016.23.10 Ark. Code R. 001

Current through Register Vol. 49, No. 10, October, 2024
Rule 016.23.10-001 - Certification Manual for Rehabilitation Services for Persons with Mental Illness Provider (RSPMI); and Certification Admendment 2 - Moratorium on New Sites
I. PURPOSE:
A. To assure that Rehabilitative Services for Persons With Mental Illness ("RSPMI") care and services comply with applicable laws, which require, among other things, that all care reimbursed by the Arkansas Medical Assistance Program ("Medicaid") must be provided efficiently, economically, only when medically necessary, and is of a quality that meets professionally recognized standards of health care.
B. The requirements and obligations imposed by §§ I-XIII of this rule are substantive, not procedural.
II. SCOPE:
A. Current RSPMI certification under this policy is a condition of Medicaid provider enrollment.
B. Division of Behavioral Health Services ("DBHS") RSPMI certification must be obtained for each site before application for Medicaid provider enrollment. An applicant may submit one application for multiple sites, but DBHS will review each site separately and take separate certification action for each site.
III. DEFINITIONS:
A. "Accreditation" means full accreditation (preliminary, expedited, probationary, pending, conditional, deferred or provisional accreditations will not be accepted) as an outpatient behavioral health care provider issued by at least one of the following:

* Commission on Accreditation for Rehabilitative Facilities (CARF) Behavioral Health Standards Manual

* The Joint Commission (TJC)

Comprehensive Accreditation Manual for Behavioral Health Care

. Council on Accreditation (COA)

Outpatient Mental Health Services Manual

B. "Adverse license action" means any action by a licensing authority that is related to client care, any act or omission warranting exclusion under DHS Policy 1088, or that imposes any restriction on the licensee's practice privileges. The action is deemed to exist when the licensing entity imposes the adverse action except as provided in Ark. Code Ann. § 25-15-211(c).
C. "Applicant" means an outpatient behavioral health care agency that is seeking DBHS certification as an RSPMI provider.
D. "Certification" means a written designation, issued by DBHS, declaring that the provider has demonstrated compliance as declared within and defined by this rule.
E. "Client" means any person for whom an RSPMI provider furnishes, or has agreed or undertaken to furnish, RSPMI services.
F. "Client Information System" means a comprehensive, integrated system of clinical, administrative, and financial records that provides information necessary and useful to deliver client services. Information may be maintained electronically, in hard copy, or both.
G. "Compliance" means conformance with:
1. Applicable state and federal laws, rules, and regulations including, without limitation:
a. Titles XIX and XXI of the Social Security Act and implementing regulations;
b. Other federal laws and regulations governing the delivery of health care funded in whole or in part by federal funds, for example, 42 U.S.C. § 1320c-5.
c. All state laws and rules applicable to Medicaid generally and to RSPMI services specifically.
d. Title VI of the Civil Rights Act of 1964 as amended, and implementing regulations;
e. The Americans With Disabilities Act, as amended, and implementing regulations;
f. The Health Insurance Portability and Accountability Act ("HIPAA"), as amended, and implementing regulations.
2. Accreditation standards and requirements.
H. "Contemporaneous" means within a single work period of the performing provider, that is, before the performing provider goes off duty for any reason other than a scheduled work break or meal.
I. "Coordinated Management Plan" means a plan that the provider develops and carries out to assure compliance and quality improvement.
J. "Corrective Action Plan" (CAP) means a document that describes both short-term remedial steps to achieve compliance and permanent practices and procedures to sustain compliance.
K. "Covered Health Care Practitioner" means:Allopathic physicians; allopathic interns and residents; osteopathic physicians; and osteopathic physician interns and residents; dentists and dentist residents; and other practitioner types which may be or have been reported to the NPDB: pharmacists; pharmacy interns; pharmacists, nuclear; pharmacy assistants; pharmacy technicians; registered (professional) nurses; nurse anesthetists; nurse midwives; nurse practitioners; clinical nurse specialists; licensed practical or vocational nurses; nurses aides; certified nurse aides/certified nursing assistants; home health aides (homemakers); health care aides/direct care workers; certified or qualified medication aides; EMTs, basic; EMTs, cardiac/critical care; EMTs, intermediate; EMTs, paramedic; social workers; podiatrists; podiatric assistants; psychologists; school psychologists; psychological assistants, associates,

examiners; counselors, mental health; professional counselors; professional counselors, alcohol; professional counselors, family/marriage; professional counselors, substance abuse; marriage and family therapists; dental assistants; dental hygienists; denturists; dieticians; nutritionists; ocularists; opticians; optometrists; physician assistants, allopathic; physician assistants, osteopathic; art/recreation therapists; massage therapists; occupational therapists; occupational therapy assistants; physical therapists; physical therapy assistants; rehabilitative therapists; respiratory therapy technicians; medical technologists; cytotechnologists; nuclear medicine technologists; radiation therapy technologists; radiologic technologists; acupuncturists; athletic trainers; homeopaths; medical assistants; midwives, lay (non nurse); naturopaths; orthotics/prosthetics fitters; perfusionists; psychiatric technicians; and any other type of health care practitioner which is licensed in one or more States.

L. "Cultural Competency" means the ability to communicate and interact effectively with people of different cultures, including people with disabilities and atypical lifestyles.
M. "DBHS" means the Arkansas Department of Human Services Division of Behavioral Health Services.
N. "Deficiency" means an item or area of noncompliance.
O. "DHS" means the Arkansas Department of Human Services.
P. "Emergency RSPMI services" means nonscheduled RSPMI services delivered under circumstances where a prudent layperson with an average knowledge of behavioral health care would reasonably believe that RSPMI services are immediately necessary to prevent death or serious impairment of health.
Q. "Medical Director" means a physician that oversees the planning and delivery of all RSPMI services delivered by the provider.
R. "Mental health paraprofessional" or "MHPP" means a person who:
1. Does not possess an Arkansas license to provide clinical behavioral health care;
2. Works under the direct supervision of a mental health professional;
3. Has successfully completed prescribed and documented courses of initial and annual training sufficient to perform all tasks assigned by a mental health professional;
4. Acknowledges in writing that all mental health paraprofessional services are controlled by client care plans and provided under the direct supervision of a mental health professional.
S. "Mental health professional" or "MHP" means a person who possesses an Arkansas license to provide clinical behavioral health care. The license must be in good standing and not subject to any adverse license action.
T. "Mobile care" means a face-to-face intervention with the client at a place other than a certified site operated by the provider. Mobile care must be:
1. Either clinically indicated in an emergent situation or necessary for the client to have access to care in accordance with the care plan;
2. Delivered in a clinically appropriate setting; and
3. Delivered where Medicaid billing is permitted if delivered to a Medicaid eligible client.

