1 | A bill to be entitled |
2 | An act relating to prescription drugs; amending s. |
3 | 456.072, F.S.; making failure to comply with the |
4 | requirements of s. 456.44, F.S., grounds for disciplinary |
5 | action; providing mandatory administrative penalties for |
6 | certain violations related to prescribing; amending s. |
7 | 456.42, F.S.; requiring prescriptions for controlled |
8 | substances to be written on a counterfeit-resistant pad |
9 | produced by an approved vendor or electronically |
10 | prescribed; providing conditions for being an approved |
11 | vendor; creating s. 456.44, F.S.; providing definitions; |
12 | requiring certain physicians to designate themselves as |
13 | controlled substance prescribing practitioners on their |
14 | practitioner profiles; providing an effective date; |
15 | requiring registered physicians to meet certain standards |
16 | of practice; requiring a physical examination; requiring a |
17 | written protocol; requiring an assessment of risk for |
18 | aberrant behavior; requiring a treatment plan; requiring |
19 | specified informed consent; requiring consultation and |
20 | referral in certain circumstances; requiring medical |
21 | records meeting certain criteria; providing an exemption |
22 | for physicians meeting certain criteria; amending s. |
23 | 458.3265, F.S., relating to regulation of pain-management |
24 | clinics and medical doctors; redefining the term "pain- |
25 | management clinic"; providing definitions; providing an |
26 | exemption from registration for clinics owned and operated |
27 | by physicians or medical specialists meeting certain |
28 | criteria; revising responsibilities of physicians in pain- |
29 | management clinics; allowing physician assistants and |
30 | advanced registered nurse practitioners to perform |
31 | physical examinations; requiring physicians in pain- |
32 | management clinics to ensure compliance with certain |
33 | requirements; imposing facility and physical operations |
34 | requirements; imposing infection control requirements; |
35 | imposing health and safety requirements; imposing quality |
36 | assurance requirements; imposing data collection and |
37 | reporting requirements; revising rulemaking authority; |
38 | conforming provisions to changes made by the act; |
39 | providing for future expiration of provisions; amending s. |
40 | 458.327, F.S.; providing that dispensing certain |
41 | controlled substances in violation of specified provisions |
42 | is a third-degree felony; providing penalties; amending s. |
43 | 458.331, F.S.; providing that dispensing certain |
44 | controlled substances in violation of specified provisions |
45 | is grounds for disciplinary action; providing penalties; |
46 | amending s. 459.0137, F.S., relating to regulation of |
47 | pain-management clinics and osteopathic physicians; |
48 | providing definitions; providing an exemption from |
49 | registration for clinics owned and operated by physicians |
50 | meeting certain criteria; revising responsibilities of |
51 | osteopathic physicians in pain-management clinics; |
52 | allowing physician assistants and advanced registered |
53 | nurse practitioners to perform physical examinations; |
54 | requiring osteopathic physicians in pain-management |
55 | clinics to ensure compliance with certain requirements; |
56 | imposing facility and physical operations requirements; |
57 | imposing infection control requirements; imposing health |
58 | and safety requirements; imposing quality assurance |
59 | requirements; imposing data collection and reporting |
60 | requirements; revising rulemaking authority; conforming |
61 | provisions to changes made by the act; providing for |
62 | future expiration of provisions; amending s. 459.013, |
63 | F.S.; providing that dispensing certain controlled |
64 | substances in violation of specified provisions is a |
65 | third-degree felony; providing penalties; amending s. |
66 | 459.015, F.S.; providing that dispensing certain |
67 | controlled substances in violation of specified provisions |
68 | is grounds for disciplinary action; providing penalties; |
69 | amending s. 465.015, F.S.; requiring a pharmacist to |
70 | report to the sheriff within a specified period any |
71 | instance in which a person fraudulently obtained or |
72 | attempted to fraudulently obtain a controlled substance; |
73 | providing criminal penalties; providing suggested criteria |
74 | for the reports; amending s. 465.016, F.S.; providing |
75 | additional grounds for denial of or disciplinary action |
76 | against a pharmacist license; amending s. 465.018, F.S.; |
77 | providing grounds for permit denial or discipline; |
78 | requiring applicants to pay or make arrangements to pay |
79 | amounts owed to the Department of Health; requiring an |
80 | inspection; requiring permittees to maintain certain |
81 | records; requiring a community pharmacy to be permitted |
82 | under ch. 465, F.S., on or after a specified date in order |
83 | to dispense Schedule II or Schedule III controlled |
84 | substances; amending s. 465.022, F.S.; requiring the |
85 | Department of Health to adopt rules related to procedures |
86 | for dispensing controlled substances; providing |
87 | requirements for the issuance of a pharmacy permit; |
88 | requiring disclosure of financial interests; requiring |
89 | submission of policies and procedures and providing for |
90 | grounds for permit denial based on such policies and |
91 | procedures; authorizing the Department of Health to phase |
92 | in the policies and procedures requirement over an 18- |
93 | month period beginning July 1, 2011; requiring the |
94 | Department of Health to deny a permit to applicants under |
95 | certain circumstances; requiring permittees to provide |
96 | notice of certain management changes; requiring |
97 | prescription department managers to meet certain criteria; |
98 | imposing duties on prescription department managers; |
99 | limiting the number of locations a prescription department |
100 | manager may manage; requiring the board to adopt rules |
101 | related to recordkeeping; providing that permits are not |
102 | transferable; amending s. 465.0276, F.S.; deleting a |
103 | provision establishing a 72-hour supply limit on |
104 | dispensing certain controlled substances; prohibiting |
105 | registered dispensing practitioners from dispensing |
106 | certain controlled substances; revising the list of |
107 | exceptions that allow registered dispensing practitioners |
108 | to dispense certain controlled substances; amending s. |
109 | 499.0051, F.S.; providing criminal penalties for |
110 | violations of certain provisions of s. 499.0121, F.S.; |
111 | amending s. 499.012, F.S.; requiring wholesale distributor |
112 | permit applicants to submit documentation of credentialing |
113 | policies; amending s. 499.0121, F.S.; providing reporting |
114 | requirements regarding certain controlled substances for |
115 | prescription drug wholesale distributors, out-of-state |
116 | prescription drug wholesale distributors, retail pharmacy |
117 | drug wholesale distributors, manufacturers, or repackagers |
118 | that engage in the wholesale distribution of controlled |
119 | substances to a retail pharmacy; requiring the Department |
120 | of Health to share the reported data with law enforcement |
121 | agencies; requiring the Department of Law Enforcement to |
122 | make investigations based on the reported data; providing |
123 | credentialing requirements for distribution of controlled |
124 | substances to certain entities by wholesale distributors; |
125 | requiring distributors to identify suspicious |
126 | transactions; requiring distributors to determine the |
127 | reasonableness of orders for controlled substances over |
128 | certain amounts; requiring distributors to maintain |
129 | documents that support the report submitted to the |
130 | Department of Health; requiring the department to assess |
131 | data; requiring the department to report certain data to |
132 | the Governor, President of the Senate, and Speaker of the |
133 | House of Representatives by certain dates; prohibiting |
134 | distribution to entities with certain criminal |
135 | backgrounds; amending s. 499.05, F.S.; authorizing |
136 | rulemaking concerning specified controlled substance |
137 | wholesale distributor reporting requirements and |
138 | credentialing requirements; amending s. 499.067, F.S.; |
139 | authorizing the Department of Health to take disciplinary |
140 | action against wholesale distributors failing to comply |
141 | with specified credentialing or reporting requirements; |
142 | amending s. 810.02, F.S.; authorizing separate judgments |
143 | and sentences for burglary with the intent to commit theft |
144 | of a controlled substance under specified provisions and |
145 | for any applicable possession of controlled substance |
146 | offense under specified provisions in certain |
147 | circumstances; amending s. 812.014, F.S.; authorizing |
148 | separate judgments and sentences for theft of a controlled |
149 | substance under specified provisions and for any |
150 | applicable possession of controlled substance offense |
151 | under specified provisions in certain circumstances; |
152 | amending s. 893.055, F.S., relating to the prescription |
153 | drug monitoring program; deleting obsolete dates; deleting |
154 | references to the Office of Drug Control; requiring |
155 | reports to the prescription drug monitoring system to be |
156 | made in 7 days rather than 15 days; prohibiting the use of |
157 | certain funds to implement the program; requiring criminal |
158 | background screening for those persons who have direct |
159 | access to the prescription drug monitoring program's |
160 | database; requiring the State Surgeon General to appoint a |
161 | board of directors for the direct-support organization; |
162 | conforming provisions to changes made by the act; amending |
163 | s. 893.065, F.S.; conforming provisions to changes made by |
164 | the act; amending s. 893.07, F.S.; providing that law |
165 | enforcement officers are not required to obtain a |
166 | subpoena, court order, or search warrant in order to |
167 | obtain access to or copies of specified controlled |
168 | substance inventory records; requiring reporting of the |
169 | discovery of the theft or loss of controlled substances to |
170 | the sheriff within a specified period; providing criminal |
171 | penalties; amending s. 893.13, F.S.; prohibiting a person |
172 | from obtaining or attempting to obtain from a practitioner |
173 | a controlled substance or a prescription for a controlled |
174 | substance by misrepresentation, fraud, forgery, deception, |
175 | subterfuge, or concealment of a material fact; prohibiting |
176 | a health care provider from providing a controlled |
177 | substance or a prescription for a controlled substance by |
178 | misrepresentation, fraud, forgery, deception, subterfuge, |
179 | or concealment of a material fact; prohibiting a person |
180 | from adulterating a controlled substance for certain use |
181 | without authorization by a prescribing physician; |
182 | providing penalties; amending s. 893.138, F.S.; providing |
183 | circumstances in which a pain-management clinic may be |
184 | declared a public nuisance; providing for the disposition |
185 | of certain controlled substance inventory held by |
186 | specified licensed physicians; providing certain |
187 | requirements for a physician returning inventory to a |
188 | distributor; requiring wholesale distributors to buy back |
189 | certain undispensed inventory of controlled substances; |
190 | providing for a declaration of a public health emergency; |
191 | requiring certain actions relating to dispensing |
192 | practitioners identified as posing the greatest threat to |
193 | public health; providing an appropriation; providing for |
194 | future expiration of program provisions; requiring the |
195 | Department of Health to establish a practitioner profile |
196 | for dentists; providing for severability; providing an |
197 | effective date. |
198 |
|
199 | Be It Enacted by the Legislature of the State of Florida: |
200 |
|
201 | Section 1. Paragraph (mm) is added to subsection (1) of |
202 | section 456.072, Florida Statutes, subsection (7) is |
203 | redesignated as subsection (8), and a new subsection (7) is |
204 | added to that section, to read: |
205 | 456.072 Grounds for discipline; penalties; enforcement.- |
206 | (1) The following acts shall constitute grounds for which |
207 | the disciplinary actions specified in subsection (2) may be |
208 | taken: |
209 | (mm) Failure to comply with controlled substance |
210 | prescribing requirements of s. 456.44. |
211 | (7) Notwithstanding subsection (2), upon a finding that a |
212 | physician has prescribed or dispensed a controlled substance, or |
213 | caused a controlled substance to be prescribed or dispensed, in |
214 | a manner that violates the standard of practice set forth in s. |
215 | 458.331(1)(q) or (t), s. 459.015(1)(t) or (x), s. 461.013(1)(o) |
216 | or (s), or s. 466.028(1)(p) or (x), the physician shall be |
217 | suspended for a period of not less than 6 months and pay a fine |
218 | of not less than $10,000 per count. Repeated violations shall |
219 | result in increased penalties. |
220 | Section 2. Section 456.42, Florida Statutes, is amended to |
221 | read: |
222 | 456.42 Written prescriptions for medicinal drugs.- |
223 | (1) A written prescription for a medicinal drug issued by |
224 | a health care practitioner licensed by law to prescribe such |
225 | drug must be legibly printed or typed so as to be capable of |
226 | being understood by the pharmacist filling the prescription; |
227 | must contain the name of the prescribing practitioner, the name |
228 | and strength of the drug prescribed, the quantity of the drug |
229 | prescribed, and the directions for use of the drug; must be |
230 | dated; and must be signed by the prescribing practitioner on the |
231 | day when issued. A written prescription for a controlled |
232 | substance listed in chapter 893 must have the quantity of the |
233 | drug prescribed in both textual and numerical formats and must |
234 | be dated with the abbreviated month written out on the face of |
235 | the prescription. However, a prescription that is electronically |
236 | generated and transmitted must contain the name of the |
237 | prescribing practitioner, the name and strength of the drug |
238 | prescribed, the quantity of the drug prescribed in numerical |
239 | format, and the directions for use of the drug and must be dated |
240 | and signed by the prescribing practitioner only on the day |
241 | issued, which signature may be in an electronic format as |
242 | defined in s. 668.003(4). |
243 | (2) A written prescription for a controlled substance |
244 | listed in chapter 893 must have the quantity of the drug |
245 | prescribed in both textual and numerical formats, must be dated |
246 | with the abbreviated month written out on the face of the |
247 | prescription, and must be either written on a standardized |
248 | counterfeit-proof prescription pad produced by a vendor approved |
249 | by the department or electronically prescribed as that term is |
250 | used in s. 408.0611. As a condition of being an approved vendor, |
251 | a prescription pad vendor must submit a monthly report to the |
252 | department which, at a minimum, documents the number of |
253 | prescription pads sold and identifies the purchasers. The |
254 | department may, by rule, require the reporting of additional |
255 | information. |
256 | Section 3. Section 456.44, Florida Statutes, is created to |
257 | read: |
258 | 456.44 Controlled substance prescribing.- |
259 | (1) DEFINITIONS.- |
260 | (a) "Addiction medicine specialist" means a board- |
261 | certified physiatrist with a subspecialty certification in |
262 | addiction medicine or who is eligible for such subspecialty |
263 | certification in addiction medicine, an addiction medicine |
264 | physician certified or eligible for certification by the |
265 | American Society of Addiction Medicine, or an osteopathic |
266 | physician who holds a certificate of added qualification in |
267 | Addiction Medicine through the American Osteopathic Association. |
268 | (b) "Adverse incident" means any incident set forth in s. |
269 | 458.351(4)(a)-(e) or s. 459.026(4)(a)-(e). |
270 | (c) "Board-certified pain management physician" means a |
271 | physician who possesses board certification in pain medicine by |
272 | the American Board of Pain Medicine, board certification by the |
273 | American Board of Interventional Pain Physicians, or board |
274 | certification or subcertification in pain management by a |
275 | specialty board recognized by the American Association of |
276 | Physician Specialists or an osteopathic physician who holds a |
277 | certificate in Pain Management by the American Osteopathic |
278 | Association. |
279 | (d) "Chronic nonmalignant pain" means pain unrelated to |
280 | cancer or rheumatoid arthritis which persists beyond the usual |
281 | course of disease or the injury that is the cause of the pain or |
282 | more than 90 days after surgery. |
283 | (e) "Mental health addiction facility" means a facility |
284 | licensed under chapter 394 or chapter 397. |
285 | (2) REGISTRATION.-Effective January 1, 2012, a physician |
286 | licensed under chapter 458, chapter 459, chapter 461, or chapter |
287 | 466 who prescribes any controlled substance, as defined in s. |
288 | 893.03, for the treatment of chronic nonmalignant pain, must: |
289 | (a) Designate himself or herself as a controlled substance |
290 | prescribing practitioner on the physician's practitioner |
291 | profile. |
292 | (b) Comply with the requirements of this section and |
293 | applicable board rules. |
294 | (3) STANDARDS OF PRACTICE.-The standards of practice in |
295 | this section do not supersede the level of care, skill, and |
296 | treatment recognized in general law related to healthcare |
297 | licensure. |
298 | (a) A complete medical history and a physical examination |
299 | must be conducted before beginning any treatment and must be |
300 | documented in the medical record. The exact components of the |
301 | physical examination shall be left to the judgment of the |
302 | clinician who is expected to perform a physical examination |
303 | proportionate to the diagnosis that justifies a treatment. The |
304 | medical record must, at a minimum, document the nature and |
305 | intensity of the pain, current and past treatments for pain, |
306 | underlying or coexisting diseases or conditions, the effect of |
307 | the pain on physical and psychological function, a review of |
308 | previous medical records, previous diagnostic studies, and |
309 | history of alcohol and substance abuse. The medical record shall |
310 | also document the presence of one or more recognized medical |
311 | indications for the use of a controlled substance. Each |
312 | registrant must develop a written plan for assessing each |
313 | patient's risk of aberrant drug-related behavior, which may |
314 | include patient drug testing. Registrants must assess each |
315 | patient's risk for aberrant drug-related behavior and monitor |
316 | that risk on an ongoing basis in accordance with the plan. |
317 | (b) Each registrant must develop a written individualized |
318 | treatment plan for each patient. The treatment plan shall state |
319 | objectives that will be used to determine treatment success, |
320 | such as pain relief and improved physical and psychosocial |
321 | function, and shall indicate if any further diagnostic |
322 | evaluations or other treatments are planned. After treatment |
323 | begins, the physician shall adjust drug therapy to the |
324 | individual medical needs of each patient. Other treatment |
325 | modalities, including a rehabilitation program, shall be |
326 | considered depending on the etiology of the pain and the extent |
327 | to which the pain is associated with physical and psychosocial |
328 | impairment. The interdisciplinary nature of the treatment plan |
329 | shall be documented. |
330 | (c) The physician shall discuss the risks and benefits of |
331 | the use of controlled substances, including the risks of abuse |
332 | and addiction, as well as physical dependence and its |
333 | consequences, with the patient, persons designated by the |
334 | patient, or the patient's surrogate or guardian if the patient |
