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          AN ACT
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        relating to the authority and duties of the office of inspector  | 
      
      
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        general of the Health and Human Services Commission. | 
      
      
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               BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF TEXAS: | 
      
      
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               SECTION 1.  Section 531.1011(4), Government Code, is amended  | 
      
      
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        to read as follows: | 
      
      
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                     (4)  "Fraud" means an intentional deception or  | 
      
      
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        misrepresentation made by a person with the knowledge that the  | 
      
      
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        deception could result in some unauthorized benefit to that person  | 
      
      
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        or some other person[, including any act that constitutes fraud 
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          under applicable federal or state law].  The term does not include  | 
      
      
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        unintentional technical, clerical, or administrative errors. | 
      
      
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               SECTION 2.  Section 531.102, Government Code, is amended by  | 
      
      
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        amending Subsections (g) and (k), amending Subsection (f) as  | 
      
      
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        amended by S.B. No. 219, Acts of the 84th Legislature, Regular  | 
      
      
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        Session, 2015, and adding Subsections (a-2), (a-3), (a-4), (a-5),  | 
      
      
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        (a-6), (f-1), (p), (q), (r), (s), (t), (u), (v), and (w) to read as  | 
      
      
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        follows: | 
      
      
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               (a-2)  The executive commissioner shall work in consultation  | 
      
      
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        with the office whenever the executive commissioner is required by  | 
      
      
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        law to adopt a rule or policy necessary to implement a power or duty  | 
      
      
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        of the office, including a rule necessary to carry out a  | 
      
      
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        responsibility of the office under Subsection (a). | 
      
      
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               (a-3)  The executive commissioner is responsible for  | 
      
      
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        performing all administrative support services functions necessary  | 
      
      
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        to operate the office in the same manner that the executive  | 
      
      
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        commissioner is responsible for providing administrative support  | 
      
      
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        services functions for the health and human services system,  | 
      
      
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        including functions of the office related to the following: | 
      
      
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                     (1)  procurement processes; | 
      
      
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                     (2)  contracting policies; | 
      
      
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                     (3)  information technology services; | 
      
      
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                     (4)  legal services; | 
      
      
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                     (5)  budgeting; and | 
      
      
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                     (6)  personnel and employment policies. | 
      
      
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               (a-4)  The commission's internal audit division shall  | 
      
      
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        regularly audit the office as part of the commission's internal  | 
      
      
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        audit program and shall include the office in the commission's risk  | 
      
      
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        assessments. | 
      
      
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               (a-5)  The office shall closely coordinate with the  | 
      
      
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        executive commissioner and the relevant staff of health and human  | 
      
      
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        services system programs that the office oversees in performing  | 
      
      
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        functions relating to the prevention of fraud, waste, and abuse in  | 
      
      
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        the delivery of health and human services and the enforcement of  | 
      
      
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        state law relating to the provision of those services, including  | 
      
      
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        audits, utilization reviews, provider education, and data  | 
      
      
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        analysis. | 
      
      
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               (a-6)  The office shall conduct investigations independent  | 
      
      
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        of the executive commissioner and the commission but shall rely on  | 
      
      
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        the coordination required by Subsection (a-5) to ensure that the  | 
      
      
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        office has a thorough understanding of the health and human  | 
      
      
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        services system for purposes of knowledgeably and effectively  | 
      
      
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        performing the office's duties under this section and any other  | 
      
      
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        law. | 
      
      
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               (f)(1)  If the commission receives a complaint or allegation  | 
      
      
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        of Medicaid fraud or abuse from any source, the office must conduct  | 
      
      
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        a preliminary investigation as provided by Section 531.118(c) to  | 
      
      
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        determine whether there is a sufficient basis to warrant a full  | 
      
      
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        investigation.  A preliminary investigation must begin not later  | 
      
      
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        than the 30th day, and be completed not later than the 45th day,  | 
      
      
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        after the date the commission receives a complaint or allegation or  | 
      
      
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        has reason to believe that fraud or abuse has occurred.  [A 
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          preliminary investigation shall be completed not later than the 
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          90th day after it began.] | 
      
      
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                     (2)  If the findings of a preliminary investigation  | 
      
      
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        give the office reason to believe that an incident of fraud or abuse  | 
      
      
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        involving possible criminal conduct has occurred in Medicaid, the  | 
      
      
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        office must take the following action, as appropriate, not later  | 
      
      
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        than the 30th day after the completion of the preliminary  | 
      
      
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        investigation: | 
      
      
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                           (A)  if a provider is suspected of fraud or abuse  | 
      
      
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        involving criminal conduct, the office must refer the case to the  | 
      
      
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        state's Medicaid fraud control unit, provided that the criminal  | 
      
      
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        referral does not preclude the office from continuing its  | 
      
      
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        investigation of the provider, which investigation may lead to the  | 
      
      
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        imposition of appropriate administrative or civil sanctions; or | 
      
      
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                           (B)  if there is reason to believe that a  | 
      
      
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        recipient has defrauded Medicaid, the office may conduct a full  | 
      
      
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        investigation of the suspected fraud, subject to Section  | 
      
      
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        531.118(c). | 
      
      
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               (f-1)  The office shall complete a full investigation of a  | 
      
      
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        complaint or allegation of Medicaid fraud or abuse against a  | 
      
      
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        provider not later than the 180th day after the date the full  | 
      
      
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        investigation begins unless the office determines that more time is  | 
      
      
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        needed to complete the investigation.  Except as otherwise provided  | 
      
      
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        by this subsection, if the office determines that more time is  | 
      
      
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        needed to complete the investigation, the office shall provide  | 
      
      
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        notice to the provider who is the subject of the investigation  | 
      
      
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        stating that the length of the investigation will exceed 180 days  | 
      
      
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        and specifying the reasons why the office was unable to complete the  | 
      
      
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        investigation within the 180-day period.  The office is not  | 
      
      
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        required to provide notice to the provider under this subsection if  | 
      
      
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        the office determines that providing notice would jeopardize the  | 
      
      
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        investigation.  | 
      
      
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               (g)(1)  Whenever the office learns or has reason to suspect  | 
      
      
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        that a provider's records are being withheld, concealed, destroyed,  | 
      
      
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        fabricated, or in any way falsified, the office shall immediately  | 
      
      
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        refer the case to the state's Medicaid fraud control  | 
      
      
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        unit.  However, such criminal referral does not preclude the office  | 
      
      
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        from continuing its investigation of the provider, which  | 
      
      
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        investigation may lead to the imposition of appropriate  | 
      
      
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        administrative or civil sanctions. | 
      
      
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                     (2)  As [In addition to other instances] authorized  | 
      
      
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        under state and [or] federal law, and except as provided by  | 
      
      
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        Subdivisions (8) and (9), the office shall impose without prior  | 
      
      
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        notice a payment hold on claims for reimbursement submitted by a  | 
      
      
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        provider only to compel production of records, when requested by  | 
      
      
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        the state's Medicaid fraud control unit, or on the determination  | 
      
      
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        that a credible allegation of fraud exists, subject to Subsections  | 
      
      
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        (l) and (m), as applicable.  The payment hold is a serious  | 
      
      
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        enforcement tool that the office imposes to mitigate ongoing  | 
      
      
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        financial risk to the state.  A payment hold imposed under this  | 
      
      
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        subdivision takes effect immediately.  The office must notify the  | 
      
      
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        provider of the payment hold in accordance with 42 C.F.R. Section  | 
      
      
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        455.23(b) and, except as provided by that regulation, not later  | 
      
      
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        than the fifth day after the date the office imposes the payment  | 
      
      
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        hold.  In addition to the requirements of 42 C.F.R. Section  | 
      
      
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        455.23(b), the notice of payment hold provided under this  | 
      
      
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        subdivision must also include: | 
      
      
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                           (A)  the specific basis for the hold, including  | 
      
      
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        identification of the claims supporting the allegation at that  | 
      
      
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        point in the investigation, [and] a representative sample of any  | 
      
      
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        documents that form the basis for the hold, and a detailed summary  | 
      
      
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        of the office's evidence relating to the allegation; [and] | 
      
      
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                           (B)  a description of administrative and judicial  | 
      
      
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        due process rights and remedies, including the provider's option  | 
      
      
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        [right] to seek informal resolution, the provider's right to seek a  | 
      
      
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        formal administrative appeal hearing, or that the provider may seek  | 
      
      
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        both; and | 
      
      
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                           (C)  a detailed timeline for the provider to  | 
      
