "clinics," which advertise in any
446medium for any type of pain-management services, or employ a
447physician who is primarily engaged in the treatment of pain by
448prescribing or dispensing controlled substance medications,
449     2.  Each pain-management clinic must register with the
450department unless:
451     a.1.  That clinic is licensed as a facility pursuant to
452chapter 395;
453     b.2.  The majority of the physicians who provide services
454in the clinic primarily provide surgical services;
455     c.3.  The clinic is owned by a publicly held corporation
456whose shares are traded on a national exchange or on the over-
457the-counter market and whose total assets at the end of the
458corporation's most recent fiscal quarter exceeded $50 million;
459     d.4.  The clinic is affiliated with an accredited medical
460school at which training is provided for medical students,
461residents, or fellows;
462     e.5.  The clinic does not prescribe or dispense controlled
463substances for the treatment of pain; or
464     f.6.  The clinic is owned by a corporate entity exempt from
465federal taxation under 26 U.S.C. s. 501(c)(3);.
466     g.  The clinic is wholly owned and operated by one or more
467board-certified anesthesiologists, physiatrists, or
468neurologists; or
469     h.  The clinic is wholly owned and operated by one or more
470board-certified medical specialists who have also completed
471fellowships in pain medicine approved by the Accreditation
472Council for Graduate Medical Education, or who are also board-
473certified in pain medicine by a board approved by the American
474Board of Medical Specialties and perform interventional pain
475procedures of the type routinely billed using surgical codes.
476     (b)  Each clinic location shall be registered separately
477regardless of whether the clinic is operated under the same
478business name or management as another clinic.
479     (c)  As a part of registration, a clinic must designate a
480physician who is responsible for complying with all requirements
481related to registration and operation of the clinic in
482compliance with this section. Within 10 days after termination
483of a designated physician, the clinic must notify the department
484of the identity of another designated physician for that clinic.
485The designated physician shall have a full, active, and
486unencumbered license under this chapter or chapter 459 and shall
487practice at the clinic location for which the physician has
488assumed responsibility. Failing to have a licensed designated
489physician practicing at the location of the registered clinic
490may be the basis for a summary suspension of the clinic
491registration certificate as described in s. 456.073(8) for a
492license or s. 120.60(6).
493     (d)  The department shall deny registration to any clinic
494that is not fully owned by a physician licensed under this
495chapter or chapter 459 or a group of physicians, each of whom is
496licensed under this chapter or chapter 459; or that is not a
497health care clinic licensed under part X of chapter 400.
498     (e)  The department shall deny registration to any pain-
499management clinic owned by or with any contractual or employment
500relationship with a physician:
501     1.  Whose Drug Enforcement Administration number has ever
502been revoked.
503     2.  Whose application for a license to prescribe, dispense,
504or administer a controlled substance has been denied by any
505jurisdiction.
506     3.  Who has been convicted of or pleaded guilty or nolo
507contendere to, regardless of adjudication, an offense that
508constitutes a felony for receipt of illicit and diverted drugs,
509including a controlled substance listed in Schedule I, Schedule
510II, Schedule III, Schedule IV, or Schedule V of s. 893.03, in
511this state, any other state, or the United States.
512     (f)  If the department finds that a pain-management clinic
513does not meet the requirement of paragraph (d) or is owned,
514directly or indirectly, by a person meeting any criteria listed
515in paragraph (e), the department shall revoke the certificate of
516registration previously issued by the department. As determined
517by rule, the department may grant an exemption to denying a
518registration or revoking a previously issued registration if
519more than 10 years have elapsed since adjudication. As used in
520this subsection, the term "convicted" includes an adjudication
521of guilt following a plea of guilty or nolo contendere or the
522forfeiture of a bond when charged with a crime.
523     (g)  The department may revoke the clinic's certificate of
524registration and prohibit all physicians associated with that
525pain-management clinic from practicing at that clinic location
526based upon an annual inspection and evaluation of the factors
527described in subsection (3).
528     (h)  If the registration of a pain-management clinic is
529revoked or suspended, the designated physician of the pain-
530management clinic, the owner or lessor of the pain-management
531clinic property, the manager, and the proprietor shall cease to
532operate the facility as a pain-management clinic as of the
533effective date of the suspension or revocation.
534     (i)  If a pain-management clinic registration is revoked or
535suspended, the designated physician of the pain-management
536clinic, the owner or lessor of the clinic property, the manager,
537or the proprietor is responsible for removing all signs and
538symbols identifying the premises as a pain-management clinic.
539     (j)  Upon the effective date of the suspension or
540revocation, the designated physician of the pain-management
541clinic shall advise the department of the disposition of the
542medicinal drugs located on the premises. The disposition is
543subject to the supervision and approval of the department.
544Medicinal drugs that are purchased or held by a pain-management
545clinic that is not registered may be deemed adulterated pursuant
546to s. 499.006.
547     (k)  If the clinic's registration is revoked, any person
548named in the registration documents of the pain-management
549clinic, including persons owning or operating the pain-
550management clinic, may not, as an individual or as a part of a
551group, apply to operate a pain-management clinic for 5 years
552after the date the registration is revoked.
553     (l)  The period of suspension for the registration of a
554pain-management clinic shall be prescribed by the department,
555but may not exceed 1 year.
556     (m)  A change of ownership of a registered pain-management
557clinic requires submission of a new registration application.
558     (2)  PHYSICIAN RESPONSIBILITIES.-These responsibilities
559apply to any physician who provides professional services in a
560pain-management clinic that is required to be registered in
561subsection (1).
562     (a)  A physician may not practice medicine in a pain-
563management clinic, as described in subsection (4), if:
564     1.  The pain-management clinic is not registered with the
565department as required by this section.; or
566     2.  Effective July 1, 2012, the physician has not
567successfully completed a pain-medicine fellowship that is
568accredited by the Accreditation Council for Graduate Medical
569Education or a pain-medicine residency that is accredited by the
570Accreditation Council for Graduate Medical Education or, prior
571to July 1, 2012, does not comply with rules adopted by the
572board.
573
574Any physician who qualifies to practice medicine in a pain-
575management clinic pursuant to rules adopted by the Board of
576Medicine as of July 1, 2012, may continue to practice medicine
577in a pain-management clinic as long as the physician continues
578to meet the qualifications set forth in the board rules. A
579physician who violates this paragraph is subject to disciplinary
580action by his or her appropriate medical regulatory board.
581     (b)  A person may not dispense any medication, including a
582controlled substance, on the premises of a registered pain-
583management clinic unless he or she is a physician licensed under
584this chapter or chapter 459.
585     (c)  A physician, a physician assistant, or an advanced
586registered nurse practitioner must perform a physical
587examination of a patient on the same day that the physician he
588or she dispenses or prescribes a controlled substance to a
589patient at a pain-management clinic. If the physician prescribes
590or dispenses more than a 72-hour dose of controlled substances
591for the treatment of chronic nonmalignant pain, the physician
592must document in the patient's record the reason for prescribing
593or dispensing that quantity.
594     (d)  A physician authorized to prescribe controlled
595substances who practices at a pain-management clinic is
596responsible for maintaining the control and security of his or
597her prescription blanks and any other method used for
598prescribing controlled substance pain medication. The physician
599shall comply with the requirements for counterfeit-resistant
600prescription blanks in s. 893.065 and the rules adopted pursuant
601to that section. The physician shall notify, in writing, the
602department within 24 hours following any theft or loss of a
603prescription blank or breach of any other method for prescribing
604pain medication.
605     (e)  The designated physician of a pain-management clinic
606shall notify the applicable board in writing of the date of
607termination of employment within 10 days after terminating his
608or her employment with a pain-management clinic that is required
609to be registered under subsection (1). Each physician practicing
610in a pain-management clinic shall advise the Board of Medicine,
611in writing, within 10 calendar days after beginning or ending
612his or her practice at a pain-management clinic.
613     (f)  Each physician practicing in a pain-management clinic
614is responsible for ensuring compliance with the following
615facility and physical operations requirements:
616     1.  A pain-management clinic shall be located and operated
617at a publicly accessible fixed location and must:
618     a.  Display a sign that can be viewed by the public that
619contains the clinic name, hours of operations, and a street
620address.
621     b.  Have a publicly listed telephone number and a dedicated
622phone number to send and receive faxes with a fax machine that
623shall be operational 24 hours per day.
624     c.  Have emergency lighting and communications.
625     d.  Have a reception and waiting area.
626     e.  Provide a restroom.
627     f.  Have an administrative area, including room for storage
628of medical records, supplies, and equipment.
629     g.  Have private patient examination rooms.
630     h.  Have treatment rooms, if treatment is being provided to
631the patients.
632     i.  Display a printed sign located in a conspicuous place
633in the waiting room viewable by the public with the name and
634contact information of the clinic's designated physician and the
635names of all physicians practicing in the clinic.
636     j.  If the clinic stores and dispenses prescription drugs,
637comply with ss. 499.0121 and 893.07.
638     2.  This section does not excuse a physician from providing
639any treatment or performing any medical duty without the proper
640equipment and materials as required by the standard of care.
641This section does not supersede the level of care, skill, and
642treatment recognized in general law related to healthcare
643licensure.
644     (g)  Each physician practicing in a pain-management clinic
645is responsible for ensuring compliance with the following
646infection control requirements.
647     1.  The clinic shall maintain equipment and supplies to
648support infection prevention and control activities.
649     2.  The clinic shall identify infection risks based on the
650following:
651     a.  Geographic location, community, and population served.
652     b.  The care, treatment, and services it provides.
653     c.  An analysis of its infection surveillance and control
654data.
655     3.  The clinic shall maintain written infection prevention
656policies and procedures that address the following:
657     a.  Prioritized risks.
658     b.  Limiting unprotected exposure to pathogens.
659     c.  Limiting the transmission of infections associated with
660procedures performed in the clinic.
661     d.  Limiting the transmission of infections associated with
662the clinic's use of medical equipment, devices, and supplies.
663     (h)  Each physician practicing in a pain-management clinic
664is responsible for ensuring compliance with the following health
665and safety requirements:
666     1.  The clinic, including its grounds, buildings,
667furniture, appliances, and equipment shall be structurally
668sound, in good repair, clean, and free from health and safety
669hazards.
670     2.  The clinic shall have evacuation procedures in the
671event of an emergency, which shall include provisions for the
672evacuation of disabled patients and employees.
673     3.  The clinic shall have a written facility-specific
674disaster plan setting forth actions that will be taken in the
675event of clinic closure due to unforeseen disasters and shall
676include provisions for the protection of medical records and any
677controlled substances.
678     4.  Each clinic shall have at least one employee on the
679premises during patient care hours who is certified in Basic
680Life Support and is trained in reacting to accidents and medical
681emergencies until emergency medical personnel arrive.
682     (i)  The designated physician is responsible for ensuring
683compliance with the following quality assurance requirements.
684Each pain-management clinic shall have an ongoing quality
685assurance program that objectively and systematically monitors
686and evaluates the quality and appropriateness of patient care,
687evaluates methods to improve patient care, identifies and
688corrects deficiencies within the facility, alerts the designated
689physician to identify and resolve recurring problems, and
690provides for opportunities to improve the facility's performance
691and to enhance and improve the quality of care provided to the
692public. The designated physician shall establish a quality
693assurance program that includes the following components:
694     1.  The identification, investigation, and analysis of the
695frequency and causes of adverse incidents to patients.
696     2.  The identification of trends or patterns of incidents.
697     3.  The development of measures to correct, reduce,
698minimize, or eliminate the risk of adverse incidents to
699patients.
700     4.  The documentation of these functions and periodic
701review no less than quarterly of such information by the
702designated physician.
703     (j)  The designated physician is responsible for ensuring
704compliance with the following data collection and reporting
705requirements:
706     1.  The designated physician for each pain-management
707clinic shall report all adverse incidents to the department as
708set forth in s. 458.351.
709     2.  The designated physician shall also report to the Board
710of Medicine, in writing, on a quarterly basis the following
711data:
712     a.  Number of new and repeat patients seen and treated at
713the clinic who are prescribed controlled substance medications
714for the treatment of chronic, nonmalignant pain.
715     b.  The number of patients discharged due to drug abuse.
716     c.  The number of patients discharged due to drug
717diversion.
718     d.  The number of patients treated at the pain clinic whose
719domicile is located somewhere other than in this state. A
720patient's domicile is the patient's fixed or permanent home to
721which he or she intends to return even though he or she may
722temporarily reside elsewhere.
723     (3)  INSPECTION.-
724     (a)  The department shall inspect the pain-management
725clinic annually, including a review of the patient records, to
726ensure that it complies with this section and the rules of the
727Board of Medicine adopted pursuant to subsection (4) unless the
728clinic is accredited by a nationally recognized accrediting
729agency approved by the Board of Medicine.
730     (b)  During an onsite inspection, the department shall make
731a reasonable attempt to discuss each violation with the owner or
732designated physician of the pain-management clinic before
733issuing a formal written notification.
734     (c)  Any action taken to correct a violation shall be
735documented in writing by the owner or designated physician of
736the pain-management clinic and verified by followup visits by
737departmental personnel.
738     (4)  RULEMAKING.-
739     (a)  The department shall adopt rules necessary to
740administer the registration and inspection of pain-management
741clinics which establish the specific requirements, procedures,
742forms, and fees.
743     (b)  The department shall adopt a rule defining what
744constitutes practice by a designated physician at the clinic
745location for which the physician has assumed responsibility, as
746set forth in subsection (1). When adopting the rule, the
747department shall consider the number of clinic employees, the
748location of the pain-management clinic, the clinic's hours of
749operation, and the amount of controlled substances being
750prescribed, dispensed, or administered at the pain-management
751clinic.
752     (c)  The Board of Medicine shall adopt a rule establishing
753the maximum number of prescriptions for Schedule II or Schedule
754III controlled substances or the controlled substance Alprazolam
755which may be written at any one registered pain-management
756clinic during any 24-hour period.