335 | is incompetent. The physician shall use a written controlled |
336 | substance agreement between the physician and the patient |
337 | outlining the patient's responsibilities, including, but not |
338 | limited to: |
339 | 1. Number and frequency of controlled substance |
340 | prescriptions and refills. |
341 | 2. Patient compliance and reasons for which drug therapy |
342 | may be discontinued, such as a violation of the agreement. |
343 | 3. An agreement that controlled substances for the |
344 | treatment of chronic nonmalignant pain shall be prescribed by a |
345 | single treating physician unless otherwise authorized by the |
346 | treating physician and documented in the medical record. |
347 | (d) The patient shall be seen by the physician at regular |
348 | intervals, not to exceed 3 months, to assess the efficacy of |
349 | treatment, ensure that controlled substance therapy remains |
350 | indicated, evaluate the patient's progress toward treatment |
351 | objectives, consider adverse drug effects, and review the |
352 | etiology of the pain. Continuation or modification of therapy |
353 | shall depend on the physician's evaluation of the patient's |
354 | progress. If treatment goals are not being achieved, despite |
355 | medication adjustments, the physician shall reevaluate the |
356 | appropriateness of continued treatment. The physician shall |
357 | monitor patient compliance in medication usage, related |
358 | treatment plans, controlled substance agreements, and |
359 | indications of substance abuse or diversion at a minimum of 3- |
360 | month intervals. |
361 | (e) The physician shall refer the patient as necessary for |
362 | additional evaluation and treatment in order to achieve |
363 | treatment objectives. Special attention shall be given to those |
364 | patients who are at risk for misusing their medications and |
365 | those whose living arrangements pose a risk for medication |
366 | misuse or diversion. The management of pain in patients with a |
367 | history of substance abuse or with a comorbid psychiatric |
368 | disorder requires extra care, monitoring, and documentation and |
369 | requires consultation with or referral to an addictionologist or |
370 | physiatrist. |
371 | (f) A physician registered under this section must |
372 | maintain accurate, current, and complete records that are |
373 | accessible and readily available for review and comply with the |
374 | requirements of this section, the applicable practice act, and |
375 | applicable board rules. The medical records must include, but |
376 | are not limited to: |
377 | 1. The complete medical history and a physical |
378 | examination, 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 |
385 | prescribed. |
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 |
390 | identification. |
391 | 12. If a written prescription for a controlled substance |
392 | is given to the patient, a duplicate of the prescription. |
393 | 13. The physician's full name presented in a legible |
394 | manner. |
395 | (g) Patients with signs or symptoms of substance abuse |
396 | shall be immediately referred to a board-certified pain |
397 | management physician, an addiction medicine specialist, or a |
398 | mental health addiction facility as it pertains to drug abuse or |
399 | addiction unless the physician is board-certified or board- |
400 | eligible in pain management. Throughout the period of time |
401 | before receiving the consultant's report, a prescribing |
402 | physician shall clearly and completely document medical |
403 | justification for continued treatment with controlled substances |
404 | and those steps taken to ensure medically appropriate use of |
405 | controlled substances by the patient. Upon receipt of the |
406 | consultant's written report, the prescribing physician shall |
407 | incorporate the consultant's recommendations for continuing, |
408 | modifying, or discontinuing controlled substance therapy. The |
409 | resulting changes in treatment shall be specifically documented |
410 | in the patient's medical record. Evidence or behavioral |
411 | indications of diversion shall be followed by discontinuation of |
412 | controlled substance therapy and the patient shall be discharged |
413 | and all results of testing and actions taken by the physician |
414 | shall be documented in the patient's medical record. |
415 |
|
416 | This subsection does not apply to a board-certified |
417 | anesthesiologist, physiatrist, or neurologist, or to a board- |
418 | certified physician who has surgical privileges at a hospital or |
419 | ambulatory surgery center and primarily provides surgical |
420 | services. This subsection does not apply to a board-certified |
421 | medical specialist who has also completed a fellowship in pain |
422 | medicine approved by the Accreditation Council for Graduate |
423 | Medical Education or the American Osteopathic Association, or |
424 | who is board certified in pain medicine by a board approved by |
425 | the American Board of Medical Specialties or the American |
426 | Osteopathic Association and performs interventional pain |
427 | procedures of the type routinely billed using surgical codes. |
428 | Section 4. Section 458.3265, Florida Statutes, is amended |
429 | to 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 |
434 | cancer or rheumatoid arthritis which persists beyond the usual |
435 | course of disease or the injury that is the cause of the pain or |
436 | more than 90 days after surgery. |
437 | b. "Pain-management clinic" or "clinic" means any publicly |
438 | or privately owned facility: |
439 | (I) That advertises in any medium for any type of pain- |
440 | management services; or |
441 | (II) Where in any month a majority of patients are |
442 | prescribed opioids, benzodiazepines, barbiturates, or |
443 | carisoprodol for the treatment of chronic nonmalignant pain. All |
444 | privately owned pain-management clinics, facilities, or offices, |
445 | hereinafter referred to as "clinics," which advertise in any |
446 | medium for any type of pain-management services, or employ a |
447 | physician who is primarily engaged in the treatment of pain by |
448 | prescribing or dispensing controlled substance medications, |
449 | 2. Each pain-management clinic must register with the |
450 | department unless: |
451 | a.1. That clinic is licensed as a facility pursuant to |
452 | chapter 395; |
453 | b.2. The majority of the physicians who provide services |
454 | in the clinic primarily provide surgical services; |
455 | c.3. The clinic is owned by a publicly held corporation |
456 | whose shares are traded on a national exchange or on the over- |
457 | the-counter market and whose total assets at the end of the |
458 | corporation's most recent fiscal quarter exceeded $50 million; |
459 | d.4. The clinic is affiliated with an accredited medical |
460 | school at which training is provided for medical students, |
461 | residents, or fellows; |
462 | e.5. The clinic does not prescribe or dispense controlled |
463 | substances for the treatment of pain; or |
464 | f.6. The clinic is owned by a corporate entity exempt from |
465 | federal taxation under 26 U.S.C. s. 501(c)(3);. |
466 | g. The clinic is wholly owned and operated by one or more |
467 | board-certified anesthesiologists, physiatrists, or |
468 | neurologists; or |
469 | h. The clinic is wholly owned and operated by one or more |
470 | board-certified medical specialists who have also completed |
471 | fellowships in pain medicine approved by the Accreditation |
472 | Council for Graduate Medical Education, or who are also board- |
473 | certified in pain medicine by a board approved by the American |
474 | Board of Medical Specialties and perform interventional pain |
475 | procedures of the type routinely billed using surgical codes. |
476 | (b) Each clinic location shall be registered separately |
477 | regardless of whether the clinic is operated under the same |
478 | business name or management as another clinic. |
479 | (c) As a part of registration, a clinic must designate a |
480 | physician who is responsible for complying with all requirements |
481 | related to registration and operation of the clinic in |
482 | compliance with this section. Within 10 days after termination |
483 | of a designated physician, the clinic must notify the department |
484 | of the identity of another designated physician for that clinic. |
485 | The designated physician shall have a full, active, and |
486 | unencumbered license under this chapter or chapter 459 and shall |
487 | practice at the clinic location for which the physician has |
488 | assumed responsibility. Failing to have a licensed designated |
489 | physician practicing at the location of the registered clinic |
490 | may be the basis for a summary suspension of the clinic |
491 | registration certificate as described in s. 456.073(8) for a |
492 | license or s. 120.60(6). |
493 | (d) The department shall deny registration to any clinic |
494 | that is not fully owned by a physician licensed under this |
495 | chapter or chapter 459 or a group of physicians, each of whom is |
496 | licensed under this chapter or chapter 459; or that is not a |
497 | health care clinic licensed under part X of chapter 400. |
498 | (e) The department shall deny registration to any pain- |
499 | management clinic owned by or with any contractual or employment |
500 | relationship with a physician: |
501 | 1. Whose Drug Enforcement Administration number has ever |
502 | been revoked. |
503 | 2. Whose application for a license to prescribe, dispense, |
504 | or administer a controlled substance has been denied by any |
505 | jurisdiction. |
506 | 3. Who has been convicted of or pleaded guilty or nolo |
507 | contendere to, regardless of adjudication, an offense that |
508 | constitutes a felony for receipt of illicit and diverted drugs, |
509 | including a controlled substance listed in Schedule I, Schedule |
510 | II, Schedule III, Schedule IV, or Schedule V of s. 893.03, in |
511 | this state, any other state, or the United States. |
512 | (f) If the department finds that a pain-management clinic |
513 | does not meet the requirement of paragraph (d) or is owned, |
514 | directly or indirectly, by a person meeting any criteria listed |
515 | in paragraph (e), the department shall revoke the certificate of |
516 | registration previously issued by the department. As determined |
517 | by rule, the department may grant an exemption to denying a |
518 | registration or revoking a previously issued registration if |
519 | more than 10 years have elapsed since adjudication. As used in |
520 | this subsection, the term "convicted" includes an adjudication |
521 | of guilt following a plea of guilty or nolo contendere or the |
522 | forfeiture of a bond when charged with a crime. |
523 | (g) The department may revoke the clinic's certificate of |
524 | registration and prohibit all physicians associated with that |
525 | pain-management clinic from practicing at that clinic location |
526 | based upon an annual inspection and evaluation of the factors |
527 | described in subsection (3). |
528 | (h) If the registration of a pain-management clinic is |
529 | revoked or suspended, the designated physician of the pain- |
530 | management clinic, the owner or lessor of the pain-management |
531 | clinic property, the manager, and the proprietor shall cease to |
532 | operate the facility as a pain-management clinic as of the |
533 | effective date of the suspension or revocation. |
534 | (i) If a pain-management clinic registration is revoked or |
535 | suspended, the designated physician of the pain-management |
536 | clinic, the owner or lessor of the clinic property, the manager, |
537 | or the proprietor is responsible for removing all signs and |
538 | symbols identifying the premises as a pain-management clinic. |
539 | (j) Upon the effective date of the suspension or |
540 | revocation, the designated physician of the pain-management |
541 | clinic shall advise the department of the disposition of the |
542 | medicinal drugs located on the premises. The disposition is |
543 | subject to the supervision and approval of the department. |
544 | Medicinal drugs that are purchased or held by a pain-management |
545 | clinic that is not registered may be deemed adulterated pursuant |
546 | to s. 499.006. |
547 | (k) If the clinic's registration is revoked, any person |
548 | named in the registration documents of the pain-management |
549 | clinic, including persons owning or operating the pain- |
550 | management clinic, may not, as an individual or as a part of a |
551 | group, apply to operate a pain-management clinic for 5 years |
552 | after the date the registration is revoked. |
553 | (l) The period of suspension for the registration of a |
554 | pain-management clinic shall be prescribed by the department, |
555 | but may not exceed 1 year. |
556 | (m) A change of ownership of a registered pain-management |
557 | clinic requires submission of a new registration application. |
558 | (2) PHYSICIAN RESPONSIBILITIES.-These responsibilities |
559 | apply to any physician who provides professional services in a |
560 | pain-management clinic that is required to be registered in |
561 | subsection (1). |
562 | (a) A physician may not practice medicine in a pain- |
563 | management clinic, as described in subsection (4), if: |
564 | 1. The pain-management clinic is not registered with the |
565 | department as required by this section.; or |
566 | 2. Effective July 1, 2012, the physician has not |
567 | successfully completed a pain-medicine fellowship that is |
568 | accredited by the Accreditation Council for Graduate Medical |
569 | Education or a pain-medicine residency that is accredited by the |
570 | Accreditation Council for Graduate Medical Education or, prior |
571 | to July 1, 2012, does not comply with rules adopted by the |
572 | board. |
573 |
|
574 | Any physician who qualifies to practice medicine in a pain- |
575 | management clinic pursuant to rules adopted by the Board of |
576 | Medicine as of July 1, 2012, may continue to practice medicine |
577 | in a pain-management clinic as long as the physician continues |
578 | to meet the qualifications set forth in the board rules. A |
579 | physician who violates this paragraph is subject to disciplinary |
580 | action by his or her appropriate medical regulatory board. |
581 | (b) A person may not dispense any medication, including a |
582 | controlled substance, on the premises of a registered pain- |
583 | management clinic unless he or she is a physician licensed under |
584 | this chapter or chapter 459. |
585 | (c) A physician, a physician assistant, or an advanced |
586 | registered nurse practitioner must perform a physical |
587 | examination of a patient on the same day that the physician he |
588 | or she dispenses or prescribes a controlled substance to a |
589 | patient at a pain-management clinic. If the physician prescribes |
590 | or dispenses more than a 72-hour dose of controlled substances |
591 | for the treatment of chronic nonmalignant pain, the physician |
592 | must document in the patient's record the reason for prescribing |
593 | or dispensing that quantity. |
594 | (d) A physician authorized to prescribe controlled |
595 | substances who practices at a pain-management clinic is |
596 | responsible for maintaining the control and security of his or |
597 | her prescription blanks and any other method used for |
598 | prescribing controlled substance pain medication. The physician |
599 | shall comply with the requirements for counterfeit-resistant |
600 | prescription blanks in s. 893.065 and the rules adopted pursuant |
601 | to that section. The physician shall notify, in writing, the |
602 | department within 24 hours following any theft or loss of a |
603 | prescription blank or breach of any other method for prescribing |
604 | pain medication. |
605 | (e) The designated physician of a pain-management clinic |
606 | shall notify the applicable board in writing of the date of |
607 | termination of employment within 10 days after terminating his |
608 | or her employment with a pain-management clinic that is required |
609 | to be registered under subsection (1). Each physician practicing |
610 | in a pain-management clinic shall advise the Board of Medicine, |
611 | in writing, within 10 calendar days after beginning or ending |
612 | his or her practice at a pain-management clinic. |
613 | (f) Each physician practicing in a pain-management clinic |
614 | is responsible for ensuring compliance with the following |
615 | facility and physical operations requirements: |
616 | 1. A pain-management clinic shall be located and operated |
617 | at a publicly accessible fixed location and must: |
618 | a. Display a sign that can be viewed by the public that |
619 | contains the clinic name, hours of operations, and a street |
620 | address. |
621 | b. Have a publicly listed telephone number and a dedicated |
622 | phone number to send and receive faxes with a fax machine that |
623 | shall 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 |
628 | of medical records, supplies, and equipment. |
629 | g. Have private patient examination rooms. |
630 | h. Have treatment rooms, if treatment is being provided to |
631 | the patients. |
632 | i. Display a printed sign located in a conspicuous place |
633 | in the waiting room viewable by the public with the name and |
634 | contact information of the clinic's designated physician and the |
635 | names of all physicians practicing in the clinic. |
636 | j. If the clinic stores and dispenses prescription drugs, |
637 | comply with ss. 499.0121 and 893.07. |
638 | 2. This section does not excuse a physician from providing |
639 | any treatment or performing any medical duty without the proper |
640 | equipment and materials as required by the standard of care. |
641 | This section does not supersede the level of care, skill, and |
642 | treatment recognized in general law related to healthcare |
643 | licensure. |
644 | (g) Each physician practicing in a pain-management clinic |
645 | is responsible for ensuring compliance with the following |
646 | infection control requirements. |
647 | 1. The clinic shall maintain equipment and supplies to |
648 | support infection prevention and control activities. |
649 | 2. The clinic shall identify infection risks based on the |
650 | following: |
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 |
654 | data. |
655 | 3. The clinic shall maintain written infection prevention |
656 | policies 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 |
660 | procedures performed in the clinic. |
661 | d. Limiting the transmission of infections associated with |
662 | the clinic's use of medical equipment, devices, and supplies. |
663 | (h) Each physician practicing in a pain-management clinic |
664 | is responsible for ensuring compliance with the following health |
665 | and safety requirements: |
666 | 1. The clinic, including its grounds, buildings, |
667 | furniture, appliances, and equipment shall be structurally |
668 | sound, in good repair, clean, and free from health and safety |
669 | hazards. |
670 | 2. The clinic shall have evacuation procedures in the |
671 | event of an emergency, which shall include provisions for the |
672 | evacuation of disabled patients and employees. |
673 | 3. The clinic shall have a written facility-specific |
674 | disaster plan setting forth actions that will be taken in the |
675 | event of clinic closure due to unforeseen disasters and shall |
676 | include provisions for the protection of medical records and any |
677 | controlled substances. |
678 | 4. Each clinic shall have at least one employee on the |
679 | premises during patient care hours who is certified in Basic |
680 | Life Support and is trained in reacting to accidents and medical |
681 | emergencies until emergency medical personnel arrive. |
682 | (i) The designated physician is responsible for ensuring |
683 | compliance with the following quality assurance requirements. |
684 | Each pain-management clinic shall have an ongoing quality |
685 | assurance program that objectively and systematically monitors |
686 | and evaluates the quality and appropriateness of patient care, |
687 | evaluates methods to improve patient care, identifies and |
688 | corrects deficiencies within the facility, alerts the designated |
689 | physician to identify and resolve recurring problems, and |