      
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        pursue the rights and remedies described in Paragraph (B). | 
      
      
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                     (3)  On timely written request by a provider subject to  | 
      
      
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        a payment hold under Subdivision (2), other than a hold requested by  | 
      
      
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        the state's Medicaid fraud control unit, the office shall file a  | 
      
      
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        request with the State Office of Administrative Hearings for an  | 
      
      
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        expedited administrative hearing regarding the hold not later than  | 
      
      
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        the third day after the date the office receives the provider's  | 
      
      
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        request.  The provider must request an expedited administrative  | 
      
      
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        hearing under this subdivision not later than the 10th [30th] day  | 
      
      
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        after the date the provider receives notice from the office under  | 
      
      
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        Subdivision (2).  The State Office of Administrative Hearings shall  | 
      
      
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        hold the expedited administrative hearing not later than the 45th  | 
      
      
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        day after the date the State Office of Administrative Hearings  | 
      
      
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        receives the request for the hearing.  In a hearing held under this  | 
      
      
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        subdivision [Unless otherwise determined by the administrative law 
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          judge for good cause at an expedited administrative hearing, the 
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          state and the provider shall each be responsible for]: | 
      
      
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                           (A)  the provider and the office are each limited  | 
      
      
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        to four hours of testimony, excluding time for responding to  | 
      
      
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        questions from the administrative law judge [one-half of the costs 
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          charged by the State Office of Administrative Hearings]; | 
      
      
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                           (B)  the provider and the office are each entitled  | 
      
      
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        to two continuances under reasonable circumstances [one-half of the 
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          costs for transcribing the hearing]; and | 
      
      
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                           (C)  the office is required to show probable cause  | 
      
      
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        that the credible allegation of fraud that is the basis of the  | 
      
      
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        payment hold has an indicia of reliability and that continuing to  | 
      
      
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        pay the provider presents an ongoing significant financial risk to  | 
      
      
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        the state and a threat to the integrity of Medicaid [the party's own 
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          costs related to the hearing, including the costs associated with 
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          preparation for the hearing, discovery, depositions, and 
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          subpoenas, service of process and witness expenses, travel 
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          expenses, and investigation expenses; and
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                           [(D)
           
           
          all other costs associated with the hearing 
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          that are incurred by the party, including attorney's fees]. | 
      
      
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                     (4)  The office is responsible for the costs of a  | 
      
      
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        hearing held under Subdivision (3), but a provider is responsible  | 
      
      
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        for the provider's own costs incurred in preparing for the hearing  | 
      
      
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        [executive commissioner and the State Office of Administrative 
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          Hearings shall jointly adopt rules that require a provider, before 
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          an expedited administrative hearing, to advance security for the 
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          costs for which the provider is responsible under that 
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          subdivision]. | 
      
      
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                     (5)  In a hearing held under Subdivision (3), the  | 
      
      
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        administrative law judge shall decide if the payment hold should  | 
      
      
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        continue but may not adjust the amount or percent of the payment  | 
      
      
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        hold.  Notwithstanding any other law, including Section  | 
      
      
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        2001.058(e), the decision of the administrative law judge is final  | 
      
      
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        and may not be appealed [Following an expedited administrative 
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          hearing under Subdivision (3), a provider subject to a payment 
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          hold, other than a hold requested by the state's Medicaid fraud 
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          control unit, may appeal a final administrative order by filing a 
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          petition for judicial review in a district court in Travis County]. | 
      
      
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                     (6)  The executive commissioner, in consultation with  | 
      
      
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        the office, shall adopt rules that allow a provider subject to a  | 
      
      
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        payment hold under Subdivision (2), other than a hold requested by  | 
      
      
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        the state's Medicaid fraud control unit, to seek an informal  | 
      
      
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        resolution of the issues identified by the office in the notice  | 
      
      
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        provided under that subdivision.  A provider must request an  | 
      
      
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        initial informal resolution meeting under this subdivision not  | 
      
      
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        later than the deadline prescribed by Subdivision (3) for  | 
      
      
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        requesting an expedited administrative hearing.  On receipt of a  | 
      
      
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        timely request, the office shall decide whether to grant the  | 
      
      
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        provider's request for an initial informal resolution meeting, and  | 
      
      
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        if the office decides to grant the request, the office shall  | 
      
      
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        schedule the [an] initial informal resolution meeting [not later 
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          than the 60th day after the date the office receives the request, 
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          but the office shall schedule the meeting on a later date, as 
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          determined by the office, if requested by the provider].  The office  | 
      
      
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        shall give notice to the provider of the time and place of the  | 
      
      
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        initial informal resolution meeting [not later than the 30th day 
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          before the date the meeting is to be held].  A provider may request a  | 
      
      
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        second informal resolution meeting [not later than the 20th day]  | 
      
      
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        after the date of the initial informal resolution meeting.  On  | 
      
      
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        receipt of a timely request, the office shall decide whether to  | 
      
      
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        grant the provider's request for a second informal resolution  | 
      
      
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        meeting, and if the office decides to grant the request, the office  | 
      
      
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        shall schedule the [a] second informal resolution meeting [not 
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          later than the 45th day after the date the office receives the 
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          request, but the office shall schedule the meeting on a later date, 
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          as determined by the office, if requested by the provider].  The  | 
      
      
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        office shall give notice to the provider of the time and place of  | 
      
      
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        the second informal resolution meeting [not later than the 20th day 
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          before the date the meeting is to be held].  A provider must have an  | 
      
      
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        opportunity to provide additional information before the second  | 
      
      
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        informal resolution meeting for consideration by the office.  A  | 
      
      
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        provider's decision to seek an informal resolution under this  | 
      
      
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        subdivision does not extend the time by which the provider must  | 
      
      
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        request an expedited administrative hearing under Subdivision (3).   | 
      
      
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        The informal resolution process shall run concurrently with the  | 
      
      
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        administrative hearing process, and the informal resolution  | 
      
      
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        process shall be discontinued once the State Office of  | 
      
      
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        Administrative Hearings issues a final determination on the payment  | 
      
      
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        hold.  [However, a hearing initiated under Subdivision (3) shall be 
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          stayed until the informal resolution process is completed.] | 
      
      
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                     (7)  The office shall, in consultation with the state's  | 
      
      
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        Medicaid fraud control unit, establish guidelines under which  | 
      
      
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        [payment holds or] program exclusions: | 
      
      
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                           (A)  may permissively be imposed on a provider; or | 
      
      
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                           (B)  shall automatically be imposed on a provider. | 
      
      
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                     (7-a)  The office shall, in consultation with the  | 
      
      
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        state's Medicaid fraud control unit, establish guidelines  | 
      
      
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        regarding the imposition of payment holds authorized under  | 
      
      
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        Subdivision (2). | 
      
      
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                     (8)  In accordance with 42 C.F.R. Sections 455.23(e)  | 
      
      
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        and (f), on the determination that a credible allegation of fraud  | 
      
      
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        exists, the office may find that good cause exists to not impose a  | 
      
      
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        payment hold, to not continue a payment hold, to impose a payment  | 
      
      
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        hold only in part, or to convert a payment hold imposed in whole to  | 
      
      
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        one imposed only in part, if any of the following are applicable: | 
      
      
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                           (A)  law enforcement officials have specifically  | 
      
      
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        requested that a payment hold not be imposed because a payment hold  | 
      
      
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        would compromise or jeopardize an investigation; | 
      
      
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                           (B)  available remedies implemented by the state  | 
      
      
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        other than a payment hold would more effectively or quickly protect  | 
      
      
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        Medicaid funds; | 
      
      
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                           (C)  the office determines, based on the  | 
      
      
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        submission of written evidence by the provider who is the subject of  | 
      
      
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        the payment hold, that the payment hold should be removed; | 
      
      
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                           (D)  Medicaid recipients' access to items or  | 
      
      
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        services would be jeopardized by a full or partial payment hold  | 
      
      
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        because the provider who is the subject of the payment hold: | 
      
      
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                                 (i)  is the sole community physician or the  | 
      
      
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        sole source of essential specialized services in a community; or  | 
      
      
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                                 (ii)  serves a large number of Medicaid  | 
      