757     (b)(d)  The Board of Medicine shall adopt rules setting
758forth standards of practice for physicians practicing in
759privately owned pain-management clinics that primarily engage in
760the treatment of pain by prescribing or dispensing controlled
761substance medications. Such rules shall address, but need not be
762limited to:
763     1.  Facility operations;
764     2.  Physical operations;
765     3.  Infection control requirements;
766     4.  Health and safety requirements;
767     5.  Quality assurance requirements;
768     6.  Patient records;
769     7.  training requirements for all facility health care
770practitioners who are not regulated by another board.;
771     8.  Inspections; and
772     9.  Data collection and reporting requirements.
773
774A physician is primarily engaged in the treatment of pain by
775prescribing or dispensing controlled substance medications when
776the majority of the patients seen are prescribed or dispensed
777controlled substance medications for the treatment of chronic
778nonmalignant pain. Chronic nonmalignant pain is pain unrelated
779to cancer which persists beyond the usual course of the disease
780or the injury that is the cause of the pain or more than 90 days
781after surgery.
782     (5)  PENALTIES; ENFORCEMENT.-
783     (a)  The department may impose an administrative fine on
784the clinic of up to $5,000 per violation for violating the
785requirements of this section; chapter 499, the Florida Drug and
786Cosmetic Act; 21 U.S.C. ss. 301-392, the Federal Food, Drug, and
787Cosmetic Act; 21 U.S.C. ss. 821 et seq., the Comprehensive Drug
788Abuse Prevention and Control Act; chapter 893, the Florida
789Comprehensive Drug Abuse Prevention and Control Act; or the
790rules of the department. In determining whether a penalty is to
791be imposed, and in fixing the amount of the fine, the department
792shall consider the following factors:
793     1.  The gravity of the violation, including the probability
794that death or serious physical or emotional harm to a patient
795has resulted, or could have resulted, from the pain-management
796clinic's actions or the actions of the physician, the severity
797of the action or potential harm, and the extent to which the
798provisions of the applicable laws or rules were violated.
799     2.  What actions, if any, the owner or designated physician
800took to correct the violations.
801     3.  Whether there were any previous violations at the pain-
802management clinic.
803     4.  The financial benefits that the pain-management clinic
804derived from committing or continuing to commit the violation.
805     (b)  Each day a violation continues after the date fixed
806for termination of the violation as ordered by the department
807constitutes an additional, separate, and distinct violation.
808     (c)  The department may impose a fine and, in the case of
809an owner-operated pain-management clinic, revoke or deny a pain-
810management clinic's registration, if the clinic's designated
811physician knowingly and intentionally misrepresents actions
812taken to correct a violation.
813     (d)  An owner or designated physician of a pain-management
814clinic who concurrently operates an unregistered pain-management
815clinic is subject to an administrative fine of $5,000 per day.
816     (e)  If the owner of a pain-management clinic that requires
817registration fails to apply to register the clinic upon a change
818of ownership and operates the clinic under the new ownership,
819the owner is subject to a fine of $5,000.
820     (6)  EXPIRATION.-This section expires January 1, 2016.
821     Section 5.  Paragraph (f) is added to subsection (1) of
822section 458.327, Florida Statutes, to read:
823     458.327  Penalty for violations.-
824     (1)  Each of the following acts constitutes a felony of the
825third degree, punishable as provided in s. 775.082, s. 775.083,
826or s. 775.084:
827     (f)  Dispensing a controlled substance listed in Schedule
828II or Schedule III in violation of s. 465.0276.
829     Section 6.  Paragraph (rr) is added to subsection (1) of
830section 458.331, Florida Statutes, to read:
831     458.331  Grounds for disciplinary action; action by the
832board and department.-
833     (1)  The following acts constitute grounds for denial of a
834license or disciplinary action, as specified in s. 456.072(2):
835     (rr)  Dispensing a controlled substance listed in Schedule
836II or Schedule III in violation of s. 465.0276.
837     Section 7.  Section 459.0137, Florida Statutes, is amended
838to read:
839     459.0137  Pain-management clinics.-
840     (1)  REGISTRATION.-
841     (a)1.  As used in this section, the term:
842     a.  "Chronic nonmalignant pain" means pain unrelated to
843cancer or rheumatoid arthritis which persists beyond the usual
844course of disease or the injury that is the cause of the pain or
845more than 90 days after surgery.
846     b.  "Pain-management clinic" or "clinic" means any publicly
847or privately owned facility:
848     (I)  That advertises in any medium for any type of pain-
849management services; or
850     (II)  Where in any month a majority of patients are
851prescribed opioids, benzodiazepines, barbiturates, or
852carisoprodol for the treatment of chronic nonmalignant pain. All
853privately owned pain-management clinics, facilities, or offices,
854hereinafter referred to as "clinics," which advertise in any
855medium for any type of pain-management services, or employ an
856osteopathic physician who is primarily engaged in the treatment
857of pain by prescribing or dispensing controlled substance
858medications,
859     2.  Each pain-management clinic must register with the
860department unless:
861     a.1.  That clinic is licensed as a facility pursuant to
862chapter 395;
863     b.2.  The majority of the physicians who provide services
864in the clinic primarily provide surgical services;
865     c.3.  The clinic is owned by a publicly held corporation
866whose shares are traded on a national exchange or on the over-
867the-counter market and whose total assets at the end of the
868corporation's most recent fiscal quarter exceeded $50 million;
869     d.4.  The clinic is affiliated with an accredited medical
870school at which training is provided for medical students,
871residents, or fellows;
872     e.5.  The clinic does not prescribe or dispense controlled
873substances for the treatment of pain; or
874     f.6.  The clinic is owned by a corporate entity exempt from
875federal taxation under 26 U.S.C. s. 501(c)(3);.
876     g.  The clinic is wholly owned and operated by one or more
877board-certified anesthesiologists, physiatrists, or
878neurologists; or
879     h.  The clinic is wholly owned and operated by one or more
880board-certified medical specialists who have also completed
881fellowships in pain medicine approved by the Accreditation
882Council for Graduate Medical Education or the American
883Osteopathic Association, or who are also board-certified in pain
884medicine by a board approved by the American Board of Medical
885Specialties or the American Osteopathic Association and perform
886interventional pain procedures of the type routinely billed
887using surgical codes.
888     (b)  Each clinic location shall be registered separately
889regardless of whether the clinic is operated under the same
890business name or management as another clinic.
891     (c)  As a part of registration, a clinic must designate an
892osteopathic physician who is responsible for complying with all
893requirements related to registration and operation of the clinic
894in compliance with this section. Within 10 days after
895termination of a designated osteopathic physician, the clinic
896must notify the department of the identity of another designated
897physician for that clinic. The designated physician shall have a
898full, active, and unencumbered license under chapter 458 or this
899chapter and shall practice at the clinic location for which the
900physician has assumed responsibility. Failing to have a licensed
901designated osteopathic physician practicing at the location of
902the registered clinic may be the basis for a summary suspension
903of the clinic registration certificate as described in s.
904456.073(8) for a license or s. 120.60(6).
905     (d)  The department shall deny registration to any clinic
906that is not fully owned by a physician licensed under chapter
907458 or this chapter or a group of physicians, each of whom is
908licensed under chapter 458 or this chapter; or that is not a
909health care clinic licensed under part X of chapter 400.
910     (e)  The department shall deny registration to any pain-
911management clinic owned by or with any contractual or employment
912relationship with a physician:
913     1.  Whose Drug Enforcement Administration number has ever
914been revoked.
915     2.  Whose application for a license to prescribe, dispense,
916or administer a controlled substance has been denied by any
917jurisdiction.
918     3.  Who has been convicted of or pleaded guilty or nolo
919contendere to, regardless of adjudication, an offense that
920constitutes a felony for receipt of illicit and diverted drugs,
921including a controlled substance listed in Schedule I, Schedule
922II, Schedule III, Schedule IV, or Schedule V of s. 893.03, in
923this state, any other state, or the United States.
924     (f)  If the department finds that a pain-management clinic
925does not meet the requirement of paragraph (d) or is owned,
926directly or indirectly, by a person meeting any criteria listed
927in paragraph (e), the department shall revoke the certificate of
928registration previously issued by the department. As determined
929by rule, the department may grant an exemption to denying a
930registration or revoking a previously issued registration if
931more than 10 years have elapsed since adjudication. As used in
932this subsection, the term "convicted" includes an adjudication
933of guilt following a plea of guilty or nolo contendere or the
934forfeiture of a bond when charged with a crime.
935     (g)  The department may revoke the clinic's certificate of
936registration and prohibit all physicians associated with that
937pain-management clinic from practicing at that clinic location
938based upon an annual inspection and evaluation of the factors
939described in subsection (3).
940     (h)  If the registration of a pain-management clinic is
941revoked or suspended, the designated physician of the pain-
942management clinic, the owner or lessor of the pain-management
943clinic property, the manager, and the proprietor shall cease to
944operate the facility as a pain-management clinic as of the
945effective date of the suspension or revocation.
946     (i)  If a pain-management clinic registration is revoked or
947suspended, the designated physician of the pain-management
948clinic, the owner or lessor of the clinic property, the manager,
949or the proprietor is responsible for removing all signs and
950symbols identifying the premises as a pain-management clinic.
951     (j)  Upon the effective date of the suspension or
952revocation, the designated physician of the pain-management
953clinic shall advise the department of the disposition of the
954medicinal drugs located on the premises. The disposition is
955subject to the supervision and approval of the department.
956Medicinal drugs that are purchased or held by a pain-management
957clinic that is not registered may be deemed adulterated pursuant
958to s. 499.006.
959     (k)  If the clinic's registration is revoked, any person
960named in the registration documents of the pain-management
961clinic, including persons owning or operating the pain-
962management clinic, may not, as an individual or as a part of a
963group, make application for a permit to operate a pain-
964management clinic for 5 years after the date the registration is
965revoked.
966     (l)  The period of suspension for the registration of a
967pain-management clinic shall be prescribed by the department,
968but may not exceed 1 year.
969     (m)  A change of ownership of a registered pain-management
970clinic requires submission of a new registration application.
971     (2)  PHYSICIAN RESPONSIBILITIES.-These responsibilities
972apply to any osteopathic physician who provides professional
973services in a pain-management clinic that is required to be
974registered in subsection (1).
975     (a)  An osteopathic physician may not practice medicine in
976a pain-management clinic, as described in subsection (4), if:
977     1.  the pain-management clinic is not registered with the
978department as required by this section.; or
979     2.  Effective July 1, 2012, the physician has not
980successfully completed a pain-medicine fellowship that is
981accredited by the Accreditation Council for Graduate Medical
982Education or the American Osteopathic Association or a pain-
983medicine residency that is accredited by the Accreditation
984Council for Graduate Medical Education or the American
985Osteopathic Association or, prior to July 1, 2012, does not
986comply with rules adopted by the board.
987
988Any physician who qualifies to practice medicine in a pain-
989management clinic pursuant to rules adopted by the Board of
990Osteopathic Medicine as of July 1, 2012, may continue to
991practice medicine in a pain-management clinic as long as the
992physician continues to meet the qualifications set forth in the
993board rules. An osteopathic physician who violates this
994paragraph is subject to disciplinary action by his or her
995appropriate medical regulatory board.
996     (b)  A person may not dispense any medication, including a
997controlled substance, on the premises of a registered pain-
998management clinic unless he or she is a physician licensed under
999this chapter or chapter 458.
1000     (c)  An osteopathic physician, a physician assistant, or an
1001advanced registered nurse practitioner must perform a physical
1002examination of a patient on the same day that the physician he
1003or she dispenses or prescribes a controlled substance to a
1004patient at a pain-management clinic. If the osteopathic
1005physician prescribes or dispenses more than a 72-hour dose of
1006controlled substances for the treatment of chronic nonmalignant
1007pain, the osteopathic physician must document in the patient's
1008record the reason for prescribing or dispensing that quantity.
1009     (d)  An osteopathic physician authorized to prescribe
1010controlled substances who practices at a pain-management clinic
1011is responsible for maintaining the control and security of his
1012or her prescription blanks and any other method used for
1013prescribing controlled substance pain medication. The
1014osteopathic physician shall comply with the requirements for
1015counterfeit-resistant prescription blanks in s. 893.065 and the
1016rules adopted pursuant to that section. The osteopathic
1017physician shall notify, in writing, the department within 24
1018hours following any theft or loss of a prescription blank or
1019breach of any other method for prescribing pain medication.
1020     (e)  The designated osteopathic physician of a pain-
1021management clinic shall notify the applicable board in writing
1022of the date of termination of employment within 10 days after
1023terminating his or her employment with a pain-management clinic
1024that is required to be registered under subsection (1). Each
1025osteopathic physician practicing in a pain-management clinic
1026shall advise the Board of Osteopathic Medicine in writing within
102710 calendar days after beginning or ending his or her practice
1028at a pain-management clinic.
1029     (f)  Each osteopathic physician practicing in a pain-
1030management clinic is responsible for ensuring compliance with
1031the following facility and physical operations requirements:
1032     1.  A pain-management clinic shall be located and operated
1033at a publicly accessible fixed location and must:
1034     a.  Display a sign that can be viewed by the public that
1035contains the clinic name, hours of operations, and a street
1036address.
1037     b.  Have a publicly listed telephone number and a dedicated
1038phone number to send and receive faxes with a fax machine that
1039shall be operational 24 hours per day.
1040     c.  Have emergency lighting and communications.
1041     d.  Have a reception and waiting area.
1042     e.  Provide a restroom.
1043     f.  Have an administrative area including room for storage
1044of medical records, supplies and equipment.
1045     g.  Have private patient examination rooms.
1046     h.  Have treatment rooms, if treatment is being provided to
1047the patient.