Mobile care may include medically necessary behavioral health care provided in a school that is within fifty (50) miles of a certified site operated by the provider.

U. "Multi-disciplinary team" means a group of professionals from different disciplines that provide comprehensive care through individual expertise and in consultation with one another to accomplish the client's clinical goals. Multi-disciplinary teams promote coordination between agencies; provide a "checks and balances" mechanism to ensure that the interests and rights of all concerned parties are addressed; and identify service gaps and breakdowns in coordination or communication between agencies or individuals.
V. "NPDB" means the United States Department of Health and Human Services, Health Resources and Services Administration National Provider Data Bank.
W. "Performing provider" means the individual who personally delivers a care or service directly to a client.
X. "Professionally recognized standard of care" means that degree of skill and learning commonly applied under all the circumstances in the community by the average prudent reputable member of the profession. Conformity with Substance Abuse and Mental Health Services Administration (SAMHSA) evidence-based practice models is evidence of compliance with professionally recognized standards of care.
Y. "Provider" means an entity that is certified by DBHS and enrolled by DMS to provide RSPMI.
Z. "Quality assurance (QA) meeting" means a meeting held at least quarterly for systematic monitoring and evaluation of clinic services and compliance. See also, Medicaid RSPMI Manual, § 212.000.
AA ''Reviewer" means a person employed or engaged by:
1. DHS or a division or office thereof;
2. An entity that contracts with DHS or a division or office thereof.
BB. "RSPMI" means Rehabilitative Services for Persons With Mental Illness.
CC. "Site" means a distinct place of business dedicated to the delivery of RSPMI services within a fifty (50) mile radius. Each site must be a bona fide RSPMI behavioral health outpatient clinic providing all the services specified in this rule and the Medicaid RSPMI Manual. Sites may not be adjuncts to a different activity such as a school, a day care facility, a long-term care facility, or the office or clinic of a physician or psychologist.
DD. "Site relocation" means closing an existing site and opening a new site no more than fifty (50) miles from the original site.
EE. "Site transfer" means moving existing staff, program, and clients from one physical location to a second location that is no more than fifty (50) miles from the original site.
FF. "Supervise" as used in this rule means to direct, inspect, observe, and evaluate performance.
GG. "Supervision documentation" means written records of the time, date, subject(s), and duration of supervisory contact maintained in the provider's official records.
IV. COMPLIANCE TIMELINE:
A. Certified RSPMI providers in operation as of the effective date of this rule must comply with this rule within forty-five calendar days.
B. DBHS may authorize temporary compliance exceptions for new accreditation standards that require independent site surveys and specific service subset accreditations. Such compliance exceptions expire at the end of the provider's accreditation cycle and may not be renewed or reauthorized.
V. APPLICATION FOR DBHS RSPMI CERTIFICATION:
A. Applicants must complete DBHS application Form #1 and #2 which can be found at the following website: www.arkansas.gov/dhs/dmhs or

