2018 -- H 7684 | |
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LC004666 | |
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STATE OF RHODE ISLAND | |
IN GENERAL ASSEMBLY | |
JANUARY SESSION, A.D. 2018 | |
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A N A C T | |
RELATING TO HEALTH AND SAFETY | |
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Introduced By: Representatives Hull, Lombardi, Messier, Morin, and Kazarian | |
Date Introduced: February 15, 2018 | |
Referred To: House Health, Education & Welfare | |
It is enacted by the General Assembly as follows: | |
1 | SECTION 1. Chapter 5-19.1 of the General Laws entitled "Pharmacies" is hereby |
2 | amended by adding thereto the following section: |
3 | 5-19.1-33. Audits. |
4 | (a) When an on-site audit of the records of a pharmacy is conducted by a pharmacy |
5 | benefits manager, the audit must be conducted in accordance with the following criteria: |
6 | (1) A finding of overpayment or underpayment must be based on the actual overpayment |
7 | or underpayment, and not a projection based on the number of patients served having a similar |
8 | diagnosis, or on the number of similar orders or refills for similar drugs, unless the projected |
9 | overpayment or denial is a part of a settlement agreed to by the pharmacy or pharmacist. |
10 | (2) The auditor may not use extrapolation in calculating recoupments or penalties. |
11 | (3) Any audit that involves clinical or professional judgment must be conducted by, or in |
12 | consultation with a pharmacist. |
13 | (4) Each entity conducting an audit shall establish an appeals process under which a |
14 | pharmacy may appeal an unfavorable preliminary audit report to the entity. |
15 | (5) This section does not apply to any audit, review or investigation that is initiated based |
16 | on or involving suspected or alleged fraud, willful misrepresentation or abuse. |
17 | (6) Prior to an audit, the entity conducting an audit shall give the pharmacy thirty (30) |
18 | days' advance written notice of the audit, and the range of prescription numbers and the range of |
19 | dates included in the audit. Additionally, the number of prescriptions shall not exceed one |
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1 | hundred (100) selected prescription claims which also includes all associated refills. Time allotted |
2 | must be adequate to collect all samples. Signature logs shall not exceed twenty-five (25). |
3 | (7) A pharmacy has the right to request mediation by a private mediator, agreed upon by |
4 | the pharmacy and the pharmacy benefits manager, to resolve any disagreements. A request for |
5 | mediation does not waive any existing rights of appeal available to a pharmacy under this section. |
6 | (8) A preliminary audit report must be delivered to the pharmacy within fifteen (15) days |
7 | after the conclusion of the audit. A pharmacy must be allowed at least thirty (30) days following |
8 | receipt of the preliminary audit to provide documentation to address any discrepancy found in the |
9 | audit. A final audit report must be delivered to the pharmacy within sixty (60) days after receipt |
10 | of the preliminary audit report or final appeal, whichever is later. A charge-back, recoupment or |
11 | other penalty may not be assessed until the appeal process provided by the pharmacy benefits |
12 | manager has been exhausted and the final report issued. Except as provided by state or federal |
13 | law, audit information may not be shared. Auditors may have access only to previous audit |
14 | reports on a particular pharmacy conducted by that same entity. Auditors may initiate a desk audit |
15 | prior to an on-site audit unless otherwise specified in the law. |
16 | (9) Contracted auditors cannot be paid based on the findings within an audit. |
17 | (10) Scanned images of all prescriptions including all scheduled controlled substances are |
18 | allowed to be used by the pharmacist for an audit. Verbally received prescriptions must be |
19 | accepted and applicable for desk, on-site and follow up appeal documentation. |
20 | (11) Any clerical error, typographical error, scrivener's error or computer error regarding |
21 | a document or record required under the Medicaid program does not constitute a willful violation, |
22 | and is not subject to criminal penalties without proof of intent to commit fraud. |
23 | (12) Pharmacists are allowed at minimum one opportunity to reschedule with the auditor |
24 | if the scheduled audit presents a scheduling conflict for the pharmacist. |
25 | (13) The period covered by an audit may not exceed one year. |
26 | SECTION 2. Title 27 of the General Laws entitled "INSURANCE" is hereby amended |
27 | by adding thereto the following chapter: |
28 | CHAPTER 1.3 |
29 | HEALTH INSURER ANNUAL REPORTING |
30 | 27-1.3-1. Pharmacy benefit manager transparency. |
31 | (a) Health insurers with a minimum of two thousand (2,000) Rhode Island lives covered |
32 | at the end of the preceding year, or who offer insurance through the Rhode Island health benefit |