      
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        recipients within a designated medically underserved area; | 
      
      
        | 
           
			 | 
                           (E)  the attorney general declines to certify that  | 
      
      
        | 
           
			 | 
        a matter continues to be under investigation; or  | 
      
      
        | 
           
			 | 
                           (F)  the office determines that a full or partial  | 
      
      
        | 
           
			 | 
        payment hold is not in the best interests of Medicaid. | 
      
      
        | 
           
			 | 
                     (9)  The office may not impose a payment hold on claims  | 
      
      
        | 
           
			 | 
        for reimbursement submitted by a provider for medically necessary  | 
      
      
        | 
           
			 | 
        services for which the provider has obtained prior authorization  | 
      
      
        | 
           
			 | 
        from the commission or a contractor of the commission unless the  | 
      
      
        | 
           
			 | 
        office has evidence that the provider has materially misrepresented  | 
      
      
        | 
           
			 | 
        documentation relating to those services.  | 
      
      
        | 
           
			 | 
               (k)  A final report on an audit or investigation is subject  | 
      
      
        | 
           
			 | 
        to required disclosure under Chapter 552.  All information and  | 
      
      
        | 
           
			 | 
        materials compiled during the audit or investigation remain  | 
      
      
        | 
           
			 | 
        confidential and not subject to required disclosure in accordance  | 
      
      
        | 
           
			 | 
        with Section 531.1021(g).  A confidential draft report on an audit  | 
      
      
        | 
           
			 | 
        or investigation that concerns the death of a child may be shared  | 
      
      
        | 
           
			 | 
        with the Department of Family and Protective Services.  A draft  | 
      
      
        | 
           
			 | 
        report that is shared with the Department of Family and Protective  | 
      
      
        | 
           
			 | 
        Services remains confidential and is not subject to disclosure  | 
      
      
        | 
           
			 | 
        under Chapter 552.  | 
      
      
        | 
           
			 | 
               (p)  The executive commissioner, in consultation with the  | 
      
      
        | 
           
			 | 
        office, shall adopt rules establishing criteria:  | 
      
      
        | 
           
			 | 
                     (1)  for opening a case; | 
      
      
        | 
           
			 | 
                     (2)  for prioritizing cases for the efficient  | 
      
      
        | 
           
			 | 
        management of the office's workload, including rules that direct  | 
      
      
        | 
           
			 | 
        the office to prioritize: | 
      
      
        | 
           
			 | 
                           (A)  provider cases according to the highest  | 
      
      
        | 
           
			 | 
        potential for recovery or risk to the state as indicated through the  | 
      
      
        | 
           
			 | 
        provider's volume of billings, the provider's history of  | 
      
      
        | 
           
			 | 
        noncompliance with the law, and identified fraud trends; | 
      
      
        | 
           
			 | 
                           (B)  recipient cases according to the highest  | 
      
      
        | 
           
			 | 
        potential for recovery and federal timeliness requirements; and | 
      
      
        | 
           
			 | 
                           (C)  internal affairs investigations according to  | 
      
      
        | 
           
			 | 
        the seriousness of the threat to recipient safety and the risk to  | 
      
      
        | 
           
			 | 
        program integrity in terms of the amount or scope of fraud, waste,  | 
      
      
        | 
           
			 | 
        and abuse posed by the allegation that is the subject of the  | 
      
      
        | 
           
			 | 
        investigation; and   | 
      
      
        | 
           
			 | 
                     (3)  to guide field investigators in closing a case  | 
      
      
        | 
           
			 | 
        that is not worth pursuing through a full investigation. | 
      
      
        | 
           
			 | 
               (q)  The executive commissioner, in consultation with the  | 
      
      
        | 
           
			 | 
        office, shall adopt rules establishing criteria for determining  | 
      
      
        | 
           
			 | 
        enforcement and punitive actions with regard to a provider who has  | 
      
      
        | 
           
			 | 
        violated state law, program rules, or the provider's Medicaid  | 
      
      
        | 
           
			 | 
        provider agreement that include: | 
      
      
        | 
           
			 | 
                     (1)  direction for categorizing provider violations  | 
      
      
        | 
           
			 | 
        according to the nature of the violation and for scaling resulting  | 
      
      
        | 
           
			 | 
        enforcement actions, taking into consideration: | 
      
      
        | 
           
			 | 
                           (A)  the seriousness of the violation; | 
      
      
        | 
           
			 | 
                           (B)  the prevalence of errors by the provider; | 
      
      
        | 
           
			 | 
                           (C)  the financial or other harm to the state or  | 
      
      
        | 
           
			 | 
        recipients resulting or potentially resulting from those errors;  | 
      
      
        | 
           
			 | 
        and | 
      
      
        | 
           
			 | 
                           (D)  mitigating factors the office determines  | 
      
      
        | 
           
			 | 
        appropriate; and | 
      
      
        | 
           
			 | 
                     (2)  a specific list of potential penalties, including  | 
      
      
        | 
           
			 | 
        the amount of the penalties, for fraud and other Medicaid  | 
      
      
        | 
           
			 | 
        violations. | 
      
      
        | 
           
			 | 
               (r)  The office shall review the office's investigative  | 
      
      
        | 
           
			 | 
        process, including the office's use of sampling and extrapolation  | 
      
      
        | 
           
			 | 
        to audit provider records.  The review shall be performed by staff  | 
      
      
        | 
           
			 | 
        who are not directly involved in investigations conducted by the  | 
      
      
        | 
           
			 | 
        office. | 
      
      
        | 
           
			 | 
               (s)  The office shall arrange for the Association of  | 
      
      
        | 
           
			 | 
        Inspectors General or a similar third party to conduct a peer review  | 
      
      
        | 
           
			 | 
        of the office's sampling and extrapolation techniques.  Based on  | 
      
      
        | 
           
			 | 
        the review and generally accepted practices among other offices of  | 
      
      
        | 
           
			 | 
        inspectors general, the executive commissioner, in consultation  | 
      
      
        | 
           
			 | 
        with the office, shall by rule adopt sampling and extrapolation  | 
      
      
        | 
           
			 | 
        standards to be used by the office in conducting audits.  | 
      
      
        | 
           
			 | 
               (t)  At each quarterly meeting of any advisory council  | 
      
      
        | 
           
			 | 
        responsible for advising the executive commissioner on the  | 
      
      
        | 
           
			 | 
        operation of the commission, the inspector general shall submit a  | 
      
      
        | 
           
			 | 
        report to the executive commissioner, the governor, and the  | 
      
      
        | 
           
			 | 
        legislature on: | 
      
      
        | 
           
			 | 
                     (1)  the office's activities; | 
      
      
        | 
           
			 | 
                     (2)  the office's performance with respect to  | 
      
      
        | 
           
			 | 
        performance measures established by the executive commissioner for  | 
      
      
        | 
           
			 | 
        the office; | 
      
      
        | 
           
			 | 
                     (3)  fraud trends identified by the office; and | 
      
      
        | 
           
			 | 
                     (4)  any recommendations for changes in policy to  | 
      
      
        | 
           
			 | 
        prevent or address fraud, waste, and abuse in the delivery of health  | 
      
      
        | 
           
			 | 
        and human services in this state. | 
      
      
        | 
           
			 | 
               (u)  The office shall publish each report required under  | 
      
      
        | 
           
			 | 
        Subsection (t) on the office's Internet website. | 
      
      
        | 
           
			 | 
               (v)  In accordance with Section 533.015(b), the office shall  | 
      
      
        | 
           
			 | 
        consult with the executive commissioner regarding the adoption of  | 
      
      
        | 
           
			 | 
        rules defining the office's role in and jurisdiction over, and the  | 
      
      
        | 
           
			 | 
        frequency of, audits of managed care organizations participating in  | 
      
      
        | 
           
			 | 
        Medicaid that are conducted by the office and the commission. | 
      
      
        | 
           
			 | 
               (w)  The office shall coordinate all audit and oversight  | 
      
      
        | 
           
			 | 
        activities relating to providers, including the development of  | 
      
      
        | 
           
			 | 
        audit plans, risk assessments, and findings, with the commission to  | 
      
      
        | 
           
			 | 
        minimize the duplication of activities.  In coordinating activities  | 
      
      
        | 
           
			 | 
        under this subsection, the office shall: | 
      
      
        | 
           
			 | 
                     (1)  on an annual basis, seek input from the commission  | 
      
      
        | 
           
			 | 
        and consider previous audits and on-site visits made by the  | 
      
      
        | 
           
			 | 
        commission for purposes of determining whether to audit a managed  | 
      
      
        | 
           
			 | 
        care organization participating in Medicaid; and | 
      
      
        | 
           
			 | 
                     (2)  request the results of any informal audit or  | 
      
      
        | 
           
			 | 
        on-site visit performed by the commission that could inform the  | 
      
      
        | 
           
			 | 
        office's risk assessment when determining whether to conduct, or  | 
      
      
        | 
           
			 | 
        the scope of, an audit of a managed care organization participating  | 
      