690 | provides for opportunities to improve the facility's performance |
691 | and to enhance and improve the quality of care provided to the |
692 | public. The designated physician shall establish a quality |
693 | assurance program that includes the following components: |
694 | 1. The identification, investigation, and analysis of the |
695 | frequency 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, |
698 | minimize, or eliminate the risk of adverse incidents to |
699 | patients. |
700 | 4. The documentation of these functions and periodic |
701 | review no less than quarterly of such information by the |
702 | designated physician. |
703 | (j) The designated physician is responsible for ensuring |
704 | compliance with the following data collection and reporting |
705 | requirements: |
706 | 1. The designated physician for each pain-management |
707 | clinic shall report all adverse incidents to the department as |
708 | set forth in s. 458.351. |
709 | 2. The designated physician shall also report to the Board |
710 | of Medicine, in writing, on a quarterly basis the following |
711 | data: |
712 | a. Number of new and repeat patients seen and treated at |
713 | the clinic who are prescribed controlled substance medications |
714 | for 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 |
717 | diversion. |
718 | d. The number of patients treated at the pain clinic whose |
719 | domicile is located somewhere other than in this state. A |
720 | patient's domicile is the patient's fixed or permanent home to |
721 | which he or she intends to return even though he or she may |
722 | temporarily reside elsewhere. |
723 | (3) INSPECTION.- |
724 | (a) The department shall inspect the pain-management |
725 | clinic annually, including a review of the patient records, to |
726 | ensure that it complies with this section and the rules of the |
727 | Board of Medicine adopted pursuant to subsection (4) unless the |
728 | clinic is accredited by a nationally recognized accrediting |
729 | agency approved by the Board of Medicine. |
730 | (b) During an onsite inspection, the department shall make |
731 | a reasonable attempt to discuss each violation with the owner or |
732 | designated physician of the pain-management clinic before |
733 | issuing a formal written notification. |
734 | (c) Any action taken to correct a violation shall be |
735 | documented in writing by the owner or designated physician of |
736 | the pain-management clinic and verified by followup visits by |
737 | departmental personnel. |
738 | (4) RULEMAKING.- |
739 | (a) The department shall adopt rules necessary to |
740 | administer the registration and inspection of pain-management |
741 | clinics which establish the specific requirements, procedures, |
742 | forms, and fees. |
743 | (b) The department shall adopt a rule defining what |
744 | constitutes practice by a designated physician at the clinic |
745 | location for which the physician has assumed responsibility, as |
746 | set forth in subsection (1). When adopting the rule, the |
747 | department shall consider the number of clinic employees, the |
748 | location of the pain-management clinic, the clinic's hours of |
749 | operation, and the amount of controlled substances being |
750 | prescribed, dispensed, or administered at the pain-management |
751 | clinic. |
752 | (c) The Board of Medicine shall adopt a rule establishing |
753 | the maximum number of prescriptions for Schedule II or Schedule |
754 | III controlled substances or the controlled substance Alprazolam |
755 | which may be written at any one registered pain-management |
756 | clinic during any 24-hour period. |
757 | (b)(d) The Board of Medicine shall adopt rules setting |
758 | forth standards of practice for physicians practicing in |
759 | privately owned pain-management clinics that primarily engage in |
760 | the treatment of pain by prescribing or dispensing controlled |
761 | substance medications. Such rules shall address, but need not be |
762 | limited 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 |
770 | practitioners who are not regulated by another board.; |
771 | 8. Inspections; and |
772 | 9. Data collection and reporting requirements. |
773 |
|
774 | A physician is primarily engaged in the treatment of pain by |
775 | prescribing or dispensing controlled substance medications when |
776 | the majority of the patients seen are prescribed or dispensed |
777 | controlled substance medications for the treatment of chronic |
778 | nonmalignant pain. Chronic nonmalignant pain is pain unrelated |
779 | to cancer which persists beyond the usual course of the disease |
780 | or the injury that is the cause of the pain or more than 90 days |
781 | after surgery. |
782 | (5) PENALTIES; ENFORCEMENT.- |
783 | (a) The department may impose an administrative fine on |
784 | the clinic of up to $5,000 per violation for violating the |
785 | requirements of this section; chapter 499, the Florida Drug and |
786 | Cosmetic Act; 21 U.S.C. ss. 301-392, the Federal Food, Drug, and |
787 | Cosmetic Act; 21 U.S.C. ss. 821 et seq., the Comprehensive Drug |
788 | Abuse Prevention and Control Act; chapter 893, the Florida |
789 | Comprehensive Drug Abuse Prevention and Control Act; or the |
790 | rules of the department. In determining whether a penalty is to |
791 | be imposed, and in fixing the amount of the fine, the department |
792 | shall consider the following factors: |
793 | 1. The gravity of the violation, including the probability |
794 | that death or serious physical or emotional harm to a patient |
795 | has resulted, or could have resulted, from the pain-management |
796 | clinic's actions or the actions of the physician, the severity |
797 | of the action or potential harm, and the extent to which the |
798 | provisions of the applicable laws or rules were violated. |
799 | 2. What actions, if any, the owner or designated physician |
800 | took to correct the violations. |
801 | 3. Whether there were any previous violations at the pain- |
802 | management clinic. |
803 | 4. The financial benefits that the pain-management clinic |
804 | derived from committing or continuing to commit the violation. |
805 | (b) Each day a violation continues after the date fixed |
806 | for termination of the violation as ordered by the department |
807 | constitutes an additional, separate, and distinct violation. |
808 | (c) The department may impose a fine and, in the case of |
809 | an owner-operated pain-management clinic, revoke or deny a pain- |
810 | management clinic's registration, if the clinic's designated |
811 | physician knowingly and intentionally misrepresents actions |
812 | taken to correct a violation. |
813 | (d) An owner or designated physician of a pain-management |
814 | clinic who concurrently operates an unregistered pain-management |
815 | clinic is subject to an administrative fine of $5,000 per day. |
816 | (e) If the owner of a pain-management clinic that requires |
817 | registration fails to apply to register the clinic upon a change |
818 | of ownership and operates the clinic under the new ownership, |
819 | the 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 |
822 | section 458.327, Florida Statutes, to read: |
823 | 458.327 Penalty for violations.- |
824 | (1) Each of the following acts constitutes a felony of the |
825 | third degree, punishable as provided in s. 775.082, s. 775.083, |
826 | or s. 775.084: |
827 | (f) Dispensing a controlled substance listed in Schedule |
828 | II or Schedule III in violation of s. 465.0276. |
829 | Section 6. Paragraph (rr) is added to subsection (1) of |
830 | section 458.331, Florida Statutes, to read: |
831 | 458.331 Grounds for disciplinary action; action by the |
832 | board and department.- |
833 | (1) The following acts constitute grounds for denial of a |
834 | license or disciplinary action, as specified in s. 456.072(2): |
835 | (rr) Dispensing a controlled substance listed in Schedule |
836 | II or Schedule III in violation of s. 465.0276. |
837 | Section 7. Section 459.0137, Florida Statutes, is amended |
838 | to 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 |
843 | cancer or rheumatoid arthritis which persists beyond the usual |
844 | course of disease or the injury that is the cause of the pain or |
845 | more than 90 days after surgery. |
846 | b. "Pain-management clinic" or "clinic" means any publicly |
847 | or privately owned facility: |
848 | (I) That advertises in any medium for any type of pain- |
849 | management services; or |
850 | (II) Where in any month a majority of patients are |
851 | prescribed opioids, benzodiazepines, barbiturates, or |
852 | carisoprodol for the treatment of chronic nonmalignant pain. All |
853 | privately owned pain-management clinics, facilities, or offices, |
854 | hereinafter referred to as "clinics," which advertise in any |
855 | medium for any type of pain-management services, or employ an |
856 | osteopathic physician who is primarily engaged in the treatment |
857 | of pain by prescribing or dispensing controlled substance |
858 | medications, |
859 | 2. Each pain-management clinic must register with the |
860 | department unless: |
861 | a.1. That clinic is licensed as a facility pursuant to |
862 | chapter 395; |
863 | b.2. The majority of the physicians who provide services |
864 | in the clinic primarily provide surgical services; |
865 | c.3. The clinic is owned by a publicly held corporation |
866 | whose shares are traded on a national exchange or on the over- |
867 | the-counter market and whose total assets at the end of the |
868 | corporation's most recent fiscal quarter exceeded $50 million; |
869 | d.4. The clinic is affiliated with an accredited medical |
870 | school at which training is provided for medical students, |
871 | residents, or fellows; |
872 | e.5. The clinic does not prescribe or dispense controlled |
873 | substances for the treatment of pain; or |
874 | f.6. The clinic is owned by a corporate entity exempt from |
875 | federal taxation under 26 U.S.C. s. 501(c)(3);. |
876 | g. The clinic is wholly owned and operated by one or more |
877 | board-certified anesthesiologists, physiatrists, or |
878 | neurologists; or |
879 | h. The clinic is wholly owned and operated by one or more |
880 | board-certified medical specialists who have also completed |
881 | fellowships in pain medicine approved by the Accreditation |
882 | Council for Graduate Medical Education or the American |
883 | Osteopathic Association, or who are also board-certified in pain |
884 | medicine by a board approved by the American Board of Medical |
885 | Specialties or the American Osteopathic Association and perform |
886 | interventional pain procedures of the type routinely billed |
887 | using surgical codes. |
888 | (b) Each clinic location shall be registered separately |
889 | regardless of whether the clinic is operated under the same |
890 | business name or management as another clinic. |
891 | (c) As a part of registration, a clinic must designate an |
892 | osteopathic physician who is responsible for complying with all |
893 | requirements related to registration and operation of the clinic |
894 | in compliance with this section. Within 10 days after |
895 | termination of a designated osteopathic physician, the clinic |
896 | must notify the department of the identity of another designated |
897 | physician for that clinic. The designated physician shall have a |
898 | full, active, and unencumbered license under chapter 458 or this |
899 | chapter and shall practice at the clinic location for which the |
900 | physician has assumed responsibility. Failing to have a licensed |
901 | designated osteopathic physician practicing at the location of |
902 | the registered clinic may be the basis for a summary suspension |
903 | of the clinic registration certificate as described in s. |
904 | 456.073(8) for a license or s. 120.60(6). |
905 | (d) The department shall deny registration to any clinic |
906 | that is not fully owned by a physician licensed under chapter |
907 | 458 or this chapter or a group of physicians, each of whom is |
908 | licensed under chapter 458 or this chapter; or that is not a |
909 | health care clinic licensed under part X of chapter 400. |
910 | (e) The department shall deny registration to any pain- |
911 | management clinic owned by or with any contractual or employment |
912 | relationship with a physician: |
913 | 1. Whose Drug Enforcement Administration number has ever |
914 | been revoked. |
915 | 2. Whose application for a license to prescribe, dispense, |
916 | or administer a controlled substance has been denied by any |
917 | jurisdiction. |
918 | 3. Who has been convicted of or pleaded guilty or nolo |
919 | contendere to, regardless of adjudication, an offense that |
920 | constitutes a felony for receipt of illicit and diverted drugs, |
921 | including a controlled substance listed in Schedule I, Schedule |
922 | II, Schedule III, Schedule IV, or Schedule V of s. 893.03, in |
923 | this state, any other state, or the United States. |
924 | (f) If the department finds that a pain-management clinic |
925 | does not meet the requirement of paragraph (d) or is owned, |
926 | directly or indirectly, by a person meeting any criteria listed |
927 | in paragraph (e), the department shall revoke the certificate of |
928 | registration previously issued by the department. As determined |
929 | by rule, the department may grant an exemption to denying a |
930 | registration or revoking a previously issued registration if |
931 | more than 10 years have elapsed since adjudication. As used in |
932 | this subsection, the term "convicted" includes an adjudication |
933 | of guilt following a plea of guilty or nolo contendere or the |
934 | forfeiture of a bond when charged with a crime. |
935 | (g) The department may revoke the clinic's certificate of |
936 | registration and prohibit all physicians associated with that |
937 | pain-management clinic from practicing at that clinic location |
938 | based upon an annual inspection and evaluation of the factors |
939 | described in subsection (3). |
940 | (h) If the registration of a pain-management clinic is |
941 | revoked or suspended, the designated physician of the pain- |
942 | management clinic, the owner or lessor of the pain-management |
943 | clinic property, the manager, and the proprietor shall cease to |
944 | operate the facility as a pain-management clinic as of the |
945 | effective date of the suspension or revocation. |
946 | (i) If a pain-management clinic registration is revoked or |
947 | suspended, the designated physician of the pain-management |
948 | clinic, the owner or lessor of the clinic property, the manager, |
949 | or the proprietor is responsible for removing all signs and |
950 | symbols identifying the premises as a pain-management clinic. |
951 | (j) Upon the effective date of the suspension or |
952 | revocation, the designated physician of the pain-management |
953 | clinic shall advise the department of the disposition of the |
954 | medicinal drugs located on the premises. The disposition is |
955 | subject to the supervision and approval of the department. |
956 | Medicinal drugs that are purchased or held by a pain-management |
957 | clinic that is not registered may be deemed adulterated pursuant |
958 | to s. 499.006. |
959 | (k) If the clinic's registration is revoked, any person |
960 | named in the registration documents of the pain-management |
961 | clinic, including persons owning or operating the pain- |
962 | management clinic, may not, as an individual or as a part of a |
963 | group, make application for a permit to operate a pain- |
964 | management clinic for 5 years after the date the registration is |
965 | revoked. |
966 | (l) The period of suspension for the registration of a |
967 | pain-management clinic shall be prescribed by the department, |
968 | but may not exceed 1 year. |
969 | (m) A change of ownership of a registered pain-management |
970 | clinic requires submission of a new registration application. |
971 | (2) PHYSICIAN RESPONSIBILITIES.-These responsibilities |
972 | apply to any osteopathic physician who provides professional |
973 | services in a pain-management clinic that is required to be |
974 | registered in subsection (1). |
975 | (a) An osteopathic physician may not practice medicine in |
976 | a pain-management clinic, as described in subsection (4), if: |
977 | 1. the pain-management clinic is not registered with the |
978 | department as required by this section.; or |
979 | 2. Effective July 1, 2012, the physician has not |
980 | successfully completed a pain-medicine fellowship that is |
981 | accredited by the Accreditation Council for Graduate Medical |
982 | Education or the American Osteopathic Association or a pain- |
983 | medicine residency that is accredited by the Accreditation |
984 | Council for Graduate Medical Education or the American |
985 | Osteopathic Association or, prior to July 1, 2012, does not |
986 | comply with rules adopted by the board. |
987 |
|
988 | Any physician who qualifies to practice medicine in a pain- |
989 | management clinic pursuant to rules adopted by the Board of |
990 | Osteopathic Medicine as of July 1, 2012, may continue to |
991 | practice medicine in a pain-management clinic as long as the |
992 | physician continues to meet the qualifications set forth in the |
993 | board rules. An osteopathic physician who violates this |
994 | paragraph is subject to disciplinary action by his or her |
995 | appropriate medical regulatory board. |
996 | (b) A person may not dispense any medication, including a |
997 | controlled substance, on the premises of a registered pain- |
998 | management clinic unless he or she is a physician licensed under |
999 | this chapter or chapter 458. |
1000 | (c) An osteopathic physician, a physician assistant, or an |
1001 | advanced registered nurse practitioner must perform a physical |
1002 | examination of a patient on the same day that the physician he |
1003 | or she dispenses or prescribes a controlled substance to a |
1004 | patient at a pain-management clinic. If the osteopathic |
1005 | physician prescribes or dispenses more than a 72-hour dose of |
1006 | controlled substances for the treatment of chronic nonmalignant |
1007 | pain, the osteopathic physician must document in the patient's |
1008 | record the reason for prescribing or dispensing that quantity. |
1009 | (d) An osteopathic physician authorized to prescribe |
1010 | controlled substances who practices at a pain-management clinic |
1011 | is responsible for maintaining the control and security of his |
1012 | or her prescription blanks and any other method used for |
1013 | prescribing controlled substance pain medication. The |
1014 | osteopathic physician shall comply with the requirements for |
1015 | counterfeit-resistant prescription blanks in s. 893.065 and the |
1016 | rules adopted pursuant to that section. The osteopathic |
1017 | physician shall notify, in writing, the department within 24 |
1018 | hours following any theft or loss of a prescription blank or |
1019 | breach of any other method for prescribing pain medication. |
1020 | (e) The designated osteopathic physician of a pain- |
1021 | management clinic shall notify the applicable board in writing |
1022 | of the date of termination of employment within 10 days after |
1023 | terminating his or her employment with a pain-management clinic |
1024 | that is required to be registered under subsection (1). Each |
1025 | osteopathic physician practicing in a pain-management clinic |
1026 | shall advise the Board of Osteopathic Medicine in writing within |
1027 | 10 calendar days after beginning or ending his or her practice |
1028 | at a pain-management clinic. |
1029 | (f) Each osteopathic physician practicing in a pain- |
1030 | management clinic is responsible for ensuring compliance with |
1031 | the following facility and physical operations requirements: |
1032 | 1. A pain-management clinic shall be located and operated |
1033 | at a publicly accessible fixed location and must: |
1034 | a. Display a sign that can be viewed by the public that |
1035 | contains the clinic name, hours of operations, and a street |
1036 | address. |
1037 | b. Have a publicly listed telephone number and a dedicated |
1038 | phone number to send and receive faxes with a fax machine that |
1039 | shall 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 |
1044 | of medical records, supplies and equipment. |
