Code of Maine Rules
14 - DEPARTMENT OF HEALTH AND HUMAN SERVICES
197 - OFFICE OF AGING AND DISABILITY SERVICES
Chapter 10 - CERTIFICATION REQUIREMENTS FOR AGENCIES SEEKING TO PROVIDE COMMUNITY BASED TARGETED CASE MANAGEMENT FOR ADULTS WITH MENTAL RETARDATION AND AUTISM
Section 197-10-IV - AGENCY ORGANIZATION
Universal Citation: 14 ME Code Rules ยง 197-10-IV
Current through 2024-38, September 18, 2024
A. Statement of Ownership
1. Authority. The agency
shall maintain documentary evidence of its source(s) of authority to provide
services. Such evidence will include articles of incorporation, corporate
charter or similar documents.
2.
Records. Corporations, partnerships or associations, whether for-profit or
not-for-profit, shall maintain records of the names and current addresses of
officers and directors, charters, partnership agreements, constitutions,
articles of association and/or by-laws, as applicable.
3. For-Profit Organizations. Organizations
operating on a for-profit basis shall maintain the names and current addresses
of principal owners.
B. Governing Body
1. Membership of
the Governing Body
a. Employees of any state
or Federal government entity assigned responsibilities associated with the
licensing of, purchase of service from, or contracting with the agency, or
members of the immediate family of such employees, shall not be members of the
Governing Body.
b. The agency shall
maintain a record of the membership of the Governing Body, indicating the
position and term of office for each member.
2. Nonprofit Organizations
a. If a paid agency staff person or the chief
administrative officer of the agency serves as a member of the Governing Body,
he or she shall not have a vote.
b.
Members of the Governing Body of nonprofit organizations shall number no fewer
than three persons.
c. Agencies
shall make concerted efforts to include persons who are recipients of agency
services or their family members as equal members of the Governing Body. At
least one person with a developmental disability or a family member should be a
member of the Governing Body. The input of the members of the Governing Body
who are recipients or family members shall be solicited in meaningful ways for
the full spectrum of the governance activities of the agency. Documentation and
adequacy of such efforts shall be subject to the review of the
Department.
3.
For-Profit Organizations
a. Advisory Board.
i. The Governing Body shall be served by an
advisory board.
ii. The advisory
board shall be appointed by the governing body from among persons knowledgeable
in case management. Members of the advisory board shall not include: members of
the Governing Body; officers, directors, partners or owners; relatives or
employees of members of the governing body, officers, directors, partners or
owners; employees of any government entity assigned responsibilities associated
with the licensing of, purchase of service from, or contracting with the
agency, or members of the immediate family of such employees; or employees of
the agency.
iii. Agencies shall
make concerted efforts to include persons who are recipients of agency services
or their family members as equal members of the advisory board. At least one
person with a developmental disability or a family member should be a member of
the advisory board. The input of the members of the advisory board who are
recipients or family members shall be solicited in meaningful ways for the full
spectrum of the governance activities of the agency. Documentation and adequacy
of such efforts shall be subject to the review of the Department.
iv. The agency shall maintain a list of the
members of the advisory board which shall indicate the name, current address,
professional occupation and term of membership.
v. The agency shall provide to the advisory
board the support needed to carry out its duties.
b. Duties of the Advisory Board
i. The advisory board shall provide advice to
the Governing Body on matters affecting the provision of services to adults
with mental retardation and autism.
ii. The advisory board shall meet at least
quarterly.
iii. The advisory board
shall develop and maintain by- laws governing its operation, to include but not
necessarily be limited to, quorum and selection of the chair.
iv. The advisory board shall maintain records
of attendance and minutes of its meetings. Such minutes shall include matters
reviewed, the results of any votes, and advisory opinions provided. Minutes
shall be forwarded to the Governing Body. Records of attendance and minutes
shall be maintained by the agency and made available to the
Department.
4. Duties of the Governing Body
a. Meetings. The Governing Body shall
i. meet at least quarterly;
ii. maintain records of attendance and
minutes of its meetings. Records of attendance and minutes shall be maintained
by the agency and made available to the Department;
iii. adopt a policy regarding conflicts of
interest for its members. At minimum, the policy must define a conflict of
interest and a matter of self interest, and describe the procedures for
resolving those conflicts.
b. Agency Operation and Management. The
Governing Body shall
i. develop a mission
statement describing the overall philosophy and function of the
agency;
ii. be responsible for and
have authority over the policies and operations of the agency;
iii. respond in writing to the
recommendations of the Advisory Board, if applicable;
iv. designate a person to act as chief
administrative officer of the agency and delegate sufficient authority to that
person to manage the agency, while retaining responsibility and authority for
those areas specifically described in these rules;
v. complete an annual written performance
review of the chief administrative officer;
vi. formulate and periodically review, or
designate authority to formulate and approve, written policies required by
these rules, in consultation with the chief administrative officer;
vii. periodically confer with persons
receiving services and members of the communities in which services are
provided as to the nature and direction the agency is heading;
viii. make available to the Department any
policies or records required by these rules or reasonably related to the
assessment of compliance with these rules;
ix. ensure that services are provided in
compliance with the ADA, Section 504 of the Rehabilitation Act and the Maine
Human Rights Act (MHRA);
xi. be
governed in all respects by the laws, statutes, and regulations of the United
States of America and of the State of Maine;
xii. certify that it shall provide a
workplace free of illegal or illicit drugs,
xiii. ensure there is in place a quality
management system that serves as an integral part of providing quality services
to the persons served by the agency.
