005.01
REASONS FOR SANCTIONS. The Department may, in its discretion, deny
enrollment or sanction a provider for any of the following reasons:
(1) Improper billing and claims payment
practices including, but not limited to:
(i)
Presenting, or causing to be presented, any false or fraudulent claim for goods
or services or merchandise for payment;
(ii) Submitting, or causing to be submitted,
false information for the purpose of obtaining greater payment than that to
which the provider is legally entitled;
(iii) Billing in excess of the usual and
customary charges;
(iv) Presenting
a claim, billing, or causing a claim to be presented for payment for services
not rendered, including "no-shows";
(v) Submitting duplicate bills, including
billing Medicaid twice for the same service, or billing both Medicaid and
another insurer or government program;
(vi) Billing before the goods or services are
provided or dispensed;
(vii)
Billing for services provided by non-enrolled providers, certain sanctioned
providers, or excluded persons;
(viii) Billing for services rendered by
someone else as though the provider performed the services himself or herself;
(ix) Billing for services provided
by an individual who is required to be licensed or certified and who did not
meet that requirement when the service was provided;
(x) Billing for services provided outside the
provider's scope of practice;
(xi)
Upgrading services billed and rendered from those actually ordered; and
(xii) Upcoding services billed or
billing a higher level of service than those actually provided;
(2) Altering medical records to
obtain a higher classification of the client than is truly warranted;
(3) Submitting, or causing to be submitted,
false information for the purpose of meeting prior authorization approval
requirements, or obtaining payments for services rendered prior to the
effective date of the service provider agreement or the date that the client
has been determined to be Medicaid eligible;
(4) Failing to disclose or make available to
the Department, or its authorized representatives, the following information:
(i) Records of services provided to Medicaid
clients;
(ii) Records of payments
by the Department, its agents, and others made for those services; and
(iii) Records that have been lost,
misplaced, or destroyed prior to expiration of any applicable records retention
period;
(5) Failing to
provide and maintain quality, necessary, and appropriate services within
accepted medical standards as determined by a body of peers, as documented by
repeat deficiencies noted by the survey and certification agency, a peer review
committee, medical review teams, or independent professional review teams, or
by the determination of the Medicaid Director and consultants, or the
Department or its designee, the Department's Quality Assurance Committee, any
Department Inspection of Care, or a managed care plan's quality assurance
committee;
(6) Breaching the terms
of the Medicaid service provider agreement or submitting false or fraudulent
application, including the service provider agreement and any necessary
accompanying information, for participation as a Medicaid enrolled
provider;
(7) Violating any
provision of the Nebraska laws regarding Medicaid or any rule or regulation of
Medicaid;
(8) Failing to comply
with the terms of the provider certification on the Medicaid claim form as to
the truth and accuracy of the information contained therein;
(9) Overutilization. A determination of
overutilization may be based on a comparison of treatment practices of a
specific provider compared to peers for similar types of clients;
(10) Underutilization;
(11) Rebating or accepting a fee or portion
of a fee or charge for a Medicaid patient referral. Soliciting, offering, or
receiving a kickback, bribe, or rebate;
(12) Violating any laws, regulations, or code
of ethics governing the conduct of occupations or professions or regulated
industries;
(13) Failing to meet
any applicable licensure or certification standard required by state or federal
law;
(14) Not accepting Medicaid as
the payor of last resort, and billing Medicaid when the provider has, or
reasonably should have had, knowledge of a liable third party;
(15) Not accepting Medicaid payment as
payment in full for covered services, and collecting or attempting to collect
additional payment from others, the client or responsible person, or collecting
a portion of the service fee from the client or the client's family, except for
required co-payments;
(16) Refusing
to execute a new service provider agreement at the Department's request,
failing to update a service provider agreement if required to do so by State or
Federal law or failing to update service provider agreement information when
changes have occurred;
(17) Failing
to correct deficiencies in operations or improper billing practices after
receiving written notice of these deficiencies or practices from the
Department;
(18) Being formally
reprimanded or censured by an association of the provider's peers for unethical
practices;
(19) Being suspended,
excluded, or terminated from participation in another governmental program,
being convicted for civil or criminal violations of Medicaid, or any other
state's Medicaid program; or having sanctions applied by the Department's
agents or assignees or any other state's Medicaid program;
(20) Failing to repay or make arrangements
for the repayment of overpayments or otherwise erroneous payments;
(21) Solicitation, borrowing, procuring,
obtaining, accepting, stealing or otherwise appropriating any client's funds
and personal property by any means;
(22) Any action resulting in a reduction or
depletion of a nursing facility or intermediate care facility for individuals
with developmental disabilities (ICF/DD) Medicaid client's personal allowance
funds or reserve account unless specifically authorized in writing by the
client, or legal representative;
(23) Reporting of unallowable cost items on a
provider's cost report;
(24)
Violating conditions of an exclusion;
(25) Violating conditions of probationary or
restricted licensure;
(26) Not
having the appropriate Drug Enforcement Administration (DEA) license or state
drug license;
(27) Loss,
restriction, or lack of hospital privileges;
(28) Failure or inability to provide and
maintain quality, necessary and appropriate services due to physical or mental
health conditions of the service provider;
(29) Endangering health and safety of
clients;
(30) Failure to obtain or
maintain required surety bond(s);
(31) Failure to provide the Department with
documentation of authorization for third parties to submit claims for the
provider for payment to the Department or failing to update this information
when changes have occurred;
(32)
Breaching the terms of a trading partner agreement to exchange information
electronically;
(33) Disclosure of
information that must be protected in accordance with 42 CFR Part 431, Subpart
F;
(34) Misusing or failing to use
electronic records and claims submission systems when required to do so by the
Department.