1048     i.  Display a printed sign located in a conspicuous place
1049in the waiting room viewable by the public with the name and
1050contact information of the clinic-designated physician and the
1051names of all physicians practicing in the clinic.
1052     j.  If the clinic stores and dispenses prescription drug,
1053comply with ss. 499.0121 and 893.07.
1054     2.  This section does not excuse an osteopathic physician
1055from providing any treatment or performing any medical duty
1056without the proper equipment and materials as required by the
1057standard of care. This section does not supersede the level of
1058care, skill, and treatment recognized in general law related to
1059healthcare licensure.
1060     (g)  Each osteopathic physician practicing in a pain-
1061management clinic is responsible for ensuring compliance with
1062the following infection control requirements.
1063     1.  The clinic shall maintain equipment and supplies to
1064support infection prevention and control activities.
1065     2.  The clinic shall identify infection risks based on the
1066following:
1067     a.  Geographic location, community, and population served.
1068     b.  The care, treatment and services it provides.
1069     c.  An analysis of its infection surveillance and control
1070data.
1071     3.  The clinic shall maintain written infection prevention
1072policies and procedures that address the following:
1073     a.  Prioritized risks.
1074     b.  Limiting unprotected exposure to pathogen.
1075     c.  Limiting the transmission of infections associated with
1076procedures performed in the clinic.
1077     d.  Limiting the transmission of infections associated with
1078the clinic's use of medical equipment, devices, and supplies.
1079     (h)  Each osteopathic physician practicing in a pain-
1080management clinic is responsible for ensuring compliance with
1081the following health and safety requirements.
1082     1.  The clinic, including its grounds, buildings,
1083furniture, appliances, and equipment shall be structurally
1084sound, in good repair, clean, and free from health and safety
1085hazards.
1086     2.  The clinic shall have evacuation procedures in the
1087event of an emergency which shall include provisions for the
1088evacuation of disabled patients and employees.
1089     3.  The clinic shall have a written facility-specific
1090disaster plan which sets forth actions that will be taken in the
1091event of clinic closure due to unforeseen disasters and shall
1092include provisions for the protection of medical records and any
1093controlled substances.
1094     4.  Each clinic shall have at least one employee on the
1095premises during patient care hours who is certified in Basic
1096Life Support and is trained in reacting to accidents and medical
1097emergencies until emergency medical personnel arrive.
1098     (i)  The designated physician is responsible for ensuring
1099compliance with the following quality assurance requirements.
1100Each pain-management clinic shall have an ongoing quality
1101assurance program that objectively and systematically monitors
1102and evaluates the quality and appropriateness of patient care,
1103evaluates methods to improve patient care, identifies and
1104corrects deficiencies within the facility, alerts the designated
1105physician to identify and resolve recurring problems, and
1106provides for opportunities to improve the facility's performance
1107and to enhance and improve the quality of care provided to the
1108public. The designated physician shall establish a quality
1109assurance program that includes the following components:
1110     1.  The identification, investigation, and analysis of the
1111frequency and causes of adverse incidents to patients.
1112     2.  The identification of trends or patterns of incidents.
1113     3.  The development of measures to correct, reduce,
1114minimize, or eliminate the risk of adverse incidents to
1115patients.
1116     4.  The documentation of these functions and periodic
1117review no less than quarterly of such information by the
1118designated physician.
1119     (j)  The designated physician is responsible for ensuring
1120compliance with the following data collection and reporting
1121requirements:
1122     1.  The designated physician for each pain-management
1123clinic shall report all adverse incidents to the department as
1124set forth in s. 459.026.
1125     2.  The designated physician shall also report to the Board
1126of Osteopathic Medicine, in writing, on a quarterly basis, the
1127following data:
1128     a.  Number of new and repeat patients seen and treated at
1129the clinic who are prescribed controlled substance medications
1130for the treatment of chronic, nonmalignant pain.
1131     b.  The number of patients discharged due to drug abuse.
1132     c.  The number of patients discharged due to drug
1133diversion.
1134     d.  The number of patients treated at the pain clinic whose
1135domicile is located somewhere other than in this state. A
1136patient's domicile is the patient's fixed or permanent home to
1137which he or she intends to return even though he or she may
1138temporarily reside elsewhere.
1139     (3)  INSPECTION.-
1140     (a)  The department shall inspect the pain-management
1141clinic annually, including a review of the patient records, to
1142ensure that it complies with this section and the rules of the
1143Board of Osteopathic Medicine adopted pursuant to subsection (4)
1144unless the clinic is accredited by a nationally recognized
1145accrediting agency approved by the Board of Osteopathic
1146Medicine.
1147     (b)  During an onsite inspection, the department shall make
1148a reasonable attempt to discuss each violation with the owner or
1149designated physician of the pain-management clinic before
1150issuing a formal written notification.
1151     (c)  Any action taken to correct a violation shall be
1152documented in writing by the owner or designated physician of
1153the pain-management clinic and verified by followup visits by
1154departmental personnel.
1155     (4)  RULEMAKING.-
1156     (a)  The department shall adopt rules necessary to
1157administer the registration and inspection of pain-management
1158clinics which establish the specific requirements, procedures,
1159forms, and fees.
1160     (b)  The department shall adopt a rule defining what
1161constitutes practice by a designated osteopathic physician at
1162the clinic location for which the physician has assumed
1163responsibility, as set forth in subsection (1). When adopting
1164the rule, the department shall consider the number of clinic
1165employees, the location of the pain-management clinic, the
1166clinic's hours of operation, and the amount of controlled
1167substances being prescribed, dispensed, or administered at the
1168pain-management clinic.
1169     (c)  The Board of Osteopathic Medicine shall adopt a rule
1170establishing the maximum number of prescriptions for Schedule II
1171or Schedule III controlled substances or the controlled
1172substance Alprazolam which may be written at any one registered
1173pain-management clinic during any 24-hour period.
1174     (b)(d)  The Board of Osteopathic Medicine shall adopt rules
1175setting forth standards of practice for osteopathic physicians
1176practicing in privately owned pain-management clinics that
1177primarily engage in the treatment of pain by prescribing or
1178dispensing controlled substance medications. Such rules shall
1179address, but need not be limited to:
1180     1.  Facility operations;
1181     2.  Physical operations;
1182     3.  Infection control requirements;
1183     4.  Health and safety requirements;
1184     5.  Quality assurance requirements;
1185     6.  Patient records;
1186     7.  training requirements for all facility health care
1187practitioners who are not regulated by another board.;
1188     8.  Inspections; and
1189     9.  Data collection and reporting requirements.
1190
1191An osteopathic physician is primarily engaged in the treatment
1192of pain by prescribing or dispensing controlled substance
1193medications when the majority of the patients seen are
1194prescribed or dispensed controlled substance medications for the
1195treatment of chronic nonmalignant pain. Chronic nonmalignant
1196pain is pain unrelated to cancer which persists beyond the usual
1197course of the disease or the injury that is the cause of the
1198pain or more than 90 days after surgery.
1199     (5)  PENALTIES; ENFORCEMENT.-
1200     (a)  The department may impose an administrative fine on
1201the clinic of up to $5,000 per violation for violating the
1202requirements of this section; chapter 499, the Florida Drug and
1203Cosmetic Act; 21 U.S.C. ss. 301-392, the Federal Food, Drug, and
1204Cosmetic Act; 21 U.S.C. ss. 821 et seq., the Comprehensive Drug
1205Abuse Prevention and Control Act; chapter 893, the Florida
1206Comprehensive Drug Abuse Prevention and Control Act; or the
1207rules of the department. In determining whether a penalty is to
1208be imposed, and in fixing the amount of the fine, the department
1209shall consider the following factors:
1210     1.  The gravity of the violation, including the probability
1211that death or serious physical or emotional harm to a patient
1212has resulted, or could have resulted, from the pain-management
1213clinic's actions or the actions of the osteopathic physician,
1214the severity of the action or potential harm, and the extent to
1215which the provisions of the applicable laws or rules were
1216violated.
1217     2.  What actions, if any, the owner or designated
1218osteopathic physician took to correct the violations.
1219     3.  Whether there were any previous violations at the pain-
1220management clinic.
1221     4.  The financial benefits that the pain-management clinic
1222derived from committing or continuing to commit the violation.
1223     (b)  Each day a violation continues after the date fixed
1224for termination of the violation as ordered by the department
1225constitutes an additional, separate, and distinct violation.
1226     (c)  The department may impose a fine and, in the case of
1227an owner-operated pain-management clinic, revoke or deny a pain-
1228management clinic's registration, if the clinic's designated
1229osteopathic physician knowingly and intentionally misrepresents
1230actions taken to correct a violation.
1231     (d)  An owner or designated osteopathic physician of a
1232pain-management clinic who concurrently operates an unregistered
1233pain-management clinic is subject to an administrative fine of
1234$5,000 per day.
1235     (e)  If the owner of a pain-management clinic that requires
1236registration fails to apply to register the clinic upon a change
1237of ownership and operates the clinic under the new ownership,
1238the owner is subject to a fine of $5,000.
1239     (6)  EXPIRATION.-This section expires January 1, 2016.
1240     Section 8.  Paragraph (f) is added to subsection (1) of
1241section 459.013, Florida Statutes, to read:
1242     459.013  Penalty for violations.-
1243     (1)  Each of the following acts constitutes a felony of the
1244third degree, punishable as provided in s. 775.082, s. 775.083,
1245or s. 775.084:
1246     (f)  Dispensing a controlled substance listed in Schedule
1247II or Schedule III in violation of s. 465.0276.
1248     Section 9.  Paragraph (tt) is added to subsection (1) of
1249section 459.015, Florida Statutes, to read:
1250     459.015  Grounds for disciplinary action; action by the
1251board and department.-
1252     (1)  The following acts constitute grounds for denial of a
1253license or disciplinary action, as specified in s. 456.072(2):
1254     (tt)  Dispensing a controlled substance listed in Schedule
1255II or Schedule III in violation of s. 465.0276.
1256     Section 10.  Subsections (3) and (4) of section 465.015,
1257Florida Statutes, are renumbered as subsections (4) and (5),
1258respectively, a new subsection (3) is added to that section, and
1259present subsection (4) of that section is amended, to read:
1260     465.015  Violations and penalties.-
1261     (3)  It is unlawful for any pharmacist to knowingly fail to
1262report to the sheriff or other chief law enforcement agency of
1263the county where the pharmacy is located within 24 hours after
1264learning of any instance in which a person obtained or attempted
1265to obtain a controlled substance, as defined in s. 893.02, or at
1266the close of business on the next business day, whichever is
1267later, that the pharmacist knew or believed was obtained or
1268attempted to be obtained through fraudulent methods or
1269representations from the pharmacy at which the pharmacist
1270practiced pharmacy. Any pharmacist who knowingly fails to make
1271such a report within 24 hours after learning of the fraud or
1272attempted fraud or at the close of business on the next business
1273day, whichever is later, commits a misdemeanor of the first
1274degree, punishable as provided in s. 775.082 or s. 775.083. A
1275sufficient report of the fraudulent obtaining of controlled
1276substances under this subsection must contain, at a minimum, a
1277copy of the prescription used or presented and a narrative,
1278including all information available to the pharmacist concerning
1279the transaction, such as the name and telephone number of the
1280prescribing physician; the name, description, and any personal
1281identification information pertaining to the person who
1282presented the prescription; and all other material information,
1283such as photographic or video surveillance of the transaction.
1284     (5)(4)  Any person who violates any provision of subsection
1285(1) or subsection (4) (3) commits a misdemeanor of the first
1286degree, punishable as provided in s. 775.082 or s. 775.083. Any
1287person who violates any provision of subsection (2) commits a
1288felony of the third degree, punishable as provided in s.
1289775.082, s. 775.083, or s. 775.084. In any warrant, information,
1290or indictment, it shall not be necessary to negative any
1291exceptions, and the burden of any exception shall be upon the
1292defendant.
1293     Section 11.  Paragraph (t) is added to subsection (1) of
1294section 465.016, Florida Statutes, to read:
1295     465.016  Disciplinary actions.-
1296     (1)  The following acts constitute grounds for denial of a
1297license or disciplinary action, as specified in s. 456.072(2):
1298     (t)  Committing an error or omission during the performance
1299of a specific function of prescription drug processing, which
1300includes, for purposes of this paragraph:
1301     1.  Receiving, interpreting, or clarifying a prescription.
1302     2.  Entering prescription data into the pharmacy's record.
1303     3.  Verifying or validating a prescription.
1304     4.  Performing pharmaceutical calculations.
1305     5.  Performing prospective drug review as defined by the
1306board.
1307     6.  Obtaining refill and substitution authorizations.
1308     7.  Interpreting or acting on clinical data.
1309     8.  Performing therapeutic interventions.
1310     9.  Providing drug information concerning a patient's
1311prescription.
1312     10.  Providing patient counseling.
1313     Section 12.  Section 465.018, Florida Statutes, is amended
1314to read:
1315     465.018  Community pharmacies; permits.-
1316     (1)  Any person desiring a permit to operate a community
1317pharmacy shall apply to the department.
1318     (2)  If the board office certifies that the application
1319complies with the laws of the state and the rules of the board
1320governing pharmacies, the department shall issue the permit. No
1321permit shall be issued unless a licensed pharmacist is
1322designated as the prescription department manager responsible
1323for maintaining all drug records, providing for the security of
1324the prescription department, and following such other rules as
1325relate to the practice of the profession of pharmacy. The
1326permittee and the newly designated prescription department
1327manager shall notify the department within 10 days of any change
1328in prescription department manager.