c. Fiscal Management. The Governing Body
shall
i. ensure that the agency is adequately
funded to provide certified services;
ii. provide physical facilities, staff,
equipment, supplies and other needs adequate and sufficient to provide
services;
iii. review and approve
the agency's annual budget;
iv.
provide for an annual report of the agency's financial status, completed by an
independent auditor, consistent with these rules, and shall review and accept
said report.
d.
Communication with the Department. The Governing Body shall ensure written
notification to the Department
i. ninety
calendar days in advance of any proposed change in location, name or ownership
of the agency;
ii. thirty calendar
days prior to any planned change or within ten calendar days following any
unplanned change of chief administrative officer of the agency;
iii. sixty calendar days in advance of any
substantial change in policy or service;
iv. within two working days after the agency
receives notice of any legal proceedings arising from circumstances related to
the provision of services or the continued operation of the facility and/or
program, whether brought against the agency or against any employee;
v. within two calendar days after receiving
notice or learning of criminal convictions for events occurring in the agency
workplace;
vi. within ten calendar
days after receiving notice of significant discrepancies found at
audit.
C. Chief Administrative Officer
1. Selection and Appointment
a. The chief administrative officer shall be
appointed by the Governing Body from among persons knowledgeable, by training
and experience, and capable of managing the affairs of the agency. The chief
administrative officer shall possess a baccalaureate degree from an accredited
college or university in a field of study applicable to the provisions of human
or social services, and shall have had a minimum of five years of progressive
responsibility and experience in the provision of human or social services,
which included fiscal responsibilities for the day-to-day operation of a
program which required an annual audit.
b. Nothing in these rules prohibits the
Governing Body from selecting a contracted management company to fulfill the
duties of the chief administrative officer, so long as the individual(s)
assuming actual duties fulfill those duties in a manner consistent with these
rules.
2. Duties of the
Chief Administrative Officer. The chief administrative officer shall
a. manage the affairs of the agency in
accordance with policies established by the Governing Body and ensure
compliance with all rules and regulations applicable to the provision of
services and all programs operated by the agency, except those specifically
noted to be the responsibility of the Governing Body, and to ensure that the
goals and intent of case management for adult with mental retardation and
autism as outlined in these rules, applicable standards and policies are
adhered to.
b. have directional
authority over all operations of the agency;
c. comply with requirements regarding
reportable events;
d. ensure timely
written notification to the Department in the event of a change in a program
director, medical director or clinical director;
e. ensure written notification of arrests or
indictments of staff related to drug use on the grounds of any program or
location for the provision of services, within 24 hours of learning of the
event.
D. Fiscal Management
1. Budget.
There shall be a formal, annualized line item budget, approved by the Governing
Body, indicating anticipated revenues and expenses for the current fiscal year.
a. Revenue shall be documented by
source.
b. Expenses shall be
categorized by line item, and shall be specific to each discrete program or
other management division.
c.
Revisions to the budget shall be clearly documented.
d. Review and approval of the budget by the
Governing Body shall be clearly documented, including date of
approval.
2. Policies.
The agency shall maintain written policies regarding the fiscal management of
the agency. These shall include, but not necessarily be limited to,
a. purchasing and inventory control including
purchasing authority and procedures, inventory control, product selection and
evaluation, and storage and distribution relevant to all materials acquired or
retained for the provision of licensed services;
b. accounts receivable, including handling of
cash, credit for services, write-offs for free services or bad debts, billing
for services;
c. accounts payable,
including authority and procedures for making payments and
disbursements;
d. setting of fees
or charges for services;
e.
notification to clients of fee schedules and means to document such
notification.
3. Audits.
The agency shall have an annual audit or review of financial operation of
overall agency operation and of each discrete program or other management
division, which shall conform to the requirements of the Maine Accounting and
Auditing Practices for Community Agencies, and which shall be conducted by an
independent auditor not otherwise receiving remuneration from the agency or the
Governing Body.
a. Audits shall be performed
in accordance with applicable state and Federal regulations and shall
accurately reflect the agency's financial position.
b. Audit reports shall include a review of
the system of cost accounting, which reflects the current cost per unit of
service for each discrete program or other management division, and which shall
include the formulas used to compute the costs.
c. Audit reports shall be reviewed by the
Governing Body. Documentation of such review shall be maintained, including the
date of the review. Audit reports and the documentation of review shall be
subject to the review of the licensing authority.