See Appendix # 5 and # 6

B. Applicants must submit the completed application forms and all required attachments for each proposed site to:

Department of Human Services

Division of Behavioral Health Services

Attn. Certification Office

305 S. Palm

Little Rock, AR 72205

C. Each applicant must be an outpatient behavioral health care agency:
1. Whose primary purpose is the delivery of a continuum of outpatient behavioral health services in a free standing independent clinic;
2. That is independent of any DBHS certified RSPMI provider.
D. RSPMI certification is not transferable or assignable.
E. The privileges of RSPMI certification are limited to the certified entity.
F. Providers may file Medicaid claims only for RSPMI care delivered by a performing provider engaged by the provider.
G. Applications must be made in the name used to identify the business entity to the Secretary of State and for tax purposes.
H. Applicants must maintain and document accreditation, and must prominently display certification of accreditation issued by the accrediting organization in a public area at each site. Accreditation must recognize and include all the applicant's RSPMI programs, services, and sites.
1. Initial accreditation must include an on-site survey for each service site for which provider certification is requested. Accreditation documentation submitted to DBHS must list all sites recognized and approved by the accrediting organization as the applicant's service sites.
2. Accreditation documentation must include the applicant's governance standards for operation and sufficiently define and describe all services or types of care (customer service units or service standards) the applicant intends to provide including, without limitation, crisis intervention/stabilization, in-home family counseling, outpatient treatment, day treatment, therapeutic foster care, intensive outpatient, medication management/pharmacotherapy.
3. Any outpatient behavioral health program associated with a hospital must have a free-standing behavioral health outpatient program national accreditation.
I. The applicant must attach the entity's family involvement policy to each application.
VI. APPLICATION REVIEW PROCESS
A. Timeline:
1. DBHS will review RSPMI application forms and materials within ninety (90) calendar days after the DBHS RSPMI certification policy office receives a complete application package. (DBHS will return incomplete applications to senders without review.)
2. For approved applications, a site survey will be scheduled within 20 calendar days of the approval date.
3. DBHS will mail a survey report to the applicant within 10 calendar days of the site visit. Providers having deficiencies on survey reports must submit an approvable corrective action plan to DBHS within thirty-five (35) calendar days after the date of a survey report.
4. DBHS will accept or reject each corrective action plan in writing within ten (10) calendar days after receipt.
5. Within thirty (30) calendar days after DBHS approves a corrective action plan, the applicant must document implementation of the plan and correction of the deficiencies listed in the survey report. Applicants who are unable, despite the exercise of reasonable diligence, to correct deficiencies within the time permitted may obtain up to ten (10) additional days based on a showing of good cause.
6. DBHS will furnish site-specific certificates via postal or electronic mail within ten (10) calendar days of issuing a site certification.
B. Survey Components: An outline of site survey components is available on the DBHS website: www.arkansas.gov/dhs/dmhs and is located in appendix # 7.
C. Determinations:
1. Application approved.
2. Application returned for additional information.
3. Application denied. DBHS will state the reasons for denial in a written response to the applicant.
VII. DBHS Access to Applicants/Providers:
A. DBHS may contact applicants and providers at any time;
B. DBHS may make unannounced visits to applicants/providers.
C. Applicants/providers shall provide DBHS prompt direct access to applicant/provider documents and to applicant/provider staff and contractors, including, without limitation, clinicians, paraprofessionals, physicians, administrative, and support staff.
D. DBHS reserves the right to ask any questions or request any additional information related to certification, accreditation, or both.
VIII. ADDITIONAL CERTIFICATION REQUIREMENTS
A. Training: Upon certification, applicants must enroll at least the following personnel: clinical supervisors, corporate compliance officers and billing personnel who must successfully complete the "DBHS RSPMI Operation Technical Assistance Training Program" ("Program") within five (5) months of the certification date. DHS will offer the program at least quarterly. See Appendix # 4 for training agenda.
B. Care and Services must:
1. Comply with all state and federal laws, rules, and regulations applicable to the furnishing of health care funded in whole or in part by federal funds; to all state laws and policies applicable to Arkansas Medicaid generally, and to RSPMI services specifically, and to all applicable Department of Human Services ("DHS") policies including, without limitation, DHS Participant Exclusion Policy § 1088.0.0. The Participant Exclusion Policy is available online at https://dhsshare.arkansas.gov/DHS%20Policies/Forms/By%20Policy.aspx
2. Conform to professionally recognized behavioral health rehabilitative treatment models.
3. Be established by contemporaneous documentation that is accurate and demonstrates compliance. Documentation will be deemed to be contemporaneous if recorded by the end of the performing provider's first work period following the provision of the care or services to be documented, or as provided in the RSPMI manual, § 252.110, whichever is longer.
C. Applicants and RSPMI providers must:
1. Be a legal entity in good standing;
2. Maintain all required business licenses;
3. Adopt a mission statement to establish goals and guide activities;
4. Maintain a current organizational chart that identifies administrative and clinical chains of command.
D. Applicants/providers must establish and comply with operating policy that at a minimum implements credible practices and standards for:
1. Compliance;
2. Cultural competence;
3. Provision of services, including referral services, for clients that are indigent, have no source of third party payment, or both, including:
a. Procedures to follow when a client is rejected for lack of a third-party payment source or when a client is discharged for nonpayment of care.
b. Coordinated referral plans for clients that the provider lacks the capacity to provide medically necessary RSPMI care and services. Coordinated referral plans must:
i. Identify in the client record the medically necessary RSPMI services that the provider cannot or will not furnish;
ii. State the reason(s) in the client record that the provider cannot or will not furnish the care;
iii. Provide quality-control processes that assure compliance with care, discharge, and transition plans.
E. Minimum Staffing: Staffing shall be sufficient to establish and implement care plans for each RSPMI client, and must include the following:
1.Chief Executive Officer/Executive Director (or functional equivalent) (full-time position or full-time equivalent positions): The person or persons identified to carry out CEO/ED functions:
a. Is/are ultimately responsible for applicant/provider organization, staffing, policies and practices, and RSPMI service delivery;
b. Must possess a master's degree in behavioral health care, management, or a related field and experience, and meet any additional qualifications required by the provider's governing body. Other job-related education, experience, or both, may be substituted for all or part of these requirements upon approval of the provider's governing body.
2.Clinical Director (or functional equivalent) (full-time position or full-time equivalent positions): The person or persons identified to carry out clinical director functions must:
a. Report directly to the CEO/ED;
b. Be the DBHS contact for clinical and practice-related issues;
c. Be accountable for all clinical services (professional and paraprofessional);
d. Be responsible for RSPMI care and service quality and compliance;
e. Assure that all services are provided within each practitioner's scope of practice under Arkansas law and under such supervision as required by law for practitioners not licensed to practice independently;
f. Assure and document in the provider's official records the direct supervision of MHP's, either personally or though a documented chain of supervision.
g. Assure that licensed mental health professionals directly supervise paraprofessionals. Direct supervision ratios must not exceed one licensed mental health professional to ten (10) mental health paraprofessionals;
h. Possess independent Behavioral Health licensure in Arkansas as a Licensed Psychologist, Licensed Certified Social Worker, (LCSW), Licensed Psychological Examiner - Independent (LPE-I), Licensed Professional Counselor (LPC), Licensed Marriage and Family Therapist (LMFT), or an Advanced Practice Nurse or Clinical Nurse Specialist (APN or CNS) with a specialty in psychiatry or mental health and a minimum of two years clinical experience post master's degree.
3. Mental Health Professionals:
a. MHP's may:
i. Provide direct behavioral health care;
ii. Delegate and oversee work assignments of MHPP's;
iii. Ensure compliance and conformity to the provider's policies and procedures;
iv. Provide direct supervision of MHPP's;
v. Provide case consultation and in-service training;
vi. Observe and evaluate performance of MHPP's.
b. MHP Supervision:
i. Communication between an MHP and the MHP's supervisor must include each of the following at least every twelve (12) months:
1. Assessment and referral skills, including the accuracy of assessments;
2. Appropriateness of treatment or service interventions in relation to the client needs;
3. Treatment/intervention effectiveness as reflected by the client meeting individual goals;
4. Issues of ethics, legal aspects of clinical practice, and professional standards;
5. The provision of feedback that enhances the skills of direct service personnel;
6. Clinical documentation issues identified through ongoing compliance review;
7. Cultural competency issues;
8. All areas noted as deficient or needing improvement.
ii. Documented client-specific face-to-face and other necessary communication regarding client care must occur between each MHP's supervisor and the MHP periodically (no less than every ninety (90) calendar days) in accordance with a schedule maintained in the provider's official records.
4. Mental Health Paraprofessionals:
a. Are MHP service extenders;
b. MHPP supervision must conform to the requirements for MHP supervision (See § VIII (E)(3)(b)) except that all requirements must be met every six (6) months, and one or more licensed health care professional(s) acting within the scope of his or her practice must have a face-to-face contact with each MHPP for the purpose of clinical supervision at least every fourteen (14) days, must have at least twelve (12) such face-to-face contacts every ninety (90) days, and such additional face-to-face contacts as are necessary in response to a client's unscheduled care needs, response or lack of response to treatment, or change of condition;
c. Providers must establish that MHPP supervision occurred via individualized written certifications created by a licensed mental health professional and filed in the provider's official records on a weekly basis, certifying:
i. That the licensed mental health professional periodically (in accordance with a schedule tailored to the client's condition and care needs and previously recorded in the provider's official records) communicated individualized client-specific instructions to the mental health paraprofessional describing the manner and methods for the delivery of paraprofessional services;
ii. That the licensed mental health professional periodically (in accordance with a schedule tailored to the client's condition and care needs and previously recorded in the provider's official records, but no less than every 30 days) personally observed the mental health paraprofessional delivering services to a client; that the observations were of sufficient duration to declare whether paraprofessional services complied with the licensed mental health professional's instructions;
iii. The date, time, and duration of each supervisory communication with and observation of a mental health paraprofessional.
4.Corporate Compliance Officer:
a. Manages policy, practice standards and compliance, except compliance that is the responsibility of the medical records librarian;
b. Reports directly to the CEO/ED (except in circumstances where the compliance officer is required to report directly to a director, the board of directors, or an accrediting or oversight agency);
c. Has no direct responsibility for billings or collections;
d. Is the DBHS and Medicaid contact for DBHS certification, Medicaid enrollment, and compliance.
5.Medical Director:
a. Oversees RSPMI care planning, coordination, and delivery, and specifically:
i. Diagnoses, treats, and prescribes for behavioral illness;
ii. Is responsible and accountable for all client care, care planning, care coordination, and medication storage;
iii. Assures that physician care is available 24 hours a day, 7 days a week;
iv. May delegate client care to other physicians, subject to documented oversight and approval;
v. Assures that a physician participates in treatment planning and reviews;
vi. If the medical director is not a psychiatrist, a psychiatrist certified by one of the specialties of the American Board of Medical Specialties must service as a consultant to the medical director and to other staff, both medical and non-medical. If the provider serves clients under the age of twenty-one (21), the medical director shall have access to a board certified child psychiatrist, for example, through the Psychiatric Research Institute child/Adolescent Telephone Consultation Service;
vii. Medical director services may be acquired by contract.
b. If the medical director is not a psychiatrist then the medical director shall contact a consulting psychiatrist within twenty-four (24) hours in the following situations:
i. When antipsychotic or stimulant medications are used in dosages higher than recommended in guidelines published by the Arkansas Department of Human Services Division of Medical Services;
ii. When two (2) or more medications from the same pharmacological class are used;
iii. When there is significant clinical deterioration or crisis with enhanced risk of danger to self or others.
c. The consulting psychiatrist(s) shall participate in quarterly quality assurance meetings.
6.Privacy Officer: Develops and implements policies to assure compliance with privacy laws, regulations, and rules. Applicants/providers may assign privacy responsibilities to the Corporate Compliance Officer, Grievance Officer, or Medical Records Librarian, but not the CEO/ED.
7.Quality Control Manager: Chairs the quality assurance committee and develops and implements quality control and quality improvement activities. Applicants/providers may assign quality control manager responsibilities to the Corporate Compliance Officer or Medical Records Manager, but not the CEO/ED.
8.Grievance Officer:
a. Develops and implements the applicant's/provider's employee and client grievance procedures.
b. Effectively communicates grievance procedures to staff, contractors, prospective clients, and clients. Communications to clients who are legally incapacitated shall include communication to the client's responsible party.
c. The grievance officer shall not have any duties that may cause him/her to favor or disfavor any grievant.
9.Medical Records Librarian:
a. Must be qualified by education, training, and experience to understand and apply:
i. Medical and behavioral health terminology and usages covering the full range of services offered by the provider;
ii. Medical records forms and formats;
iii. Medical records classification systems and references such as The American Psychiatric Association's Diagnostic and Statistical Manual - IV-TR (DSM-IV-TR) and subsequent editions,