(35) The provider does
not meet the applicable provider standards for participation in Medicaid as
listed in Titles 403, 404, 471, 480, and 482 NAC;
(36) The provider, owner of the provider, or
an employee of the provider has been excluded, sanctioned, or terminated from
participation by Medicare or Medicaid or Children's Health Insurance Program
(CHIP) in any state;
(37) The
provider is the respondent of a protection order;
(38) The provider, or household member(s) (if
services are provided in the provider's home), is on the Adult Protective
Services Central Registry, the Child Protective Services Central Registry, or
the Sex Offender Registry; or
(39)
The provider, or household member(s) (if services are provided in the
provider's home), committed a crime:
(i)
Against a child or vulnerable adult;
(ii) Of a nature, duration, or pattern that
calls into question his or her regard for the law;
(iii) Involving the illegal use, possession,
or distribution of a controlled substance; or
(iv) That, if repeated, could injure or harm
the Medicaid program or a Medicaid client.
005.01(A)
CRIMES.
The Department deems a crime to have been committed when a conviction,
admission, or substantial evidence of commission exists. In exercising its
discretion, the Department considers the severity of the crime(s), the
applicability of the crime(s) to the service(s) of the provider, the person's
role within the provider entity, and the amount of time that has passed since
the commission of the crime(s).
005.01(B)
CONVICTION OF
INDIVIDUAL WITH AN OWNERSHIP INTEREST IN A PROVIDER. The
Department must deny or terminate the enrollment of a provider where any person
with a five percent or greater direct or indirect ownership interest in the
provider has been convicted of a criminal offense related to that person's
involvement with a Medicare, Medicaid or Title XXI program within the last 10
years, unless the Department determines that denial or termination of
enrollment is not in the best interest of the Medicaid program.
005.01(C)
EXCLUSION OR
TERMINATION FROM PARTICIPATION IN MEDICARE OR OTHER STATE MEDICAID OR
CHILDREN'S HEALTH INSURANCE PROGRAM (CHIP). The Department must
deny or terminate the enrollment of a provider that has been excluded or
terminated from participating in Medicare or Medicaid or Children's Health
Insurance Program (CHIP) in any State.
005.02
SANCTIONS.
The Department may impose one or more of the following sanctions against a
provider or any person employed by or contracted with the provider entity
responsible for a violation:
(1) Termination
from participation in the Medicaid program;
(2) Termination from participation in Managed
Care;
(3) Suspension or withholding
of payments;
(4) Recoupment from
future payments;
(5) Transfer to a
closed-end service provider agreement not to exceed 12 months, or the
shortening of an already existing closed-end service provider
agreement;
(6) Provider education:
or
(7) Exclusion from
participation.
005.02(A)
TERMINATION FROM PARTICIPATION IN MEDICAID. When
terminated, the provider may be subject to the following types of exclusions:
(1) Permanent;
(2) Time-limited, which is an exclusion for a
specified period of time;
(3)
Technical, which is based on a provider's failure to meet a standard or
requirement and remains in effect until the Department determines the provider
meets the standard or requirement; and
(4) Emergency, which is an immediate
exclusion based on the Department's determination that client health and safety
may be at risk.