1045 | g. Have private patient examination rooms. |
1046 | h. Have treatment rooms, if treatment is being provided to |
1047 | the patient. |
1048 | i. Display a printed sign located in a conspicuous place |
1049 | in the waiting room viewable by the public with the name and |
1050 | contact information of the clinic-designated physician and the |
1051 | names of all physicians practicing in the clinic. |
1052 | j. If the clinic stores and dispenses prescription drug, |
1053 | comply with ss. 499.0121 and 893.07. |
1054 | 2. This section does not excuse an osteopathic physician |
1055 | from providing any treatment or performing any medical duty |
1056 | without the proper equipment and materials as required by the |
1057 | standard of care. This section does not supersede the level of |
1058 | care, skill, and treatment recognized in general law related to |
1059 | healthcare licensure. |
1060 | (g) Each osteopathic physician practicing in a pain- |
1061 | management clinic is responsible for ensuring compliance with |
1062 | the following infection control requirements. |
1063 | 1. The clinic shall maintain equipment and supplies to |
1064 | support infection prevention and control activities. |
1065 | 2. The clinic shall identify infection risks based on the |
1066 | following: |
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 |
1070 | data. |
1071 | 3. The clinic shall maintain written infection prevention |
1072 | policies 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 |
1076 | procedures performed in the clinic. |
1077 | d. Limiting the transmission of infections associated with |
1078 | the clinic's use of medical equipment, devices, and supplies. |
1079 | (h) Each osteopathic physician practicing in a pain- |
1080 | management clinic is responsible for ensuring compliance with |
1081 | the following health and safety requirements. |
1082 | 1. The clinic, including its grounds, buildings, |
1083 | furniture, appliances, and equipment shall be structurally |
1084 | sound, in good repair, clean, and free from health and safety |
1085 | hazards. |
1086 | 2. The clinic shall have evacuation procedures in the |
1087 | event of an emergency which shall include provisions for the |
1088 | evacuation of disabled patients and employees. |
1089 | 3. The clinic shall have a written facility-specific |
1090 | disaster plan which sets forth actions that will be taken in the |
1091 | event of clinic closure due to unforeseen disasters and shall |
1092 | include provisions for the protection of medical records and any |
1093 | controlled substances. |
1094 | 4. Each clinic shall have at least one employee on the |
1095 | premises during patient care hours who is certified in Basic |
1096 | Life Support and is trained in reacting to accidents and medical |
1097 | emergencies until emergency medical personnel arrive. |
1098 | (i) The designated physician is responsible for ensuring |
1099 | compliance with the following quality assurance requirements. |
1100 | Each pain-management clinic shall have an ongoing quality |
1101 | assurance program that objectively and systematically monitors |
1102 | and evaluates the quality and appropriateness of patient care, |
1103 | evaluates methods to improve patient care, identifies and |
1104 | corrects deficiencies within the facility, alerts the designated |
1105 | physician to identify and resolve recurring problems, and |
1106 | provides for opportunities to improve the facility's performance |
1107 | and to enhance and improve the quality of care provided to the |
1108 | public. The designated physician shall establish a quality |
1109 | assurance program that includes the following components: |
1110 | 1. The identification, investigation, and analysis of the |
1111 | frequency 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, |
1114 | minimize, or eliminate the risk of adverse incidents to |
1115 | patients. |
1116 | 4. The documentation of these functions and periodic |
1117 | review no less than quarterly of such information by the |
1118 | designated physician. |
1119 | (j) The designated physician is responsible for ensuring |
1120 | compliance with the following data collection and reporting |
1121 | requirements: |
1122 | 1. The designated physician for each pain-management |
1123 | clinic shall report all adverse incidents to the department as |
1124 | set forth in s. 459.026. |
1125 | 2. The designated physician shall also report to the Board |
1126 | of Osteopathic Medicine, in writing, on a quarterly basis, the |
1127 | following data: |
1128 | a. Number of new and repeat patients seen and treated at |
1129 | the clinic who are prescribed controlled substance medications |
1130 | for 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 |
1133 | diversion. |
1134 | d. The number of patients treated at the pain clinic whose |
1135 | domicile is located somewhere other than in this state. A |
1136 | patient's domicile is the patient's fixed or permanent home to |
1137 | which he or she intends to return even though he or she may |
1138 | temporarily reside elsewhere. |
1139 | (3) INSPECTION.- |
1140 | (a) The department shall inspect the pain-management |
1141 | clinic annually, including a review of the patient records, to |
1142 | ensure that it complies with this section and the rules of the |
1143 | Board of Osteopathic Medicine adopted pursuant to subsection (4) |
1144 | unless the clinic is accredited by a nationally recognized |
1145 | accrediting agency approved by the Board of Osteopathic |
1146 | Medicine. |
1147 | (b) During an onsite inspection, the department shall make |
1148 | a reasonable attempt to discuss each violation with the owner or |
1149 | designated physician of the pain-management clinic before |
1150 | issuing a formal written notification. |
1151 | (c) Any action taken to correct a violation shall be |
1152 | documented in writing by the owner or designated physician of |
1153 | the pain-management clinic and verified by followup visits by |
1154 | departmental personnel. |
1155 | (4) RULEMAKING.- |
1156 | (a) The department shall adopt rules necessary to |
1157 | administer the registration and inspection of pain-management |
1158 | clinics which establish the specific requirements, procedures, |
1159 | forms, and fees. |
1160 | (b) The department shall adopt a rule defining what |
1161 | constitutes practice by a designated osteopathic physician at |
1162 | the clinic location for which the physician has assumed |
1163 | responsibility, as set forth in subsection (1). When adopting |
1164 | the rule, the department shall consider the number of clinic |
1165 | employees, the location of the pain-management clinic, the |
1166 | clinic's hours of operation, and the amount of controlled |
1167 | substances being prescribed, dispensed, or administered at the |
1168 | pain-management clinic. |
1169 | (c) The Board of Osteopathic Medicine shall adopt a rule |
1170 | establishing the maximum number of prescriptions for Schedule II |
1171 | or Schedule III controlled substances or the controlled |
1172 | substance Alprazolam which may be written at any one registered |
1173 | pain-management clinic during any 24-hour period. |
1174 | (b)(d) The Board of Osteopathic Medicine shall adopt rules |
1175 | setting forth standards of practice for osteopathic physicians |
1176 | practicing in privately owned pain-management clinics that |
1177 | primarily engage in the treatment of pain by prescribing or |
1178 | dispensing controlled substance medications. Such rules shall |
1179 | address, 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 |
1187 | practitioners who are not regulated by another board.; |
1188 | 8. Inspections; and |
1189 | 9. Data collection and reporting requirements. |
1190 |
|
1191 | An osteopathic physician is primarily engaged in the treatment |
1192 | of pain by prescribing or dispensing controlled substance |
1193 | medications when the majority of the patients seen are |
1194 | prescribed or dispensed controlled substance medications for the |
1195 | treatment of chronic nonmalignant pain. Chronic nonmalignant |
1196 | pain is pain unrelated to cancer which persists beyond the usual |
1197 | course of the disease or the injury that is the cause of the |
1198 | pain or more than 90 days after surgery. |
1199 | (5) PENALTIES; ENFORCEMENT.- |
1200 | (a) The department may impose an administrative fine on |
1201 | the clinic of up to $5,000 per violation for violating the |
1202 | requirements of this section; chapter 499, the Florida Drug and |
1203 | Cosmetic Act; 21 U.S.C. ss. 301-392, the Federal Food, Drug, and |
1204 | Cosmetic Act; 21 U.S.C. ss. 821 et seq., the Comprehensive Drug |
1205 | Abuse Prevention and Control Act; chapter 893, the Florida |
1206 | Comprehensive Drug Abuse Prevention and Control Act; or the |
1207 | rules of the department. In determining whether a penalty is to |
1208 | be imposed, and in fixing the amount of the fine, the department |
1209 | shall consider the following factors: |
1210 | 1. The gravity of the violation, including the probability |
1211 | that death or serious physical or emotional harm to a patient |
1212 | has resulted, or could have resulted, from the pain-management |
1213 | clinic's actions or the actions of the osteopathic physician, |
1214 | the severity of the action or potential harm, and the extent to |
1215 | which the provisions of the applicable laws or rules were |
1216 | violated. |
1217 | 2. What actions, if any, the owner or designated |
1218 | osteopathic physician took to correct the violations. |
1219 | 3. Whether there were any previous violations at the pain- |
1220 | management clinic. |
1221 | 4. The financial benefits that the pain-management clinic |
1222 | derived from committing or continuing to commit the violation. |
1223 | (b) Each day a violation continues after the date fixed |
1224 | for termination of the violation as ordered by the department |
1225 | constitutes an additional, separate, and distinct violation. |
1226 | (c) The department may impose a fine and, in the case of |
1227 | an owner-operated pain-management clinic, revoke or deny a pain- |
1228 | management clinic's registration, if the clinic's designated |
1229 | osteopathic physician knowingly and intentionally misrepresents |
1230 | actions taken to correct a violation. |
1231 | (d) An owner or designated osteopathic physician of a |
1232 | pain-management clinic who concurrently operates an unregistered |
1233 | pain-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 |
1236 | registration fails to apply to register the clinic upon a change |
1237 | of ownership and operates the clinic under the new ownership, |
1238 | the 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 |
1241 | section 459.013, Florida Statutes, to read: |
1242 | 459.013 Penalty for violations.- |
1243 | (1) Each of the following acts constitutes a felony of the |
1244 | third degree, punishable as provided in s. 775.082, s. 775.083, |
1245 | or s. 775.084: |
1246 | (f) Dispensing a controlled substance listed in Schedule |
1247 | II or Schedule III in violation of s. 465.0276. |
1248 | Section 9. Paragraph (tt) is added to subsection (1) of |
1249 | section 459.015, Florida Statutes, to read: |
1250 | 459.015 Grounds for disciplinary action; action by the |
1251 | board and department.- |
1252 | (1) The following acts constitute grounds for denial of a |
1253 | license or disciplinary action, as specified in s. 456.072(2): |
1254 | (tt) Dispensing a controlled substance listed in Schedule |
1255 | II or Schedule III in violation of s. 465.0276. |
1256 | Section 10. Subsections (3) and (4) of section 465.015, |
1257 | Florida Statutes, are renumbered as subsections (4) and (5), |
1258 | respectively, a new subsection (3) is added to that section, and |
1259 | present 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 |
1262 | report to the sheriff or other chief law enforcement agency of |
1263 | the county where the pharmacy is located within 24 hours after |
1264 | learning of any instance in which a person obtained or attempted |
1265 | to obtain a controlled substance, as defined in s. 893.02, or at |
1266 | the close of business on the next business day, whichever is |
1267 | later, that the pharmacist knew or believed was obtained or |
1268 | attempted to be obtained through fraudulent methods or |
1269 | representations from the pharmacy at which the pharmacist |
1270 | practiced pharmacy. Any pharmacist who knowingly fails to make |
1271 | such a report within 24 hours after learning of the fraud or |
1272 | attempted fraud or at the close of business on the next business |
1273 | day, whichever is later, commits a misdemeanor of the first |
1274 | degree, punishable as provided in s. 775.082 or s. 775.083. A |
1275 | sufficient report of the fraudulent obtaining of controlled |
1276 | substances under this subsection must contain, at a minimum, a |
1277 | copy of the prescription used or presented and a narrative, |
1278 | including all information available to the pharmacist concerning |
1279 | the transaction, such as the name and telephone number of the |
1280 | prescribing physician; the name, description, and any personal |
1281 | identification information pertaining to the person who |
1282 | presented the prescription; and all other material information, |
1283 | such 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 |
1286 | degree, punishable as provided in s. 775.082 or s. 775.083. Any |
1287 | person who violates any provision of subsection (2) commits a |
1288 | felony of the third degree, punishable as provided in s. |
1289 | 775.082, s. 775.083, or s. 775.084. In any warrant, information, |
1290 | or indictment, it shall not be necessary to negative any |
1291 | exceptions, and the burden of any exception shall be upon the |
1292 | defendant. |
1293 | Section 11. Paragraph (t) is added to subsection (1) of |
1294 | section 465.016, Florida Statutes, to read: |
1295 | 465.016 Disciplinary actions.- |
1296 | (1) The following acts constitute grounds for denial of a |
1297 | license or disciplinary action, as specified in s. 456.072(2): |
1298 | (t) Committing an error or omission during the performance |
1299 | of a specific function of prescription drug processing, which |
1300 | includes, 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 |
1306 | board. |
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 |
1311 | prescription. |
1312 | 10. Providing patient counseling. |
1313 | Section 12. Section 465.018, Florida Statutes, is amended |
1314 | to read: |
1315 | 465.018 Community pharmacies; permits.- |
1316 | (1) Any person desiring a permit to operate a community |
1317 | pharmacy shall apply to the department. |
1318 | (2) If the board office certifies that the application |
1319 | complies with the laws of the state and the rules of the board |
1320 | governing pharmacies, the department shall issue the permit. No |
1321 | permit shall be issued unless a licensed pharmacist is |
1322 | designated as the prescription department manager responsible |
1323 | for maintaining all drug records, providing for the security of |
1324 | the prescription department, and following such other rules as |
1325 | relate to the practice of the profession of pharmacy. The |
1326 | permittee and the newly designated prescription department |
1327 | manager shall notify the department within 10 days of any change |
1328 | in prescription department manager. |
1329 | (3) The board may suspend or revoke the permit of, or may |
1330 | refuse to issue a permit to: |
1331 | (a) Any person who has been disciplined or who has |
1332 | abandoned a permit or allowed a permit to become void after |
1333 | written notice that disciplinary proceedings had been or would |
1334 | be brought against the permit; |
1335 | (b) Any person who is an officer, director, or person |
1336 | interested directly or indirectly in a person or business entity |
1337 | that has had a permit disciplined or abandoned or become void |
1338 | after written notice that disciplinary proceedings had been or |
1339 | would be brought against the permit; or |
1340 | (c) Any person who is or has been an officer of a business |
1341 | entity, or who was interested directly or indirectly in a |
1342 | business entity, the permit of which has been disciplined or |
1343 | abandoned or become null and void after written notice that |
1344 | disciplinary proceedings had been or would be brought against |
1345 | the permit. |
1346 | (4) In addition to any other remedies provided by law, the |
1347 | board may deny the application or suspend or revoke the license, |
1348 | registration, or certificate of any entity regulated or licensed |
1349 | by it if the applicant, licensee, registrant, or licenseholder, |
1350 | or, in the case of a corporation, partnership, or other business |
1351 | entity, if any officer, director, agent, or managing employee of |
1352 | that business entity or any affiliated person, partner, or |
1353 | shareholder having an ownership interest equal to 5 percent or |
1354 | greater in that business entity, has failed to pay all |
1355 | outstanding fines, liens, or overpayments assessed by final |
1356 | order of the department, unless a repayment plan is approved by |
1357 | the department, or has failed to comply with any repayment plan. |
1358 | (5) In reviewing any application requesting a change of |
1359 | ownership or a change of licensee or registrant, the transferor |
1360 | shall, before board approval of the change, repay or make |
1361 | arrangements to repay any amounts owed to the department. If the |
1362 | transferor fails to repay or make arrangements to repay the |
1363 | amounts owed to the department, the license or registration may |
1364 | not be issued to the transferee until repayment or until |
1365 | arrangements for repayment are made. |
1366 | (6) Passing an onsite inspection is a prerequisite to the |
1367 | issuance of an initial permit or a permit for a change of |
1368 | location. The department must make the inspection within 90 days |
1369 | before issuance of the permit. |
1370 | (7) Community pharmacies that dispense controlled |
1371 | substances must maintain a record of all controlled substance |
1372 | dispensing consistent with the requirements of s. 893.07 and |
1373 | must make the record available to the department and law |
1374 | enforcement agencies upon request. |
1375 | Section 13. In order to dispense controlled substances |
1376 | listed in Schedule II or Schedule III, as provided in s. 893.03, |
1377 | Florida Statutes, on or after July 1, 2012, a community pharmacy |
1378 | permittee must be permitted pursuant to chapter 465, Florida |
1379 | Statutes, as amended by this act and any rules adopted |
1380 | thereunder. |
1381 | Section 14. Section 465.022, Florida Statutes, is amended |
1382 | to read: |
1383 | 465.022 Pharmacies; general requirements; fees.- |
1384 | (1) The board shall adopt rules pursuant to ss. 120.536(1) |
1385 | and 120.54 to implement the provisions of this chapter. Such |
1386 | rules shall include, but shall not be limited to, rules relating |
1387 | to: |
1388 | (a) General drug safety measures. |
1389 | (b) Minimum standards for the physical facilities of |
1390 | pharmacies. |
1391 | (c) Safe storage of floor-stock drugs. |
1392 | (d) Functions of a pharmacist in an institutional |
1393 | pharmacy, consistent with the size and scope of the pharmacy. |
1394 | (e) Procedures for the safe storage and handling of |
1395 | radioactive drugs. |
1396 | (f) Procedures for the distribution and disposition of |
1397 | medicinal drugs distributed pursuant to s. 499.028. |
1398 | (g) Procedures for transfer of prescription files and |
1399 | medicinal drugs upon the change of ownership or closing of a |
1400 | pharmacy. |
1401 | (h) Minimum equipment which a pharmacy shall at all times |
1402 | possess to fill prescriptions properly. |
1403 | (i) Procedures for the dispensing of controlled substances |
1404 | to minimize dispensing based on fraudulent representations or |
1405 | invalid practitioner-patient relationships. |
1406 | (2) A pharmacy permit may shall be issued only to a |
1407 | natural person who is at least 18 years of age, to a partnership |
1408 | comprised of at least one natural person and all of whose |
1409 | partners are all at least 18 years of age, to a governmental |
1410 | agency, or to a business entity that is properly registered with |
1411 | the Secretary of State, if required by law, and has been issued |