E. General Policies. The agency shall maintain and follow policies governing essential elements of service provision.
1. Rights. The agency shall
maintain policies and procedures guaranteeing the rights of persons receiving
services, consistent with applicable rules and law.
2. Records. The agency shall maintain
policies and procedures regarding records of services provided, which shall be
consistent with applicable law and rule and integrated with the Departments
information systems. Policies shall address, but not necessarily be limited to,
a. organization and content of paper
records;
b. definition of active
records;
c. confidentiality of
records, including security of automated record systems and the Department's
information system;
d. security of
active and inactive records, including access and removal from
storage;
e. authorization for
release of information. Authorizations for release of information must comply
with HIPAA and other applicable law and rules.
f. disposal of inactive records, which shall
provide for retention for no fewer than seven years following the date of the
last service contact or the age of majority of the person receiving services,
whichever is later;
g. legibility
and integrity of entries to paper records. At minimum, the policy must address
i. corrections to records, prohibiting the
use of correction fluid, tapes, labels and similar techniques and
devices;
ii. the prohibition of
back-dating entries;
iii. a
provision for the use of late entries to records, which must include the use of
a phrase identifying the entry as late;
iv. a requirement for an easily recognizable
date for every entry;
h.
signatures and identification of persons making entries to records, including
professional qualifications;
i.
discharge summaries, which shall summarize the course of service/treatment and
address efficacy of service/ treatment provided as outlined in the plan of care
goals, and make recommendations for further services if needed or desired by
the person receiving services.
3. Informed consent. The agency shall
maintain policies and procedures regarding the acquisition and support of
informed consent for services. The policy must address the agency's role in the
pursuit of guardianship if necessary to ensure informed consent.
4. Confidentiality.
a. The agency shall maintain policies and
procedures regarding the maintenance of confidentiality in the use of facsimile
machines, electronic transfer of data, cellular phones, and other technologies
used to store or transmit information, and in interpersonal
exchanges.
b. Specific policies,
consistent with 5 MRSA §19203, shall address the maintenance of
confidentiality of results of testing for Human Immunodeficiency Virus
(HIV).
c. Policies must comply with
HIPAA and other applicable laws and rules.
5. Access by clients. The agency shall
maintain policies and procedures regarding the access of persons to their own
records.
F. Quality Management
1. Policies. There
shall be written policies governing the development and maintenance of an
effective quality management program.
2. Plan. The agency shall maintain a plan to
monitor, evaluate, document and improve the services provided and the service
delivery systems.
a. The plan shall identify
areas determined by the agency to be critical to quality service provision.
i. There shall be clearly documented evidence
that the plan has been developed with meaningful involvement of persons who are
recipients of the services provided by the agency.
ii. The plan shall clearly demonstrate a
logical progression of review of elements in areas critical to quality service
provision.
b. The plan
shall describe goals set by the agency to improve services or service delivery
and shall describe indicators to measure achievement of the goals.
c. The plan shall include on-going,
year-round, regular activities to measure goal achievement.
3. Quality Management Review. The
findings of the quality management process shall be reviewed at least annually.
a. The review process shall include the
Governing Body, persons receiving services, family members, guardians,
advocates, agency staff, funding agencies and members of the community at
large.
b. For-profit agencies shall
include representation from their Advisory Board.
c. The findings, and actions taken as a
result of findings, shall be documented and the plan shall be revised in
accordance with the findings.
4. Reports of Abuse, Neglect or Exploitation.
The agency shall maintain a specific policy and procedure governing the
reporting, recording and review of allegations of abuse, neglect or
exploitation of persons receiving services, in accordance with applicable laws,
rules and regulations, including but not necessarily limited to the Adult
Protective Services Act, 22 MRSA §3740et seq.; 14-197 CMR
6, Regulations Governing Adult Protective Assessments & Investigations for
Persons with Mental Retardation or Autism, and 14-197 CMR 9, Reporting,
Investigation and Review of Reportable Events.
5. Grievances. The agency shall maintain a
specific policy and procedure in accordance with 14-197 CMR 8, governing the
reporting of grievances of persons receiving services, the procedural follow-up
and response on the part of the agency to the person making the complaint, and
the documentation of the process and outcome.
G. Miscellaneous
1. Insurance. An insurance program shall be
in force at all times. Coverage shall include, but not necessarily be limited
to,
a. comprehensive liability insurance for
the Governing Body, personnel, and property;
b. automobile liability insurance for every
vehicle owned or operated by the agency in an amount equal to the limit set by
the Maine Torts Claim Act ( 14 MRSA §8101et
seq.);
c. automobile
liability insurance for any staff-owned vehicle used for transportation of
persons receiving services, in an amount equal to the limit set by the Maine
Torts Claim Act.
2.
Bonding.
a. The agency shall maintain fidelity
bonding in an amount equal to the maximum projected monthly cash
flow.
b. All persons delegated the
authority to disburse, collect or manage funds shall be bonded at the agency's
expense.
3. Marketing.
Marketing and promotional material distributed by or on behalf of the agency
shall accurately portray the scope of services provided.
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