      
        | 
           
			 | 
        in Medicaid. | 
      
      
        | 
           
			 | 
               SECTION 3.  Section 531.1021(a), Government Code, as amended  | 
      
      
        | 
           
			 | 
        by S.B. No. 219, Acts of the 84th Legislature, Regular Session,  | 
      
      
        | 
           
			 | 
        2015, is amended to read as follows: | 
      
      
        | 
           
			 | 
               (a)  The office of inspector general may issue [request that 
         | 
      
      
        | 
           
			 | 
        
          the executive commissioner or the executive commissioner's 
         | 
      
      
        | 
           
			 | 
        
          designee approve the issuance by the office of] a subpoena in  | 
      
      
        | 
           
			 | 
        connection with an investigation conducted by the office.  A [If the 
         | 
      
      
        | 
           
			 | 
        
          request is approved, the office may issue a] subpoena may be issued  | 
      
      
        | 
           
			 | 
        under this section to compel the attendance of a relevant witness or  | 
      
      
        | 
           
			 | 
        the production, for inspection or copying, of relevant evidence  | 
      
      
        | 
           
			 | 
        that is in this state. | 
      
      
        | 
           
			 | 
               SECTION 4.  Section 531.1031(a), Government Code, as amended  | 
      
      
        | 
           
			 | 
        by S.B. No. 219, Acts of the 84th Legislature, Regular Session,  | 
      
      
        | 
           
			 | 
        2015, is amended to read as follows: | 
      
      
        | 
           
			 | 
               (a)  In this section and Sections 531.1032, 531.1033, and  | 
      
      
        | 
           
			 | 
        531.1034: | 
      
      
        | 
           
			 | 
                     (1)  "Health care professional" means a person issued a  | 
      
      
        | 
           
			 | 
        license[, registration, or certification] to engage in a health  | 
      
      
        | 
           
			 | 
        care profession. | 
      
      
        | 
           
			 | 
                     (1-a)  "License" means a license, certificate,  | 
      
      
        | 
           
			 | 
        registration, permit, or other authorization that: | 
      
      
        | 
           
			 | 
                           (A)  is issued by a licensing authority; and | 
      
      
        | 
           
			 | 
                           (B)  must be obtained before a person may practice  | 
      
      
        | 
           
			 | 
        or engage in a particular business, occupation, or profession. | 
      
      
        | 
           
			 | 
                     (1-b)  "Licensing authority" means a department,  | 
      
      
        | 
           
			 | 
        commission, board, office, or other agency of the state that issues  | 
      
      
        | 
           
			 | 
        a license. | 
      
      
        | 
           
			 | 
                     (1-c)  "Office" means the commission's office of  | 
      
      
        | 
           
			 | 
        inspector general unless a different meaning is plainly required by  | 
      
      
        | 
           
			 | 
        the context in which the term appears. | 
      
      
        | 
           
			 | 
                     (2)  "Participating agency" means: | 
      
      
        | 
           
			 | 
                           (A)  the Medicaid fraud enforcement divisions of  | 
      
      
        | 
           
			 | 
        the office of the attorney general; | 
      
      
        | 
           
			 | 
                           (B)  each licensing authority [board or agency]  | 
      
      
        | 
           
			 | 
        with authority to issue a license to[, register, regulate, or 
         | 
      
      
        | 
           
			 | 
        
          certify] a health care professional or managed care organization  | 
      
      
        | 
           
			 | 
        that may participate in Medicaid; and | 
      
      
        | 
           
			 | 
                           (C)  the [commission's] office [of inspector 
         | 
      
      
        | 
           
			 | 
        
          general]. | 
      
      
        | 
           
			 | 
                     (3)  "Provider" has the meaning assigned by Section  | 
      
      
        | 
           
			 | 
        531.1011(10)(A). | 
      
      
        | 
           
			 | 
               SECTION 5.  Subchapter C, Chapter 531, Government Code, is  | 
      
      
        | 
           
			 | 
        amended by adding Sections 531.1032, 531.1033, and 531.1034 to read  | 
      
      
        | 
           
			 | 
        as follows: | 
      
      
        | 
           
			 | 
               Sec. 531.1032.  OFFICE OF INSPECTOR GENERAL:  CRIMINAL  | 
      
      
        | 
           
			 | 
        HISTORY RECORD INFORMATION CHECK.  (a)  The office and each  | 
      
      
        | 
           
			 | 
        licensing authority that requires the submission of fingerprints  | 
      
      
        | 
           
			 | 
        for the purpose of conducting a criminal history record information  | 
      
      
        | 
           
			 | 
        check of a health care professional shall enter into a memorandum of  | 
      
      
        | 
           
			 | 
        understanding to ensure that only persons who are licensed and in  | 
      
      
        | 
           
			 | 
        good standing as health care professionals participate as providers  | 
      
      
        | 
           
			 | 
        in Medicaid.  The memorandum under this section may be combined with  | 
      
      
        | 
           
			 | 
        a memorandum authorized under Section 531.1031(c-1) and must  | 
      
      
        | 
           
			 | 
        include a process by which: | 
      
      
        | 
           
			 | 
                     (1)  the office may confirm with a licensing authority  | 
      
      
        | 
           
			 | 
        that a health care professional is licensed and in good standing for  | 
      
      
        | 
           
			 | 
        purposes of determining eligibility to participate in Medicaid; and | 
      
      
        | 
           
			 | 
                     (2)  the licensing authority immediately notifies the  | 
      
      
        | 
           
			 | 
        office if: | 
      
      
        | 
           
			 | 
                           (A)  a provider's license has been revoked or  | 
      
      
        | 
           
			 | 
        suspended; or | 
      
      
        | 
           
			 | 
                           (B)  the licensing authority has taken  | 
      
      
        | 
           
			 | 
        disciplinary action against a provider. | 
      
      
        | 
           
			 | 
               (b)  The office may not, for purposes of determining a health  | 
      
      
        | 
           
			 | 
        care professional's eligibility to participate in Medicaid as a  | 
      
      
        | 
           
			 | 
        provider, conduct a criminal history record information check of a  | 
      
      
        | 
           
			 | 
        health care professional who the office has confirmed under  | 
      
      
        | 
           
			 | 
        Subsection (a) is licensed and in good standing.  This subsection  | 
      
      
        | 
           
			 | 
        does not prohibit the office from performing a criminal history  | 
      
      
        | 
           
			 | 
        record information check of a provider that is required or  | 
      
      
        | 
           
			 | 
        appropriate for other reasons, including for conducting an  | 
      
      
        | 
           
			 | 
        investigation of fraud, waste, or abuse. | 
      
      
        | 
           
			 | 
               (c)  For purposes of determining eligibility to participate  | 
      
      
        | 
           
			 | 
        in Medicaid and subject to Subsection (d), the office, after  | 
      
      
        | 
           
			 | 
        seeking public input, shall establish and the executive  | 
      
      
        | 
           
			 | 
        commissioner by rule shall adopt guidelines for the evaluation of  | 
      
      
        | 
           
			 | 
        criminal history record information of providers and potential  | 
      
      
        | 
           
			 | 
        providers.  The guidelines must outline conduct, by provider type,  | 
      
      
        | 
           
			 | 
        that may be contained in criminal history record information that  | 
      
      
        | 
           
			 | 
        will result in exclusion of a person from Medicaid as a provider,  | 
      
      
        | 
           
			 | 
        taking into consideration: | 
      
      
        | 
           
			 | 
                     (1)  the extent to which the underlying conduct relates  | 
      
      
        | 
           
			 | 
        to the services provided under Medicaid; | 
      
      
        | 
           
			 | 
                     (2)  the degree to which the person would interact with  | 
      