33 | exchange, shall annually report the following information to the department of health, in plain |
34 | language, as an addendum to the health insurer's annual statement: |
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1 | (1) The health insurer's state of domicile and the total number of states in which the |
2 | insurer operates; |
3 | (2) The total number of Rhode Island lives covered by the health insurer; |
4 | (3) The total number of claims submitted to the health insurer; |
5 | (4) The total number of claims denied by the health insurer; |
6 | (5) The total number of denials of service by the health insurer at the preauthorization |
7 | level, including: |
8 | (i) The total number of denials of service at the preauthorization level appealed to the |
9 | health insurer at the first-level grievance and, of those, the total number overturned; |
10 | (ii) The total number of denials of service at the preauthorization level appealed to the |
11 | health insurer at any second-level grievance and, of those, the total number overturned; and |
12 | (ii) The total number of denials of service at the preauthorization level for which external |
13 | review was sought and, of those, the total number overturned; |
14 | (6) The total number of adverse benefit determinations made by the health insurer, |
15 | including: |
16 | (i) The total number of adverse benefit determinations appealed to the health insurer at |
17 | the first-level grievance and, of those, the total number overturned; |
18 | (ii) The total number of adverse benefit determinations appealed to the health insurer at |
19 | any second-level grievance and, of those, the total number overturned; |
20 | (iii) The total number of adverse benefit determinations for which external review was |
21 | sought and, of those, the total number overturned; |
22 | (7) The total number of claims denied by the health insurer because the service was |
23 | experimental, investigational, an off-label use of a drug, was not medically necessary, involved |
24 | access to a provider that is inconsistent with the limitations imposed by the plan, or was subject to |
25 | a preexisting condition exclusion; |
26 | (8) The total number of claims denied by the health insurer as duplicate claims, as coding |
27 | errors, or for services or providers not covered; |
28 | (9) The titles and salaries of all corporate officers and board members during the |
29 | preceding year, and the bonuses and compensatory benefits of all corporate officers and board |
30 | members during the preceding year; |
31 | (10) The health insurer's marketing and advertising expenses during the preceding year; |
32 | (11) The health insurer's federal and Rhode Island-specific lobbying expenses during the |
33 | preceding year; |
34 | (12) The amount and recipient of each political contribution made by the health insurer |
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1 | during the preceding year; |
2 | (13) The amount and recipient of dues paid during the preceding year by the health |
3 | insurer to trade groups that engage in lobbying efforts, or that make political contributions; |
4 | (14) The health insurer's legal expenses related to claims or service denials during the |
5 | preceding year; and |
6 | (15) The amount and recipient of charitable contributions made by the health insurer |
7 | during the preceding year. |
8 | (b) Health insurers may indicate the extent of overlap or duplication in reporting the |
9 | information described in subsection (a) of this section. |
10 | (c) The department of health shall create a standardized form using terms with uniform, |
11 | industry-standard meanings for the purpose of collecting the information described in subsection |
12 | (a) of this section, and each health insurer shall use the standardized form for reporting the |
13 | required information as an addendum to its annual statement. To the extent possible, health |
14 | insurers shall report information specific to Rhode Island on the standardized form, and shall |
15 | indicate on the form where the reported information is not specific to Rhode Island. |
16 | (d) The department of health shall post on its website the standardized form to be |
17 | completed by each health insurer pursuant to this section, and shall post on the Rhode Island |
18 | health benefit exchange an electronic link to the standardized forms posted by the department of |
19 | health. |
20 | (e) The director of the department of health may issue such rules, regulations, and orders |
21 | as shall be necessary to carry out the provisions of this chapter. |
22 | SECTION 3. This act shall take effect upon passage. |
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EXPLANATION | |
BY THE LEGISLATIVE COUNCIL | |
OF | |
A N A C T | |
RELATING TO HEALTH AND SAFETY | |
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1 | This act would establish audit requirements for pharmacy benefit managers, and would |
2 | also establish annual reporting requirements for health insurers. |
3 | This act would take effect upon passage. |
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