005.02(A)(i)
CONDITIONS OF TERMINATION AND EXCLUSION. When a
provider is terminated or excluded from Medicaid, Medicaid may not make
reimbursement for services, items, or drugs that are rendered, referred,
ordered, or prescribed by the terminated provider or caused to be rendered,
referred, ordered, or prescribed for a Medicaid client. A terminated or
excluded person or entity shall not have an ownership interest in a Medicaid
enrolled provider entity.
005.02(A)(i)(1)
EXCEPTION. Medicaid may pay claims from a submitting
provider until the submitting provider and the client are notified of the
termination of the rendering, referring, ordering, or prescribing provider.
Medicaid may pay claims for emergency medical services when Medicaid staff or
consultants determine that the services were medically necessary.
005.02(A)(i)(2)
SUBMISSION OF
CLAIMS. Termination or exclusion from participation will preclude
a provider from submitting claims for payment, either personally or through any
clinic, group, corporation, or other association, to the Department for any
services or supplies provided under Medicaid, except for those services or
supplies provided before the termination or exclusion.
005.02(A)(ii)
EXCLUSION. The Department may impose the sanction of
exclusion upon:
(1) Providers who allow
service provider agreements to lapse or expire; and
(2) Other individuals or entities associated
with an enrolled provider or provider whose service provider agreement has
lapsed or has been terminated,
005.02(A)(iii)
EXCLUDED PERSON OR
ENTITY. No clinic, group, corporation, or other association which
is a provider of services shall submit claims for payment to the Department for
any services or supplies provided by a person within the organization who has
been excluded from participation in Medicaid except for those services or
supplies provided before the termination. A provider will not submit any claims
to Medicaid that contain the costs of services provided by excluded persons or
entities. If these provisions are violated by a clinic, group, corporation, or
other association, the Department may sanction the organization and any
individual person within the organization responsible for the
violation.
005.02(B)
SUSPENSION OR WITHHOLDING PAYMENTS. To prevent
inappropriate Medicaid payments or to avoid further overpayments, the
Department may sanction a provider by suspending the provider's payments with
an immediate effective date. The Department will notify the provider by letter
that its payments have been suspended. The provider may file an appeal
regarding this action; however, the suspension of payments will remain in
effect until the hearing decision is made. If a provider participates under one
or more provider number, or changes numbers, the Department may, within its
sole discretion suspend, withhold, or recoup payments from one or all of the
provider numbers.
005.02(C)
PROVIDER EDUCATION. A provider who has been sanctioned
may be required to participate in a provider education program as a condition
of participation.
005.03
IMPOSITION OF A
SANCTION. The decision on the sanction to be imposed is at the
discretion of the Medicaid Director. The following factors are considered in
determining the sanctions to be imposed:
(1)
Seriousness of the offenses;
(2)
Extent of violations;
(3) History
of prior violations;
(4) Prior
imposition of sanctions;
(5) Prior
provision of provider education;
(6) Provider willingness to comply with
program rules;
(7) Whether a lesser
sanction will be sufficient to remedy the problem; and
(8) Actions taken or recommended by peer
review groups and licensing boards.
005.03(A)
NOTICE TO THE
PROVIDER. The Department will notify the provider at least 30 days
before the effective date of the sanction, unless extenuating circumstances
exist. The Department may impose a sanction on an emergency basis with
immediate effect if, in the Department's discretion, the provider's continued
enrollment and participation places a client's health or safety at risk. The
provider may file an appeal of the sanction; however, the sanction will remain
in effect until the hearing decision is made.
005.03(B)
NOTICE TO THE
PUBLIC. When a sanction is imposed, the Department will give
general notice to the public of the restriction, its basis, and its
duration.
005.03(C)
NOTIFICATION OF OTHER AGENCIES. When a provider has been
sanctioned, the Department will notify, as appropriate, the applicable
professional society, board of registration or licensure, and federal or state
agencies. The notification will include a summary of the findings made and the
sanctions imposed.
005.03(D)
NOTIFICATION OF LOCAL DEPARTMENT OFFICES. When a
provider's participation in Medicaid has been terminated, the Department will
notify the local Department offices of the termination.
005.03(E)
MEDICAID EXLUDED
PROVIDERS LIST. Terminated and excluded persons and entities will
be placed on the Medicaid Excluded Providers list for the duration of the
prohibition from participation.