1329     (3)  The board may suspend or revoke the permit of, or may
1330refuse to issue a permit to:
1331     (a)  Any person who has been disciplined or who has
1332abandoned a permit or allowed a permit to become void after
1333written notice that disciplinary proceedings had been or would
1334be brought against the permit;
1335     (b)  Any person who is an officer, director, or person
1336interested directly or indirectly in a person or business entity
1337that has had a permit disciplined or abandoned or become void
1338after written notice that disciplinary proceedings had been or
1339would be brought against the permit; or
1340     (c)  Any person who is or has been an officer of a business
1341entity, or who was interested directly or indirectly in a
1342business entity, the permit of which has been disciplined or
1343abandoned or become null and void after written notice that
1344disciplinary proceedings had been or would be brought against
1345the permit.
1346     (4)  In addition to any other remedies provided by law, the
1347board may deny the application or suspend or revoke the license,
1348registration, or certificate of any entity regulated or licensed
1349by it if the applicant, licensee, registrant, or licenseholder,
1350or, in the case of a corporation, partnership, or other business
1351entity, if any officer, director, agent, or managing employee of
1352that business entity or any affiliated person, partner, or
1353shareholder having an ownership interest equal to 5 percent or
1354greater in that business entity, has failed to pay all
1355outstanding fines, liens, or overpayments assessed by final
1356order of the department, unless a repayment plan is approved by
1357the department, or has failed to comply with any repayment plan.
1358     (5)  In reviewing any application requesting a change of
1359ownership or a change of licensee or registrant, the transferor
1360shall, before board approval of the change, repay or make
1361arrangements to repay any amounts owed to the department. If the
1362transferor fails to repay or make arrangements to repay the
1363amounts owed to the department, the license or registration may
1364not be issued to the transferee until repayment or until
1365arrangements for repayment are made.
1366     (6)  Passing an onsite inspection is a prerequisite to the
1367issuance of an initial permit or a permit for a change of
1368location. The department must make the inspection within 90 days
1369before issuance of the permit.
1370     (7)  Community pharmacies that dispense controlled
1371substances must maintain a record of all controlled substance
1372dispensing consistent with the requirements of s. 893.07 and
1373must make the record available to the department and law
1374enforcement agencies upon request.
1375     Section 13.  In order to dispense controlled substances
1376listed in Schedule II or Schedule III, as provided in s. 893.03,
1377Florida Statutes, on or after July 1, 2012, a community pharmacy
1378permittee must be permitted pursuant to chapter 465, Florida
1379Statutes, as amended by this act and any rules adopted
1380thereunder.
1381     Section 14.  Section 465.022, Florida Statutes, is amended
1382to read:
1383     465.022  Pharmacies; general requirements; fees.-
1384     (1)  The board shall adopt rules pursuant to ss. 120.536(1)
1385and 120.54 to implement the provisions of this chapter. Such
1386rules shall include, but shall not be limited to, rules relating
1387to:
1388     (a)  General drug safety measures.
1389     (b)  Minimum standards for the physical facilities of
1390pharmacies.
1391     (c)  Safe storage of floor-stock drugs.
1392     (d)  Functions of a pharmacist in an institutional
1393pharmacy, consistent with the size and scope of the pharmacy.
1394     (e)  Procedures for the safe storage and handling of
1395radioactive drugs.
1396     (f)  Procedures for the distribution and disposition of
1397medicinal drugs distributed pursuant to s. 499.028.
1398     (g)  Procedures for transfer of prescription files and
1399medicinal drugs upon the change of ownership or closing of a
1400pharmacy.
1401     (h)  Minimum equipment which a pharmacy shall at all times
1402possess to fill prescriptions properly.
1403     (i)  Procedures for the dispensing of controlled substances
1404to minimize dispensing based on fraudulent representations or
1405invalid practitioner-patient relationships.
1406     (2)  A pharmacy permit may shall be issued only to a
1407natural person who is at least 18 years of age, to a partnership
1408comprised of at least one natural person and all of whose
1409partners are all at least 18 years of age, to a governmental
1410agency, or to a business entity that is properly registered with
1411the Secretary of State, if required by law, and has been issued
1412a federal employer tax identification number corporation that is
1413registered pursuant to chapter 607 or chapter 617 whose
1414officers, directors, and shareholders are at least 18 years of
1415age. Permits issued to business entities may be issued only to
1416entities whose affiliated persons, members, partners, officers,
1417directors, and agents, including persons required to be
1418fingerprinted under subsection (3), are not less than 18 years
1419of age.
1420     (3)  Any person or business entity, partnership, or
1421corporation before engaging in the operation of a pharmacy,
1422shall file with the board a sworn application on forms provided
1423by the department. For purposes of this section, any person
1424required to provide fingerprints under this subsection is an
1425affiliated person within the meaning of s. 465.023(1).
1426     (a)  An application for a pharmacy permit must include a
1427set of fingerprints from each person having an ownership
1428interest of 5 percent or greater and from any person who,
1429directly or indirectly, manages, oversees, or controls the
1430operation of the applicant, including officers and members of
1431the board of directors of an applicant that is a corporation.
1432The applicant must provide payment in the application for the
1433cost of state and national criminal history records checks.
1434     1.  For corporations having more than $100 million of
1435business taxable assets in this state, in lieu of these
1436fingerprint requirements, the department shall require the
1437prescription department manager or consultant pharmacist of
1438record who will be directly involved in the management and
1439operation of the pharmacy to submit a set of fingerprints.
1440     2.  A representative of a corporation described in
1441subparagraph 1. satisfies the requirement to submit a set of his
1442or her fingerprints if the fingerprints are on file with the
1443department or the Agency for Health Care Administration, meet
1444the fingerprint specifications for submission by the Department
1445of Law Enforcement, and are available to the department.
1446     (b)  The department shall annually submit the fingerprints
1447provided by the applicant to the Department of Law Enforcement
1448for a state criminal history records check. The Department of
1449Law Enforcement shall annually forward the fingerprints to the
1450Federal Bureau of Investigation for a national criminal history
1451records check. The department shall report the results of annual
1452criminal history records checks to wholesale distributors
1453permitted under chapter 499 for the purposes of s. 499.0121(15).
1454     (c)  In addition to those documents required by the
1455department or board, each applicant having any financial or
1456ownership interest greater than 5 percent in the subject of the
1457application must submit a signed affidavit disclosing any
1458financial or ownership interest greater than 5 percent in any
1459pharmacy permitted in the past 5 years, which pharmacy has
1460closed voluntarily or involuntarily, has filed a voluntary
1461relinquishment of its permit, has had its permit suspended or
1462revoked, or has had an injunction issued against it by a
1463regulatory agency. The affidavit must disclose the reason such
1464entity was closed, whether voluntary or involuntary.
1465     (4)  An application for a pharmacy permit must include the
1466applicant's written policies and procedures for preventing
1467controlled substance dispensing based on fraudulent
1468representations or invalid practitioner-patient relationships.
1469The board must review the policies and procedures and may deny a
1470permit if the policies and procedures are insufficient to
1471reasonably prevent such dispensing. The department may phase in
1472the submission and review of policies and procedures over one
147318-month period beginning July 1, 2011.
1474     (5)(4)  The department or board shall deny an application
1475for a pharmacy permit if the applicant or an affiliated person,
1476partner, officer, director, or prescription department manager
1477or consultant pharmacist of record of the applicant has:
1478     (a)  Has obtained a permit by misrepresentation or fraud.;
1479     (b)  Has attempted to procure, or has procured, a permit
1480for any other person by making, or causing to be made, any false
1481representation.;
1482     (c)  Has been convicted of, or entered a plea of guilty or
1483nolo contendere to, regardless of adjudication, a crime in any
1484jurisdiction which relates to the practice of, or the ability to
1485practice, the profession of pharmacy.;
1486     (d)  Has been convicted of, or entered a plea of guilty or
1487nolo contendere to, regardless of adjudication, a crime in any
1488jurisdiction which relates to health care fraud.;
1489     (e)  Has been convicted of, or entered a plea of guilty or
1490nolo contendere to, regardless of adjudication, a felony under
1491chapter 409, chapter 817, or chapter 893, or a similar felony
1492offense committed in another state or jurisdiction, since July
14931, 2009. Been terminated for cause, pursuant to the appeals
1494procedures established by the state or Federal Government, from
1495any state Medicaid program or the federal Medicare program,
1496unless the applicant has been in good standing with a state
1497Medicaid program or the federal Medicare program for the most
1498recent 5 years and the termination occurred at least 20 years
1499ago; or
1500     (f)  Has been convicted of, or entered a plea of guilty or
1501nolo contendere to, regardless of adjudication, a felony under
150221 U.S.C. ss. 801-970 or 42 U.S.C. ss. 1395-1396 since July 1,
15032009.
1504     (g)  Has been terminated for cause from the Florida
1505Medicaid program pursuant to s. 409.913, unless the applicant
1506has been in good standing with the Florida Medicaid program for
1507the most recent 5-year period.
1508     (h)  Has been terminated for cause, pursuant to the appeals
1509procedures established by the state, from any other state
1510Medicaid program, unless the applicant has been in good standing
1511with a state Medicaid program for the most recent 5-year period
1512and the termination occurred at least 20 years before the date
1513of the application.
1514     (i)  Is currently listed on the United States Department of
1515Health and Human Services Office of Inspector General's List of
1516Excluded Individuals and Entities.
1517     (j)(f)  Has dispensed any medicinal drug based upon a
1518communication that purports to be a prescription as defined by
1519s. 465.003(14) or s. 893.02 when the pharmacist knows or has
1520reason to believe that the purported prescription is not based
1521upon a valid practitioner-patient relationship that includes a
1522documented patient evaluation, including history and a physical
1523examination adequate to establish the diagnosis for which any
1524drug is prescribed and any other requirement established by
1525board rule under chapter 458, chapter 459, chapter 461, chapter
1526463, chapter 464, or chapter 466.
1527
1528For felonies in which the defendant entered a plea of guilty or
1529nolo contendere in an agreement with the court to enter a
1530pretrial intervention or drug diversion program, the department
1531shall deny the application if upon final resolution of the case
1532the licensee has failed to successfully complete the program.
1533     (6)  The department or board may deny an application for a
1534pharmacy permit if the applicant or an affiliated person,
1535partner, officer, director, or prescription department manager
1536or consultant pharmacist of record of the applicant has violated
1537or failed to comply with any provision of this chapter; chapter
1538499, the Florida Drug and Cosmetic Act; chapter 893; 21 U.S.C.
1539ss. 301-392, the Federal Food, Drug, and Cosmetic Act; 21 U.S.C.
1540ss. 821 et seq., the Comprehensive Drug Abuse Prevention and
1541Control Act; or any rules or regulations promulgated thereunder
1542unless the violation or noncompliance is technical.
1543     (7)(5)  After the application has been filed with the board
1544and the permit fee provided in this section has been received,
1545the board shall cause the application to be fully investigated,
1546both as to the qualifications of the applicant and the
1547prescription department manager or consultant pharmacist
1548designated to be in charge and as to the premises and location
1549described in the application.
1550     (8)(6)  The Board of Pharmacy shall have the authority to
1551determine whether a bona fide transfer of ownership is present
1552and that the sale of a pharmacy is not being accomplished for
1553the purpose of avoiding an administrative prosecution.
1554     (9)(7)  Upon the completion of the investigation of an
1555application, the board shall approve or deny disapprove the
1556application. If approved, the permit shall be issued by the
1557department.
1558     (10)(8)  A permittee must notify the department, on a form
1559approved by the board, within 10 days after any change in
1560prescription department manager or consultant pharmacist of
1561record. Permits issued by the department are not transferable.
1562     (11)  A permittee must notify the department of the
1563identity of the prescription department manager within 10 days
1564after employment. The prescription department manager must
1565comply with the following requirements:
1566     (a)  The prescription department manager of a permittee
1567must obtain and maintain all drug records required by any state
1568or federal law to be obtained by a pharmacy, including, but not
1569limited to, records required by or under this chapter, chapter
1570499, or chapter 893. The prescription department manager must
1571ensure the permittee's compliance with all rules adopted under
1572those chapters as they relate to the practice of the profession
1573of pharmacy and the sale of prescription drugs.
1574     (b)  The prescription department manager must ensure the
1575security of the prescription department. The prescription
1576department manager must notify the board of any theft or
1577significant loss of any controlled substances within 1 business
1578day after discovery of the theft or loss.
1579     (c)  A registered pharmacist may not serve as the
1580prescription department manager in more than one location unless
1581approved by the board.
1582     (12)  The board shall adopt rules that require the keeping
1583of such records of prescription drugs as are necessary for the
1584protection of public health, safety, and welfare.
1585     (a)  All required records documenting prescription drug
1586distributions shall be readily available or immediately
1587retrievable during an inspection by the department.
1588     (b)  The records must be maintained for 4 years after the
1589creation or receipt of the record, whichever is later.
1590     (13)  Permits issued by the department are not
1591transferable.
1592     (14)(9)  The board shall set the fees for the following:
1593     (a)  Initial permit fee not to exceed $250.
1594     (b)  Biennial permit renewal not to exceed $250.
1595     (c)  Delinquent fee not to exceed $100.
1596     (d)  Change of location fee not to exceed $100.
1597     Section 15.  Paragraph (b) of subsection (1) of section
1598465.0276, Florida Statutes, is amended to read:
1599     465.0276  Dispensing practitioner.-
1600     (1)
1601     (b)1.  A practitioner registered under this section may not
1602dispense more than a 72-hour supply of a controlled substance
1603listed in Schedule II or, Schedule III as provided in, Schedule
1604IV, or Schedule V of s. 893.03 for any patient who pays for the
1605medication by cash, check, or credit card in a clinic registered
1606under s. 458.3265 or s. 459.0137. A practitioner who violates
1607this paragraph commits a felony of the third degree, punishable
1608as provided in s. 775.082, s. 775.083, or s. 775.084. This
1609paragraph does not apply to:
1610     1.  A practitioner who dispenses medication to a workers'
1611compensation patient pursuant to chapter 440.
1612     2.  A practitioner who dispenses medication to an insured
1613patient who pays by cash, check, or credit card to cover any
1614applicable copayment or deductible.