International Classification of Diseases (ICD), Diagnostic Related Groups (DRG's), Physician's Desk Reference (PDR), Current Procedural Terminology (CPT), medical dictionaries, manuals, textbooks, and glossaries.

iv. Legal and regulatory requirements of medical records to assure the record is acceptable as a legal document;
v. Laws and regulations on the confidentiality of medical records (Privacy Act and Freedom of Information Act) and the procedures for informed consent for release of information from the record.
vi. The interrelationship of record services with the rest of the facility's services.
b. Develops and implements:
i. The client information system;
ii. Operating methods and procedures covering all medical records functions.
iii. Insures that the medical record is complete, accurate, and compliant.
10.Licensed Psychologist, Licensed Psychological Examiner (LPE), or Licensed Psychological Examiner - Independent (LPE-I):
a. Provides psychological evaluations;
b. Each licensed psychological examiner or licensed psychological examiner-I must have supervision agreements with a doctoral psychologist to provide appropriate supervision or services for any evaluations or procedures that are required under or are outside the psychological examiner's scope of independent practice.

Documentation of such agreements and of all required supervision and other practice arrangements must be included in the psychological examiner's personnel record;

c. Services may be acquired by contract.
F. Multidisciplinary Team(s): Providers must assign each client a multidisciplinary team that includes professionals and paraprofessionals as necessary to insure care coordination of each client's RSPMI care and services.
G. Quality Assurance Meetings:

Each provider must hold a quarterly quality assurance meeting.