      
        | 
           
			 | 
        Medicaid recipients as a provider; and | 
      
      
        | 
           
			 | 
                     (3)  any previous evidence that the person engaged in  | 
      
      
        | 
           
			 | 
        fraud, waste, or abuse under Medicaid. | 
      
      
        | 
           
			 | 
               (d)  The guidelines adopted under Subsection (c) may not  | 
      
      
        | 
           
			 | 
        impose stricter standards for the eligibility of a person to  | 
      
      
        | 
           
			 | 
        participate in Medicaid than a licensing authority described by  | 
      
      
        | 
           
			 | 
        Subsection (a) requires for the person to engage in a health care  | 
      
      
        | 
           
			 | 
        profession without restriction in this state. | 
      
      
        | 
           
			 | 
               (e)  The office and the commission shall use the guidelines  | 
      
      
        | 
           
			 | 
        adopted under Subsection (c) to determine whether a provider  | 
      
      
        | 
           
			 | 
        participating in Medicaid continues to be eligible to participate  | 
      
      
        | 
           
			 | 
        in Medicaid as a provider. | 
      
      
        | 
           
			 | 
               (f)  The provider enrollment contractor, if applicable, and  | 
      
      
        | 
           
			 | 
        a managed care organization participating in Medicaid shall defer  | 
      
      
        | 
           
			 | 
        to the office regarding whether a person's criminal history record  | 
      
      
        | 
           
			 | 
        information precludes the person from participating in Medicaid as  | 
      
      
        | 
           
			 | 
        a provider. | 
      
      
        | 
           
			 | 
               Sec. 531.1033.  MONITORING OF CERTAIN FEDERAL DATABASES.   | 
      
      
        | 
           
			 | 
        The office shall routinely check appropriate federal databases,  | 
      
      
        | 
           
			 | 
        including databases referenced in 42 C.F.R. Section 455.436, to  | 
      
      
        | 
           
			 | 
        ensure that a person who is excluded from participating in Medicaid  | 
      
      
        | 
           
			 | 
        or in the Medicare program by the federal government is not  | 
      
      
        | 
           
			 | 
        participating as a provider in Medicaid. | 
      
      
        | 
           
			 | 
               Sec. 531.1034.  TIME TO DETERMINE PROVIDER ELIGIBILITY;  | 
      
      
        | 
           
			 | 
        PERFORMANCE METRICS.  (a)  Not later than the 10th day after the  | 
      
      
        | 
           
			 | 
        date the office receives the complete application of a health care  | 
      
      
        | 
           
			 | 
        professional seeking to participate in Medicaid, the office shall  | 
      
      
        | 
           
			 | 
        inform the commission or the health care professional, as  | 
      
      
        | 
           
			 | 
        appropriate, of the office's determination regarding whether the  | 
      
      
        | 
           
			 | 
        health care professional should be denied participation in Medicaid  | 
      
      
        | 
           
			 | 
        based on: | 
      
      
        | 
           
			 | 
                     (1)  information concerning the licensing status of the  | 
      
      
        | 
           
			 | 
        health care professional obtained as described by Section  | 
      
      
        | 
           
			 | 
        531.1032(a); | 
      
      
        | 
           
			 | 
                     (2)  information contained in the criminal history  | 
      
      
        | 
           
			 | 
        record information check that is evaluated in accordance with  | 
      
      
        | 
           
			 | 
        guidelines adopted under Section 531.1032(c); | 
      
      
        | 
           
			 | 
                     (3)  a review of federal databases under Section  | 
      
      
        | 
           
			 | 
        531.1033; | 
      
      
        | 
           
			 | 
                     (4)  the pendency of an open investigation by the  | 
      
      
        | 
           
			 | 
        office; or | 
      
      
        | 
           
			 | 
                     (5)  any other reason the office determines  | 
      
      
        | 
           
			 | 
        appropriate. | 
      
      
        | 
           
			 | 
               (b)  Completion of an on-site visit of a health care  | 
      
      
        | 
           
			 | 
        professional during the period prescribed by Subsection (a) is not  | 
      
      
        | 
           
			 | 
        required. | 
      
      
        | 
           
			 | 
               (c)  The office shall develop performance metrics to measure  | 
      
      
        | 
           
			 | 
        the length of time for conducting a determination described by  | 
      
      
        | 
           
			 | 
        Subsection (a) with respect to applications that are complete when  | 
      
      
        | 
           
			 | 
        submitted and all other applications. | 
      
      
        | 
           
			 | 
               SECTION 6.  Section 531.113, Government Code, is amended by  | 
      
      
        | 
           
			 | 
        adding Subsection (d-1) and amending Subsection (e) as amended by  | 
      
      
        | 
           
			 | 
        S.B. No. 219, Acts of the 84th Legislature, Regular Session, 2015,  | 
      
      
        | 
           
			 | 
        to read as follows: | 
      
      
        | 
           
			 | 
               (d-1)  The commission's office of inspector general, in  | 
      
      
        | 
           
			 | 
        consultation with the commission, shall: | 
      
      
        | 
           
			 | 
                     (1)  investigate, including by means of regular audits,  | 
      
      
        | 
           
			 | 
        possible fraud, waste, and abuse by managed care organizations  | 
      
      
        | 
           
			 | 
        subject to this section; | 
      
      
        | 
           
			 | 
                     (2)  establish requirements for the provision of  | 
      
      
        | 
           
			 | 
        training to and regular oversight of special investigative units  | 
      
      
        | 
           
			 | 
        established by managed care organizations under Subsection (a)(1)  | 
      
      
        | 
           
			 | 
        and entities with which managed care organizations contract under  | 
      
      
        | 
           
			 | 
        Subsection (a)(2); | 
      
      
        | 
           
			 | 
                     (3)  establish requirements for approving plans to  | 
      
      
        | 
           
			 | 
        prevent and reduce fraud and abuse adopted by managed care  | 
      
      
        | 
           
			 | 
        organizations under Subsection (b); | 
      
      
        | 
           
			 | 
                     (4)  evaluate statewide fraud, waste, and abuse trends  | 
      
      
        | 
           
			 | 
        in Medicaid and communicate those trends to special investigative  | 
      
      
        | 
           
			 | 
        units and contracted entities to determine the prevalence of those  | 
      
      
        | 
           
			 | 
        trends; | 
      
      
        | 
           
			 | 
                     (5)  assist managed care organizations in discovering  | 
      
      
        | 
           
			 | 
        or investigating fraud, waste, and abuse, as needed; and | 
      
      
        | 
           
			 | 
                     (6)  provide ongoing, regular training to appropriate  | 
      
      
        | 
           
			 | 
        commission and office staff concerning fraud, waste, and abuse in a  | 
      
      
        | 
           
			 | 
        managed care setting, including training relating to fraud, waste,  | 
      
      
        | 
           
			 | 
        and abuse by service providers and recipients. | 
      
      
        | 
           
			 | 
               (e)  The executive commissioner, in consultation with the  | 
      
      
        | 
           
			 | 
        office, shall adopt rules as necessary to accomplish the purposes  | 
      
      
        | 
           
			 | 
        of this section, including rules defining the investigative role of  | 
      
      
        | 
           
			 | 
        the commission's office of inspector general with respect to the  | 
      
      
        | 
           
			 | 
        investigative role of special investigative units established by  | 
      
      
        | 
           
			 | 
        managed care organizations under Subsection (a)(1) and entities  | 
      
      
        | 
           
			 | 
        with which managed care organizations contract under Subsection  | 
      
      
        | 
           
			 | 
        (a)(2).  The rules adopted under this section must specify the  | 
      
      
        | 
           
			 | 
        office's role in: | 
      
      
        | 
           
			 | 
                     (1)  reviewing the findings of special investigative  | 
      
      
        | 
           
			 | 
        units and contracted entities; | 
      
      
        | 
           
			 | 
                     (2)  investigating cases in which the overpayment  | 
      
      
        | 
           
			 | 
        amount sought to be recovered exceeds $100,000; and | 
      
      
        | 
           
			 | 
                     (3)  investigating providers who are enrolled in more  | 
      
      
        | 
           
			 | 
        than one managed care organization. | 
      
      
        | 
           
			 | 
               SECTION 7.  Section 531.118(b), Government Code, is amended  | 
      
      
        | 
           
			 | 
        to read as follows: | 
      
      
        | 
           
			 | 
               (b)  If the commission receives an allegation of fraud or  | 
      
      
        | 
           
			 | 
        abuse against a provider from any source, the commission's office  | 
      
      
        | 
           
			 | 
        of inspector general shall conduct a preliminary investigation of  | 
      
      
        | 
           
			 | 
        the allegation to determine whether there is a sufficient basis to  | 
      
      
        | 
           
			 | 
        warrant a full investigation.  A preliminary investigation must  | 
      
      
        | 
           
			 | 
        begin not later than the 30th day, and be completed not later than  | 
      
      
        | 
           
			 | 
        the 45th day, after the date the commission receives or identifies  | 
      
      
        | 
           
			 | 
        an allegation of fraud or abuse. | 
      
      
        | 
           
			 | 
               SECTION 8.  Section 531.120, Government Code, is amended to  | 
      
      
        | 
           
			 | 
        read as follows: | 
      
      
        | 
           
			 | 
               Sec. 531.120.  NOTICE AND INFORMAL RESOLUTION OF PROPOSED  | 
      
      
        | 
           
			 | 
        RECOUPMENT OF OVERPAYMENT OR DEBT.  (a)  The commission or the  | 
      
      
        | 
           
			 | 
        commission's office of inspector general shall provide a provider  | 
      
      
        | 
           
			 | 
        with written notice of any proposed recoupment of an overpayment or  | 
      