1615     1.3.  The dispensing of complimentary packages of medicinal
1616drugs which are labeled as a drug sample or complimentary drug
1617as defined in s. 499.028 to the practitioner's own patients in
1618the regular course of her or his practice without the payment of
1619a fee or remuneration of any kind, whether direct or indirect,
1620as provided in subsection (5).
1621     2.  The dispensing of controlled substances in the health
1622care system of the Department of Corrections.
1623     3.  The dispensing of a controlled substance listed in
1624Schedule II or Schedule III in connection with the performance
1625of a surgical procedure. The amount dispensed pursuant to the
1626subparagraph may not exceed a 14-day supply. This exception does
1627not allow for the dispensing of a controlled substance listed in
1628Schedule II or Schedule III more than 14 days after the
1629performance of the surgical procedure. For purposes of this
1630subparagraph, the term "surgical procedure" means any procedure
1631in any setting which involves, or reasonably should involve:
1632     a.  Perioperative medication and sedation that allows the
1633patient to tolerate unpleasant procedures while maintaining
1634adequate cardiorespiratory function and the ability to respond
1635purposefully to verbal or tactile stimulation and makes intra-
1636and post-operative monitoring necessary; or
1637     b.  The use of general anesthesia or major conduction
1638anesthesia and preoperative sedation.
1639     4.  The dispensing of a controlled substance listed in
1640Schedule II or Schedule III pursuant to an approved clinical
1641trial. For purposes of this subparagraph, the term "approved
1642clinical trial" means a clinical research study or clinical
1643investigation that, in whole or in part, is state or federally
1644funded or is conducted under an investigational new drug
1645application that is reviewed by the United States Food and Drug
1646Administration.
1647     5.  The dispensing of methadone in a facility licensed
1648under s. 397.427 where medication-assisted treatment for opiate
1649addiction is provided.
1650     6.  The dispensing of a controlled substance listed in
1651Schedule II or Schedule III to a patient of a facility licensed
1652under part IV of chapter 400.
1653     Section 16.  Subsections (16) and (17) are added to section
1654499.0051, Florida Statutes, to read:
1655     499.0051  Criminal acts.-
1656     (16)  FALSE REPORT.-Any person who submits a report
1657required by s. 499.0121(14) knowing that such report contains a
1658false statement commits a felony of the third degree, punishable
1659as provided in s. 775.082, s. 775.083, or s. 775.084.
1660     (17)  CONTROLLED SUBSTANCE DISTRIBUTION.-Any person who
1661engages in the wholesale distribution of prescription drugs and
1662who knowingly distributes controlled substances in violation of
1663s. 499.0121(14) commits a felony of the third degree, punishable
1664as provided in s. 775.082, s. 775.083, or s. 775.084. In
1665addition to any other fine that may be imposed, a person
1666convicted of such a violation may be sentenced to pay a fine
1667that does not exceed three times the gross monetary value gained
1668from such violation, plus court costs and the reasonable costs
1669of investigation and prosecution.
1670     Section 17.  Paragraph (o) is added to subsection (8) of
1671section 499.012, Florida Statutes, to read:
1672     499.012  Permit application requirements.-
1673     (8)  An application for a permit or to renew a permit for a
1674prescription drug wholesale distributor or an out-of-state
1675prescription drug wholesale distributor submitted to the
1676department must include:
1677     (o)  Documentation of the credentialing policies and
1678procedures required by s. 499.0121(14).
1679     Section 18.  Subsections (14) and (15) are added to section
1680499.0121, Florida Statutes, to read:
1681     499.0121  Storage and handling of prescription drugs;
1682recordkeeping.-The department shall adopt rules to implement
1683this section as necessary to protect the public health, safety,
1684and welfare. Such rules shall include, but not be limited to,
1685requirements for the storage and handling of prescription drugs
1686and for the establishment and maintenance of prescription drug
1687distribution records.
1688     (14)  DISTRIBUTION REPORTING.-Each prescription drug
1689wholesale distributor, out-of-state prescription drug wholesale
1690distributor, retail pharmacy drug wholesale distributor,
1691manufacturer, or repackager that engages in the wholesale
1692distribution of controlled substances as defined in s. 893.02
1693shall submit a report to the department of its receipts and
1694distributions of controlled substances listed in Schedule II,
1695Schedule III, Schedule IV, or Schedule V as provided in s.
1696893.03. Wholesale distributor facilities located within this
1697state shall report all transactions involving controlled
1698substances, and wholesale distributor facilities located outside
1699this state shall report all distributions to entities located in
1700this state. If the prescription drug wholesale distributor, out-
1701of-state prescription drug wholesale distributor, retail
1702pharmacy drug wholesale distributor, manufacturer, or repackager
1703does not have any controlled substance distributions for the
1704month, a report shall be sent indicating that no distributions
1705occurred in the period. The report shall be submitted monthly by
1706the 20th of the next month, in the electronic format used for
1707controlled substance reporting to the Automation of Reports and
1708Consolidated Orders System division of the federal Drug
1709Enforcement Administration. Submission of electronic data must
1710be made in a secured Internet environment that allows for manual
1711or automated transmission. Upon successful transmission, an
1712acknowledgement page must be displayed to confirm receipt. The
1713report must contain the following information:
1714     (a)  The federal Drug Enforcement Administration
1715registration number of the wholesale distributing location.
1716     (b)  The federal Drug Enforcement Administration
1717registration number of the entity to which the drugs are
1718distributed or from which the drugs are received.
1719     (c)  The transaction code that indicates the type of
1720transaction.
1721     (d)  The National Drug Code identifier of the product and
1722the quantity distributed or received.
1723     (e)  The Drug Enforcement Administration Form 222 number or
1724Controlled Substance Ordering System Identifier on all schedule
1725II transactions.
1726     (f)  The date of the transaction.
1727
1728The department must share the reported data with the Department
1729of Law Enforcement and local law enforcement agencies upon
1730request and must monitor purchasing to identify purchasing
1731levels that are inconsistent with the purchasing entity's
1732clinical needs. The Department of Law Enforcement shall
1733investigate purchases at levels that are inconsistent with the
1734purchasing entity's clinical needs to determine whether
1735violations of chapter 893 have occurred.
1736     (15)  DUE DILIGENCE OF PURCHASERS.-
1737     (a)  Each prescription drug wholesale distributor, out-of-
1738state prescription drug wholesale distributor, and retail
1739pharmacy drug wholesale distributor must establish and maintain
1740policies and procedures to credential physicians licensed under
1741chapter 458, chapter 459, chapter 461, or chapter 466 and
1742pharmacies that purchase or otherwise receive from the wholesale
1743distributor controlled substances listed in Schedule II or
1744Schedule III as provided in s. 893.03. The prescription drug
1745wholesale distributor, out-of-state prescription drug wholesale
1746distributor, or retail pharmacy drug wholesale distributor shall
1747maintain records of such credentialing and make the records
1748available to the department upon request. Such credentialing
1749must, at a minimum, include:
1750     1.  A determination of the clinical nature of the receiving
1751entity, including any specialty practice area.
1752     2.  A review of the receiving entity's history of Schedule
1753II and Schedule III controlled substance purchasing from the
1754wholesale distributor.
1755     3.  A determination that the receiving entity's Schedule II
1756and Schedule III controlled substance purchasing history, if
1757any, is consistent with and reasonable for that entity's
1758clinical business needs.
1759     (b)  A wholesale distributor must take reasonable measures
1760to identify its customers, understand the normal and expected
1761transactions conducted by those customers, and identify those
1762transactions that are suspicious in nature. A wholesale
1763distributor must establish internal policies and procedures for
1764identifying suspicious orders and preventing suspicious
1765transactions. A wholesale distributor must assess orders for
1766greater than 5,000 unit doses of any one controlled substance in
1767any one month to determine whether the purchase is reasonable.
1768In making such assessments, a wholesale distributor may consider
1769the purchasing entity's clinical business needs, location, and
1770population served, in addition to other factors established in
1771the distributor's policies and procedures. A wholesale
1772distributor must report to the department any regulated
1773transaction involving an extraordinary quantity of a listed
1774chemical, an uncommon method of payment or delivery, or any
1775other circumstance that the regulated person believes may
1776indicate that the listed chemical will be used in violation of
1777the law. The wholesale distributor shall maintain records that
1778document the report submitted to the department in compliance
1779with this paragraph.
1780     (c)  A wholesale distributor may not distribute controlled
1781substances to an entity if any criminal history record check for
1782any person associated with that entity shows that the person has
1783been convicted of, or entered a plea of guilty or nolo
1784contendere to, regardless of adjudication, a crime in any
1785jurisdiction related to controlled substances, the practice of
1786pharmacy, or the dispensing of medicinal drugs.
1787     (d)  The department shall assess national data from the
1788Automation of Reports and Consolidated Orders System of the
1789federal Drug Enforcement Administration, excluding Florida data,
1790and identify the national average of grams of hydrocodone,
1791morphine, oxycodone, and methadone distributed per pharmacy
1792registrant per month in the most recent year for which data is
1793available. The department shall report the average for each of
1794these drugs to the Governor, the President of the Senate, and
1795the Speaker of the House of Representatives by November 1, 2011.
1796The department shall assess the data reported pursuant to
1797subsection (14) and identify the statewide average of grams of
1798each benzodiazapine distributed per community pharmacy per
1799month. The department shall report the average for each
1800benzodiazapine to the Governor, the President of the Senate, and
1801the Speaker of the House of Representatives by November 1, 2011.
1802     Section 19.  Paragraphs (o) and (p) are added to subsection
1803(1) of section 499.05, Florida Statutes, to read:
1804     499.05  Rules.-
1805     (1)  The department shall adopt rules to implement and
1806enforce this part with respect to:
1807     (o)  Wholesale distributor reporting requirements of s.
1808499.0121(14).
1809     (p)  Wholesale distributor credentialing and distribution
1810requirements of s. 499.0121(15).
1811     Section 20.  Subsections (8) and (9) are added to section
1812499.067, Florida Statutes, to read:
1813     499.067  Denial, suspension, or revocation of permit,
1814certification, or registration.-
1815     (8)  The department may deny, suspend, or revoke a permit
1816if it finds the permittee has not complied with the
1817credentialing requirements of s. 499.0121(15).
1818     (9)  The department may deny, suspend, or revoke a permit
1819if it finds the permittee has not complied with the reporting
1820requirements of, or knowingly made a false statement in a report
1821required by, s. 499.0121(14).
1822     Section 21.  Paragraph (f) is added to subsection (3) of
1823section 810.02, Florida Statutes, to read:
1824     810.02  Burglary.-
1825     (3)  Burglary is a felony of the second degree, punishable
1826as provided in s. 775.082, s. 775.083, or s. 775.084, if, in the
1827course of committing the offense, the offender does not make an
1828assault or battery and is not and does not become armed with a
1829dangerous weapon or explosive, and the offender enters or
1830remains in a:
1831     (f)  Structure or conveyance when the offense intended to
1832be committed therein is theft of a controlled substance as
1833defined in s. 893.02. Notwithstanding any other law, separate
1834judgments and sentences for burglary with the intent to commit
1835theft of a controlled substance under this paragraph and for any
1836applicable possession of controlled substance offense under s.
1837893.13 or trafficking in controlled substance offense under s.
1838893.135 may be imposed when all such offenses involve the same
1839amount or amounts of a controlled substance.
1840
1841However, if the burglary is committed within a county that is
1842subject to a state of emergency declared by the Governor under
1843chapter 252 after the declaration of emergency is made and the
1844perpetration of the burglary is facilitated by conditions
1845arising from the emergency, the burglary is a felony of the
1846first degree, punishable as provided in s. 775.082, s. 775.083,
1847or s. 775.084. As used in this subsection, the term "conditions
1848arising from the emergency" means civil unrest, power outages,
1849curfews, voluntary or mandatory evacuations, or a reduction in
1850the presence of or response time for first responders or
1851homeland security personnel. A person arrested for committing a
1852burglary within a county that is subject to such a state of
1853emergency may not be released until the person appears before a
1854committing magistrate at a first appearance hearing. For
1855purposes of sentencing under chapter 921, a felony offense that
1856is reclassified under this subsection is ranked one level above
1857the ranking under s. 921.0022 or s. 921.0023 of the offense
1858committed.
1859     Section 22.  Paragraph (c) of subsection (2) of section
1860812.014, Florida Statutes, is amended to read:
1861     812.014  Theft.-
1862     (2)
1863     (c)  It is grand theft of the third degree and a felony of
1864the third degree, punishable as provided in s. 775.082, s.
1865775.083, or s. 775.084, if the property stolen is:
1866     1.  Valued at $300 or more, but less than $5,000.
1867     2.  Valued at $5,000 or more, but less than $10,000.
1868     3.  Valued at $10,000 or more, but less than $20,000.
1869     4.  A will, codicil, or other testamentary instrument.
1870     5.  A firearm.
1871     6.  A motor vehicle, except as provided in paragraph (a).
1872     7.  Any commercially farmed animal, including any animal of
1873the equine, bovine, or swine class, or other grazing animal, and
1874including aquaculture species raised at a certified aquaculture
1875facility. If the property stolen is aquaculture species raised
1876at a certified aquaculture facility, then a $10,000 fine shall
1877be imposed.
1878     8.  Any fire extinguisher.
1879     9.  Any amount of citrus fruit consisting of 2,000 or more
1880individual pieces of fruit.
1881     10.  Taken from a designated construction site identified
1882by the posting of a sign as provided for in s. 810.09(2)(d).
1883     11.  Any stop sign.
1884     12.  Anhydrous ammonia.
1885     13.  Any amount of a controlled substance as defined in s.