H. Health Care Professional Notification/Disqualification:
a. Notice of covered health care practitioners:
i. Within twenty (20) days of the effective date of this rule, applicants/providers must notify the Medicaid Program Integrity Unit of the names of covered health care practitioners who are providing RSPMI services.
ii. On or before the tenth day of each month, providers must notify the Medicaid Program Integrity Unit of the names of all covered health care practitioners who are providing RSPMI services and whose names were not previously disclosed.
b. Licensed health care professionals may not furnish RSPMI services during any time the professional's license is subject to adverse license action.
c. Applicants/providers may not employ/engage a covered health care practitioner after learning that the practitioner:
i. Is excluded from Medicare, Medicaid, or both;
ii. Is debarred under Ark. Code Ann. § 19-11-245;
iii. Is excluded under DHS Policy 1088; or iv. Was subject to a final determination that the provider failed to comply with professionally recognized standards of care, conduct, or both. For purposes of this subsection, "final determination" means a final court or administrative adjudication, or the result of an alternative dispute resolution process such as arbitration or mediation.
I. Applicants/providers must maintain documentation identifying the primary work location of all MHP's and mental health paraprofessionals.
J. Providers must maintain copies of disclosure forms signed by the client, or by the client's parent or guardian before RSPMI services are delivered except in emergencies. Such forms must at a minimum:
1. Disclose that the services to be provided are RSPMI;
2. Explain RSPMI eligibility, SED and SMI criteria;
3. Contain a brief description of RSPMI services;
4. Explain that all RSPMI care must be medically necessary;
5. Disclose that third party (e.g., Medicaid or insurance) RSPMI payments may be denied based on the third party payer's policies or rules;
6. Identify and define any services to be offered or provided in addition to RSPMI care, state whether there will be a charge for such services, and if so, document payment arrangements;
7. Notify that services may be discontinued by the client at any time;
8. Offer to provide copies of RSPMI rules;
9. Provide and explain contact information for making complaints to the provider regarding care delivery, discrimination, or any other dissatisfaction with RSPMI care;
10. Provide and explain contact information for making complaints to state and federal agencies that enforce compliance under § III(F)(1).
K. RSPMI services maintained at each site must include:
1. Psychiatric Evaluation and Medication Management;
2. Intervention Services;
3. Outpatient Services, including individual and family therapy at a minimum;
4. Crisis Services.
L. Providers must tailor all RSPMI care and services to individual client need. If client records contain entries that are materially identical, DBHS and the Division of Medical Services will rebuttably presume that this requirement is not met.
M. RSPMI for individuals under age eighteen (18): Providers must establish and implement policies for family identification and engagement in treatment for persons under age eighteen (18), including strategies for identifying and overcoming barriers to family involvement.
N. Emergency Response Services: Applicants/providers must establish, implement, and maintain a site-specific emergency response plan, which must include:
1. A 24-hour emergency telephone number;
2. The applicant/provider must:
a. Provide the 24-hour emergency telephone number to all clients;
b. Post the 24-hour emergency number on all public entries to each site;
c. Include the 24-hour emergency phone number on answering machine greetings;
d. Identify local law enforcement and medical facilities within a 50-mile radius that may be emergency responders to client emergencies.
3. Direct access to a MHP within fifteen (15) minutes of an emergency/crisis call and face-to-face crisis assessment within two (2) hours;
4. Response strategies based upon:
a. Time and place of occurrence;
b. Individual's status (client/non-client);
c. Contact source (family, law enforcement, health care provider, etc.).
5. Requirements for a face-to-face response to requests for emergency intervention received from a hospital or law enforcement agency regarding a current client.
6. All face-to-face emergency responses shall be:
a. Available 24 hours a day, 7 days a week;
b. Made by a MHP within two (2) hours of request (unless a different time frame is within clinical standards guidelines and mutually agreed upon by the requesting party and the MHP responding to the call).
7. Emergency services training requirements to ensure that emergency service are age-appropriate and comply with accreditation requirements. Providers shall maintain documentation of all emergency service training in each trainee's personnel file.
8. Requirements for clinical review by the clinical supervisor or emergency services director within 24 hours of each after-hours emergency intervention with such additional reporting as may be required by the provider's policy.
9. Requirements for documentation of all crisis calls, responses, collaborations, and outcomes;
10. Requirements that emergency responses not vary based on the client's funding source. If a client is eligible for inpatient behavioral health care funded through the community mental health centers and the provider is not a community mental health center with access to these funds, the provider must:
a. Determine whether the safest, least restrictive alternative is psychiatric hospitalization; and
b. Contact the appropriate community mental health center (CMHC) for consult and to request the CMHC to access local acute care funds for those over 21.
O. Each applicant/provider must establish and maintain procedures, competence, and capacity:
1. For assessment and individualized care planning and delivery;
2. For discharge planning integral to treatment;
3. For mobile care;
4. To assure that each MHP makes timely clinical disposition decisions;
5. To make timely referrals to other services;
6. To refer for inpatient services or less restrictive alternative;
7. To identify clients who need direct access to clinical staff, and to promptly provide such access.
P. Each applicant/provider must establish, maintain, and document a quality improvement program, to include:
1. Evidence based practices;
2. Use of the Youth Outcome Questionnaire (YOQ) for all clients over age four (4) and under age 21, except that the YOQ is not required for persons age eighteen (18) through twenty-one (21) who are certified to be seriously mentally ill.
3. Requirements for informing all clients and clients' responsible parties of the client's rights while accessing services.
4. Regular (at least quarterly) quality assurance meetings that include:
a. Clinical Record Reviews: medical record reviews of a minimum number of randomly selected charts. The minimum number is the lesser of a statistically valid sample yielding 95% confidence with a 5% margin of error; or 10% of all charts open at any time during the past three (3) months;
b. Program and services reviews that:
i. Assess and document whether care and services meet client needs;
ii. Identify unmet behavioral health needs;
iii. Establish and implement plans to address unmet needs.
Q. Technical Training and Consultation: Applicants may attend a "technical training for provider applicants" in-service training that will be conducted at least quarterly. The training explains the DBHS RSPMI certification application process and includes a review of RSPMI requirements. See Appendix # 4 for training agenda.
IX. HOME OFFICE
A. Each provider must maintain and identify a home office in the State of Arkansas;
B. The home office may be located at a site or may be solely an administrative office not requiring site certification;
C. The home office is solely responsible for governance and administration of all of the provider's Arkansas sites;
D. Home office governance and administration must be documented in a coordinated management plan;
E. The home office shall establish policies for maintaining client records, including policies designating where the original records are stored.
X. SITE REQUIREMENTS
A. All sites must be located in the State of Arkansas;
B. Accreditation documentation must specifically include each site.
XI. SITE RELOCATION, OPENING, AND CLOSING (Note: temporary service disruptions caused by inclement weather or power outages are not "closings.")
A. Planned Closings:
1. Upon deciding to close a site either temporarily or permanently, the provider immediately must provide written notice to clients, DBHS, the Division of Medical Services, the Medicaid fiscal agent, and the accrediting organization.
2. Notice of site closure must state the site closure date;
3. If site closure is permanent, the site certification expires at 12:00 a.m. the day following the closure date stated in the notice;
4. If site closing is temporary, and is for reasons unrelated to adverse governmental action, DBHS may suspend the site certification for up to one (1) year if the provider maintains possession and control of the site. If the site is not operating and in compliance within the time specified in the site certification suspension, the site certification expires at 12:00 a.m. the day after the site certification suspension ends.
B. Unplanned Closings:
1. If a provider must involuntarily close a site due to, for example, fire, natural disaster, or adverse governmental action, the provider must immediately notify clients and families, DBHS, the Division of Medical Services, the Medicaid fiscal agent, and the accrediting organization of the closure and the reason(s) for the closure.
2. Site certification expires in accordance with any pending regulatory action, or, if no regulatory action is pending, at 12:00 a.m. the day following permanent closure.
C. All Closings:
1. Providers must assure and document continuity of care for all clients who receive RSPMI at the site;
2. Notice of Closure and Continuing Care Options:
a. Providers must assure and document that clients and families receive actual notice of the closure, the closure date, and any information and instructions necessary for the client to obtain transition services;
b. After documenting that actual notice to a specific client was impossible despite the exercise of due diligence, providers may satisfy the client notice requirement by mailing a notice containing the information described in subsection (a), above, to the last known address provided by the client; and
c. Before closing, providers must post a public notice at each site entry. The public notice must include the name and contact information for all RSPMI providers within a fifty (50) mile radius of the site.
3. An acceptable transition plan is described below:

Transition Plan:

1. Identify and list all certified sites within a 50 mile radius. Include telephone numbers and physical addresses on the list.
2. Provide clients/families with the referral information and have them sign a transfer of records form/release of information to enable records to be transferred to the provider of their choice.
3. Transfer records to the designated provider.
4. Designate a records retrieval process as specified in Section I of the Arkansas Medicaid RSPMI Provider Policy Manual § 142.300.
5. Submit a reporting of transfer to DBHS (Attn: Policy & Certification Office) including a list of client names and the disposition of each referral. See example below:

Name

Referred to:

Records Transfer Status:

RX Needs Met By:

Johnny

OP Provider Name

to be delivered 4/30/20XX

Provided 1 month RX

Mary

Private Provider Name

Delivered 4/28/20XX

No Meds

Judy

Declined Referral

XX

6. DBHS may require additional information regarding documentation of client transfers to insure that client needs are addressed and met.