      
        | 
           
			 | 
        debt and any damages or penalties relating to a proposed recoupment  | 
      
      
        | 
           
			 | 
        of an overpayment or debt arising out of a fraud or abuse  | 
      
      
        | 
           
			 | 
        investigation.  The notice must include: | 
      
      
        | 
           
			 | 
                     (1)  the specific basis for the overpayment or debt; | 
      
      
        | 
           
			 | 
                     (2)  a description of facts and supporting evidence; | 
      
      
        | 
           
			 | 
                     (3)  a representative sample of any documents that form  | 
      
      
        | 
           
			 | 
        the basis for the overpayment or debt; | 
      
      
        | 
           
			 | 
                     (4)  the extrapolation methodology; | 
      
      
        | 
           
			 | 
                     (4-a)  information relating to the extrapolation  | 
      
      
        | 
           
			 | 
        methodology used as part of the investigation and the methods used  | 
      
      
        | 
           
			 | 
        to determine the overpayment or debt in sufficient detail so that  | 
      
      
        | 
           
			 | 
        the extrapolation results may be demonstrated to be statistically  | 
      
      
        | 
           
			 | 
        valid and are fully reproducible; | 
      
      
        | 
           
			 | 
                     (5)  the calculation of the overpayment or debt amount; | 
      
      
        | 
           
			 | 
                     (6)  the amount of damages and penalties, if  | 
      
      
        | 
           
			 | 
        applicable; and | 
      
      
        | 
           
			 | 
                     (7)  a description of administrative and judicial due  | 
      
      
        | 
           
			 | 
        process remedies, including the provider's option [right] to seek  | 
      
      
        | 
           
			 | 
        informal resolution, the provider's right to seek a formal  | 
      
      
        | 
           
			 | 
        administrative appeal hearing, or that the provider may seek both. | 
      
      
        | 
           
			 | 
               (b)  A provider may [must] request an [initial] informal  | 
      
      
        | 
           
			 | 
        resolution meeting under this section, and on [not later than the 
         | 
      
      
        | 
           
			 | 
        
          30th day after the date the provider receives notice under 
         | 
      
      
        | 
           
			 | 
        
          Subsection (a). 
           
          On] receipt of the [a timely] request, the office  | 
      
      
        | 
           
			 | 
        shall schedule the [an initial] informal resolution meeting [not 
         | 
      
      
        | 
           
			 | 
        
          later than the 60th day after the date the office receives the 
         | 
      
      
        | 
           
			 | 
        
          request, but the office shall schedule the meeting on a later date, 
         | 
      
      
        | 
           
			 | 
        
          as determined by the office if requested by the provider].  The  | 
      
      
        | 
           
			 | 
        office shall give notice to the provider of the time and place of  | 
      
      
        | 
           
			 | 
        the [initial] informal resolution meeting [not later than the 30th 
         | 
      
      
        | 
           
			 | 
        
          day before the date the meeting is to be held].  The informal  | 
      
      
        | 
           
			 | 
        resolution process shall run concurrently with the administrative  | 
      
      
        | 
           
			 | 
        hearing process, and the administrative hearing process may not be  | 
      
      
        | 
           
			 | 
        delayed on account of the informal resolution process.  [A provider 
         | 
      
      
        | 
           
			 | 
        
          may request a second informal resolution meeting not later than the 
         | 
      
      
        | 
           
			 | 
        
          20th day after the date of the initial informal resolution meeting. 
           
         | 
      
      
        | 
           
			 | 
        
          On receipt of a timely request, the office shall schedule a second 
         | 
      
      
        | 
           
			 | 
        
          informal resolution meeting not later than the 45th day after the 
         | 
      
      
        | 
           
			 | 
        
          date the office receives the request, but the office shall schedule 
         | 
      
      
        | 
           
			 | 
        
          the meeting on a later date, as determined by the office if 
         | 
      
      
        | 
           
			 | 
        
          requested by the provider. 
           
          The office shall give notice to the 
         | 
      
      
        | 
           
			 | 
        
          provider of the time and place of the second informal resolution 
         | 
      
      
        | 
           
			 | 
        
          meeting not later than the 20th day before the date the meeting is 
         | 
      
      
        | 
           
			 | 
        
          to be held. 
           
          A provider must have an opportunity to provide 
         | 
      
      
        | 
           
			 | 
        
          additional information before the second informal resolution 
         | 
      
      
        | 
           
			 | 
        
          meeting for consideration by the office.] | 
      
      
        | 
           
			 | 
               SECTION 9.  Sections 531.1201(a) and (b), Government Code,  | 
      
      
        | 
           
			 | 
        are amended to read as follows: | 
      
      
        | 
           
			 | 
               (a)  A provider must request an appeal under this section not  | 
      
      
        | 
           
			 | 
        later than the 30th [15th] day after the date the provider is  | 
      
      
        | 
           
			 | 
        notified that the commission or the commission's office of  | 
      
      
        | 
           
			 | 
        inspector general will seek to recover an overpayment or debt from  | 
      
      
        | 
           
			 | 
        the provider.  On receipt of a timely written request by a provider  | 
      
      
        | 
           
			 | 
        who is the subject of a recoupment of overpayment or recoupment of  | 
      
      
        | 
           
			 | 
        debt arising out of a fraud or abuse investigation, the office of  | 
      
      
        | 
           
			 | 
        inspector general shall file a docketing request with the State  | 
      
      
        | 
           
			 | 
        Office of Administrative Hearings or the Health and Human Services  | 
      
      
        | 
           
			 | 
        Commission appeals division, as requested by the provider, for an  | 
      
      
        | 
           
			 | 
        administrative hearing regarding the proposed recoupment amount  | 
      
      
        | 
           
			 | 
        and any associated damages or penalties.  The office shall file the  | 
      
      
        | 
           
			 | 
        docketing request under this section not later than the 60th day  | 
      
      
        | 
           
			 | 
        after the date of the provider's request for an administrative  | 
      
      
        | 
           
			 | 
        hearing or not later than the 60th day after the completion of the  | 
      
      
        | 
           
			 | 
        informal resolution process, if applicable. | 
      
      
        | 
           
			 | 
               (b)  The commission's office of inspector general is  | 
      
      
        | 
           
			 | 
        responsible for the costs of an administrative hearing held under  | 
      
      
        | 
           
			 | 
        Subsection (a), but a provider is responsible for the provider's  | 
      
      
        | 
           
			 | 
        own costs incurred in preparing for the hearing [Unless otherwise 
         | 
      
      
        | 
           
			 | 
        
          determined by the administrative law judge for good cause, at any 
         | 
      
      
        | 
           
			 | 
        
          administrative hearing under this section before the State Office 
         | 
      
      
        | 
           
			 | 
        
          of Administrative Hearings, the state and the provider shall each 
         | 
      
      
        | 
           
			 | 
        
          be responsible for:
         | 
      
      
        | 
           
			 | 
                     [(1)
           
           
          one-half of the costs charged by the State Office 
         | 
      
      
        | 
           
			 | 
        
          of Administrative Hearings;
         | 
      
      
        | 
           
			 | 
                     [(2)
           
           
          one-half of the costs for transcribing the 
         | 
      
      
        | 
           
			 | 
        
          hearing;
         | 
      
      
        | 
           
			 | 
                     [(3)
           
           
          the party's own costs related to the hearing, 
         | 
      
      
        | 
           
			 | 
        
          including the costs associated with preparation for the hearing, 
         | 
      
      
        | 
           
			 | 
        
          discovery, depositions, and subpoenas, service of process and 
         | 
      
      
        | 
           
			 | 
        
          witness expenses, travel expenses, and investigation expenses; and
         | 
      
      
        | 
           
			 | 
                     [(4)
           
