10A N.C. Admin. Code 27E .0106 - INTERVENTION ADVISORY COMMITTEES
(a) An
Intervention Advisory Committee shall be established to provide additional
safeguards in a facility that utilizes restrictive interventions as planned
interventions as specified in Rule .0104(g) of this Section.
(b) The membership of the Intervention
Advisory Committee shall include at least one person who is or has been a
consumer of direct services provided by the governing body or who is a close
relative of a consumer and:
(1) for a facility
operated by an area program, the Intervention Advisory Committee shall be the
Client Rights Committee or a subcommittee of it, which may include other
members;
(2) for a facility that is
not operated by an area program, but for which a voluntary client rights or
human rights committee has been appointed by the governing body, the
Intervention Advisory Committee shall be that committee or a subcommittee of
it, which may include other members; or
(3) for a facility that does not meet the
conditions of Subparagraph (b)(1) or (2), the committee shall include at least
three citizens who are not employees of, or members of the governing
body.
(c) The
Intervention Advisory Committee specified in Subparagraphs (b)(2) or (3) shall
have a member or a regular independent consultant who is a professional with
training and expertise in the use of the type of interventions being utilized,
and who is not directly involved in the treatment or habilitation of the
client.
(d) The Intervention
Advisory Committee shall:
(1) have policy
that governs its operation and requirements that:
(A) access to client information shall be
given only when necessary for committee members to perform their
duties;
(B) committee members shall
have access to client records on a need to know basis only upon the written
consent of the client or his legally responsible person as specified in
G.S.
122C-53(a); and
(C) information in the client record shall be
treated as confidential information in accordance with
G.S.
122C-52 through
122C-56;
(2) receive specific training and orientation
as to the charge of the committee;
(3) be provided with copies of appropriate
statutes and rules governing client rights and related issues;
(4) be provided, when available, with copies
of literature about the use of a proposed intervention and any
alternatives;
(5) maintain minutes
of each meeting; and
(6) make an
annual written report to the governing body on the activities of the
committee.
Notes
Eff. February 1, 1991;
Amended Eff. January 1, 1992;
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 1, 1992.
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