10A N.C. Admin. Code 27E .0104 - SECLUSION, PHYSICAL RESTRAINT AND ISOLATION TIME-OUT AND PROTECTIVE DEVICES USED FOR BEHAVIORAL CONTROL
(a) This Rule
governs the use of restrictive interventions which shall include:
(1) seclusion;
(2) physical restraint;
(3) isolation time-out
(4) any combination thereof; and
(5) protective devices used for behavioral
control.
(b) The use of
restrictive interventions shall be limited to:
(1) emergency situations, in order to
terminate a behavior or action in which a client is in imminent danger of abuse
or injury to self or other persons or when property damage is occurring that
poses imminent risk of danger of injury or harm to self or others; or
(2) as a planned measure of therapeutic
treatment as specified in Paragraph (f) of this Rule.
(c) Restrictive interventions shall not be
employed as a means of coercion, punishment or retaliation by staff or for the
convenience of staff or due to inadequacy of staffing. Restrictive
interventions shall not be used in a manner that causes harm or
abuse.
(d) In accordance with Rule
.0101 of Subchapter 27D, the governing body shall have policy that delineates
the permissible use of restrictive interventions within a facility.
(e) Within a facility where restrictive
interventions may be used, the policy and procedures shall be in accordance
with the following provisions:
(1) the
requirement that positive and less restrictive alternatives are considered and
attempted whenever possible prior to the use of more restrictive
interventions;
(2) consideration is
given to the client's physical and psychological well-being before, during and
after utilization of a restrictive intervention, including:
(A) review of the client's health history or
the client's comprehensive health assessment conducted upon admission to a
facility. The health history or comprehensive health assessment shall include
the identification of pre-existing medical conditions or any disabilities and
limitations that would place the client at greater risk during the use of
restrictive interventions;
(B)
continuous assessment and monitoring of the physical and psychological well-
being of the client and the safe use of restraint throughout the duration of
the restrictive intervention by staff who are physically present and trained in
the use of emergency safety interventions;
(C) continuous monitoring by an individual
trained in the use of cardiopulmonary resuscitation of the client's physical
and psychological well-being during the use of manual restraint; and
(D) continued monitoring by an individual
trained in the use of cardiopulmonary resuscitation of the client's physical
and psychological well-being for a minimum of 30 minutes subsequent to the
termination of a restrictive intervention;
(3) the process for identifying, training,
assessing competence of facility employees who may authorize and implement
restrictive interventions;
(4) the
duties and responsibilities of responsible professionals regarding the use of
restrictive interventions;
(5) the
person responsible for documentation when restrictive interventions are
used;
(6) the person responsible
for the notification of others when restrictive interventions are used;
and
(7) the person responsible for
checking the client's physical and psychological well-being and assessing the
possible consequences of the use of a restrictive intervention and, in such
cases there shall be procedures regarding:
(A)
documentation if a client has a physical disability or has had surgery that
would make affected nerves and bones sensitive to injury; and
(B) the identification and documentation of
alternative emergency procedures, if needed;
(8) any room used for seclusion or isolation
time-out shall meet the following criteria:
(A) the room shall be designed and
constructed to ensure the health, safety and well-being of the
client;
(B) the floor space shall
not be less than 50 square feet, with a ceiling height of not less than eight
feet;
(C) the floor and wall
coverings, as well as any contents of the room, shall have a one-hour fire
rating and shall not produce toxic fumes if burned;
(D) the walls shall be kept completely free
of objects;
(E) a lighting fixture,
equipped with a minimum of a 75 watt bulb, shall be mounted in the ceiling and
be screened to prevent tampering by the client;
(F) one door of the room shall be equipped
with a window mounted in a manner which allows inspection of the entire
room;
(G) glass in any windows
shall be impact resistant and shatterproof;
(H) the room temperature and ventilation
shall be comparable and compatible with the rest of the facility; and
(I) in a lockable room the lock shall be
interlocked with the fire alarm system so that the door automatically unlocks
when the fire alarm is activated if the room is to be used for
seclusion.