           
          all other costs associated with the hearing that 
         | 
      
      
        | 
           
			 | 
        
          are incurred by the party, including attorney's fees]. | 
      
      
        | 
           
			 | 
               SECTION 10.  Section 531.1202, Government Code, is amended  | 
      
      
        | 
           
			 | 
        to read as follows: | 
      
      
        | 
           
			 | 
               Sec. 531.1202.  RECORD AND CONFIDENTIALITY OF INFORMAL  | 
      
      
        | 
           
			 | 
        RESOLUTION MEETINGS.  (a)  On the written request of the provider,  | 
      
      
        | 
           
			 | 
        the [The] commission shall, at no expense to the provider who  | 
      
      
        | 
           
			 | 
        requested the meeting, provide for an informal resolution meeting  | 
      
      
        | 
           
			 | 
        held under Section 531.102(g)(6) or 531.120(b) to be recorded.  The  | 
      
      
        | 
           
			 | 
        recording of an informal resolution meeting shall be made available  | 
      
      
        | 
           
			 | 
        to the provider who requested the meeting.  The commission may not  | 
      
      
        | 
           
			 | 
        record an informal resolution meeting unless the commission  | 
      
      
        | 
           
			 | 
        receives a written request from a provider under this subsection. | 
      
      
        | 
           
			 | 
               (b)  Notwithstanding Section 531.1021(g) and except as  | 
      
      
        | 
           
			 | 
        provided by this section, an informal resolution meeting held under  | 
      
      
        | 
           
			 | 
        Section 531.102(g)(6) or 531.120(b) is confidential, and any  | 
      
      
        | 
           
			 | 
        information or materials obtained by the commission's office of  | 
      
      
        | 
           
			 | 
        inspector general, including the office's employees or the office's  | 
      
      
        | 
           
			 | 
        agents, during or in connection with an informal resolution  | 
      
      
        | 
           
			 | 
        meeting, including a recording made under Subsection (a), are  | 
      
      
        | 
           
			 | 
        privileged and confidential and not subject to disclosure under  | 
      
      
        | 
           
			 | 
        Chapter 552 or any other means of legal compulsion for release,  | 
      
      
        | 
           
			 | 
        including disclosure, discovery, or subpoena. | 
      
      
        | 
           
			 | 
               SECTION 11.  Subchapter C, Chapter 531, Government Code, is  | 
      
      
        | 
           
			 | 
        amended by adding Sections 531.1023, 531.1024, 531.1025, and  | 
      
      
        | 
           
			 | 
        531.1203 to read as follows: | 
      
      
        | 
           
			 | 
               Sec. 531.1023.  COMPLIANCE WITH FEDERAL CODING GUIDELINES.   | 
      
      
        | 
           
			 | 
        The commission's office of inspector general, including office  | 
      
      
        | 
           
			 | 
        staff and any third party with which the office contracts to perform  | 
      
      
        | 
           
			 | 
        coding services, shall comply with federal coding guidelines,  | 
      
      
        | 
           
			 | 
        including guidelines for diagnosis-related group (DRG) validation  | 
      
      
        | 
           
			 | 
        and related audits. | 
      
      
        | 
           
			 | 
               Sec. 531.1024.  HOSPITAL UTILIZATION REVIEWS AND AUDITS:   | 
      
      
        | 
           
			 | 
        PROVIDER EDUCATION PROCESS.  The executive commissioner, in  | 
      
      
        | 
           
			 | 
        consultation with the office, shall by rule develop a process for  | 
      
      
        | 
           
			 | 
        the commission's office of inspector general, including office  | 
      
      
        | 
           
			 | 
        staff and any third party with which the office contracts to perform  | 
      
      
        | 
           
			 | 
        coding services, to communicate with and educate providers about  | 
      
      
        | 
           
			 | 
        the diagnosis-related group (DRG) validation criteria that the  | 
      
      
        | 
           
			 | 
        office uses in conducting hospital utilization reviews and audits. | 
      
      
        | 
           
			 | 
               Sec. 531.1025.  PERFORMANCE AUDITS AND COORDINATION OF AUDIT  | 
      
      
        | 
           
			 | 
        ACTIVITIES.  (a)  Notwithstanding any other law, the commission's  | 
      
      
        | 
           
			 | 
        office of inspector general may conduct a performance audit of any  | 
      
      
        | 
           
			 | 
        program or project administered or agreement entered into by the  | 
      
      
        | 
           
			 | 
        commission or a health and human services agency, including an  | 
      
      
        | 
           
			 | 
        audit related to: | 
      
      
        | 
           
			 | 
                     (1)  contracting procedures of the commission or a  | 
      
      
        | 
           
			 | 
        health and human services agency; or | 
      
      
        | 
           
			 | 
                     (2)  the performance of the commission or a health and  | 
      
      
        | 
           
			 | 
        human services agency. | 
      
      
        | 
           
			 | 
               (b)  In addition to the coordination required by Section  | 
      
      
        | 
           
			 | 
        531.102(w), the office shall coordinate the office's other audit  | 
      
      
        | 
           
			 | 
        activities with those of the commission, including the development  | 
      
      
        | 
           
			 | 
        of audit plans, the performance of risk assessments, and the  | 
      
      
        | 
           
			 | 
        reporting of findings, to minimize the duplication of audit  | 
      
      
        | 
           
			 | 
        activities.  In coordinating audit activities with the commission  | 
      
      
        | 
           
			 | 
        under this subsection, the office shall: | 
      
      
        | 
           
			 | 
                     (1)  seek input from the commission and consider  | 
      
      
        | 
           
			 | 
        previous audits conducted by the commission for purposes of  | 
      
      
        | 
           
			 | 
        determining whether to conduct a performance audit; and | 
      
      
        | 
           
			 | 
                     (2)  request the results of an audit conducted by the  | 
      
      
        | 
           
			 | 
        commission if those results could inform the office's risk  | 
      
      
        | 
           
			 | 
        assessment when determining whether to conduct, or the scope of, a  | 
      
      
        | 
           
			 | 
        performance audit. | 
      
      
        | 
           
			 | 
               Sec. 531.1203.  RIGHTS OF AND PROVISION OF INFORMATION TO  | 
      
      
        | 
           
			 | 
        PHARMACIES SUBJECT TO CERTAIN AUDITS.  (a)  A pharmacy has a right  | 
      
      
        | 
           
			 | 
        to request an informal hearing before the commission's appeals  | 
      
      
        | 
           
			 | 
        division to contest the findings of an audit conducted by the  | 
      
      
        | 
           
			 | 
        commission's office of inspector general or an entity that  | 
      
      
        | 
           
			 | 
        contracts with the federal government to audit Medicaid providers  | 
      
      
        | 
           
			 | 
        if the findings of the audit do not include findings that the  | 
      
      
        | 
           
			 | 
        pharmacy engaged in Medicaid fraud. | 
      
      
        | 
           
			 | 
               (b)  In an informal hearing held under this section, staff of  | 
      
      
        | 
           
			 | 
        the commission's appeals division, assisted by staff responsible  | 
      
      
        | 
           
			 | 
        for the commission's vendor drug program who have expertise in the  | 
      
      
        | 
           
			 | 
        law governing pharmacies' participation in Medicaid, make the final  | 
      
      
        | 
           
			 | 
        decision on whether the findings of an audit are accurate.  Staff of  | 
      
      
        | 
           
			 | 
        the commission's office of inspector general may not serve on the  | 
      
      
        | 
           
			 | 
        panel that makes the decision on the accuracy of an audit. | 
      
      
        | 
           
			 | 
               (c)  In order to increase transparency, the commission's  | 
      
      
        | 
           
			 | 
        office of inspector general shall, if the office has access to the  | 
      
      
        | 
           
			 | 
        information, provide to pharmacies that are subject to audit by the  | 
      
      
        | 
           
			 | 
        office, or by an entity that contracts with the federal government  | 
      
      
        | 
           
			 | 
        to audit Medicaid providers, information relating to the  | 
      
      
        | 
           
			 | 
        extrapolation methodology used as part of the audit and the methods  | 
      
      
        | 
           
			 | 
        used to determine whether the pharmacy has been overpaid under  | 
      
      
        | 
           
			 | 
        Medicaid in sufficient detail so that the audit results may be  | 
      
      
        | 
           
			 | 
        demonstrated to be statistically valid and are fully reproducible. | 
      
      
        | 
           
			 | 
               SECTION 12.  Section 533.015, Government Code, as amended by  | 
      