A site closing Form is available at: www.arkansas.gov/dhs/dmhs See appendix # 9

D. New Sites: Providers may apply for a new site by completing the new site Form available at www.arkansas.gov/dhs/dmhs

See appendix # 10 DBHS Form # 5 - (Adding Site)

E. Site Transfer:
1. At least forty-five (45) calendar days before a proposed transfer of an accredited site, the provider must apply to DBHS to transfer site certification. The application must include documentation that:
a. The provider notified the accrediting entity, and the accrediting entity has extended or will extend accreditation to the second site; or
b. The accrediting entity has established an accreditation timeframe.
2. The provider must notify clients and families, DBHS, the Division of Medical Services, the Medicaid fiscal agent, and the accrediting organization at least thirty (30) calendar days before the transfer;
3. DBHS does not require an on-site survey, nor does the Division of Medical Services require a new Medicaid provider number. The moving or transferring site form is available at: www.arkansas.gov/dhs/dmhs

See appendix # 9 - DBHS Form # 4 (Closing and Moving Sites)

F. Site Relocation: The provider must follow the rules for closing the original site, and the rules for opening a new site.
XII. PROVIDER RE-CERTIFICATION
A. The term of DBHS site certification is concurrent with the provider's national accreditation cycle, except that site certification extends six months past the accreditation expiration month if there is no interruption in the accreditation. (The six-month extension is to give the RSPMI provider time to receive a final report from the accrediting organization, which the provider must immediately forward to DBHS.)
B. Providers must furnish DBHS a copy of:
1. Correspondence related to the provider's request for re-accreditation:
a. Providers shall send DBHS copies of correspondence from the accrediting agency within five (5) business days of receipt;
b. Providers shall furnish DBHS copies of correspondence to the accrediting organization concurrently with sending originals to the accrediting organization.
2. An application for provider and site recertification:
a. DBHS must receive provider and site recertification applications at least fifteen (15) business days before the DBHS RSPMI certification expiration date;
b. The Re-Certification form with required documentation is available at www.arkansas.gov/dhs/dmhs

See Appendix # 11 DBHS Form 3 (Re-certification)

C. If DBHS has not recertified the provider and site(s) before the certification expiration date, certification is void beginning 12:00 a.m. the next day.
XIII. MAINTAINING DBHS RSPMI CERTIFICATION
A. Providers must:
1. Maintain compliance;
2. Assure that DBHS certification information is current, and to that end must notify DBHS within thirty (30) calendar days of any change affecting the accuracy of the provider's certification records;
3. Furnish DBHS all correspondence in any form (e.g., letter, facsimile, email) to and from the accrediting organization to DBHS within thirty (30) calendar days of the date the correspondence was sent or received except:
a. As stated in § XII;
b. Correspondence related to any change of accreditation status, which providers must send to DBHS within three (3) calendar days of the date the correspondence was sent or received.
c. Correspondence related to changes in service delivery, site location, or organizational structure, which providers must send to DBHS within ten (10) calendar days of the date the correspondence was sent or received.
4. Display the RSPMI certificate for each site at a prominent public location within the site
B. Annual Reports:
1. Providers must furnish annual reports to DBHS before July 1 of each year that the provider has been in operation for the preceding twelve (12) months. Community Mental Health Centers and specialty clinics may meet this requirement by submitting the Annual Plan/Basic Services Plan to DBHS.
2. Annual report shall be prepared by completing forms provided by DBHS. The annual report form is available at www.arkansas.gov/dhs/dmhs and at Appendix # 12 DBHS Form # 6
XIV. NONCOMPLIANCE
A. Failure to comply with this rule may result in one or more of the following:
1. Submission and implementation of an acceptable corrective action plan as a condition of retaining RSPMI certification;
2. Suspension of RSPMI certification for either a fixed period or until the provider meets all conditions specified in the suspension notice;
3. Termination of RSPMI certification.
XV. APPEAL PROCESS
A. If DBHS denies, suspends, or revokes any DBHS RSPMI certification (takes adverse action), the affected proposed provider or provider may appeal the DBHS adverse action. Notice of adverse action shall comply with Ark. Code Ann. §§ 20-77-1701 -1705, and §§1708-1713. Appeals must be submitted in writing to the DBHS Director. The provider has thirty (30) calendar days from the date of the notice of adverse action to appeal. An appeal request received within thirty-five (35) calendar days of the date of the notice will be deemed timely. The appeal must state with particularity the error or errors asserted to have been made by DBHS in denying certification, and cite the legal authority for each assertion of error. The provider may elect to continue Medicaid billing under the RSPMI program during the appeals process. If the appeal is denied, the provider must return all monies received for RSPMI services provided during the appeals process.
B. Within thirty (30) calendar days after receiving an appeal the DBHS Director shall:
(1) designate a person who did not participate in reviewing the application or in the appealed-from adverse decision to hear the appeal;
(2) set a date for the appeal hearing;
(3) notify the appellant in writing of the date, time, and place of the hearing. The hearing shall be set within sixty (60) calendar days of the date DBHS receives the request for appeal, unless a party to the appeal requests and receives a continuance for good cause.
C. DBHS shall tape record each hearing.
D. The hearing official shall issue the decision within forty-five (45) calendar days of the date that the hearing record is completed and closed. The hearing official shall issue the decision in a written document that contains findings of fact, conclusions of law, and the decision. The findings, conclusions, and decision shall be mailed to the appellant except that if the appellant is represented by counsel, a copy of the findings, conclusions, and decision shall also be mailed to the appellant's counsel. The decision is the final agency determination under the Administrative Procedure Act.
E. Delays caused by the appealing party shall not count against any deadline. Failure to issue a decision within the time required is not a decision on the merits and shall not alter the rights or status of any party to the appeal, except that any party may pursue legal process to compel the hearing official to render a decision.
F. Except to the extent that they are inconsistent with this policy, the appeal procedures in the Arkansas Medicaid RSPMI Provider Manual are incorporated by reference and shall control.