1886893.02. Notwithstanding any other law, separate judgments and
1887sentences for theft of a controlled substance under this
1888subparagraph and for any applicable possession of controlled
1889substance offense under s. 893.13 or trafficking in controlled
1890substance offense under s. 893.135 may be imposed when all such
1891offenses involve the same amount or amounts of a controlled
1892substance.
1893
1894However, if the property is stolen within a county that is
1895subject to a state of emergency declared by the Governor under
1896chapter 252, the property is stolen after the declaration of
1897emergency is made, and the perpetration of the theft is
1898facilitated by conditions arising from the emergency, the
1899offender commits a felony of the second degree, punishable as
1900provided in s. 775.082, s. 775.083, or s. 775.084, if the
1901property is valued at $5,000 or more, but less than $10,000, as
1902provided under subparagraph 2., or if the property is valued at
1903$10,000 or more, but less than $20,000, as provided under
1904subparagraph 3. As used in this paragraph, the term "conditions
1905arising from the emergency" means civil unrest, power outages,
1906curfews, voluntary or mandatory evacuations, or a reduction in
1907the presence of or the response time for first responders or
1908homeland security personnel. For purposes of sentencing under
1909chapter 921, a felony offense that is reclassified under this
1910paragraph is ranked one level above the ranking under s.
1911921.0022 or s. 921.0023 of the offense committed.
1912     Section 23.  Section 893.055, Florida Statutes, is amended
1913to read:
1914     893.055  Prescription drug monitoring program.-
1915     (1)  As used in this section, the term:
1916     (a)  "Patient advisory report" or "advisory report" means
1917information provided by the department in writing, or as
1918determined by the department, to a prescriber, dispenser,
1919pharmacy, or patient concerning the dispensing of controlled
1920substances. All advisory reports are for informational purposes
1921only and impose no obligations of any nature or any legal duty
1922on a prescriber, dispenser, pharmacy, or patient. The patient
1923advisory report shall be provided in accordance with s.
1924893.13(7)(a)8. The advisory reports issued by the department are
1925not subject to discovery or introduction into evidence in any
1926civil or administrative action against a prescriber, dispenser,
1927pharmacy, or patient arising out of matters that are the subject
1928of the report; and a person who participates in preparing,
1929reviewing, issuing, or any other activity related to an advisory
1930report may not be permitted or required to testify in any such
1931civil action as to any findings, recommendations, evaluations,
1932opinions, or other actions taken in connection with preparing,
1933reviewing, or issuing such a report.
1934     (b)  "Controlled substance" means a controlled substance
1935listed in Schedule II, Schedule III, or Schedule IV in s.
1936893.03.
1937     (c)  "Dispenser" means a pharmacy, dispensing pharmacist,
1938or dispensing health care practitioner.
1939     (d)  "Health care practitioner" or "practitioner" means any
1940practitioner who is subject to licensure or regulation by the
1941department under chapter 458, chapter 459, chapter 461, chapter
1942462, chapter 464, chapter 465, or chapter 466.
1943     (e)  "Health care regulatory board" means any board for a
1944practitioner or health care practitioner who is licensed or
1945regulated by the department.
1946     (f)  "Pharmacy" means any pharmacy that is subject to
1947licensure or regulation by the department under chapter 465 and
1948that dispenses or delivers a controlled substance to an
1949individual or address in this state.
1950     (g)  "Prescriber" means a prescribing physician,
1951prescribing practitioner, or other prescribing health care
1952practitioner.
1953     (h)  "Active investigation" means an investigation that is
1954being conducted with a reasonable, good faith belief that it
1955could lead to the filing of administrative, civil, or criminal
1956proceedings, or that is ongoing and continuing and for which
1957there is a reasonable, good faith anticipation of securing an
1958arrest or prosecution in the foreseeable future.
1959     (i)  "Law enforcement agency" means the Department of Law
1960Enforcement, a Florida sheriff's department, a Florida police
1961department, or a law enforcement agency of the Federal
1962Government which enforces the laws of this state or the United
1963States relating to controlled substances, and which its agents
1964and officers are empowered by law to conduct criminal
1965investigations and make arrests.
1966     (j)  "Program manager" means an employee of or a person
1967contracted by the Department of Health who is designated to
1968ensure the integrity of the prescription drug monitoring program
1969in accordance with the requirements established in paragraphs
1970(2)(a) and (b).
1971     (2)(a)  By December 1, 2010, The department shall design
1972and establish a comprehensive electronic database system that
1973has controlled substance prescriptions provided to it and that
1974provides prescription information to a patient's health care
1975practitioner and pharmacist who inform the department that they
1976wish the patient advisory report provided to them. Otherwise,
1977the patient advisory report will not be sent to the
1978practitioner, pharmacy, or pharmacist. The system shall be
1979designed to provide information regarding dispensed
1980prescriptions of controlled substances and shall not infringe
1981upon the legitimate prescribing or dispensing of a controlled
1982substance by a prescriber or dispenser acting in good faith and
1983in the course of professional practice. The system shall be
1984consistent with standards of the American Society for Automation
1985in Pharmacy (ASAP). The electronic system shall also comply with
1986the Health Insurance Portability and Accountability Act (HIPAA)
1987as it pertains to protected health information (PHI), electronic
1988protected health information (EPHI), and all other relevant
1989state and federal privacy and security laws and regulations. The
1990department shall establish policies and procedures as
1991appropriate regarding the reporting, accessing the database,
1992evaluation, management, development, implementation, operation,
1993storage, and security of information within the system. The
1994reporting of prescribed controlled substances shall include a
1995dispensing transaction with a dispenser pursuant to chapter 465
1996or through a dispensing transaction to an individual or address
1997in this state with a pharmacy that is not located in this state
1998but that is otherwise subject to the jurisdiction of this state
1999as to that dispensing transaction. The reporting of patient
2000advisory reports refers only to reports to patients, pharmacies,
2001and practitioners. Separate reports that contain patient
2002prescription history information and that are not patient
2003advisory reports are provided to persons and entities as
2004authorized in paragraphs (7)(b) and (c) and s. 893.0551.
2005     (b)  The department, when the direct support organization
2006receives at least $20,000 in nonstate moneys or the state
2007receives at least $20,000 in federal grants for the prescription
2008drug monitoring program, and in consultation with the Office of
2009Drug Control, shall adopt rules as necessary concerning the
2010reporting, accessing the database, evaluation, management,
2011development, implementation, operation, security, and storage of
2012information within the system, including rules for when patient
2013advisory reports are provided to pharmacies and prescribers. The
2014patient advisory report shall be provided in accordance with s.
2015893.13(7)(a)8. The department shall work with the professional
2016health care licensure boards, such as the Board of Medicine, the
2017Board of Osteopathic Medicine, and the Board of Pharmacy; other
2018appropriate organizations, such as the Florida Pharmacy
2019Association, the Office of Drug Control, the Florida Medical
2020Association, the Florida Retail Federation, and the Florida
2021Osteopathic Medical Association, including those relating to
2022pain management; and the Attorney General, the Department of Law
2023Enforcement, and the Agency for Health Care Administration to
2024develop rules appropriate for the prescription drug monitoring
2025program.
2026     (c)  All dispensers and prescribers subject to these
2027reporting requirements shall be notified by the department of
2028the implementation date for such reporting requirements.
2029     (d)  The program manager shall work with professional
2030health care licensure boards and the stakeholders listed in
2031paragraph (b) to develop rules appropriate for identifying
2032indicators of controlled substance abuse.
2033     (3)  The pharmacy dispensing the controlled substance and
2034each prescriber who directly dispenses a controlled substance
2035shall submit to the electronic system, by a procedure and in a
2036format established by the department and consistent with an
2037ASAP-approved format, the following information for inclusion in
2038the database:
2039     (a)  The name of the prescribing practitioner, the
2040practitioner's federal Drug Enforcement Administration
2041registration number, the practitioner's National Provider
2042Identification (NPI) or other appropriate identifier, and the
2043date of the prescription.
2044     (b)  The date the prescription was filled and the method of
2045payment, such as cash by an individual, insurance coverage
2046through a third party, or Medicaid payment. This paragraph does
2047not authorize the department to include individual credit card
2048numbers or other account numbers in the database.
2049     (c)  The full name, address, and date of birth of the
2050person for whom the prescription was written.
2051     (d)  The name, national drug code, quantity, and strength
2052of the controlled substance dispensed.
2053     (e)  The full name, federal Drug Enforcement Administration
2054registration number, and address of the pharmacy or other
2055location from which the controlled substance was dispensed. If
2056the controlled substance was dispensed by a practitioner other
2057than a pharmacist, the practitioner's full name, federal Drug
2058Enforcement Administration registration number, and address.
2059     (f)  The name of the pharmacy or practitioner, other than a
2060pharmacist, dispensing the controlled substance and the
2061practitioner's National Provider Identification (NPI).
2062     (g)  Other appropriate identifying information as
2063determined by department rule.
2064     (4)  Each time a controlled substance is dispensed to an
2065individual, the controlled substance shall be reported to the
2066department through the system as soon thereafter as possible,
2067but not more than 7 15 days after the date the controlled
2068substance is dispensed unless an extension is approved by the
2069department for cause as determined by rule. A dispenser must
2070meet the reporting requirements of this section by providing the
2071required information concerning each controlled substance that
2072it dispensed in a department-approved, secure methodology and
2073format. Such approved formats may include, but are not limited
2074to, submission via the Internet, on a disc, or by use of regular
2075mail.
2076     (5)  When the following acts of dispensing or administering
2077occur, the following are exempt from reporting under this
2078section for that specific act of dispensing or administration:
2079     (a)  A health care practitioner when administering a
2080controlled substance directly to a patient if the amount of the
2081controlled substance is adequate to treat the patient during
2082that particular treatment session.
2083     (b)  A pharmacist or health care practitioner when
2084administering a controlled substance to a patient or resident
2085receiving care as a patient at a hospital, nursing home,
2086ambulatory surgical center, hospice, or intermediate care
2087facility for the developmentally disabled which is licensed in
2088this state.
2089     (c)  A practitioner when administering or dispensing a
2090controlled substance in the health care system of the Department
2091of Corrections.
2092     (d)  A practitioner when administering a controlled
2093substance in the emergency room of a licensed hospital.
2094     (e)  A health care practitioner when administering or
2095dispensing a controlled substance to a person under the age of
209616.
2097     (f)  A pharmacist or a dispensing practitioner when
2098dispensing a one-time, 72-hour emergency resupply of a
2099controlled substance to a patient.
2100     (6)  The department may establish when to suspend and when
2101to resume reporting information during a state-declared or
2102nationally declared disaster.
2103     (7)(a)  A practitioner or pharmacist who dispenses a
2104controlled substance must submit the information required by
2105this section in an electronic or other method in an ASAP format
2106approved by rule of the department unless otherwise provided in
2107this section. The cost to the dispenser in submitting the
2108information required by this section may not be material or
2109extraordinary. Costs not considered to be material or
2110extraordinary include, but are not limited to, regular postage,
2111electronic media, regular electronic mail, and facsimile
2112charges.
2113     (b)  A pharmacy, prescriber, or dispenser shall have access
2114to information in the prescription drug monitoring program's
2115database which relates to a patient of that pharmacy,
2116prescriber, or dispenser in a manner established by the
2117department as needed for the purpose of reviewing the patient's
2118controlled substance prescription history. Other access to the
2119program's database shall be limited to the program's manager and
2120to the designated program and support staff, who may act only at
2121the direction of the program manager or, in the absence of the
2122program manager, as authorized. Access by the program manager or
2123such designated staff is for prescription drug program
2124management only or for management of the program's database and
2125its system in support of the requirements of this section and in
2126furtherance of the prescription drug monitoring program.
2127Confidential and exempt information in the database shall be
2128released only as provided in paragraph (c) and s. 893.0551. The
2129program manager, designated program and support staff who act at
2130the direction of or in the absence of the program manager, and
2131any individual who has similar access regarding the management
2132of the database from the prescription drug monitoring program
2133shall submit fingerprints to the department for background
2134screening. The department shall follow the procedure established
2135by the Department of Law Enforcement to request a statewide
2136criminal history record check and to request that the Department
2137of Law Enforcement forward the fingerprints to the Federal
2138Bureau of Investigation for a national criminal history record
2139check.
2140     (c)  The following entities shall not be allowed direct
2141access to information in the prescription drug monitoring
2142program database but may request from the program manager and,
2143when authorized by the program manager, the program manager's
2144program and support staff, information that is confidential and
2145exempt under s. 893.0551. Prior to release, the request shall be
2146verified as authentic and authorized with the requesting
2147organization by the program manager, the program manager's
2148program and support staff, or as determined in rules by the
2149department as being authentic and as having been authorized by
2150the requesting entity:
2151     1.  The department or its relevant health care regulatory
2152boards responsible for the licensure, regulation, or discipline
2153of practitioners, pharmacists, or other persons who are
2154authorized to prescribe, administer, or dispense controlled
2155substances and who are involved in a specific controlled
2156substance investigation involving a designated person for one or
2157more prescribed controlled substances.
2158     2.  The Attorney General for Medicaid fraud cases involving
2159prescribed controlled substances.
2160     3.  A law enforcement agency during active investigations
2161regarding potential criminal activity, fraud, or theft regarding
2162prescribed controlled substances.
2163     4.  A patient or the legal guardian or designated health
2164care surrogate of an incapacitated patient as described in s.
2165893.0551 who, for the purpose of verifying the accuracy of the
2166database information, submits a written and notarized request
2167that includes the patient's full name, address, and date of
2168birth, and includes the same information if the legal guardian
2169or health care surrogate submits the request. The request shall
2170be validated by the department to verify the identity of the
2171patient and the legal guardian or health care surrogate, if the
2172patient's legal guardian or health care surrogate is the
2173requestor. Such verification is also required for any request to
2174change a patient's prescription history or other information
2175related to his or her information in the electronic database.