      
        | 
           
			 | 
        S.B. No. 219, Acts of the 84th Legislature, Regular Session, 2015,  | 
      
      
        | 
           
			 | 
        is amended to read as follows: | 
      
      
        | 
           
			 | 
               Sec. 533.015.  COORDINATION OF EXTERNAL OVERSIGHT  | 
      
      
        | 
           
			 | 
        ACTIVITIES.  (a)  To the extent possible, the commission shall  | 
      
      
        | 
           
			 | 
        coordinate all external oversight activities to minimize  | 
      
      
        | 
           
			 | 
        duplication of oversight of managed care plans under Medicaid and  | 
      
      
        | 
           
			 | 
        disruption of operations under those plans. | 
      
      
        | 
           
			 | 
               (b)  The executive commissioner, after consulting with the  | 
      
      
        | 
           
			 | 
        commission's office of inspector general, shall by rule define the  | 
      
      
        | 
           
			 | 
        commission's and office's roles in and jurisdiction over, and  | 
      
      
        | 
           
			 | 
        frequency of, audits of managed care organizations participating in  | 
      
      
        | 
           
			 | 
        Medicaid that are conducted by the commission and the commission's  | 
      
      
        | 
           
			 | 
        office of inspector general. | 
      
      
        | 
           
			 | 
               (c)  In accordance with Section 531.102(w), the commission  | 
      
      
        | 
           
			 | 
        shall share with the commission's office of inspector general, at  | 
      
      
        | 
           
			 | 
        the request of the office, the results of any informal audit or  | 
      
      
        | 
           
			 | 
        on-site visit that could inform that office's risk assessment when  | 
      
      
        | 
           
			 | 
        determining whether to conduct, or the scope of, an audit of a  | 
      
      
        | 
           
			 | 
        managed care organization participating in Medicaid. | 
      
      
        | 
           
			 | 
               SECTION 13.  The following provisions are repealed: | 
      
      
        | 
           
			 | 
                     (1)  Section 531.1201(c), Government Code; and | 
      
      
        | 
           
			 | 
                     (2)  Section 32.0422(k), Human Resources Code, as  | 
      
      
        | 
           
			 | 
        amended by S.B. No. 219, Acts of the 84th Legislature, Regular  | 
      
      
        | 
           
			 | 
        Session, 2015. | 
      
      
        | 
           
			 | 
               SECTION 14.  Notwithstanding Section 531.004, Government  | 
      
      
        | 
           
			 | 
        Code, the Sunset Advisory Commission shall conduct a  | 
      
      
        | 
           
			 | 
        special-purpose review of the overall performance of the Health and  | 
      
      
        | 
           
			 | 
        Human Services Commission's office of inspector general.  In  | 
      
      
        | 
           
			 | 
        conducting the review, the Sunset Advisory Commission shall  | 
      
      
        | 
           
			 | 
        particularly focus on the office's investigations and the  | 
      
      
        | 
           
			 | 
        effectiveness and efficiency of the office's processes, as part of  | 
      
      
        | 
           
			 | 
        the Sunset Advisory Commission's review of agencies for the 87th  | 
      
      
        | 
           
			 | 
        Legislature.  The office is not abolished solely because the office  | 
      
      
        | 
           
			 | 
        is not explicitly continued following the review. | 
      
      
        | 
           
			 | 
               SECTION 15.  Section 531.102, Government Code, as amended by  | 
      
      
        | 
           
			 | 
        this Act, applies only to a complaint or allegation of Medicaid  | 
      
      
        | 
           
			 | 
        fraud or abuse received by the Health and Human Services Commission  | 
      
      
        | 
           
			 | 
        or the commission's office of inspector general on or after the  | 
      
      
        | 
           
			 | 
        effective date of this Act.  A complaint or allegation received  | 
      
      
        | 
           
			 | 
        before the effective date of this Act is governed by the law as it  | 
      
      
        | 
           
			 | 
        existed when the complaint or allegation was received, and the  | 
      
      
        | 
           
			 | 
        former law is continued in effect for that purpose. | 
      
      
        | 
           
			 | 
               SECTION 16.  Not later than March 1, 2016, the executive  | 
      
      
        | 
           
			 | 
        commissioner of the Health and Human Services Commission, in  | 
      
      
        | 
           
			 | 
        consultation with the inspector general of the commission's office  | 
      
      
        | 
           
			 | 
        of inspector general, shall adopt rules necessary to implement the  | 
      
      
        | 
           
			 | 
        changes in law made by this Act to Section 531.102(g)(2),  | 
      
      
        | 
           
			 | 
        Government Code, regarding the circumstances in which a payment  | 
      
      
        | 
           
			 | 
        hold may be placed on claims for reimbursement submitted by a  | 
      
      
        | 
           
			 | 
        Medicaid provider. | 
      
      
        | 
           
			 | 
               SECTION 17.  As soon as practicable after the effective date  | 
      
      
        | 
           
			 | 
        of this Act, the executive commissioner of the Health and Human  | 
      
      
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        Services Commission, in consultation with the inspector general of  | 
      
      
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        the commission's office of inspector general, shall adopt the rules  | 
      
      
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        establishing the process for communicating with and educating  | 
      
      
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        providers about diagnosis-related group (DRG) validation criteria  | 
      
      
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        under Section 531.1024, Government Code, as added by this Act. | 
      
      
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               SECTION 18.  Not later than September 1, 2016, the executive  | 
      
      
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        commissioner of the Health and Human Services Commission shall  | 
      
      
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        adopt the guidelines required under Section 531.1032(c),  | 
      
      
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        Government Code, as added by this Act. | 
      
      
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               SECTION 19.  Sections 531.120 and 531.1201, Government Code,  | 
      
      
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        as amended by this Act, apply only to a proposed recoupment of an  | 
      
      
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        overpayment or debt of which a provider is notified on or after the  | 
      
      
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        effective date of this Act.  A proposed recoupment of an overpayment  | 
      
      
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        or debt that a provider was notified of before the effective date of  | 
      
      
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        this Act is governed by the law as it existed when the provider was  | 
      
      
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        notified, and the former law is continued in effect for that  | 
      
      
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        purpose. | 
      
      
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               SECTION 20.  Not later than March 1, 2016, the executive  | 
      
      
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        commissioner of the Health and Human Services Commission in  | 
      
      
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        consultation with the inspector general of the office of inspector  | 
      
      
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        general shall adopt rules necessary to implement Section 531.1203,  | 
      
      
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        Government Code, as added by this Act. | 
      
      
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               SECTION 21.  Not later than September 1, 2016, the executive  | 
      
      
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        commissioner of the Health and Human Services Commission shall  | 
      
      
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        adopt rules required by Section 533.015(b), Government Code, as  | 
      
      
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        added by this Act. | 
      
      
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               SECTION 22.  If before implementing any provision of this  | 
      
      
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        Act a state agency determines that a waiver or authorization from a  | 
      
      
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        federal agency is necessary for implementation of that provision,  | 
      
      
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        the agency affected by the provision shall request the waiver or  | 
      
      
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        authorization and may delay implementing that provision until the  | 
      
      
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        waiver or authorization is granted. | 
      
      
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               SECTION 23.  This Act takes effect September 1, 2015. | 
      
      
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        ______________________________ | 
        ______________________________ | 
      
      
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           President of the Senate | 
        Speaker of the House      | 
      
      
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               I hereby certify that S.B. No. 207 passed the Senate on  | 
      
      
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        April 21, 2015, by the following vote:  Yeas 30, Nays 0;  | 
      
      
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        May 26, 2015, Senate refused to concur in House amendment and  | 
      
      
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        requested appointment of Conference Committee; May 27, 2015, House  | 
      
      
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        granted request of the Senate; May 30, 2015, Senate adopted  | 
      
      
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        Conference Committee Report by the following vote:  Yeas 30,  | 
      
      
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        Nays 1. | 
      
      
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         | 
      
      
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        ______________________________ | 
      
      
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        Secretary of the Senate     | 
      
      
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               I hereby certify that S.B. No. 207 passed the House, with  | 
      
      
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        amendment, on May 24, 2015, by the following vote:  Yeas 142,  | 
      
      
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        Nays 0, two present not voting; May 27, 2015, House granted request  | 
      
      
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        of the Senate for appointment of Conference Committee;  | 
      
      
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        May 30, 2015, House adopted Conference Committee Report by the  | 
      
      
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        following vote:  Yeas 144, Nays 0, two present not voting. | 
      
      
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        ______________________________ | 
      
      
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        Chief Clerk of the House    | 
      
      
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        Approved: | 
      
      
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        ______________________________  | 
      
      
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                   Date | 
      
      
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        ______________________________  | 
      
      
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                  Governor |