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Sub. S. B. No. 258 As Reported by the House Health and Aging CommitteeAs Reported by the House Health and Aging Committee
130th General Assembly | Regular Session | 2013-2014 |
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Cosponsors:
Senators Beagle, Brown, Coley, Gentile, Hite, LaRose, Lehner, Oelslager, Patton, Peterson, Schaffer, Uecker
Representatives Brown, Bishoff, Wachtmann
A BILL
To amend sections 4725.01 and 4725.091 and to enact
sections 3901.81, 3901.811, 3901.812, 3901.813,
3901.814, and 3901.815 of the Revised Code to
establish standards for the performance of
pharmacy audits in Ohio and to authorize the
continued use of certain analgesic controlled
substances in the practice of optometry.
BE IT ENACTED BY THE GENERAL ASSEMBLY OF THE STATE OF OHIO:
Section 1. That sections 4725.01 and 4725.091 be amended and
sections 3901.81, 3901.811, 3901.812, 3901.813, 3901.814, and
3901.815 of the Revised Code be enacted to read as follows:
Sec. 3901.81. As used in this section and sections 3901.811
to 3901.815 of the Revised Code:
(A) "Auditing entity" means any person or government entity
that performs a pharmacy audit, including a payer, a pharmacy
benefit manager, or a third-party administrator licensed under
Chapter 3959. of the Revised Code.
(B) "Business day" means any day of the week excluding
Saturday, Sunday, and a legal holiday, as defined in section 1.14
of the Revised Code.
(C) "Concurrent review" means a claims review within five
business days of submission of claims for payment for the
provision of dangerous drugs for which the payer or the auditing
entity does not impose a penalty or demand to recoup money from
the pharmacy in any amount.
(D) "Dangerous drug," "pharmacy," "practice of pharmacy," and
"prescription" have the same meanings as in section 4729.01 of the
Revised Code.
(E) "Payer" means any of the following that pays for or
processes a claim for payment for the provision of dangerous drugs
or pharmacy services:
(1) A health insuring corporation, as defined in section
1751.01 of the Revised Code;
(2) A person authorized to engage in the business of sickness
and accident insurance under Title XXXIX of the Revised Code;
(3) A person or government entity providing coverage of
dangerous drugs or pharmacy services to individuals on a
self-insurance basis;
(4) A group health plan, as defined in 29 U.S.C. 1167;
(5) A service benefit plan, as referenced in 42 U.S.C.
1396a(a)(25);
(6) A medicaid managed care organization that has entered
into a contract with the department of medicaid pursuant to
section 5167.10 of the Revised Code;
(7) Any other person or government entity that is, by law,
contract, or agreement, responsible for paying for or processing a
claim for payment for the provision of dangerous drugs or pharmacy
services.
(F) "Pharmacy audit" means a review of one or more pharmacy
records conducted by an auditing entity, one purpose of which is
to identify discrepancies in claims for payment for the provision
of dangerous drugs or pharmacy services. "Pharmacy audit" does not
include concurrent review.
(G) "Pharmacy benefit manager" means a person that provides
administrative services related to the processing of claims for
payment for the provision of dangerous drugs or pharmacy services,
including performing pharmacy audit compliance, negotiating
pharmaceutical rebate agreements, developing and managing drug
formularies and preferred drug lists, and administering programs
for payers' prior authorization of claims for payment for the
provision of dangerous drugs or pharmacy services.
(H) "Pharmacy record" means any record stored electronically
or as a hard copy by a pharmacy that relates to the provision of
dangerous drugs or pharmacy services or any other component of
pharmacist care that is included in the practice of pharmacy.
Sec. 3901.811. (A) Except as provided in division (B) of
this section, an auditing entity is subject to all of the
following conditions when performing a pharmacy audit in this
state on or after January 1, 2015:
(1) If it is necessary that the pharmacy audit be performed
on the premises of a pharmacy, the auditing entity shall give the
pharmacy that is the subject of the audit written notice of the
date or dates on which the audit will be performed and the range
of prescription numbers from which the auditing entity will select
pharmacy records to audit. Notice of the date or dates on which
the audit will be performed shall be given not less than ten
business days before the date the audit is to commence. Notice of
the range of prescription numbers from which the auditing entity
will select pharmacy records to audit shall be received by the
pharmacy not less than seven business days before the date of the
audit is to commence.