1412 | a federal employer tax identification number corporation that is |
1413 | registered pursuant to chapter 607 or chapter 617 whose |
1414 | officers, directors, and shareholders are at least 18 years of |
1415 | age. Permits issued to business entities may be issued only to |
1416 | entities whose affiliated persons, members, partners, officers, |
1417 | directors, and agents, including persons required to be |
1418 | fingerprinted under subsection (3), are not less than 18 years |
1419 | of age. |
1420 | (3) Any person or business entity, partnership, or |
1421 | corporation before engaging in the operation of a pharmacy, |
1422 | shall file with the board a sworn application on forms provided |
1423 | by the department. For purposes of this section, any person |
1424 | required to provide fingerprints under this subsection is an |
1425 | affiliated person within the meaning of s. 465.023(1). |
1426 | (a) An application for a pharmacy permit must include a |
1427 | set of fingerprints from each person having an ownership |
1428 | interest of 5 percent or greater and from any person who, |
1429 | directly or indirectly, manages, oversees, or controls the |
1430 | operation of the applicant, including officers and members of |
1431 | the board of directors of an applicant that is a corporation. |
1432 | The applicant must provide payment in the application for the |
1433 | cost of state and national criminal history records checks. |
1434 | 1. For corporations having more than $100 million of |
1435 | business taxable assets in this state, in lieu of these |
1436 | fingerprint requirements, the department shall require the |
1437 | prescription department manager or consultant pharmacist of |
1438 | record who will be directly involved in the management and |
1439 | operation of the pharmacy to submit a set of fingerprints. |
1440 | 2. A representative of a corporation described in |
1441 | subparagraph 1. satisfies the requirement to submit a set of his |
1442 | or her fingerprints if the fingerprints are on file with the |
1443 | department or the Agency for Health Care Administration, meet |
1444 | the fingerprint specifications for submission by the Department |
1445 | of Law Enforcement, and are available to the department. |
1446 | (b) The department shall annually submit the fingerprints |
1447 | provided by the applicant to the Department of Law Enforcement |
1448 | for a state criminal history records check. The Department of |
1449 | Law Enforcement shall annually forward the fingerprints to the |
1450 | Federal Bureau of Investigation for a national criminal history |
1451 | records check. The department shall report the results of annual |
1452 | criminal history records checks to wholesale distributors |
1453 | permitted under chapter 499 for the purposes of s. 499.0121(15). |
1454 | (c) In addition to those documents required by the |
1455 | department or board, each applicant having any financial or |
1456 | ownership interest greater than 5 percent in the subject of the |
1457 | application must submit a signed affidavit disclosing any |
1458 | financial or ownership interest greater than 5 percent in any |
1459 | pharmacy permitted in the past 5 years, which pharmacy has |
1460 | closed voluntarily or involuntarily, has filed a voluntary |
1461 | relinquishment of its permit, has had its permit suspended or |
1462 | revoked, or has had an injunction issued against it by a |
1463 | regulatory agency. The affidavit must disclose the reason such |
1464 | entity was closed, whether voluntary or involuntary. |
1465 | (4) An application for a pharmacy permit must include the |
1466 | applicant's written policies and procedures for preventing |
1467 | controlled substance dispensing based on fraudulent |
1468 | representations or invalid practitioner-patient relationships. |
1469 | The board must review the policies and procedures and may deny a |
1470 | permit if the policies and procedures are insufficient to |
1471 | reasonably prevent such dispensing. The department may phase in |
1472 | the submission and review of policies and procedures over one |
1473 | 18-month period beginning July 1, 2011. |
1474 | (5)(4) The department or board shall deny an application |
1475 | for a pharmacy permit if the applicant or an affiliated person, |
1476 | partner, officer, director, or prescription department manager |
1477 | or 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 |
1480 | for any other person by making, or causing to be made, any false |
1481 | representation.; |
1482 | (c) Has been convicted of, or entered a plea of guilty or |
1483 | nolo contendere to, regardless of adjudication, a crime in any |
1484 | jurisdiction which relates to the practice of, or the ability to |
1485 | practice, the profession of pharmacy.; |
1486 | (d) Has been convicted of, or entered a plea of guilty or |
1487 | nolo contendere to, regardless of adjudication, a crime in any |
1488 | jurisdiction which relates to health care fraud.; |
1489 | (e) Has been convicted of, or entered a plea of guilty or |
1490 | nolo contendere to, regardless of adjudication, a felony under |
1491 | chapter 409, chapter 817, or chapter 893, or a similar felony |
1492 | offense committed in another state or jurisdiction, since July |
1493 | 1, 2009. Been terminated for cause, pursuant to the appeals |
1494 | procedures established by the state or Federal Government, from |
1495 | any state Medicaid program or the federal Medicare program, |
1496 | unless the applicant has been in good standing with a state |
1497 | Medicaid program or the federal Medicare program for the most |
1498 | recent 5 years and the termination occurred at least 20 years |
1499 | ago; or |
1500 | (f) Has been convicted of, or entered a plea of guilty or |
1501 | nolo contendere to, regardless of adjudication, a felony under |
1502 | 21 U.S.C. ss. 801-970 or 42 U.S.C. ss. 1395-1396 since July 1, |
1503 | 2009. |
1504 | (g) Has been terminated for cause from the Florida |
1505 | Medicaid program pursuant to s. 409.913, unless the applicant |
1506 | has been in good standing with the Florida Medicaid program for |
1507 | the most recent 5-year period. |
1508 | (h) Has been terminated for cause, pursuant to the appeals |
1509 | procedures established by the state, from any other state |
1510 | Medicaid program, unless the applicant has been in good standing |
1511 | with a state Medicaid program for the most recent 5-year period |
1512 | and the termination occurred at least 20 years before the date |
1513 | of the application. |
1514 | (i) Is currently listed on the United States Department of |
1515 | Health and Human Services Office of Inspector General's List of |
1516 | Excluded Individuals and Entities. |
1517 | (j)(f) Has dispensed any medicinal drug based upon a |
1518 | communication that purports to be a prescription as defined by |
1519 | s. 465.003(14) or s. 893.02 when the pharmacist knows or has |
1520 | reason to believe that the purported prescription is not based |
1521 | upon a valid practitioner-patient relationship that includes a |
1522 | documented patient evaluation, including history and a physical |
1523 | examination adequate to establish the diagnosis for which any |
1524 | drug is prescribed and any other requirement established by |
1525 | board rule under chapter 458, chapter 459, chapter 461, chapter |
1526 | 463, chapter 464, or chapter 466. |
1527 |
|
1528 | For felonies in which the defendant entered a plea of guilty or |
1529 | nolo contendere in an agreement with the court to enter a |
1530 | pretrial intervention or drug diversion program, the department |
1531 | shall deny the application if upon final resolution of the case |
1532 | the licensee has failed to successfully complete the program. |
1533 | (6) The department or board may deny an application for a |
1534 | pharmacy permit if the applicant or an affiliated person, |
1535 | partner, officer, director, or prescription department manager |
1536 | or consultant pharmacist of record of the applicant has violated |
1537 | or failed to comply with any provision of this chapter; chapter |
1538 | 499, the Florida Drug and Cosmetic Act; chapter 893; 21 U.S.C. |
1539 | ss. 301-392, the Federal Food, Drug, and Cosmetic Act; 21 U.S.C. |
1540 | ss. 821 et seq., the Comprehensive Drug Abuse Prevention and |
1541 | Control Act; or any rules or regulations promulgated thereunder |
1542 | unless the violation or noncompliance is technical. |
1543 | (7)(5) After the application has been filed with the board |
1544 | and the permit fee provided in this section has been received, |
1545 | the board shall cause the application to be fully investigated, |
1546 | both as to the qualifications of the applicant and the |
1547 | prescription department manager or consultant pharmacist |
1548 | designated to be in charge and as to the premises and location |
1549 | described in the application. |
1550 | (8)(6) The Board of Pharmacy shall have the authority to |
1551 | determine whether a bona fide transfer of ownership is present |
1552 | and that the sale of a pharmacy is not being accomplished for |
1553 | the purpose of avoiding an administrative prosecution. |
1554 | (9)(7) Upon the completion of the investigation of an |
1555 | application, the board shall approve or deny disapprove the |
1556 | application. If approved, the permit shall be issued by the |
1557 | department. |
1558 | (10)(8) A permittee must notify the department, on a form |
1559 | approved by the board, within 10 days after any change in |
1560 | prescription department manager or consultant pharmacist of |
1561 | record. Permits issued by the department are not transferable. |
1562 | (11) A permittee must notify the department of the |
1563 | identity of the prescription department manager within 10 days |
1564 | after employment. The prescription department manager must |
1565 | comply with the following requirements: |
1566 | (a) The prescription department manager of a permittee |
1567 | must obtain and maintain all drug records required by any state |
1568 | or federal law to be obtained by a pharmacy, including, but not |
1569 | limited to, records required by or under this chapter, chapter |
1570 | 499, or chapter 893. The prescription department manager must |
1571 | ensure the permittee's compliance with all rules adopted under |
1572 | those chapters as they relate to the practice of the profession |
1573 | of pharmacy and the sale of prescription drugs. |
1574 | (b) The prescription department manager must ensure the |
1575 | security of the prescription department. The prescription |
1576 | department manager must notify the board of any theft or |
1577 | significant loss of any controlled substances within 1 business |
1578 | day after discovery of the theft or loss. |
1579 | (c) A registered pharmacist may not serve as the |
1580 | prescription department manager in more than one location unless |
1581 | approved by the board. |
1582 | (12) The board shall adopt rules that require the keeping |
1583 | of such records of prescription drugs as are necessary for the |
1584 | protection of public health, safety, and welfare. |
1585 | (a) All required records documenting prescription drug |
1586 | distributions shall be readily available or immediately |
1587 | retrievable during an inspection by the department. |
1588 | (b) The records must be maintained for 4 years after the |
1589 | creation or receipt of the record, whichever is later. |
1590 | (13) Permits issued by the department are not |
1591 | transferable. |
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 |
1598 | 465.0276, Florida Statutes, is amended to read: |
1599 | 465.0276 Dispensing practitioner.- |
1600 | (1) |
1601 | (b)1. A practitioner registered under this section may not |
1602 | dispense more than a 72-hour supply of a controlled substance |
1603 | listed in Schedule II or, Schedule III as provided in, Schedule |
1604 | IV, or Schedule V of s. 893.03 for any patient who pays for the |
1605 | medication by cash, check, or credit card in a clinic registered |
1606 | under s. 458.3265 or s. 459.0137. A practitioner who violates |
1607 | this paragraph commits a felony of the third degree, punishable |
1608 | as provided in s. 775.082, s. 775.083, or s. 775.084. This |
1609 | paragraph does not apply to: |
1610 | 1. A practitioner who dispenses medication to a workers' |
1611 | compensation patient pursuant to chapter 440. |
1612 | 2. A practitioner who dispenses medication to an insured |
1613 | patient who pays by cash, check, or credit card to cover any |
1614 | applicable copayment or deductible. |
1615 | 1.3. The dispensing of complimentary packages of medicinal |
1616 | drugs which are labeled as a drug sample or complimentary drug |
1617 | as defined in s. 499.028 to the practitioner's own patients in |
1618 | the regular course of her or his practice without the payment of |
1619 | a fee or remuneration of any kind, whether direct or indirect, |
1620 | as provided in subsection (5). |
1621 | 2. The dispensing of controlled substances in the health |
1622 | care system of the Department of Corrections. |
1623 | 3. The dispensing of a controlled substance listed in |
1624 | Schedule II or Schedule III in connection with the performance |
1625 | of a surgical procedure. The amount dispensed pursuant to the |
1626 | subparagraph may not exceed a 14-day supply. This exception does |
1627 | not allow for the dispensing of a controlled substance listed in |
1628 | Schedule II or Schedule III more than 14 days after the |
1629 | performance of the surgical procedure. For purposes of this |
1630 | subparagraph, the term "surgical procedure" means any procedure |
1631 | in any setting which involves, or reasonably should involve: |
1632 | a. Perioperative medication and sedation that allows the |
1633 | patient to tolerate unpleasant procedures while maintaining |
1634 | adequate cardiorespiratory function and the ability to respond |
1635 | purposefully to verbal or tactile stimulation and makes intra- |
1636 | and post-operative monitoring necessary; or |
1637 | b. The use of general anesthesia or major conduction |
1638 | anesthesia and preoperative sedation. |
1639 | 4. The dispensing of a controlled substance listed in |
1640 | Schedule II or Schedule III pursuant to an approved clinical |
1641 | trial. For purposes of this subparagraph, the term "approved |
1642 | clinical trial" means a clinical research study or clinical |
1643 | investigation that, in whole or in part, is state or federally |
1644 | funded or is conducted under an investigational new drug |
1645 | application that is reviewed by the United States Food and Drug |
1646 | Administration. |
1647 | 5. The dispensing of methadone in a facility licensed |
1648 | under s. 397.427 where medication-assisted treatment for opiate |
1649 | addiction is provided. |
1650 | 6. The dispensing of a controlled substance listed in |
1651 | Schedule II or Schedule III to a patient of a facility licensed |
1652 | under part IV of chapter 400. |
1653 | Section 16. Subsections (16) and (17) are added to section |
1654 | 499.0051, Florida Statutes, to read: |
1655 | 499.0051 Criminal acts.- |
1656 | (16) FALSE REPORT.-Any person who submits a report |
1657 | required by s. 499.0121(14) knowing that such report contains a |
1658 | false statement commits a felony of the third degree, punishable |
1659 | as provided in s. 775.082, s. 775.083, or s. 775.084. |
1660 | (17) CONTROLLED SUBSTANCE DISTRIBUTION.-Any person who |
1661 | engages in the wholesale distribution of prescription drugs and |
1662 | who knowingly distributes controlled substances in violation of |
1663 | s. 499.0121(14) commits a felony of the third degree, punishable |
1664 | as provided in s. 775.082, s. 775.083, or s. 775.084. In |
1665 | addition to any other fine that may be imposed, a person |
1666 | convicted of such a violation may be sentenced to pay a fine |
1667 | that does not exceed three times the gross monetary value gained |
1668 | from such violation, plus court costs and the reasonable costs |
1669 | of investigation and prosecution. |
1670 | Section 17. Paragraph (o) is added to subsection (8) of |
1671 | section 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 |
1674 | prescription drug wholesale distributor or an out-of-state |
1675 | prescription drug wholesale distributor submitted to the |
1676 | department must include: |
1677 | (o) Documentation of the credentialing policies and |
1678 | procedures required by s. 499.0121(14). |
1679 | Section 18. Subsections (14) and (15) are added to section |
1680 | 499.0121, Florida Statutes, to read: |
1681 | 499.0121 Storage and handling of prescription drugs; |
1682 | recordkeeping.-The department shall adopt rules to implement |
1683 | this section as necessary to protect the public health, safety, |
1684 | and welfare. Such rules shall include, but not be limited to, |
1685 | requirements for the storage and handling of prescription drugs |
1686 | and for the establishment and maintenance of prescription drug |
1687 | distribution records. |
1688 | (14) DISTRIBUTION REPORTING.-Each prescription drug |
1689 | wholesale distributor, out-of-state prescription drug wholesale |
1690 | distributor, retail pharmacy drug wholesale distributor, |
1691 | manufacturer, or repackager that engages in the wholesale |
1692 | distribution of controlled substances as defined in s. 893.02 |
1693 | shall submit a report to the department of its receipts and |
1694 | distributions of controlled substances listed in Schedule II, |
1695 | Schedule III, Schedule IV, or Schedule V as provided in s. |
1696 | 893.03. Wholesale distributor facilities located within this |
1697 | state shall report all transactions involving controlled |
1698 | substances, and wholesale distributor facilities located outside |
1699 | this state shall report all distributions to entities located in |
1700 | this state. If the prescription drug wholesale distributor, out- |
1701 | of-state prescription drug wholesale distributor, retail |
1702 | pharmacy drug wholesale distributor, manufacturer, or repackager |
1703 | does not have any controlled substance distributions for the |
1704 | month, a report shall be sent indicating that no distributions |
1705 | occurred in the period. The report shall be submitted monthly by |
1706 | the 20th of the next month, in the electronic format used for |
1707 | controlled substance reporting to the Automation of Reports and |
1708 | Consolidated Orders System division of the federal Drug |
1709 | Enforcement Administration. Submission of electronic data must |
1710 | be made in a secured Internet environment that allows for manual |
1711 | or automated transmission. Upon successful transmission, an |
1712 | acknowledgement page must be displayed to confirm receipt. The |
1713 | report must contain the following information: |
1714 | (a) The federal Drug Enforcement Administration |
1715 | registration number of the wholesale distributing location. |
1716 | (b) The federal Drug Enforcement Administration |
1717 | registration number of the entity to which the drugs are |
1718 | distributed or from which the drugs are received. |
1719 | (c) The transaction code that indicates the type of |
1720 | transaction. |
1721 | (d) The National Drug Code identifier of the product and |
1722 | the quantity distributed or received. |
1723 | (e) The Drug Enforcement Administration Form 222 number or |
1724 | Controlled Substance Ordering System Identifier on all schedule |
1725 | II transactions. |
1726 | (f) The date of the transaction. |
1727 |
|
1728 | The department must share the reported data with the Department |
1729 | of Law Enforcement and local law enforcement agencies upon |
1730 | request and must monitor purchasing to identify purchasing |
1731 | levels that are inconsistent with the purchasing entity's |
1732 | clinical needs. The Department of Law Enforcement shall |
1733 | investigate purchases at levels that are inconsistent with the |
1734 | purchasing entity's clinical needs to determine whether |
1735 | violations of chapter 893 have occurred. |
1736 | (15) DUE DILIGENCE OF PURCHASERS.- |
1737 | (a) Each prescription drug wholesale distributor, out-of- |
1738 | state prescription drug wholesale distributor, and retail |
1739 | pharmacy drug wholesale distributor must establish and maintain |
1740 | policies and procedures to credential physicians licensed under |
1741 | chapter 458, chapter 459, chapter 461, or chapter 466 and |