2176
2177Information in the database for the electronic prescription drug
2178monitoring system is not discoverable or admissible in any civil
2179or administrative action, except in an investigation and
2180disciplinary proceeding by the department or the appropriate
2181regulatory board.
2182     (d)  The following entities shall not be allowed direct
2183access to information in the prescription drug monitoring
2184program database but may request from the program manager and,
2185when authorized by the program manager, the program manager's
2186program and support staff, information that contains no
2187identifying information of any patient, physician, health care
2188practitioner, prescriber, or dispenser and that is not
2189confidential and exempt:
2190     1.  Department staff for the purpose of calculating
2191performance measures pursuant to subsection (8).
2192     2.  The Program Implementation and Oversight Task Force for
2193its reporting to the Governor, the President of the Senate, and
2194the Speaker of the House of Representatives regarding the
2195prescription drug monitoring program. This subparagraph expires
2196July 1, 2012.
2197     (e)  All transmissions of data required by this section
2198must comply with relevant state and federal privacy and security
2199laws and regulations. However, any authorized agency or person
2200under s. 893.0551 receiving such information as allowed by s.
2201893.0551 may maintain the information received for up to 24
2202months before purging it from his or her records or maintain it
2203for longer than 24 months if the information is pertinent to
2204ongoing health care or an active law enforcement investigation
2205or prosecution.
2206     (f)  The program manager, upon determining a pattern
2207consistent with the rules established under paragraph (2)(d) and
2208having cause to believe a violation of s. 893.13(7)(a)8.,
2209(8)(a), or (8)(b) has occurred, may provide relevant information
2210to the applicable law enforcement agency.
2211     (8)  To assist in fulfilling program responsibilities,
2212performance measures shall be reported annually to the Governor,
2213the President of the Senate, and the Speaker of the House of
2214Representatives by the department each December 1, beginning in
22152011. Data that does not contain patient, physician, health care
2216practitioner, prescriber, or dispenser identifying information
2217may be requested during the year by department employees so that
2218the department may undertake public health care and safety
2219initiatives that take advantage of observed trends. Performance
2220measures may include, but are not limited to, efforts to achieve
2221the following outcomes:
2222     (a)  Reduction of the rate of inappropriate use of
2223prescription drugs through department education and safety
2224efforts.
2225     (b)  Reduction of the quantity of pharmaceutical controlled
2226substances obtained by individuals attempting to engage in fraud
2227and deceit.
2228     (c)  Increased coordination among partners participating in
2229the prescription drug monitoring program.
2230     (d)  Involvement of stakeholders in achieving improved
2231patient health care and safety and reduction of prescription
2232drug abuse and prescription drug diversion.
2233     (9)  Any person who willfully and knowingly fails to report
2234the dispensing of a controlled substance as required by this
2235section commits a misdemeanor of the first degree, punishable as
2236provided in s. 775.082 or s. 775.083.
2237     (10)  All costs incurred by the department in administering
2238the prescription drug monitoring program shall be funded through
2239federal grants or private funding applied for or received by the
2240state. The department may not commit funds for the monitoring
2241program without ensuring funding is available. The prescription
2242drug monitoring program and the implementation thereof are
2243contingent upon receipt of the nonstate funding. The department
2244and state government shall cooperate with the direct-support
2245organization established pursuant to subsection (11) in seeking
2246federal grant funds, other nonstate grant funds, gifts,
2247donations, or other private moneys for the department so long as
2248the costs of doing so are not considered material. Nonmaterial
2249costs for this purpose include, but are not limited to, the
2250costs of mailing and personnel assigned to research or apply for
2251a grant. Notwithstanding the exemptions to competitive-
2252solicitation requirements under s. 287.057(3)(f), the department
2253shall comply with the competitive-solicitation requirements
2254under s. 287.057 for the procurement of any goods or services
2255required by this section. Funds provided, directly or
2256indirectly, by prescription drug manufacturers may not be used
2257to implement the program.
2258     (11)  The Office of Drug Control, in coordination with the
2259department, may establish a direct-support organization that has
2260a board consisting of at least five members to provide
2261assistance, funding, and promotional support for the activities
2262authorized for the prescription drug monitoring program.
2263     (a)  As used in this subsection, the term "direct-support
2264organization" means an organization that is:
2265     1.  A Florida corporation not for profit incorporated under
2266chapter 617, exempted from filing fees, and approved by the
2267Department of State.
2268     2.  Organized and operated to conduct programs and
2269activities; raise funds; request and receive grants, gifts, and
2270bequests of money; acquire, receive, hold, and invest, in its
2271own name, securities, funds, objects of value, or other
2272property, either real or personal; and make expenditures or
2273provide funding to or for the direct or indirect benefit of the
2274department in the furtherance of the prescription drug
2275monitoring program.
2276     (b)  The direct-support organization is not considered a
2277lobbying firm within the meaning of s. 11.045.
2278     (c)  The State Surgeon General director of the Office of
2279Drug Control shall appoint a board of directors for the direct-
2280support organization. The director may designate employees of
2281the Office of Drug Control, state employees other than state
2282employees from the department, and any other nonstate employees
2283as appropriate, to serve on the board. Members of the board
2284shall serve at the pleasure of the director of the State Surgeon
2285General Office of Drug Control. The State Surgeon General
2286director shall provide guidance to members of the board to
2287ensure that moneys received by the direct-support organization
2288are not received from inappropriate sources. Inappropriate
2289sources include, but are not limited to, donors, grantors,
2290persons, or organizations that may monetarily or substantively
2291benefit from the purchase of goods or services by the department
2292in furtherance of the prescription drug monitoring program.
2293     (d)  The direct-support organization shall operate under
2294written contract with the department Office of Drug Control. The
2295contract must, at a minimum, provide for:
2296     1.  Approval of the articles of incorporation and bylaws of
2297the direct-support organization by the department Office of Drug
2298Control.
2299     2.  Submission of an annual budget for the approval of the
2300department Office of Drug Control.
2301     3.  Certification by the department Office of Drug Control
2302in consultation with the department that the direct-support
2303organization is complying with the terms of the contract in a
2304manner consistent with and in furtherance of the goals and
2305purposes of the prescription drug monitoring program and in the
2306best interests of the state. Such certification must be made
2307annually and reported in the official minutes of a meeting of
2308the direct-support organization.
2309     4.  The reversion, without penalty, to the Office of Drug
2310Control, or to the state if the Office of Drug Control ceases to
2311exist, of all moneys and property held in trust by the direct-
2312support organization for the benefit of the prescription drug
2313monitoring program if the direct-support organization ceases to
2314exist or if the contract is terminated.
2315     5.  The fiscal year of the direct-support organization,
2316which must begin July 1 of each year and end June 30 of the
2317following year.
2318     6.  The disclosure of the material provisions of the
2319contract to donors of gifts, contributions, or bequests,
2320including such disclosure on all promotional and fundraising
2321publications, and an explanation to such donors of the
2322distinction between the department Office of Drug Control and
2323the direct-support organization.
2324     7.  The direct-support organization's collecting,
2325expending, and providing of funds to the department for the
2326development, implementation, and operation of the prescription
2327drug monitoring program as described in this section and s. 2,
2328chapter 2009-198, Laws of Florida, as long as the task force is
2329authorized. The direct-support organization may collect and
2330expend funds to be used for the functions of the direct-support
2331organization's board of directors, as necessary and approved by
2332the department director of the Office of Drug Control. In
2333addition, the direct-support organization may collect and
2334provide funding to the department in furtherance of the
2335prescription drug monitoring program by:
2336     a.  Establishing and administering the prescription drug
2337monitoring program's electronic database, including hardware and
2338software.
2339     b.  Conducting studies on the efficiency and effectiveness
2340of the program to include feasibility studies as described in
2341subsection (13).
2342     c.  Providing funds for future enhancements of the program
2343within the intent of this section.
2344     d.  Providing user training of the prescription drug
2345monitoring program, including distribution of materials to
2346promote public awareness and education and conducting workshops
2347or other meetings, for health care practitioners, pharmacists,
2348and others as appropriate.
2349     e.  Providing funds for travel expenses.
2350     f.  Providing funds for administrative costs, including
2351personnel, audits, facilities, and equipment.
2352     g.  Fulfilling all other requirements necessary to
2353implement and operate the program as outlined in this section.
2354     (e)  The activities of the direct-support organization must
2355be consistent with the goals and mission of the department
2356Office of Drug Control, as determined by the office in
2357consultation with the department, and in the best interests of
2358the state. The direct-support organization must obtain a written
2359approval from the department director of the Office of Drug
2360Control for any activities in support of the prescription drug
2361monitoring program before undertaking those activities.
2362     (f)  The Office of Drug Control, in consultation with the
2363department, may permit, without charge, appropriate use of
2364administrative services, property, and facilities of the Office
2365of Drug Control and the department by the direct-support
2366organization, subject to this section. The use must be directly
2367in keeping with the approved purposes of the direct-support
2368organization and may not be made at times or places that would
2369unreasonably interfere with opportunities for the public to use
2370such facilities for established purposes. Any moneys received
2371from rentals of facilities and properties managed by the Office
2372of Drug Control and the department may be held by the Office of
2373Drug Control or in a separate depository account in the name of
2374the direct-support organization and subject to the provisions of
2375the letter of agreement with the department Office of Drug
2376Control. The letter of agreement must provide that any funds
2377held in the separate depository account in the name of the
2378direct-support organization must revert to the department Office
2379of Drug Control if the direct-support organization is no longer
2380approved by the department Office of Drug Control to operate in
2381the best interests of the state.
2382     (g)  The Office of Drug Control, in consultation with the
2383department, may adopt rules under s. 120.54 to govern the use of
2384administrative services, property, or facilities of the
2385department or office by the direct-support organization.
2386     (h)  The department Office of Drug Control may not permit
2387the use of any administrative services, property, or facilities
2388of the state by a direct-support organization if that
2389organization does not provide equal membership and employment
2390opportunities to all persons regardless of race, color,
2391religion, gender, age, or national origin.
2392     (i)  The direct-support organization shall provide for an
2393independent annual financial audit in accordance with s.
2394215.981. Copies of the audit shall be provided to the department
2395Office of Drug Control and the Office of Policy and Budget in
2396the Executive Office of the Governor.
2397     (j)  The direct-support organization may not exercise any
2398power under s. 617.0302(12) or (16).
2399     (12)  A prescriber or dispenser may have access to the
2400information under this section which relates to a patient of
2401that prescriber or dispenser as needed for the purpose of
2402reviewing the patient's controlled drug prescription history. A
2403prescriber or dispenser acting in good faith is immune from any
2404civil, criminal, or administrative liability that might
2405otherwise be incurred or imposed for receiving or using
2406information from the prescription drug monitoring program. This
2407subsection does not create a private cause of action, and a
2408person may not recover damages against a prescriber or dispenser
2409authorized to access information under this subsection for
2410accessing or failing to access such information.
2411     (13)  To the extent that funding is provided for such
2412purpose through federal or private grants or gifts and other
2413types of available moneys, the department, in collaboration with
2414the Office of Drug Control, shall study the feasibility of
2415enhancing the prescription drug monitoring program for the
2416purposes of public health initiatives and statistical reporting
2417that respects the privacy of the patient, the prescriber, and
2418the dispenser. Such a study shall be conducted in order to
2419further improve the quality of health care services and safety
2420by improving the prescribing and dispensing practices for
2421prescription drugs, taking advantage of advances in technology,
2422reducing duplicative prescriptions and the overprescribing of
2423prescription drugs, and reducing drug abuse. The requirements of
2424the National All Schedules Prescription Electronic Reporting
2425(NASPER) Act are authorized in order to apply for federal NASPER
2426funding. In addition, the direct-support organization shall
2427provide funding for the department, in collaboration with the
2428Office of Drug Control, to conduct training for health care
2429practitioners and other appropriate persons in using the
2430monitoring program to support the program enhancements.
2431     (14)  A pharmacist, pharmacy, or dispensing health care
2432practitioner or his or her agent, before releasing a controlled
2433substance to any person not known to such dispenser, shall
2434require the person purchasing, receiving, or otherwise acquiring
2435the controlled substance to present valid photographic
2436identification or other verification of his or her identity to
2437the dispenser. If the person does not have proper
2438identification, the dispenser may verify the validity of the
2439prescription and the identity of the patient with the prescriber
2440or his or her authorized agent. Verification of health plan
2441eligibility through a real-time inquiry or adjudication system
2442will be considered to be proper identification. This subsection
2443does not apply in an institutional setting or to a long-term
2444care facility, including, but not limited to, an assisted living
2445facility or a hospital to which patients are admitted. As used
2446in this subsection, the term "proper identification" means an
2447identification that is issued by a state or the Federal
2448Government containing the person's photograph, printed name, and
2449signature or a document considered acceptable under 8 C.F.R. s.
2450274a.2(b)(1)(v)(A) and (B).
2451     (15)  The Agency for Health Care Administration shall
2452continue the promotion of electronic prescribing by health care
2453practitioners, health care facilities, and pharmacies under s.
2454408.0611.
2455     (16)  By October 1, 2010, The department shall adopt rules
2456pursuant to ss. 120.536(1) and 120.54 to administer the
2457provisions of this section, which shall include as necessary the
2458reporting, accessing, evaluation, management, development,
2459implementation, operation, and storage of information within the
2460monitoring program's system.
2461     Section 24.  Section 893.065, Florida Statutes, is amended
2462to read:
2463     893.065  Counterfeit-resistant prescription blanks for
2464controlled substances listed in Schedule II, Schedule III, or
2465Schedule IV.-The Department of Health shall develop and adopt by
2466rule the form and content for a counterfeit-resistant
2467prescription blank which must may be used by practitioners for
2468the purpose of prescribing a controlled substance listed in
2469Schedule II, Schedule III, or Schedule IV, or Schedule V
2470pursuant to s. 456.42. The Department of Health may require the
2471prescription blanks to be printed on distinctive, watermarked
2472paper and to bear the preprinted name, address, and category of
2473professional licensure of the practitioner and that
2474practitioner's federal registry number for controlled
2475substances. The prescription blanks may not be transferred.