(2) The auditing entity shall not include in the pharmacy
audit a review of a claim for payment for the provision of
dangerous drugs or pharmacy services if the date of the pharmacy's
initial submission of the claim for payment occurred more than
twenty-four months before the date the audit commences.
(3) Absent an indication that there was an error in the
dispensing of a drug, the auditing entity or payer shall not seek
to recoup from the pharmacy that is the subject of the audit any
amount that the pharmacy audit identifies as being the result of
clerical or recordkeeping errors in the absence of financial harm.
For purposes of this provision, an error in the dispensing of a
drug is any of the following: selecting an incorrect drug, issuing
incorrect directions, or dispensing a drug to the incorrect
patient.
(4) The auditing entity shall not use the accounting practice
of extrapolation when calculating a monetary penalty to be imposed
or amount to be recouped as the result of the pharmacy audit.
(B)(1) The condition in division (A)(1) of this section does
not apply if, prior to the audit, the auditing entity has
evidence, from its review of claims data, statements, or physical
evidence or its use of other investigative methods, indicating
that fraud or other intentional or willful misrepresentation
exists.
(2) The condition in division (A)(3) of this section does not
apply if the auditing entity has evidence, from its review of
claims data, statements, or physical evidence or its use of other
investigative methods, indicating that fraud or other intentional
or willful misrepresentation exists.
(3) Division (A)(4) of this section does not apply when the
accounting practice of extrapolation is required by state or
federal law.
Sec. 3901.812. A pharmacy may do any of the following when a
pharmacy audit is performed:
(A) Validate a pharmacy record by using original or
photocopied records from hospitals, physicians, or other health
care providers;
(B) Validate one or more claims for payment for the provision
of dangerous drugs or pharmacy services by using either of the
following:
(1) An original pharmacy record or photocopy of the record;
(2) An original prescription or photocopy of the prescription
in any form that constitutes a valid prescription in this state,
including a written prescription, a prescription made through an
electronic prescribing system, a prescription delivered by
facsimile, a prescription made by issuing an order for medication
administration, and the record a pharmacist maintains under
section 4729.37 of the Revised Code documenting a prescription
received by telephone.
(C) Resubmit a disputed or denied claim for payment using any
commercially reasonable method of resubmission, including
resubmission by facsimile, mail, or electronic means, as long as
the time period for resubmissions established by the relevant
payer has not expired.
Sec. 3901.813. (A) Except as provided in division (B) of
this section, all of the following apply after a pharmacy audit is
completed:
(1) A pharmacy shall be given not less than thirty days from
the date of the on-site audit to provide the auditing entity any
additional information necessary to complete the preliminary audit
report.
(2) Not later than sixty business days after the audit is
completed, the auditing entity shall deliver a preliminary audit
report to the pharmacy that was the subject of the audit.
(3) A pharmacy that disputes any finding in the preliminary
audit report may submit documentation to the auditing entity to
appeal the finding. A pharmacy shall be given not less than thirty
business days to make the submission and may request an extension
of the time period given. The auditing entity shall grant a
request for an extension if it is reasonable.
A pharmacy's submission of documentation to appeal the
finding shall be made in accordance with the procedure the
auditing entity has established under section 3901.814 of the
Revised Code.
(4)(a) An auditing entity shall deliver a final audit report
to the pharmacy that was the subject of the audit. Except as
provided in division (A)(4)(b) of this section, the report shall
be delivered not later than one hundred twenty business days after
the pharmacy's receipt of a preliminary audit report.
(b) If an auditing entity has granted a pharmacy's request
for an extension of the time to submit documentation to appeal a
finding in the preliminary audit report under division (A)(3) of
this section, the time limit described in division (A)(4)(a) of
this section for the delivery of the final audit report is waived.