1742 | pharmacies that purchase or otherwise receive from the wholesale |
1743 | distributor controlled substances listed in Schedule II or |
1744 | Schedule III as provided in s. 893.03. The prescription drug |
1745 | wholesale distributor, out-of-state prescription drug wholesale |
1746 | distributor, or retail pharmacy drug wholesale distributor shall |
1747 | maintain records of such credentialing and make the records |
1748 | available to the department upon request. Such credentialing |
1749 | must, at a minimum, include: |
1750 | 1. A determination of the clinical nature of the receiving |
1751 | entity, including any specialty practice area. |
1752 | 2. A review of the receiving entity's history of Schedule |
1753 | II and Schedule III controlled substance purchasing from the |
1754 | wholesale distributor. |
1755 | 3. A determination that the receiving entity's Schedule II |
1756 | and Schedule III controlled substance purchasing history, if |
1757 | any, is consistent with and reasonable for that entity's |
1758 | clinical business needs. |
1759 | (b) A wholesale distributor must take reasonable measures |
1760 | to identify its customers, understand the normal and expected |
1761 | transactions conducted by those customers, and identify those |
1762 | transactions that are suspicious in nature. A wholesale |
1763 | distributor must establish internal policies and procedures for |
1764 | identifying suspicious orders and preventing suspicious |
1765 | transactions. A wholesale distributor must assess orders for |
1766 | greater than 5,000 unit doses of any one controlled substance in |
1767 | any one month to determine whether the purchase is reasonable. |
1768 | In making such assessments, a wholesale distributor may consider |
1769 | the purchasing entity's clinical business needs, location, and |
1770 | population served, in addition to other factors established in |
1771 | the distributor's policies and procedures. A wholesale |
1772 | distributor must report to the department any regulated |
1773 | transaction involving an extraordinary quantity of a listed |
1774 | chemical, an uncommon method of payment or delivery, or any |
1775 | other circumstance that the regulated person believes may |
1776 | indicate that the listed chemical will be used in violation of |
1777 | the law. The wholesale distributor shall maintain records that |
1778 | document the report submitted to the department in compliance |
1779 | with this paragraph. |
1780 | (c) A wholesale distributor may not distribute controlled |
1781 | substances to an entity if any criminal history record check for |
1782 | any person associated with that entity shows that the person has |
1783 | been convicted of, or entered a plea of guilty or nolo |
1784 | contendere to, regardless of adjudication, a crime in any |
1785 | jurisdiction related to controlled substances, the practice of |
1786 | pharmacy, or the dispensing of medicinal drugs. |
1787 | (d) The department shall assess national data from the |
1788 | Automation of Reports and Consolidated Orders System of the |
1789 | federal Drug Enforcement Administration, excluding Florida data, |
1790 | and identify the national average of grams of hydrocodone, |
1791 | morphine, oxycodone, and methadone distributed per pharmacy |
1792 | registrant per month in the most recent year for which data is |
1793 | available. The department shall report the average for each of |
1794 | these drugs to the Governor, the President of the Senate, and |
1795 | the Speaker of the House of Representatives by November 1, 2011. |
1796 | The department shall assess the data reported pursuant to |
1797 | subsection (14) and identify the statewide average of grams of |
1798 | each benzodiazapine distributed per community pharmacy per |
1799 | month. The department shall report the average for each |
1800 | benzodiazapine to the Governor, the President of the Senate, and |
1801 | the 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 |
1806 | enforce this part with respect to: |
1807 | (o) Wholesale distributor reporting requirements of s. |
1808 | 499.0121(14). |
1809 | (p) Wholesale distributor credentialing and distribution |
1810 | requirements of s. 499.0121(15). |
1811 | Section 20. Subsections (8) and (9) are added to section |
1812 | 499.067, Florida Statutes, to read: |
1813 | 499.067 Denial, suspension, or revocation of permit, |
1814 | certification, or registration.- |
1815 | (8) The department may deny, suspend, or revoke a permit |
1816 | if it finds the permittee has not complied with the |
1817 | credentialing requirements of s. 499.0121(15). |
1818 | (9) The department may deny, suspend, or revoke a permit |
1819 | if it finds the permittee has not complied with the reporting |
1820 | requirements of, or knowingly made a false statement in a report |
1821 | required by, s. 499.0121(14). |
1822 | Section 21. Paragraph (f) is added to subsection (3) of |
1823 | section 810.02, Florida Statutes, to read: |
1824 | 810.02 Burglary.- |
1825 | (3) Burglary is a felony of the second degree, punishable |
1826 | as provided in s. 775.082, s. 775.083, or s. 775.084, if, in the |
1827 | course of committing the offense, the offender does not make an |
1828 | assault or battery and is not and does not become armed with a |
1829 | dangerous weapon or explosive, and the offender enters or |
1830 | remains in a: |
1831 | (f) Structure or conveyance when the offense intended to |
1832 | be committed therein is theft of a controlled substance as |
1833 | defined in s. 893.02. Notwithstanding any other law, separate |
1834 | judgments and sentences for burglary with the intent to commit |
1835 | theft of a controlled substance under this paragraph and for any |
1836 | applicable possession of controlled substance offense under s. |
1837 | 893.13 or trafficking in controlled substance offense under s. |
1838 | 893.135 may be imposed when all such offenses involve the same |
1839 | amount or amounts of a controlled substance. |
1840 |
|
1841 | However, if the burglary is committed within a county that is |
1842 | subject to a state of emergency declared by the Governor under |
1843 | chapter 252 after the declaration of emergency is made and the |
1844 | perpetration of the burglary is facilitated by conditions |
1845 | arising from the emergency, the burglary is a felony of the |
1846 | first degree, punishable as provided in s. 775.082, s. 775.083, |
1847 | or s. 775.084. As used in this subsection, the term "conditions |
1848 | arising from the emergency" means civil unrest, power outages, |
1849 | curfews, voluntary or mandatory evacuations, or a reduction in |
1850 | the presence of or response time for first responders or |
1851 | homeland security personnel. A person arrested for committing a |
1852 | burglary within a county that is subject to such a state of |
1853 | emergency may not be released until the person appears before a |
1854 | committing magistrate at a first appearance hearing. For |
1855 | purposes of sentencing under chapter 921, a felony offense that |
1856 | is reclassified under this subsection is ranked one level above |
1857 | the ranking under s. 921.0022 or s. 921.0023 of the offense |
1858 | committed. |
1859 | Section 22. Paragraph (c) of subsection (2) of section |
1860 | 812.014, 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 |
1864 | the third degree, punishable as provided in s. 775.082, s. |
1865 | 775.083, 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 |
1873 | the equine, bovine, or swine class, or other grazing animal, and |
1874 | including aquaculture species raised at a certified aquaculture |
1875 | facility. If the property stolen is aquaculture species raised |
1876 | at a certified aquaculture facility, then a $10,000 fine shall |
1877 | be imposed. |
1878 | 8. Any fire extinguisher. |
1879 | 9. Any amount of citrus fruit consisting of 2,000 or more |
1880 | individual pieces of fruit. |
1881 | 10. Taken from a designated construction site identified |
1882 | by 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. |
1886 | 893.02. Notwithstanding any other law, separate judgments and |
1887 | sentences for theft of a controlled substance under this |
1888 | subparagraph and for any applicable possession of controlled |
1889 | substance offense under s. 893.13 or trafficking in controlled |
1890 | substance offense under s. 893.135 may be imposed when all such |
1891 | offenses involve the same amount or amounts of a controlled |
1892 | substance. |
1893 |
|
1894 | However, if the property is stolen within a county that is |
1895 | subject to a state of emergency declared by the Governor under |
1896 | chapter 252, the property is stolen after the declaration of |
1897 | emergency is made, and the perpetration of the theft is |
1898 | facilitated by conditions arising from the emergency, the |
1899 | offender commits a felony of the second degree, punishable as |
1900 | provided in s. 775.082, s. 775.083, or s. 775.084, if the |
1901 | property is valued at $5,000 or more, but less than $10,000, as |
1902 | provided under subparagraph 2., or if the property is valued at |
1903 | $10,000 or more, but less than $20,000, as provided under |
1904 | subparagraph 3. As used in this paragraph, the term "conditions |
1905 | arising from the emergency" means civil unrest, power outages, |
1906 | curfews, voluntary or mandatory evacuations, or a reduction in |
1907 | the presence of or the response time for first responders or |
1908 | homeland security personnel. For purposes of sentencing under |
1909 | chapter 921, a felony offense that is reclassified under this |
1910 | paragraph is ranked one level above the ranking under s. |
1911 | 921.0022 or s. 921.0023 of the offense committed. |
1912 | Section 23. Section 893.055, Florida Statutes, is amended |
1913 | to 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 |
1917 | information provided by the department in writing, or as |
1918 | determined by the department, to a prescriber, dispenser, |
1919 | pharmacy, or patient concerning the dispensing of controlled |
1920 | substances. All advisory reports are for informational purposes |
1921 | only and impose no obligations of any nature or any legal duty |
1922 | on a prescriber, dispenser, pharmacy, or patient. The patient |
1923 | advisory report shall be provided in accordance with s. |
1924 | 893.13(7)(a)8. The advisory reports issued by the department are |
1925 | not subject to discovery or introduction into evidence in any |
1926 | civil or administrative action against a prescriber, dispenser, |
1927 | pharmacy, or patient arising out of matters that are the subject |
1928 | of the report; and a person who participates in preparing, |
1929 | reviewing, issuing, or any other activity related to an advisory |
1930 | report may not be permitted or required to testify in any such |
1931 | civil action as to any findings, recommendations, evaluations, |
1932 | opinions, or other actions taken in connection with preparing, |
1933 | reviewing, or issuing such a report. |
1934 | (b) "Controlled substance" means a controlled substance |
1935 | listed in Schedule II, Schedule III, or Schedule IV in s. |
1936 | 893.03. |
1937 | (c) "Dispenser" means a pharmacy, dispensing pharmacist, |
1938 | or dispensing health care practitioner. |
1939 | (d) "Health care practitioner" or "practitioner" means any |
1940 | practitioner who is subject to licensure or regulation by the |
1941 | department under chapter 458, chapter 459, chapter 461, chapter |
1942 | 462, chapter 464, chapter 465, or chapter 466. |
1943 | (e) "Health care regulatory board" means any board for a |
1944 | practitioner or health care practitioner who is licensed or |
1945 | regulated by the department. |
1946 | (f) "Pharmacy" means any pharmacy that is subject to |
1947 | licensure or regulation by the department under chapter 465 and |
1948 | that dispenses or delivers a controlled substance to an |
1949 | individual or address in this state. |
1950 | (g) "Prescriber" means a prescribing physician, |
1951 | prescribing practitioner, or other prescribing health care |
1952 | practitioner. |
1953 | (h) "Active investigation" means an investigation that is |
1954 | being conducted with a reasonable, good faith belief that it |
1955 | could lead to the filing of administrative, civil, or criminal |
1956 | proceedings, or that is ongoing and continuing and for which |
1957 | there is a reasonable, good faith anticipation of securing an |
1958 | arrest or prosecution in the foreseeable future. |
1959 | (i) "Law enforcement agency" means the Department of Law |
1960 | Enforcement, a Florida sheriff's department, a Florida police |
1961 | department, or a law enforcement agency of the Federal |
1962 | Government which enforces the laws of this state or the United |
1963 | States relating to controlled substances, and which its agents |
1964 | and officers are empowered by law to conduct criminal |
1965 | investigations and make arrests. |
1966 | (j) "Program manager" means an employee of or a person |
1967 | contracted by the Department of Health who is designated to |
1968 | ensure the integrity of the prescription drug monitoring program |
1969 | in accordance with the requirements established in paragraphs |
1970 | (2)(a) and (b). |
1971 | (2)(a) By December 1, 2010, The department shall design |
1972 | and establish a comprehensive electronic database system that |
1973 | has controlled substance prescriptions provided to it and that |
1974 | provides prescription information to a patient's health care |
1975 | practitioner and pharmacist who inform the department that they |
1976 | wish the patient advisory report provided to them. Otherwise, |
1977 | the patient advisory report will not be sent to the |
1978 | practitioner, pharmacy, or pharmacist. The system shall be |
1979 | designed to provide information regarding dispensed |
1980 | prescriptions of controlled substances and shall not infringe |
1981 | upon the legitimate prescribing or dispensing of a controlled |
1982 | substance by a prescriber or dispenser acting in good faith and |
1983 | in the course of professional practice. The system shall be |
1984 | consistent with standards of the American Society for Automation |
1985 | in Pharmacy (ASAP). The electronic system shall also comply with |
1986 | the Health Insurance Portability and Accountability Act (HIPAA) |
1987 | as it pertains to protected health information (PHI), electronic |
1988 | protected health information (EPHI), and all other relevant |
1989 | state and federal privacy and security laws and regulations. The |
1990 | department shall establish policies and procedures as |
1991 | appropriate regarding the reporting, accessing the database, |
1992 | evaluation, management, development, implementation, operation, |
1993 | storage, and security of information within the system. The |
1994 | reporting of prescribed controlled substances shall include a |
1995 | dispensing transaction with a dispenser pursuant to chapter 465 |
1996 | or through a dispensing transaction to an individual or address |
1997 | in this state with a pharmacy that is not located in this state |
1998 | but that is otherwise subject to the jurisdiction of this state |
1999 | as to that dispensing transaction. The reporting of patient |
2000 | advisory reports refers only to reports to patients, pharmacies, |
2001 | and practitioners. Separate reports that contain patient |
2002 | prescription history information and that are not patient |
2003 | advisory reports are provided to persons and entities as |
2004 | authorized in paragraphs (7)(b) and (c) and s. 893.0551. |
2005 | (b) The department, when the direct support organization |
2006 | receives at least $20,000 in nonstate moneys or the state |
2007 | receives at least $20,000 in federal grants for the prescription |
2008 | drug monitoring program, and in consultation with the Office of |
2009 | Drug Control, shall adopt rules as necessary concerning the |
2010 | reporting, accessing the database, evaluation, management, |
2011 | development, implementation, operation, security, and storage of |
2012 | information within the system, including rules for when patient |
2013 | advisory reports are provided to pharmacies and prescribers. The |
2014 | patient advisory report shall be provided in accordance with s. |
2015 | 893.13(7)(a)8. The department shall work with the professional |
2016 | health care licensure boards, such as the Board of Medicine, the |
2017 | Board of Osteopathic Medicine, and the Board of Pharmacy; other |
2018 | appropriate organizations, such as the Florida Pharmacy |
2019 | Association, the Office of Drug Control, the Florida Medical |
2020 | Association, the Florida Retail Federation, and the Florida |
2021 | Osteopathic Medical Association, including those relating to |
2022 | pain management; and the Attorney General, the Department of Law |
2023 | Enforcement, and the Agency for Health Care Administration to |
2024 | develop rules appropriate for the prescription drug monitoring |
2025 | program. |
2026 | (c) All dispensers and prescribers subject to these |
2027 | reporting requirements shall be notified by the department of |
2028 | the implementation date for such reporting requirements. |
2029 | (d) The program manager shall work with professional |
2030 | health care licensure boards and the stakeholders listed in |
2031 | paragraph (b) to develop rules appropriate for identifying |
2032 | indicators of controlled substance abuse. |
2033 | (3) The pharmacy dispensing the controlled substance and |
2034 | each prescriber who directly dispenses a controlled substance |
2035 | shall submit to the electronic system, by a procedure and in a |
2036 | format established by the department and consistent with an |
2037 | ASAP-approved format, the following information for inclusion in |
2038 | the database: |
2039 | (a) The name of the prescribing practitioner, the |
2040 | practitioner's federal Drug Enforcement Administration |
2041 | registration number, the practitioner's National Provider |
2042 | Identification (NPI) or other appropriate identifier, and the |
2043 | date of the prescription. |
2044 | (b) The date the prescription was filled and the method of |
2045 | payment, such as cash by an individual, insurance coverage |
2046 | through a third party, or Medicaid payment. This paragraph does |
2047 | not authorize the department to include individual credit card |
2048 | numbers or other account numbers in the database. |
2049 | (c) The full name, address, and date of birth of the |
2050 | person for whom the prescription was written. |
2051 | (d) The name, national drug code, quantity, and strength |
2052 | of the controlled substance dispensed. |
2053 | (e) The full name, federal Drug Enforcement Administration |
2054 | registration number, and address of the pharmacy or other |
2055 | location from which the controlled substance was dispensed. If |
2056 | the controlled substance was dispensed by a practitioner other |
2057 | than a pharmacist, the practitioner's full name, federal Drug |
2058 | Enforcement Administration registration number, and address. |
2059 | (f) The name of the pharmacy or practitioner, other than a |
2060 | pharmacist, dispensing the controlled substance and the |
2061 | practitioner's National Provider Identification (NPI). |
2062 | (g) Other appropriate identifying information as |
2063 | determined by department rule. |
2064 | (4) Each time a controlled substance is dispensed to an |
2065 | individual, the controlled substance shall be reported to the |
2066 | department through the system as soon thereafter as possible, |
2067 | but not more than 7 15 days after the date the controlled |
2068 | substance is dispensed unless an extension is approved by the |
2069 | department for cause as determined by rule. A dispenser must |
2070 | meet the reporting requirements of this section by providing the |
2071 | required information concerning each controlled substance that |
2072 | it dispensed in a department-approved, secure methodology and |
2073 | format. Such approved formats may include, but are not limited |
2074 | to, submission via the Internet, on a disc, or by use of regular |
2075 | mail. |
2076 | (5) When the following acts of dispensing or administering |
2077 | occur, the following are exempt from reporting under this |
2078 | section for that specific act of dispensing or administration: |
2079 | (a) A health care practitioner when administering a |
2080 | controlled substance directly to a patient if the amount of the |