AGENCY NUMBER: 710

Certification Manual

For

Rehabilitative Services for Persons with Mental Illness

Appendix

# 1 EXCLUSIONARY RULE

# 2 OWNERSHIP & CONVICTION DISCLOSURE FORM

# 3 DISCLOSURE OF SIGNIFICANT BUSINESS TRANSACTIONS

# 4 TECHNICAL TRAINING AGENDA FOR PROVIDER APPLICANTS &

RSPMI OPERATION TECHNICAL ASSISTANCE TRAINING AGENDA

# 5 EXAMPLE OF DBHSFORM 1 (Initial Provider Application)

# 6 EXAMPLE OF DBHS FORM 2 (Initial Provider Application)

# 7 EXAMPLE OF SITE SURVEY FORM

# 8 EXAMPLE OF RSPMI CERTIFICATION CERTIFICATE

# 9 EXAMPLE OF DBHS FORM 4 (Closing & Moving Sites)

# 10 EXAMPLE OF DBHS FORM 5 (Adding Sites)

# 11 EXAMPLE OF DBHS FORM 3 ( Re-Certification)

# 12 EXAMPLE OF DBHS FORM 6 (Annual Update)

1088.0.0DHS PARTICIPANT EXCLUSION RULE
1088.1.0Purpose
1088.1.1 DHS shall conduct business only with responsible participants. Participants will be excluded from participation in DHS programs not as penalty, but rather to protect public funds, the integrity of publicly funded programs, and public confidence in those programs. It is also the intent of this policy to prevent excluded participants from substituting others, usually immediate family members, as surrogates to continue the practices that caused DHS to exclude the participant.
1088.1.2 Participant exclusion is a serious action that shall be used only in the State's best interests and for the protection of the public and DHS. DHS shall impose exclusion only in accordance with this rule.
1088.2.0Substantive Rules
1088.2.1Definitions:
A.Administrative Adjudication - an adjudication conforming to the Administrative Procedure Act, codified as Ark. Code Ann. § 25-15-201et seq. Administrative adjudications must be limited to the extent necessary to avoid compromising any ongoing criminal investigation.
B.Appropriation - the authority granted by the Arkansas General Assembly to expend public funds for specified purposes.
C.Automatic Exclusion - exclusion imposed following and based upon a final adjudication of one or more acts or omissions described in 1088.2.3. Participants automatically excluded cannot have an administrative adjudication of the facts or law determined by the final adjudication.
D.Civil Judgment - the disposition of a civil action by any court of competent jurisdiction, whether entered by verdict, decision, settlement, stipulation, or otherwise creating a civil liability for a wrongful act.
E.Collateral Exclusion - exclusion from one program based upon a previous final exclusion from another program as provided in 1088.2.5.A and B.
F.Common Ownership - when an entity, entities, an individual or individuals possess 5% or more ownership or equity in the participant.
G.Control - where an individual or an organization has the power, directly or indirectly, significantly to influence or direct the actions or policies of a participant.
H.DHS - the Arkansas Department of Human Services, including all divisions, offices,

and units thereof.

I.Director - the DHS Director or the Director's designee.
J.Due Process - a full and fair opportunity to be heard, including the right to call and cross examine witnesses, as part of a civil, criminal, or administrative adjudication.
K.Final Determination - Unless provided otherwise in federal law or regulation, a final determination exists when, with respect to a determination upon which the exclusion is based, the deadline to appeal that determination has passed or all appeals have been exhausted.
L.I mmediate Family Member - spouse; natural or adoptive parent, child, or sibling; step-

parent, child, or sibling; father, mother, brother, sister, son or daughter-in-law; grandparent or grandchild.

M.Nonconforming Commodities or Services - goods or services not in accordance with the obligations under the contract.
N.Participant - a person or entity that is a party or is seeking to become a party to a contract, grant or agreement with DHS to furnish commodities or services to, on behalf of, or as a grantee or sub-grantee or recipient of DHS.
O.Preponderance of the Evidence - proof of any nature that, when compared with that opposing it, leads to the conclusion that the fact in issue is more probably true than not.
P.Related Party - a person or an entity associated or affiliated with, or which shares common ownership, control, or common board members, or which has control of or is controlled by the participant.
Q.Temporary Exclusion - exclusion pending an investigation and adjudication (if the participant timely requests adjudication) imposed upon a finding that there is a reasonable basis to believe that one or more grounds for exclusion as specified in this rule exist.
1088.2.2Application

This rule applies to all contracts, grants, and agreements between DHS and participants involving the expenditure of appropriated funds. The rights, obligations, and remedies created and imposed by this rule are in addition to any other laws and rules pertaining to contracts and grants.

1088.2.3Causes for Exclusion

DHS shall automatically exclude a participant if the participant is the subject of final determination that the participant has wrongfully acted or failed to act with respect to, or has been found guilty, or pled guilty or nolo contendere, to any crime related to:

A. Obtaining, attempting to obtain, or performing a public or private contract or subcontract
B. Embezzlement, theft, forgery, bribery, falsification or destruction of records, any form of fraud, receipt of stolen property, or any other offense indicating moral turpitude or a lack of business integrity or honesty
C. Dangerous drugs, controlled substances, or other drug-related offenses when the offense is a felony
D. Federal antitrust statutes
E. The submission of bids or proposals
F. Any physical or sexual abuse or neglect when the offense is a felony
1088.2.4 DHS shall exclude participants for any of the following acts or omissions that are of a character regarded by the Director to be so serious as to justify exclusion:
A. Refusal or knowing failure, without good cause, to comply with applicable requirements (including requirements contained or incorporated in statutes, rules, contracts, or purchase orders) or within the time provided in the contract or grant
B. Failure to perform or unsatisfactory performance, provided that the failure to perform or unsatisfactory performance beyond the control of the contractor or grantee shall not be considered to be a basis for exclusion
C. Failure to post any surety bond, or to provide similar guarantees acceptable to DHS required under any contract or grant
D. Substitution of commodities or services without prior written approval of DHS
E. Failure to cure nonconforming commodities or services within the lesser of a reasonable time, or the time specified in the contract or in a corrective action plan
F. Refusal to accept a contract or grant awarded in accordance with the request for proposal or invitation for bid
G. Making material misrepresentations or failing to make representations when required or when a reasonable person would naturally have been expected to affirm or deny the existence of a material fact
H. Collusion or collaboration with any bidder, proposer, or applicant in the submission of any proposal, bid, or grant application for the purpose of lessening or reducing competition
I. Failure to submit to or to supply an audit as required by federal or state law or rule
J. Failure or refusal, after request by DHS, to supply records related to the contract,

proposal, bid, or application

K. Any act or omission that causes or materially contributes to placement of a lien upon the assets of the State
L. Conviction related to the use of illegal drugs, controlled substances, or other drug-