Instead, the auditing entity shall deliver the final audit report
not later than one hundred twenty days after the pharmacy's
submission of the documentation.
(B) The provisions of division (A) of this section do not
apply if the auditing entity has evidence, from its review of
claims data, statements, or physical evidence or its use of other
investigative methods, indicating that fraud or other intentional
or willful misrepresentation exists.
Sec. 3901.814. Each auditing entity in this state shall
establish in writing separate procedures for a pharmacy to appeal
one or more findings in a preliminary audit report issued under
section 3901.813 of the Revised Code.
Sec. 3901.815. Sections 3901.811 to 3901.814 of the Revised
Code shall not apply to an auditing entity that is a medicaid
managed care organization if application of those sections to the
entity would be in violation of federal law.
Sec. 4725.01. As used in this chapter:
(A)(1) The "practice of optometry" means the application of
optical principles, through technical methods and devices, in the
examination of human eyes for the purpose of ascertaining
departures from the normal, measuring their functional powers,
adapting optical accessories for the aid thereof, and detecting
ocular abnormalities that may be evidence of disease, pathology,
or injury.
(2) In the case of a licensed optometrist who holds a topical
ocular pharmaceutical agents certificate, the "practice of
optometry" has the same meaning as in division (A)(1) of this
section, except that it also includes administering topical ocular
pharmaceutical agents.
(3) In the case of a licensed optometrist who holds a
therapeutic pharmaceutical agents certificate, the "practice of
optometry" has the same meaning as in division (A)(1) of this
section, except that it also includes all of the following:
(a) Employing, applying, administering, and prescribing
instruments, devices, and procedures, other than invasive
procedures, for purpose of examination, investigation, diagnosis,
treatment, or prevention of any disease, injury, or other abnormal
condition of the visual system;
(b) Employing, applying, administering, and prescribing
topical ocular pharmaceutical agents;
(c) Employing, applying, administering, and prescribing
therapeutic pharmaceutical agents;
(d) Assisting an individual in determining the individual's
blood glucose level by using a commercially available
glucose-monitoring device. Nothing in this section precludes a
licensed optometrist who holds a therapeutic pharmaceutical agents
certificate from using any particular type of commercially
available glucose-monitoring device.
(B) "Topical ocular pharmaceutical agent" means a drug or
dangerous drug that is a topical drug and used in the practice of
optometry as follows:
(1) In the case of a licensed optometrist who holds a topical
ocular pharmaceutical agents certificate, for evaluative purposes
in the practice of optometry as set forth in division (A)(1) of
this section;
(2) In the case of a licensed optometrist who holds a
therapeutic pharmaceutical agents certificate, for purposes of
examination, investigation, diagnosis, treatment, or prevention of
any disease, injury, or other abnormal condition of the visual
system.
(C) "Therapeutic pharmaceutical agent" means a drug or
dangerous drug that is used for examination, investigation,
diagnosis, treatment, or prevention of any disease, injury, or
other abnormal condition of the visual system in the practice of
optometry by a licensed optometrist who holds a therapeutic
pharmaceutical agents certificate, and is any of the following:
(1) An oral drug or dangerous drug in one of the following
classifications:
(a) Anti-infectives, including antibiotics, antivirals,
antimicrobials, and antifungals;
(d) Analgesics, including only analgesic drugs that are
available without a prescription, analgesic drugs or dangerous
drugs that require a prescription but are not controlled
substances, and schedule III analgesic drugs that are controlled
substances and authorized by the state board of optometry in rules
adopted under section 4725.091 of the Revised Code;
(e) Anti-inflammatories, excluding all drugs or dangerous
drugs classified as oral steroids other than methylpredisolone,
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except that methylpredisolone may be used under a therapeutic
pharmaceutical agents certificate only if it is prescribed under
all of the following conditions:
(i) For use in allergy cases;
(ii) For use by an individual who is eighteen years of age or
older;
(iii) On the basis of an individual's particular episode of
illness;
(iv) In an amount that does not exceed the amount packaged
for a single course of therapy.