2081 | controlled substance is adequate to treat the patient during |
2082 | that particular treatment session. |
2083 | (b) A pharmacist or health care practitioner when |
2084 | administering a controlled substance to a patient or resident |
2085 | receiving care as a patient at a hospital, nursing home, |
2086 | ambulatory surgical center, hospice, or intermediate care |
2087 | facility for the developmentally disabled which is licensed in |
2088 | this state. |
2089 | (c) A practitioner when administering or dispensing a |
2090 | controlled substance in the health care system of the Department |
2091 | of Corrections. |
2092 | (d) A practitioner when administering a controlled |
2093 | substance in the emergency room of a licensed hospital. |
2094 | (e) A health care practitioner when administering or |
2095 | dispensing a controlled substance to a person under the age of |
2096 | 16. |
2097 | (f) A pharmacist or a dispensing practitioner when |
2098 | dispensing a one-time, 72-hour emergency resupply of a |
2099 | controlled substance to a patient. |
2100 | (6) The department may establish when to suspend and when |
2101 | to resume reporting information during a state-declared or |
2102 | nationally declared disaster. |
2103 | (7)(a) A practitioner or pharmacist who dispenses a |
2104 | controlled substance must submit the information required by |
2105 | this section in an electronic or other method in an ASAP format |
2106 | approved by rule of the department unless otherwise provided in |
2107 | this section. The cost to the dispenser in submitting the |
2108 | information required by this section may not be material or |
2109 | extraordinary. Costs not considered to be material or |
2110 | extraordinary include, but are not limited to, regular postage, |
2111 | electronic media, regular electronic mail, and facsimile |
2112 | charges. |
2113 | (b) A pharmacy, prescriber, or dispenser shall have access |
2114 | to information in the prescription drug monitoring program's |
2115 | database which relates to a patient of that pharmacy, |
2116 | prescriber, or dispenser in a manner established by the |
2117 | department as needed for the purpose of reviewing the patient's |
2118 | controlled substance prescription history. Other access to the |
2119 | program's database shall be limited to the program's manager and |
2120 | to the designated program and support staff, who may act only at |
2121 | the direction of the program manager or, in the absence of the |
2122 | program manager, as authorized. Access by the program manager or |
2123 | such designated staff is for prescription drug program |
2124 | management only or for management of the program's database and |
2125 | its system in support of the requirements of this section and in |
2126 | furtherance of the prescription drug monitoring program. |
2127 | Confidential and exempt information in the database shall be |
2128 | released only as provided in paragraph (c) and s. 893.0551. The |
2129 | program manager, designated program and support staff who act at |
2130 | the direction of or in the absence of the program manager, and |
2131 | any individual who has similar access regarding the management |
2132 | of the database from the prescription drug monitoring program |
2133 | shall submit fingerprints to the department for background |
2134 | screening. The department shall follow the procedure established |
2135 | by the Department of Law Enforcement to request a statewide |
2136 | criminal history record check and to request that the Department |
2137 | of Law Enforcement forward the fingerprints to the Federal |
2138 | Bureau of Investigation for a national criminal history record |
2139 | check. |
2140 | (c) The following entities shall not be allowed direct |
2141 | access to information in the prescription drug monitoring |
2142 | program database but may request from the program manager and, |
2143 | when authorized by the program manager, the program manager's |
2144 | program and support staff, information that is confidential and |
2145 | exempt under s. 893.0551. Prior to release, the request shall be |
2146 | verified as authentic and authorized with the requesting |
2147 | organization by the program manager, the program manager's |
2148 | program and support staff, or as determined in rules by the |
2149 | department as being authentic and as having been authorized by |
2150 | the requesting entity: |
2151 | 1. The department or its relevant health care regulatory |
2152 | boards responsible for the licensure, regulation, or discipline |
2153 | of practitioners, pharmacists, or other persons who are |
2154 | authorized to prescribe, administer, or dispense controlled |
2155 | substances and who are involved in a specific controlled |
2156 | substance investigation involving a designated person for one or |
2157 | more prescribed controlled substances. |
2158 | 2. The Attorney General for Medicaid fraud cases involving |
2159 | prescribed controlled substances. |
2160 | 3. A law enforcement agency during active investigations |
2161 | regarding potential criminal activity, fraud, or theft regarding |
2162 | prescribed controlled substances. |
2163 | 4. A patient or the legal guardian or designated health |
2164 | care surrogate of an incapacitated patient as described in s. |
2165 | 893.0551 who, for the purpose of verifying the accuracy of the |
2166 | database information, submits a written and notarized request |
2167 | that includes the patient's full name, address, and date of |
2168 | birth, and includes the same information if the legal guardian |
2169 | or health care surrogate submits the request. The request shall |
2170 | be validated by the department to verify the identity of the |
2171 | patient and the legal guardian or health care surrogate, if the |
2172 | patient's legal guardian or health care surrogate is the |
2173 | requestor. Such verification is also required for any request to |
2174 | change a patient's prescription history or other information |
2175 | related to his or her information in the electronic database. |
2176 |
|
2177 | Information in the database for the electronic prescription drug |
2178 | monitoring system is not discoverable or admissible in any civil |
2179 | or administrative action, except in an investigation and |
2180 | disciplinary proceeding by the department or the appropriate |
2181 | regulatory board. |
2182 | (d) The following entities shall not be allowed direct |
2183 | access to information in the prescription drug monitoring |
2184 | program database but may request from the program manager and, |
2185 | when authorized by the program manager, the program manager's |
2186 | program and support staff, information that contains no |
2187 | identifying information of any patient, physician, health care |
2188 | practitioner, prescriber, or dispenser and that is not |
2189 | confidential and exempt: |
2190 | 1. Department staff for the purpose of calculating |
2191 | performance measures pursuant to subsection (8). |
2192 | 2. The Program Implementation and Oversight Task Force for |
2193 | its reporting to the Governor, the President of the Senate, and |
2194 | the Speaker of the House of Representatives regarding the |
2195 | prescription drug monitoring program. This subparagraph expires |
2196 | July 1, 2012. |
2197 | (e) All transmissions of data required by this section |
2198 | must comply with relevant state and federal privacy and security |
2199 | laws and regulations. However, any authorized agency or person |
2200 | under s. 893.0551 receiving such information as allowed by s. |
2201 | 893.0551 may maintain the information received for up to 24 |
2202 | months before purging it from his or her records or maintain it |
2203 | for longer than 24 months if the information is pertinent to |
2204 | ongoing health care or an active law enforcement investigation |
2205 | or prosecution. |
2206 | (f) The program manager, upon determining a pattern |
2207 | consistent with the rules established under paragraph (2)(d) and |
2208 | having cause to believe a violation of s. 893.13(7)(a)8., |
2209 | (8)(a), or (8)(b) has occurred, may provide relevant information |
2210 | to the applicable law enforcement agency. |
2211 | (8) To assist in fulfilling program responsibilities, |
2212 | performance measures shall be reported annually to the Governor, |
2213 | the President of the Senate, and the Speaker of the House of |
2214 | Representatives by the department each December 1, beginning in |
2215 | 2011. Data that does not contain patient, physician, health care |
2216 | practitioner, prescriber, or dispenser identifying information |
2217 | may be requested during the year by department employees so that |
2218 | the department may undertake public health care and safety |
2219 | initiatives that take advantage of observed trends. Performance |
2220 | measures may include, but are not limited to, efforts to achieve |
2221 | the following outcomes: |
2222 | (a) Reduction of the rate of inappropriate use of |
2223 | prescription drugs through department education and safety |
2224 | efforts. |
2225 | (b) Reduction of the quantity of pharmaceutical controlled |
2226 | substances obtained by individuals attempting to engage in fraud |
2227 | and deceit. |
2228 | (c) Increased coordination among partners participating in |
2229 | the prescription drug monitoring program. |
2230 | (d) Involvement of stakeholders in achieving improved |
2231 | patient health care and safety and reduction of prescription |
2232 | drug abuse and prescription drug diversion. |
2233 | (9) Any person who willfully and knowingly fails to report |
2234 | the dispensing of a controlled substance as required by this |
2235 | section commits a misdemeanor of the first degree, punishable as |
2236 | provided in s. 775.082 or s. 775.083. |
2237 | (10) All costs incurred by the department in administering |
2238 | the prescription drug monitoring program shall be funded through |
2239 | federal grants or private funding applied for or received by the |
2240 | state. The department may not commit funds for the monitoring |
2241 | program without ensuring funding is available. The prescription |
2242 | drug monitoring program and the implementation thereof are |
2243 | contingent upon receipt of the nonstate funding. The department |
2244 | and state government shall cooperate with the direct-support |
2245 | organization established pursuant to subsection (11) in seeking |
2246 | federal grant funds, other nonstate grant funds, gifts, |
2247 | donations, or other private moneys for the department so long as |
2248 | the costs of doing so are not considered material. Nonmaterial |
2249 | costs for this purpose include, but are not limited to, the |
2250 | costs of mailing and personnel assigned to research or apply for |
2251 | a grant. Notwithstanding the exemptions to competitive- |
2252 | solicitation requirements under s. 287.057(3)(f), the department |
2253 | shall comply with the competitive-solicitation requirements |
2254 | under s. 287.057 for the procurement of any goods or services |
2255 | required by this section. Funds provided, directly or |
2256 | indirectly, by prescription drug manufacturers may not be used |
2257 | to implement the program. |
2258 | (11) The Office of Drug Control, in coordination with the |
2259 | department, may establish a direct-support organization that has |
2260 | a board consisting of at least five members to provide |
2261 | assistance, funding, and promotional support for the activities |
2262 | authorized for the prescription drug monitoring program. |
2263 | (a) As used in this subsection, the term "direct-support |
2264 | organization" means an organization that is: |
2265 | 1. A Florida corporation not for profit incorporated under |
2266 | chapter 617, exempted from filing fees, and approved by the |
2267 | Department of State. |
2268 | 2. Organized and operated to conduct programs and |
2269 | activities; raise funds; request and receive grants, gifts, and |
2270 | bequests of money; acquire, receive, hold, and invest, in its |
2271 | own name, securities, funds, objects of value, or other |
2272 | property, either real or personal; and make expenditures or |
2273 | provide funding to or for the direct or indirect benefit of the |
2274 | department in the furtherance of the prescription drug |
2275 | monitoring program. |
2276 | (b) The direct-support organization is not considered a |
2277 | lobbying firm within the meaning of s. 11.045. |
2278 | (c) The State Surgeon General director of the Office of |
2279 | Drug Control shall appoint a board of directors for the direct- |
2280 | support organization. The director may designate employees of |
2281 | the Office of Drug Control, state employees other than state |
2282 | employees from the department, and any other nonstate employees |
2283 | as appropriate, to serve on the board. Members of the board |
2284 | shall serve at the pleasure of the director of the State Surgeon |
2285 | General Office of Drug Control. The State Surgeon General |
2286 | director shall provide guidance to members of the board to |
2287 | ensure that moneys received by the direct-support organization |
2288 | are not received from inappropriate sources. Inappropriate |
2289 | sources include, but are not limited to, donors, grantors, |
2290 | persons, or organizations that may monetarily or substantively |
2291 | benefit from the purchase of goods or services by the department |
2292 | in furtherance of the prescription drug monitoring program. |
2293 | (d) The direct-support organization shall operate under |
2294 | written contract with the department Office of Drug Control. The |
2295 | contract must, at a minimum, provide for: |
2296 | 1. Approval of the articles of incorporation and bylaws of |
2297 | the direct-support organization by the department Office of Drug |
2298 | Control. |
2299 | 2. Submission of an annual budget for the approval of the |
2300 | department Office of Drug Control. |
2301 | 3. Certification by the department Office of Drug Control |
2302 | in consultation with the department that the direct-support |
2303 | organization is complying with the terms of the contract in a |
2304 | manner consistent with and in furtherance of the goals and |
2305 | purposes of the prescription drug monitoring program and in the |
2306 | best interests of the state. Such certification must be made |
2307 | annually and reported in the official minutes of a meeting of |
2308 | the direct-support organization. |
2309 | 4. The reversion, without penalty, to the Office of Drug |
2310 | Control, or to the state if the Office of Drug Control ceases to |
2311 | exist, of all moneys and property held in trust by the direct- |
2312 | support organization for the benefit of the prescription drug |
2313 | monitoring program if the direct-support organization ceases to |
2314 | exist or if the contract is terminated. |
2315 | 5. The fiscal year of the direct-support organization, |
2316 | which must begin July 1 of each year and end June 30 of the |
2317 | following year. |
2318 | 6. The disclosure of the material provisions of the |
2319 | contract to donors of gifts, contributions, or bequests, |
2320 | including such disclosure on all promotional and fundraising |
2321 | publications, and an explanation to such donors of the |
2322 | distinction between the department Office of Drug Control and |
2323 | the direct-support organization. |
2324 | 7. The direct-support organization's collecting, |
2325 | expending, and providing of funds to the department for the |
2326 | development, implementation, and operation of the prescription |
2327 | drug monitoring program as described in this section and s. 2, |
2328 | chapter 2009-198, Laws of Florida, as long as the task force is |
2329 | authorized. The direct-support organization may collect and |
2330 | expend funds to be used for the functions of the direct-support |
2331 | organization's board of directors, as necessary and approved by |
2332 | the department director of the Office of Drug Control. In |
2333 | addition, the direct-support organization may collect and |
2334 | provide funding to the department in furtherance of the |
2335 | prescription drug monitoring program by: |
2336 | a. Establishing and administering the prescription drug |
2337 | monitoring program's electronic database, including hardware and |
2338 | software. |
2339 | b. Conducting studies on the efficiency and effectiveness |
2340 | of the program to include feasibility studies as described in |
2341 | subsection (13). |
2342 | c. Providing funds for future enhancements of the program |
2343 | within the intent of this section. |
2344 | d. Providing user training of the prescription drug |
2345 | monitoring program, including distribution of materials to |
2346 | promote public awareness and education and conducting workshops |
2347 | or other meetings, for health care practitioners, pharmacists, |
2348 | and others as appropriate. |
2349 | e. Providing funds for travel expenses. |
2350 | f. Providing funds for administrative costs, including |
2351 | personnel, audits, facilities, and equipment. |
2352 | g. Fulfilling all other requirements necessary to |
2353 | implement and operate the program as outlined in this section. |
2354 | (e) The activities of the direct-support organization must |
2355 | be consistent with the goals and mission of the department |
2356 | Office of Drug Control, as determined by the office in |
2357 | consultation with the department, and in the best interests of |
2358 | the state. The direct-support organization must obtain a written |
2359 | approval from the department director of the Office of Drug |
2360 | Control for any activities in support of the prescription drug |
2361 | monitoring program before undertaking those activities. |
2362 | (f) The Office of Drug Control, in consultation with the |
2363 | department, may permit, without charge, appropriate use of |
2364 | administrative services, property, and facilities of the Office |
2365 | of Drug Control and the department by the direct-support |
2366 | organization, subject to this section. The use must be directly |
2367 | in keeping with the approved purposes of the direct-support |
2368 | organization and may not be made at times or places that would |
2369 | unreasonably interfere with opportunities for the public to use |
2370 | such facilities for established purposes. Any moneys received |
2371 | from rentals of facilities and properties managed by the Office |
2372 | of Drug Control and the department may be held by the Office of |
2373 | Drug Control or in a separate depository account in the name of |
2374 | the direct-support organization and subject to the provisions of |
2375 | the letter of agreement with the department Office of Drug |
2376 | Control. The letter of agreement must provide that any funds |
2377 | held in the separate depository account in the name of the |
2378 | direct-support organization must revert to the department Office |
2379 | of Drug Control if the direct-support organization is no longer |
2380 | approved by the department Office of Drug Control to operate in |
2381 | the best interests of the state. |
2382 | (g) The Office of Drug Control, in consultation with the |
2383 | department, may adopt rules under s. 120.54 to govern the use of |
2384 | administrative services, property, or facilities of the |
2385 | department or office by the direct-support organization. |
2386 | (h) The department Office of Drug Control may not permit |
2387 | the use of any administrative services, property, or facilities |
2388 | of the state by a direct-support organization if that |
2389 | organization does not provide equal membership and employment |
2390 | opportunities to all persons regardless of race, color, |
2391 | religion, gender, age, or national origin. |
2392 | (i) The direct-support organization shall provide for an |
2393 | independent annual financial audit in accordance with s. |
2394 | 215.981. Copies of the audit shall be provided to the department |
2395 | Office of Drug Control and the Office of Policy and Budget in |
2396 | the Executive Office of the Governor. |
2397 | (j) The direct-support organization may not exercise any |
2398 | power under s. 617.0302(12) or (16). |
2399 | (12) A prescriber or dispenser may have access to the |
2400 | information under this section which relates to a patient of |
2401 | that prescriber or dispenser as needed for the purpose of |