related offenses when the offense is a misdemeanor

M. Any physical or sexual abuse or neglect when the offense is a misdemeanor
N. Submitting, without good cause, a bill or claim for payment exceeding the amount to which the participant is entitled
O. Failure to make repayment arrangements acceptable to the Department to repay any funds owed the Department, or failure to strictly adhere to the terms of any agreed-to repayment arrangements.
P. Failure to comply with professional standards of care or conduct applicable to the service provided.
Q. Failure to comply with standards or requirements relating to any license, permit, certification, other publicly granted authority, or accreditation needed to provide any service funded in whole or in part with public funds.
R. Failure to fully and accurately make any disclosures required by contract, federal or state law or rule.
S. Transaction of business in knowing contravention of an exclusion imposed under this rule.
1088.2.5Mandatory Exclusion:
A. DHS shall exclude a participant that is presently subject to debarment, suspension, or other exclusion by any unit of the federal government or any unit of a state government, if the debarment, suspension, or exclusion was imposed after an opportunity for due process, and if federal law does not expressly prohibit collateral exclusion under the circumstances. Exclusion shall be concurrent with the period of debarment, suspension, or exclusion imposed by the federal or state government.
B. DHS shall exclude a participant upon learning that within the past year the participant was terminated for cause by any unit of the federal government or any unit of a state government, provided that the debarment or exclusion was imposed after an opportunity for due process, and provided that federal law does not expressly prohibit collateral exclusion under the circumstances. The term of exclusion shall be determined under section 1088.2.9.
1088.2.6Persons and Entities Excluded: In addition to excluded participants, exclusion applies to:
A. All the participant's related parties, and the heirs and assigns of the participants and related parties.
B. The participant's immediate family members in order to prevent continued wrongdoing via a surrogate. Generally, immediate family members will be excluded from participation in any entity to which the excluded participant was a related party, any successor entity, or a start-up entity in the same or a similar program.
1088.2.7 Effect of Exclusion: Excluded participants may not receive appropriated funds except to the extent such funds are for proper charges approved before the date of exclusion. Payments are limited to the amount by which the proper charges exceed the amount of any indebtedness to DHS.
1088.2.8 DHS shall maintain a list of excluded participants. Upon being listed as an excluded participant, the participant cannot continue as a party to any DHS contract or grant, and is ineligible to submit proposals, bids, or applications to DHS for the term of the exclusion.
1088.2.9Term of Exclusion: The term of the exclusion shall be set after consideration of the nature and seriousness of the wrongful act or omission warranting exclusion, the length of time since any wrongful act or omission warranting exclusion, and the goals and purposes underlying this rule. The term of exclusion must be stated in the exclusion determination. Exclusion shall be for not less than one year and at least until all appropriated funds, costs, and penalties owed to DHS by the participant are paid in full and the participant meets all contract or grant requirements as well as all applicable requirements in federal rules and laws. Exclusion of immediate family members and related parties shall run concurrently not to exceed five years.
1088.3.0Procedural Rules
1088.3.1 DHS must prove the act or omission upon which the exclusion is based by a preponderance of the evidence. The participant must prove the elements of any defense by a preponderance of the evidence.
1088.3.2 Administrative due process shall be accomplished via existing DHS processes for appeals by participants.
1088.3.3 If a participant is entitled to an administrative hearing, the hearing must be held within a reasonable time after temporary exclusion, and before any exclusion other than a temporary exclusion.

DEPARTMENT CONTACT

Office of Finance and Administration

Policy and Administrative Program Management

P.O. Box 1437 - Slot W403

Little Rock, Arkansas 72203-1437

Telephone: (501) 682-6476

Appendix #2

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Appendix #3

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TECHNICAL TRAINING FOR PROVIDER APPLICANTS

Beginning the RSPMI Application Process

1. Training sessions will be held at set times (at least quarterly) and all interested applicants may register to attend
2. Training sessions will be co-hosted by DBHS and DMS
3. Training topics and materials:
i. Accreditation Requirements
ii. Certification Process & Program Requirements
iii. Expectations for Standards of Care
iv. Licensing Requirements i.e. Child Care Licensing Standards, RCF Licensing Standards, Health Department Standards, Professional Licenses, Paraprofessional Certification
v. Corporate Compliance Issues & Ethics
vi. Overview of Medicaid Enrollment process and claims processing (referral information for connecting with EDS)
vii. Overview of Utilization Management process (referral information for connecting with appropriate UM contractors)
viii. Introduction to Policy (how to use the Medicaid manual and other source documents)

RSPMI OPERATION TECHNICAL ASSISTANCE TRAINING AGENDA

Beginning the RSPMI Process

I. Completion of the Disclosure Form
II. Medicaid Enrollment Process & Claims Processing (Referral Information for Connecting with EDS)
III. Utilization Management Process (Referral Information for Connecting Maintenance of DBHS Certification)
IV. Policy (how to use the Medicaid manual and other source documents)
V. Licensing requirements and referrals for Child Care Licensing Standards, RCF Licensing Standards, Health Department Standards, Professional Licenses, Paraprofessional Certification, etc.
VI. Expectations for standards of care (Best Practices and System of Care information)
VII. Corporate Compliance & Ethics
VIII. Maintenance of DBHS Certification
IX. OADAP License and Certification Information

** Training agendas may be adjusted according to program and regulation needs within DHS or for community/audience needs.

DBHS Form 1

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DBHS Form 1 Attachment 1

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DBHS Form 4

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DBHS Form 5

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DBHS Form 3

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DBHS Form 6

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DIVISION OF BEHAVIORAL HEALTH

REHABILITATION SERVICES FOR PERSONS WITH MENTAL ILLNESS

PROVIDER CERTIFICATION

AMENDMENT 2

Section V. s. DBHS will process all certification requests within ninety calendar days of receiving all information that is necessary to review and process the certification request. DBHS will notify each prospective provider/provider in writing of its determination and furnish a copy to DMS.

1. There is a moratorium on the certification of new RSPMI sites. "New site" means any site not certified as an RSPMI site as of October 31, 2008, except:
(i) sites for which a pending application was under review by the Division of Behavioral Health Services on October 31, 2008;
(ii) replacement sites opened by an existing provider to provide ongoing continuity of RSPMI services when the provider is terminating services at a currently certified and operating RSPMI site;
(iii) sites in continuous lawful operation furnishing RSPMI services since May 31, 2008.
2. The moratorium shall be in effect until December 31, 2011, unless altered by amendment of this rule.
3. If the Director of the Division of Behavioral Health Services determines that the moratorium is causing an undue hardship to persons with mental illness, the Director may authorize a reasonable accommodation. An undue hardship may exist if medically necessary services become unavailable due to closure of a site or an RSPMI provider ceasing operations.
4. This moratorium shall not apply to prohibit RSPMI providers from continuing to deliver RSPMI services in public schools in which the provider was lawfully and actively engaged in delivering such services on November 1, 2010.
5. The Division of Behavioral Health will promulgate certification procedures to be effective concurrent with the end of the moratorium.

016.23.10 Ark. Code R. 001

12/15/2010