(9) Whenever
a restrictive intervention is utilized, documentation shall be made in the
client record to include, at a minimum:
(A)
notation of the client's physical and psychological well-being;
(B) notation of the frequency, intensity and
duration of the behavior which led to the intervention, and any precipitating
circumstance contributing to the onset of the behavior;
(C) the rationale for the use of the
intervention, the positive or less restrictive interventions considered and
used and the inadequacy of less restrictive intervention techniques that were
used;
(D) a description of the
intervention and the date, time and duration of its use;
(E) a description of accompanying positive
methods of intervention;
(F) a
description of the debriefing and planning with the client and the legally
responsible person, if applicable, for the emergency use of seclusion, physical
restraint or isolation time-out to eliminate or reduce the probability of the
future use of restrictive interventions;
(G) a description of the debriefing and
planning with the client and the legally responsible person, if applicable, for
the planned use of seclusion, physical restraint or isolation time-out, if
determined to be clinically necessary; and
(H) signature and title of the facility
employee who initiated, and of the employee who further authorized, the use of
the intervention.
(10)
The emergency use of restrictive interventions shall be limited, as follows:
(A) a facility employee approved to
administer emergency interventions may employ such procedures for up to 15
minutes without further authorization;
(B) the continued use of such interventions
shall be authorized only by the responsible professional or another qualified
professional who is approved to use and to authorize the use of the restrictive
intervention based on experience and training;
(C) the responsible professional shall meet
with and conduct an assessment that includes the physical and psychological
well-being of the client and write a continuation authorization as soon as
possible after the time of initial employment of the intervention. If the
responsible professional or a qualified professional is not immediately
available to conduct an assessment of the client, but concurs that the
intervention is justified after discussion with the facility employee,
continuation of the intervention may be verbally authorized until an on-site
assessment of the client can be made;
(D) a verbal authorization shall not exceed
three hours after the time of initial employment of the intervention;
and
(E) each written order for
seclusion, physical restraint or isolation time-out is limited to four hours
for adult clients; two hours for children and adolescent clients ages nine to
17; or one hour for clients under the age of nine. The original order shall
only be renewed in accordance with these limits or up to a total of 24
hours.
(11) The
following precautions and actions shall be employed whenever a client is in:
(A) seclusion or physical restraint,
including a protective device when used for the purpose or with the intent of
controlling unacceptable behavior: periodic observation of the client shall
occur at least every 15 minutes, or more often as necessary, to assure the
safety of the client, attention shall be paid to the provision of regular
meals, bathing and the use of the toilet; and such observation and attention
shall be documented in the client record;
(B) isolation time-out: there shall be a
facility employee in attendance with no other immediate responsibility than to
monitor the client who is placed in isolation time-out; there shall be
continuous observation and verbal interaction with the client when appropriate;
and such observation shall be documented in the client record; and
(C) physical restraint and may be subject to
injury: a facility employee shall remain present with the client
continuously.
(12) The
use of a restrictive intervention shall be discontinued immediately at any
indication of risk to the client's health or safety or immediately after the
client gains behavioral control. If the client is unable to gain behavioral
control within the time frame specified in the authorization of the
intervention, a new authorization must be obtained.
(13) The written approval of the designee of
the governing body shall be required when the original order for a restrictive
intervention is renewed for up to a total of 24 hours in accordance with the
limits specified in Item (E) of Subparagraph (e)(10) of this Rule.
(14) Standing orders or PRN orders shall not
be used to authorize the use of seclusion, physical restraint or isolation
timeout.
(15) The use of a
restrictive intervention shall be considered a restriction of the client's
rights as specified in
G.S.
122C-62(b) or (d). The
documentation requirements in this Rule shall satisfy the requirements
specified in
G.S.
122C-62(e) for rights
restrictions.
(16) When any
restrictive intervention is utilized for a client, notification of others shall
occur as follows:
(A) those to be notified as
soon as possible but within 24 hours of the next working day, to include:
(i) the treatment or habilitation team, or
its designee, after each use of the intervention; and
(ii) a designee of the governing body;
and
(B) the legally
responsible person of a minor client or an incompetent adult client shall be
notified immediately unless she/he has requested not to be notified.
(17) The facility shall conduct
reviews and reports on any and all use of restrictive interventions, including:
(A) a regular review by a designee of the
governing body, and review by the Client Rights Committee, in compliance with
confidentiality rules as specified in 10A NCAC 28A;
(B) an investigation of any unusual or
possibly unwarranted patterns of utilization; and
(C) documentation of the following shall be
maintained on a log:
(i) name of the
client;
(ii) name of the
responsible professional;
(iii)
date of each intervention;
(iv)
time of each intervention;
(v) type
of intervention;
(vi) duration of
each intervention;
(vii) reason for
use of the intervention;
(viii)
positive and less restrictive alternatives that were used or that were
considered but not used and why those alternatives were not used;
(ix) debriefing and planning conducted with
the client, legally responsible person, if applicable, and staff, as specified
in Parts (e)(9)(F) and (G) of this Rule, to eliminate or reduce the probability
of the future use of restrictive interventions; and
(x) negative effects of the restrictive
intervention, if any, on the physical and psychological well-being of the
client.