2476     Section 25.  Subsections (4) and (5) of section 893.07,
2477Florida Statutes, are amended to read:
2478     893.07  Records.-
2479     (4)  Every inventory or record required by this chapter,
2480including prescription records, shall be maintained:
2481     (a)  Separately from all other records of the registrant,
2482or
2483     (b)  Alternatively, in the case of Schedule III, IV, or V
2484controlled substances, in such form that information required by
2485this chapter is readily retrievable from the ordinary business
2486records of the registrant.
2487
2488In either case, the records described in this subsection shall
2489be kept and made available for a period of at least 2 years for
2490inspection and copying by law enforcement officers whose duty it
2491is to enforce the laws of this state relating to controlled
2492substances. Law enforcement officers are not required to obtain
2493a subpoena, court order, or search warrant in order to obtain
2494access to or copies of such records.
2495     (5)  Each person described in subsection (1) shall:
2496     (a)  Maintain a record which shall contain a detailed list
2497of controlled substances lost, destroyed, or stolen, if any; the
2498kind and quantity of such controlled substances; and the date of
2499the discovering of such loss, destruction, or theft.
2500     (b)  In the event of the discovery of the theft or
2501significant loss of controlled substances, report such theft or
2502significant loss to the sheriff of that county within 24 hours
2503after discovery. A person who fails to report a theft or
2504significant loss of a substance listed in s. 893.03(3), (4), or
2505(5) within 24 hours after discovery as required in this
2506paragraph commits a misdemeanor of the second degree, punishable
2507as provided in s. 775.082 or s. 775.083. A person who fails to
2508report a theft or significant loss of a substance listed in s.
2509893.03(2) within 24 hours after discovery as required in this
2510paragraph commits a misdemeanor of the first degree, punishable
2511as provided in s. 775.082 or s. 775.083.
2512     Section 26.  Subsection (7) of section 893.13, Florida
2513Statutes, is amended to read:
2514     893.13  Prohibited acts; penalties.-
2515     (7)(a)  A It is unlawful for any person may not:
2516     1.  To Distribute or dispense a controlled substance in
2517violation of this chapter.
2518     2.  To Refuse or fail to make, keep, or furnish any record,
2519notification, order form, statement, invoice, or information
2520required under this chapter.
2521     3.  To Refuse an entry into any premises for any inspection
2522or to refuse to allow any inspection authorized by this chapter.
2523     4.  To Distribute a controlled substance named or described
2524in s. 893.03(1) or (2) except pursuant to an order form as
2525required by s. 893.06.
2526     5.  To Keep or maintain any store, shop, warehouse,
2527dwelling, building, vehicle, boat, aircraft, or other structure
2528or place which is resorted to by persons using controlled
2529substances in violation of this chapter for the purpose of using
2530these substances, or which is used for keeping or selling them
2531in violation of this chapter.
2532     6.  To Use to his or her own personal advantage, or to
2533reveal, any information obtained in enforcement of this chapter
2534except in a prosecution or administrative hearing for a
2535violation of this chapter.
2536     7.  To Possess a prescription form which has not been
2537completed and signed by the practitioner whose name appears
2538printed thereon, unless the person is that practitioner, is an
2539agent or employee of that practitioner, is a pharmacist, or is a
2540supplier of prescription forms who is authorized by that
2541practitioner to possess those forms.
2542     8.  To Withhold information from a practitioner from whom
2543the person seeks to obtain a controlled substance or a
2544prescription for a controlled substance that the person making
2545the request has received a controlled substance or a
2546prescription for a controlled substance of like therapeutic use
2547from another practitioner within the previous 30 days.
2548     9.  To Acquire or obtain, or attempt to acquire or obtain,
2549possession of a controlled substance by misrepresentation,
2550fraud, forgery, deception, or subterfuge.
2551     10.  To Affix any false or forged label to a package or
2552receptacle containing a controlled substance.
2553     11.  To Furnish false or fraudulent material information
2554in, or omit any material information from, any report or other
2555document required to be kept or filed under this chapter or any
2556record required to be kept by this chapter.
2557     12.  To Store anhydrous ammonia in a container that is not
2558approved by the United States Department of Transportation to
2559hold anhydrous ammonia or is not constructed in accordance with
2560sound engineering, agricultural, or commercial practices.
2561     13.  With the intent to obtain a controlled substance or
2562combination of controlled substances that are not medically
2563necessary for the person or an amount of a controlled substance
2564or substances that are not medically necessary for the person,
2565obtain or attempt to obtain from a practitioner a controlled
2566substance or a prescription for a controlled substance by
2567misrepresentation, fraud, forgery, deception, subterfuge, or
2568concealment of a material fact. For purposes of this
2569subparagraph, a material fact includes whether the person has an
2570existing prescription for a controlled substance issued for the
2571same period of time by another practitioner or as described in
2572subparagraph 8.
2573     (b)  A health care practitioner, with the intent to provide
2574a controlled substance or combination of controlled substances
2575that are not medically necessary to his or her patient or an
2576amount of controlled substances that are not medically necessary
2577for his or her patient, may not provide a controlled substance
2578or a prescription for a controlled substance by
2579misrepresentation, fraud, forgery, deception, subterfuge, or
2580concealment of a material fact. For purposes of this paragraph,
2581a material fact includes whether the patient has an existing
2582prescription for a controlled substance issued for the same
2583period of time by another practitioner or as described in
2584subparagraph (a)8.
2585     (c)(b)  Any person who violates the provisions of
2586subparagraphs (a)1.-7. commits a misdemeanor of the first
2587degree, punishable as provided in s. 775.082 or s. 775.083;
2588except that, upon a second or subsequent violation, the person
2589commits a felony of the third degree, punishable as provided in
2590s. 775.082, s. 775.083, or s. 775.084.
2591     (d)(c)  Any person who violates the provisions of
2592subparagraphs (a)8.-12. commits a felony of the third degree,
2593punishable as provided in s. 775.082, s. 775.083, or s. 775.084.
2594     (e)  A person or health care practitioner who violates the
2595provisions of paragraph (b) or subparagraph (a)13. commits a
2596felony of the third degree, punishable as provided in s.
2597775.082, s. 775.083, or s. 775.084, if any controlled substance
2598that is the subject of the offense is listed in Schedule II,
2599Schedule III, or Schedule IV.
2600     Section 27.  Present subsections (3) through (10) of
2601section 893.138, Florida Statutes, are redesignated as
2602subsections (4) through (11), respectively, and a new subsection
2603(3) is added to that section, to read:
2604     893.138  Local administrative action to abate drug-related,
2605prostitution-related, or stolen-property-related public
2606nuisances and criminal gang activity.-
2607     (3)  Any pain-management clinic, as described in s.
2608458.3265 or s. 459.0137, which has been used on more than two
2609occasions within a 6-month period as the site of a violation of:
2610     (a)  Section 784.011, s. 784.021, s. 784.03, or s. 784.045,
2611relating to assault and battery;
2612     (b)  Section 810.02, relating to burglary;
2613     (c)  Section 812.014, relating to dealing in theft;
2614     (d)  Section 812.131, relating to robbery by sudden
2615snatching; or
2616     (e)  Section 893.13, relating to the unlawful distribution
2617of controlled substances,
2618
2619may be declared to be a public nuisance, and such nuisance may
2620be abated pursuant to the procedures provided in this section.
2621     Section 28.  (1)  DISPOSITION OF CONTROLLED SUBSTANCES.-
2622     (a)  Within 10 days after the effective date of this act,
2623each physician licensed under chapter 458, chapter 459, chapter
2624461, or chapter 466, Florida Statutes, unless he or she meets
2625one of the exceptions for physician who dispenses under s.
2626465.0276, Florida Statutes, shall ensure that the undispensed
2627inventory of controlled substances listed in Schedule II or
2628Schedule III as provided in s. 893.03, Florida Statutes,
2629purchased under the physician's Drug Enforcement Administration
2630number for dispensing is:
2631     1.  Returned in compliance with the laws and rules adopted
2632under chapter 499, Florida Statutes, to the wholesale
2633distributor, as defined in s. 499.003, Florida Statutes, which
2634distributed the controlled substances to the physician; or
2635     2.  Turned in to local law enforcement agencies and
2636abandoned.
2637     (b)  Wholesale distributors shall buy back the undispensed
2638inventory of controlled substances listed in Schedule II or
2639Schedule III as provided in s. 893.03, Florida Statutes, which
2640are in the manufacturer's original packing, unopened, and in
2641date, in accordance with the established policies of the
2642wholesale distributor or the contractual terms between the
2643wholesale distributor and the physician concerning returns.
2644     (2)  PUBLIC HEALTH EMERGENCY.-
2645     (a)  The Legislature finds that:
2646     1.  Prescription drug overdose has been declared a public
2647health epidemic by the United States Centers for Disease Control
2648and Prevention.
2649     2.  Prescription drug abuse results in an average of seven
2650deaths in this state each day.
2651     3.  Physicians in this state purchased more than 85 percent
2652of the oxycodone purchased by all practitioners in the United
2653States in 2006.
2654     4.  Physicians in this state purchased more than 93 percent
2655of the methadone purchased by all practitioners in the United
2656States in 2006.
2657     5.  Some physicians in this state dispense medically
2658unjustifiable amounts of controlled substances to addicts and to
2659people who intend to illegally sell the drugs.
2660     6.  Physicians in this state who have purchased large
2661quantities of controlled substances may have significant
2662inventory 30 days after the effective date of this act.
2663     7.  Thirty days after the effective date of this act, the
2664only legal method for a dispensing practitioner to sell or
2665otherwise transfer controlled substances listed in Schedule II
2666or Schedule III as provided in s. 893.03, Florida Statutes,
2667purchased for dispensing, is through the abandonment procedures
2668of subsection (1) or as authorized under s. 465.0276, Florida
2669Statutes.
2670     8.  It is likely that the same physicians who purchase and
2671dispense medically unjustifiable amounts of drugs will not
2672legally dispose of the remaining inventory.
2673     9.  The actions of such dispensing practitioners may result
2674in substantial injury to the public health.
2675     (b)  Immediately upon the effective date of this act, the
2676State Health Officer shall declare a public health emergency
2677pursuant to s. 381.00315, Florida Statutes. Pursuant to that
2678declaration, the Department of Health, the Attorney General, the
2679Department of Law Enforcement, and local law enforcement
2680agencies shall take the following actions:
2681     1.  Within 2 days after the effective date of this act, in
2682consultation with wholesale distributors as defined in s.
2683499.003, Florida Statutes, the Department of Health shall
2684identify dispensing practitioners who purchased more than an
2685average of 2,000 unit doses of controlled substances listed in
2686Schedule II or Schedule III as provided in s. 893.03, Florida
2687Statutes, per month in the previous 6 months, and shall identify
2688the dispensing practitioners in that group who pose the greatest
2689threat to the public health based on an assessment of:
2690     a.  The risk of noncompliance with subsection (1).
2691     b.  The purchase amounts.
2692     c.  The manner of medical practice.
2693     d.  Any other factor set by the State Health Officer.
2694
2695The Attorney General shall consult and coordinate with federal
2696law enforcement agencies. The Department of Law Enforcement
2697shall coordinate the efforts of local law enforcement agencies.
2698     2.  On the 3rd day after the effective date of this act,
2699the Department of Law Enforcement or local law enforcement
2700agencies shall enter the business premises of the dispensing
2701practitioners identified as posing the greatest threat to public
2702health and quarantine any inventory of controlled substances
2703listed in Schedule II or Schedule III as provided in s. 893.03,
2704Florida Statutes, of such dispensing practitioners on site.
2705     3.  The Department of Law Enforcement or local law
2706enforcement agencies shall ensure the security of such inventory
270724 hours a day until the inventory is seized as contraband or
2708deemed to be lawfully possessed for dispensing by the physician
2709in accordance with s. 465.0276, Florida Statutes.
2710     4.  On the 31st day after the effective date of this act,
2711any remaining inventory of controlled substances listed in
2712Schedule II or Schedule III as provided in s. 893.03, Florida
2713Statutes, purchased for dispensing by practitioners is deemed
2714contraband under s. 893.12, Florida Statutes. The Department of
2715Law Enforcement or local law enforcement agencies shall seize
2716the inventory and comply with the provisions of s. 893.12,
2717Florida Statutes, to destroy it.
2718     (c)  In order to implement this subsection, the sum of $3
2719million of nonrecurring funds from the General Revenue Fund is
2720appropriated to the Department of Law Enforcement for the 2010-
27212011 fiscal year. The Department of Law Enforcement shall expend
2722the appropriation by reimbursing local law enforcement agencies
2723for the overtime-hour costs associated with securing the
2724quarantined controlled substance inventory as provided in
2725paragraph (b) and activities related to investigation and
2726prosecution of crimes related to prescribed controlled
2727substances. If requests for reimbursement exceed the amount
2728appropriated, the reimbursements shall be prorated by the hours
2729of overtime per requesting agency at a maximum of one law
2730enforcement officer per quarantine site.
2731     (3)  REPEAL.-This section expires January 1, 2013.
2732     Section 29.  The Department of Health shall establish a
2733practitioner profile for dentists licensed under chapter 466,
2734Florida Statutes, for a practitioner's designation as a
2735controlled substance prescribing practitioner as provided in s.
2736456.44, Florida Statutes.
2737     Section 30.  If any provision of this act or its
2738application to any person or circumstance is held invalid, the
2739invalidity does not affect other provisions or applications of
2740the act which can be given effect without the invalid provision
2741or application, and to this end the provisions of this act are
2742severable.
2743     Section 31.  This act shall take effect July 1, 2011.


CODING: Words stricken are deletions; words underlined are additions.