(2) Epinephrine administered by injection to individuals in
emergency situations to counteract anaphylaxis or anaphylactic
shock. Notwithstanding any provision of this section to the
contrary, administration of epinephrine in this manner does not
constitute performance of an invasive procedure.
(3) An oral drug or dangerous drug that is not included under
division (C)(1) of this section, if the drug or dangerous drug is
approved, exempt from approval, certified, or exempt from
certification by the federal food and drug administration for
ophthalmic purposes and the drug or dangerous drug is specified in
rules adopted by the state board of optometry under section
4725.09 of the Revised Code.
(D) "Controlled substance" has the same meaning as in section
3719.01 of the Revised Code.
(E) "Drug" and "dangerous drug" have the same meanings as in
section 4729.01 of the Revised Code.
(F) "Invasive procedure" means any procedure that involves
cutting or otherwise infiltrating human tissue by mechanical means
including surgery, laser surgery, ionizing radiation, therapeutic
ultrasound, administering medication by injection, or the removal
of intraocular foreign bodies.
(G) "Visual system" means the human eye and its accessory or
subordinate anatomical parts.
(H) "Certificate of licensure" means a certificate issued by
the state board of optometry under section 4725.13 of the Revised
Code authorizing the holder to practice optometry as provided in
division (A)(1) of this section.
(I) "Topical ocular pharmaceutical agents certificate" means
a certificate issued by the state board of optometry under section
4725.13 of the Revised Code authorizing the holder to practice
optometry as provided in division (A)(2) of this section.
(J) "Therapeutic pharmaceutical agents certificate" means a
certificate issued by the state board of optometry under division
(A)(3) or (4) of section 4725.13 of the Revised Code authorizing
the holder to practice optometry as provided in division (A)(3) of
this section.
Sec. 4725.091. (A) The state board of optometry shall adopt
rules governing the authority of licensed optometrists practicing
under therapeutic pharmaceutical agents certificates to employ,
apply, administer, and prescribe schedule III analgesic drugs that
are controlled substances under a therapeutic pharmaceutical
agents certificate. The rules shall be adopted in accordance with
Chapter 119. of the Revised Code and in consultation with the
state board of pharmacy.
(B) All of the following apply to the state board of
optometry in the adoption of rules under this section:
(1) The board shall not permit an optometrist to employ,
apply, administer, or prescribe a schedule III an analgesic drug
that is a controlled substance other than a drug that is either of
the following:
(a) A drug that is included in section 3719.41 of the Revised
Code within the schedule III narcotics-narcotic preparations
category;
(b) A drug that immediately prior to the effective date of
this amendment was included in section 3719.41 of the Revised Code
within the schedule III narcotics-narcotic preparations category,
even if that drug subsequently is transferred to a different
schedule or category by the general assembly, the state board of
pharmacy pursuant to section 3719.44 of the Revised Code, or the
United States attorney general pursuant to the federal drug abuse
control laws, as defined in section 3719.01 of the Revised Code.
(2) The board shall limit the schedule III analgesic drugs
that are controlled substances that optometrists may employ,
apply, administer, or prescribe to the drugs that the board
determines are appropriate for use in the practice of optometry
under a therapeutic pharmaceutical agents certificate.
(3) With regard to the prescribing of schedule III analgesic
drugs that are controlled substances, the board shall establish
prescribing standards to be followed by optometrists who hold
therapeutic pharmaceutical agents certificates. The board shall
take into account the prescribing standards that exist within the
health care marketplace.
(4) The board shall establish standards and procedures for
employing, applying, administering, and prescribing schedule III
analgesic drugs that are controlled substances under a therapeutic
pharmaceutical agents certificate by taking into consideration and
examining issues that include the appropriate length of drug
therapy, appropriate standards for drug treatment, necessary
monitoring systems, and any other factors the board considers
relevant.
Section 2. That existing sections 4725.01 and 4725.091 of
the Revised Code are hereby repealed.
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