(18)
The facility shall collect and analyze data on the use of seclusion and
physical restraint. The data collected and analyzed shall reflect for each
incident:
(A) the type of procedure used and
the length of time employed;
(B)
alternatives considered or employed; and
(C) the effectiveness of the procedure or
alternative employed.
The facility shall analyze the data on at least a quarterly basis to monitor effectiveness, determine trends and take corrective action where necessary. The facility shall make the data available to the Secretary upon request.
(19) Nothing in this Rule shall be
interpreted to prohibit the use of voluntary restrictive interventions at the
client's request; however, the procedures in this Rule shall apply with the
exception of Subparagraph (f)(3) of this Rule.
(f) The restrictive intervention shall be
considered a planned intervention and shall be included in the client's
treatment/habilitation plan whenever it is used:
(1) more than four times, or for more than 40
hours, in a calendar month;
(2) in
a single episode in which the original order is renewed for up to a total of 24
hours in accordance with the limit specified in Item (E) of Subparagraph
(e)(10) of this Rule; or
(3) as a
measure of therapeutic treatment designed to reduce dangerous, aggressive,
self-injurious or undesirable behaviors to a level which will allow the use of
less restrictive treatment or habilitation procedures.
(g) When a restrictive intervention is used
as a planned intervention, facility policy shall specify:
(1) the requirement that a consent or
approval shall be considered valid for no more than six months and that the
decision to continue the specific intervention shall be based on clear and
recent behavioral evidence that the intervention is having a positive impact
and continues to be needed;
(2)
prior to the initiation or continued use of any planned intervention, the
following written notifications, consents and approvals shall be obtained and
documented in the client record:
(A) approval
of the plan by the responsible professional and the treatment and habilitation
team, if applicable, shall be based on an assessment of the client and a review
of the documentation required by Subparagraph (e)(9) and (e)(14) of this Rule
if applicable;
(B) consent of the
client or legally responsible person, after participation in treatment planning
and after the specific intervention and the reason for it have been explained
in accordance with
10A NCAC
27D .0201;
(C) notification of an advocate/client rights
representative that the specific intervention has been planned for the client
and the rationale for utilization of the intervention; and
(D) physician approval, after an initial
medical examination, when the plan includes a specific intervention with
reasonably foreseeable physical consequences. In such cases, periodic planned
monitoring by a physician shall be incorporated into the plan.
(3) within 30 days of initiation
of the use of a planned intervention, the Intervention Advisory Committee
established in accordance with Rule .0106 of this Section, by majority vote,
may recommend approval or disapproval of the plan or may abstain from making a
recommendation;
(4) within any time
during the use of a planned intervention, if requested, the Intervention
Advisory Committee shall be given the opportunity to review the
treatment/habilitation plan;
(5) if
any of the persons or committees specified in Subparagraphs (h)(2) or (h)(3) of
this Rule do not approve the initial use or continued use of a planned
intervention, the intervention shall not be initiated or continued. Appeals
regarding the resolution of any disagreement over the use of the planned
intervention shall be handled in accordance with governing body policy;
and
(6) documentation in the client
record regarding the use of a planned intervention shall indicate:
(A) description and frequency of debriefing
with the client, legally responsible person, if applicable, and staff if
determined to be clinically necessary. Debriefing shall be conducted as to the
level of cognitive functioning of the client;
(B) bi-monthly evaluation of the planned by
the responsible professional who approved the planned intervention;
and
(C) review, at least monthly,
by the treatment/habilitation team that approved the planned
intervention.
Notes
Eff. February 1, 1991;
Amended Eff. January 4, 1993; January 1, 1992;
Temporary Amendment Eff. January 1, 2001;
Temporary Amendment Expired October 13, 2001;
Amended Eff. April 1, 2003;
Pursuant to G.S. 150B-21.3A, rule is necessary without substantive public interest Eff. March 26, 2017.
Eff. February 1, 1991;
Amended Eff. January 4, 1993; January 1, 1992;
Temporary Amendment Eff. January 1, 2001;
Temporary Amendment Expired October 13, 2001;
Amended Eff. April 1, 2003.
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