2402 | reviewing the patient's controlled drug prescription history. A |
2403 | prescriber or dispenser acting in good faith is immune from any |
2404 | civil, criminal, or administrative liability that might |
2405 | otherwise be incurred or imposed for receiving or using |
2406 | information from the prescription drug monitoring program. This |
2407 | subsection does not create a private cause of action, and a |
2408 | person may not recover damages against a prescriber or dispenser |
2409 | authorized to access information under this subsection for |
2410 | accessing or failing to access such information. |
2411 | (13) To the extent that funding is provided for such |
2412 | purpose through federal or private grants or gifts and other |
2413 | types of available moneys, the department, in collaboration with |
2414 | the Office of Drug Control, shall study the feasibility of |
2415 | enhancing the prescription drug monitoring program for the |
2416 | purposes of public health initiatives and statistical reporting |
2417 | that respects the privacy of the patient, the prescriber, and |
2418 | the dispenser. Such a study shall be conducted in order to |
2419 | further improve the quality of health care services and safety |
2420 | by improving the prescribing and dispensing practices for |
2421 | prescription drugs, taking advantage of advances in technology, |
2422 | reducing duplicative prescriptions and the overprescribing of |
2423 | prescription drugs, and reducing drug abuse. The requirements of |
2424 | the National All Schedules Prescription Electronic Reporting |
2425 | (NASPER) Act are authorized in order to apply for federal NASPER |
2426 | funding. In addition, the direct-support organization shall |
2427 | provide funding for the department, in collaboration with the |
2428 | Office of Drug Control, to conduct training for health care |
2429 | practitioners and other appropriate persons in using the |
2430 | monitoring program to support the program enhancements. |
2431 | (14) A pharmacist, pharmacy, or dispensing health care |
2432 | practitioner or his or her agent, before releasing a controlled |
2433 | substance to any person not known to such dispenser, shall |
2434 | require the person purchasing, receiving, or otherwise acquiring |
2435 | the controlled substance to present valid photographic |
2436 | identification or other verification of his or her identity to |
2437 | the dispenser. If the person does not have proper |
2438 | identification, the dispenser may verify the validity of the |
2439 | prescription and the identity of the patient with the prescriber |
2440 | or his or her authorized agent. Verification of health plan |
2441 | eligibility through a real-time inquiry or adjudication system |
2442 | will be considered to be proper identification. This subsection |
2443 | does not apply in an institutional setting or to a long-term |
2444 | care facility, including, but not limited to, an assisted living |
2445 | facility or a hospital to which patients are admitted. As used |
2446 | in this subsection, the term "proper identification" means an |
2447 | identification that is issued by a state or the Federal |
2448 | Government containing the person's photograph, printed name, and |
2449 | signature or a document considered acceptable under 8 C.F.R. s. |
2450 | 274a.2(b)(1)(v)(A) and (B). |
2451 | (15) The Agency for Health Care Administration shall |
2452 | continue the promotion of electronic prescribing by health care |
2453 | practitioners, health care facilities, and pharmacies under s. |
2454 | 408.0611. |
2455 | (16) By October 1, 2010, The department shall adopt rules |
2456 | pursuant to ss. 120.536(1) and 120.54 to administer the |
2457 | provisions of this section, which shall include as necessary the |
2458 | reporting, accessing, evaluation, management, development, |
2459 | implementation, operation, and storage of information within the |
2460 | monitoring program's system. |
2461 | Section 24. Section 893.065, Florida Statutes, is amended |
2462 | to read: |
2463 | 893.065 Counterfeit-resistant prescription blanks for |
2464 | controlled substances listed in Schedule II, Schedule III, or |
2465 | Schedule IV.-The Department of Health shall develop and adopt by |
2466 | rule the form and content for a counterfeit-resistant |
2467 | prescription blank which must may be used by practitioners for |
2468 | the purpose of prescribing a controlled substance listed in |
2469 | Schedule II, Schedule III, or Schedule IV, or Schedule V |
2470 | pursuant to s. 456.42. The Department of Health may require the |
2471 | prescription blanks to be printed on distinctive, watermarked |
2472 | paper and to bear the preprinted name, address, and category of |
2473 | professional licensure of the practitioner and that |
2474 | practitioner's federal registry number for controlled |
2475 | substances. The prescription blanks may not be transferred. |
2476 | Section 25. Subsections (4) and (5) of section 893.07, |
2477 | Florida Statutes, are amended to read: |
2478 | 893.07 Records.- |
2479 | (4) Every inventory or record required by this chapter, |
2480 | including prescription records, shall be maintained: |
2481 | (a) Separately from all other records of the registrant, |
2482 | or |
2483 | (b) Alternatively, in the case of Schedule III, IV, or V |
2484 | controlled substances, in such form that information required by |
2485 | this chapter is readily retrievable from the ordinary business |
2486 | records of the registrant. |
2487 |
|
2488 | In either case, the records described in this subsection shall |
2489 | be kept and made available for a period of at least 2 years for |
2490 | inspection and copying by law enforcement officers whose duty it |
2491 | is to enforce the laws of this state relating to controlled |
2492 | substances. Law enforcement officers are not required to obtain |
2493 | a subpoena, court order, or search warrant in order to obtain |
2494 | access 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 |
2497 | of controlled substances lost, destroyed, or stolen, if any; the |
2498 | kind and quantity of such controlled substances; and the date of |
2499 | the discovering of such loss, destruction, or theft. |
2500 | (b) In the event of the discovery of the theft or |
2501 | significant loss of controlled substances, report such theft or |
2502 | significant loss to the sheriff of that county within 24 hours |
2503 | after discovery. A person who fails to report a theft or |
2504 | significant loss of a substance listed in s. 893.03(3), (4), or |
2505 | (5) within 24 hours after discovery as required in this |
2506 | paragraph commits a misdemeanor of the second degree, punishable |
2507 | as provided in s. 775.082 or s. 775.083. A person who fails to |
2508 | report a theft or significant loss of a substance listed in s. |
2509 | 893.03(2) within 24 hours after discovery as required in this |
2510 | paragraph commits a misdemeanor of the first degree, punishable |
2511 | as provided in s. 775.082 or s. 775.083. |
2512 | Section 26. Subsection (7) of section 893.13, Florida |
2513 | Statutes, 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 |
2517 | violation of this chapter. |
2518 | 2. To Refuse or fail to make, keep, or furnish any record, |
2519 | notification, order form, statement, invoice, or information |
2520 | required under this chapter. |
2521 | 3. To Refuse an entry into any premises for any inspection |
2522 | or to refuse to allow any inspection authorized by this chapter. |
2523 | 4. To Distribute a controlled substance named or described |
2524 | in s. 893.03(1) or (2) except pursuant to an order form as |
2525 | required by s. 893.06. |
2526 | 5. To Keep or maintain any store, shop, warehouse, |
2527 | dwelling, building, vehicle, boat, aircraft, or other structure |
2528 | or place which is resorted to by persons using controlled |
2529 | substances in violation of this chapter for the purpose of using |
2530 | these substances, or which is used for keeping or selling them |
2531 | in violation of this chapter. |
2532 | 6. To Use to his or her own personal advantage, or to |
2533 | reveal, any information obtained in enforcement of this chapter |
2534 | except in a prosecution or administrative hearing for a |
2535 | violation of this chapter. |
2536 | 7. To Possess a prescription form which has not been |
2537 | completed and signed by the practitioner whose name appears |
2538 | printed thereon, unless the person is that practitioner, is an |
2539 | agent or employee of that practitioner, is a pharmacist, or is a |
2540 | supplier of prescription forms who is authorized by that |
2541 | practitioner to possess those forms. |
2542 | 8. To Withhold information from a practitioner from whom |
2543 | the person seeks to obtain a controlled substance or a |
2544 | prescription for a controlled substance that the person making |
2545 | the request has received a controlled substance or a |
2546 | prescription for a controlled substance of like therapeutic use |
2547 | from another practitioner within the previous 30 days. |
2548 | 9. To Acquire or obtain, or attempt to acquire or obtain, |
2549 | possession of a controlled substance by misrepresentation, |
2550 | fraud, forgery, deception, or subterfuge. |
2551 | 10. To Affix any false or forged label to a package or |
2552 | receptacle containing a controlled substance. |
2553 | 11. To Furnish false or fraudulent material information |
2554 | in, or omit any material information from, any report or other |
2555 | document required to be kept or filed under this chapter or any |
2556 | record required to be kept by this chapter. |
2557 | 12. To Store anhydrous ammonia in a container that is not |
2558 | approved by the United States Department of Transportation to |
2559 | hold anhydrous ammonia or is not constructed in accordance with |
2560 | sound engineering, agricultural, or commercial practices. |
2561 | 13. With the intent to obtain a controlled substance or |
2562 | combination of controlled substances that are not medically |
2563 | necessary for the person or an amount of a controlled substance |
2564 | or substances that are not medically necessary for the person, |
2565 | obtain or attempt to obtain from a practitioner a controlled |
2566 | substance or a prescription for a controlled substance by |
2567 | misrepresentation, fraud, forgery, deception, subterfuge, or |
2568 | concealment of a material fact. For purposes of this |
2569 | subparagraph, a material fact includes whether the person has an |
2570 | existing prescription for a controlled substance issued for the |
2571 | same period of time by another practitioner or as described in |
2572 | subparagraph 8. |
2573 | (b) A health care practitioner, with the intent to provide |
2574 | a controlled substance or combination of controlled substances |
2575 | that are not medically necessary to his or her patient or an |
2576 | amount of controlled substances that are not medically necessary |
2577 | for his or her patient, may not provide a controlled substance |
2578 | or a prescription for a controlled substance by |
2579 | misrepresentation, fraud, forgery, deception, subterfuge, or |
2580 | concealment of a material fact. For purposes of this paragraph, |
2581 | a material fact includes whether the patient has an existing |
2582 | prescription for a controlled substance issued for the same |
2583 | period of time by another practitioner or as described in |
2584 | subparagraph (a)8. |
2585 | (c)(b) Any person who violates the provisions of |
2586 | subparagraphs (a)1.-7. commits a misdemeanor of the first |
2587 | degree, punishable as provided in s. 775.082 or s. 775.083; |
2588 | except that, upon a second or subsequent violation, the person |
2589 | commits a felony of the third degree, punishable as provided in |
2590 | s. 775.082, s. 775.083, or s. 775.084. |
2591 | (d)(c) Any person who violates the provisions of |
2592 | subparagraphs (a)8.-12. commits a felony of the third degree, |
2593 | punishable as provided in s. 775.082, s. 775.083, or s. 775.084. |
2594 | (e) A person or health care practitioner who violates the |
2595 | provisions of paragraph (b) or subparagraph (a)13. commits a |
2596 | felony of the third degree, punishable as provided in s. |
2597 | 775.082, s. 775.083, or s. 775.084, if any controlled substance |
2598 | that is the subject of the offense is listed in Schedule II, |
2599 | Schedule III, or Schedule IV. |
2600 | Section 27. Present subsections (3) through (10) of |
2601 | section 893.138, Florida Statutes, are redesignated as |
2602 | subsections (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, |
2605 | prostitution-related, or stolen-property-related public |
2606 | nuisances and criminal gang activity.- |
2607 | (3) Any pain-management clinic, as described in s. |
2608 | 458.3265 or s. 459.0137, which has been used on more than two |
2609 | occasions 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, |
2611 | relating 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 |
2615 | snatching; or |
2616 | (e) Section 893.13, relating to the unlawful distribution |
2617 | of controlled substances, |
2618 |
|
2619 | may be declared to be a public nuisance, and such nuisance may |
2620 | be 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, |
2623 | each physician licensed under chapter 458, chapter 459, chapter |
2624 | 461, or chapter 466, Florida Statutes, unless he or she meets |
2625 | one of the exceptions for physician who dispenses under s. |
2626 | 465.0276, Florida Statutes, shall ensure that the undispensed |
2627 | inventory of controlled substances listed in Schedule II or |
2628 | Schedule III as provided in s. 893.03, Florida Statutes, |
2629 | purchased under the physician's Drug Enforcement Administration |
2630 | number for dispensing is: |
2631 | 1. Returned in compliance with the laws and rules adopted |
2632 | under chapter 499, Florida Statutes, to the wholesale |
2633 | distributor, as defined in s. 499.003, Florida Statutes, which |
2634 | distributed the controlled substances to the physician; or |
2635 | 2. Turned in to local law enforcement agencies and |
2636 | abandoned. |
2637 | (b) Wholesale distributors shall buy back the undispensed |
2638 | inventory of controlled substances listed in Schedule II or |
2639 | Schedule III as provided in s. 893.03, Florida Statutes, which |
2640 | are in the manufacturer's original packing, unopened, and in |
2641 | date, in accordance with the established policies of the |
2642 | wholesale distributor or the contractual terms between the |
2643 | wholesale 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 |
2647 | health epidemic by the United States Centers for Disease Control |
2648 | and Prevention. |
2649 | 2. Prescription drug abuse results in an average of seven |
2650 | deaths in this state each day. |
2651 | 3. Physicians in this state purchased more than 85 percent |
2652 | of the oxycodone purchased by all practitioners in the United |
2653 | States in 2006. |
2654 | 4. Physicians in this state purchased more than 93 percent |
2655 | of the methadone purchased by all practitioners in the United |
2656 | States in 2006. |
2657 | 5. Some physicians in this state dispense medically |
2658 | unjustifiable amounts of controlled substances to addicts and to |
2659 | people who intend to illegally sell the drugs. |
2660 | 6. Physicians in this state who have purchased large |
2661 | quantities of controlled substances may have significant |
2662 | inventory 30 days after the effective date of this act. |
2663 | 7. Thirty days after the effective date of this act, the |
2664 | only legal method for a dispensing practitioner to sell or |
2665 | otherwise transfer controlled substances listed in Schedule II |
2666 | or Schedule III as provided in s. 893.03, Florida Statutes, |
2667 | purchased for dispensing, is through the abandonment procedures |
2668 | of subsection (1) or as authorized under s. 465.0276, Florida |
2669 | Statutes. |
2670 | 8. It is likely that the same physicians who purchase and |
2671 | dispense medically unjustifiable amounts of drugs will not |
2672 | legally dispose of the remaining inventory. |
2673 | 9. The actions of such dispensing practitioners may result |
2674 | in substantial injury to the public health. |
2675 | (b) Immediately upon the effective date of this act, the |
2676 | State Health Officer shall declare a public health emergency |
2677 | pursuant to s. 381.00315, Florida Statutes. Pursuant to that |
2678 | declaration, the Department of Health, the Attorney General, the |
2679 | Department of Law Enforcement, and local law enforcement |
2680 | agencies shall take the following actions: |
2681 | 1. Within 2 days after the effective date of this act, in |
2682 | consultation with wholesale distributors as defined in s. |
2683 | 499.003, Florida Statutes, the Department of Health shall |
2684 | identify dispensing practitioners who purchased more than an |
2685 | average of 2,000 unit doses of controlled substances listed in |
2686 | Schedule II or Schedule III as provided in s. 893.03, Florida |
2687 | Statutes, per month in the previous 6 months, and shall identify |
2688 | the dispensing practitioners in that group who pose the greatest |
2689 | threat 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 |
|
2695 | The Attorney General shall consult and coordinate with federal |
2696 | law enforcement agencies. The Department of Law Enforcement |
2697 | shall coordinate the efforts of local law enforcement agencies. |
2698 | 2. On the 3rd day after the effective date of this act, |
2699 | the Department of Law Enforcement or local law enforcement |
2700 | agencies shall enter the business premises of the dispensing |
2701 | practitioners identified as posing the greatest threat to public |
2702 | health and quarantine any inventory of controlled substances |
2703 | listed in Schedule II or Schedule III as provided in s. 893.03, |
2704 | Florida Statutes, of such dispensing practitioners on site. |
2705 | 3. The Department of Law Enforcement or local law |
2706 | enforcement agencies shall ensure the security of such inventory |
2707 | 24 hours a day until the inventory is seized as contraband or |
2708 | deemed to be lawfully possessed for dispensing by the physician |
2709 | in accordance with s. 465.0276, Florida Statutes. |
2710 | 4. On the 31st day after the effective date of this act, |
2711 | any remaining inventory of controlled substances listed in |
2712 | Schedule II or Schedule III as provided in s. 893.03, Florida |
2713 | Statutes, purchased for dispensing by practitioners is deemed |
2714 | contraband under s. 893.12, Florida Statutes. The Department of |
2715 | Law Enforcement or local law enforcement agencies shall seize |
2716 | the inventory and comply with the provisions of s. 893.12, |
2717 | Florida Statutes, to destroy it. |
2718 | (c) In order to implement this subsection, the sum of $3 |
2719 | million of nonrecurring funds from the General Revenue Fund is |
2720 | appropriated to the Department of Law Enforcement for the 2010- |
2721 | 2011 fiscal year. The Department of Law Enforcement shall expend |
2722 | the appropriation by reimbursing local law enforcement agencies |
2723 | for the overtime-hour costs associated with securing the |
2724 | quarantined controlled substance inventory as provided in |
2725 | paragraph (b) and activities related to investigation and |
2726 | prosecution of crimes related to prescribed controlled |
2727 | substances. If requests for reimbursement exceed the amount |
2728 | appropriated, the reimbursements shall be prorated by the hours |
2729 | of overtime per requesting agency at a maximum of one law |
2730 | enforcement officer per quarantine site. |
2731 | (3) REPEAL.-This section expires January 1, 2013. |
2732 | Section 29. The Department of Health shall establish a |
2733 | practitioner profile for dentists licensed under chapter 466, |
2734 | Florida Statutes, for a practitioner's designation as a |
2735 | controlled substance prescribing practitioner as provided in s. |
2736 | 456.44, Florida Statutes. |
2737 | Section 30. If any provision of this act or its |
2738 | application to any person or circumstance is held invalid, the |
2739 | invalidity does not affect other provisions or applications of |
2740 | the act which can be given effect without the invalid provision |
2741 | or application, and to this end the provisions of this act are |
2742 | severable. |
2743 | Section 31. This act shall take effect July 1, 2011. |