(1)
CERTIFICATION,
ENDORSEMENT, AND ENROLLMENT. To be endorsed to operate a
community living
support program, a provider agency must have all of the
following:
(a) A certificate and an
endorsement, in accordance with OAR chapter 411, division 323, to deliver
community living supports as a community living supports agency or a standard
model agency.
(b) A Medicaid Agency
Identification Number assigned by the Department as described in OAR chapter
411, division 370.
(2)
INSPECTIONS AND INVESTIGATIONS. A provider agency must allow inspections and
investigations in accordance with OAR
411-323-0040.
(3) MANAGEMENT AND PERSONNEL PRACTICES. A
provider agency must comply with the
management and personnel practices
described in OAR
411-323-0050.
(4)
PRE-SERVICE TRAINING. A provider agency must maintain written documentation of
six hours of pre-service training prior to staff supporting individuals that
includes mandatory abuse reporting, ISPs, and Service Agreements.
(5) CONFIDENTIALITY OF RECORDS. A provider
agency must ensure the confidentiality of individuals' records in accordance
with OAR
411-323-0060.
(6)
DOCUMENTATION REQUIREMENTS. Unless stated otherwise, all entries required by
these rules must comply with the agency documentation requirements described in
OAR
411-323-0060.
(7) For DSA, a
provider agency must develop and share the following information with an
individual and the
individual's
case manager:
(a) A written plan or implementation
strategies. The written strategies for service implementation must be given to
an individual and the individual's case manager within 60 calendar days of
providing services for the ISP year.
(b) A risk mitigation strategy or protocol
that addresses each identified relevant risk. The risk mitigation strategy or
protocol must be given to an individual and the individual's case manager
before services begin for the ISP year.
(c) Other documents requested by the ISP
team.
(8) A provider
agency must maintain progress notes regarding the delivery of community living
supports. A progress note must include, at minimum, all of the following
information regarding the supports rendered:
(a) The date and time the support was
delivered.
(b) The staff
involved.
(c) Information regarding
the nature of the support provided and how the support met an identified ADL or
IADL support need or was a health-related task.
(9) Progress notes must be made available
monthly and upon request by a case management entity.
(10) Failure to furnish written documentation
upon the written request from the Department, the Oregon Department of Justice
Medicaid Fraud Unit, Centers for Medicare and Medicaid Services, or their
authorized representatives, immediately or within timeframes specified in the
written request, may be deemed reason to recover payment.
(11) Records must be retained in accordance
with OAR chapter 166,
division 150, Secretary of State, Archives
Division.
(a) Financial records, supporting documents,
statistical records, and all other records (except individual records) must be
retained for at least three years after the close of a contract
period.
(b) Individual records must
be kept for at least seven years.
(12) ABUSE AND INCIDENT HANDLING AND
REPORTING. Complaints of abuse and the occurrence of serious incidents must be
treated as described in OAR
411-323-0063.
(13) A provider agency must develop and
implement policies and procedures required for administration and operation in
compliance with these rules including, but not limited to, all of the
following:
(a) INDIVIDUAL RIGHTS. A provider
agency must have, and implement, written policies and procedures protecting the
individual rights described in OAR
411-318-0010 and that:
(A) Provide for individual participation in
selection, training, and evaluation of staff assigned to provide services to
the individuals;
(B) Protect
individuals during hours of service from financial exploitation that may
include, but is not limited to, any of the following:
(i) Staff borrowing from, or loaning money
to, an individual.
(ii) Witnessing
wills in which staff or the provider agency may benefit directly or
indirectly.
(iii) Adding the name
of a staff member or provider agency to the bank account or other personal
property of an individual without the approval of the individual or their legal
representative (as applicable).
(b) Policies and procedures appropriate to
the scope of service including, but not limited to, those required to meet the
minimum standards set forth in sections (17) through (31) of this rule and
consistent with the ISPs or written Service Agreements for individuals
currently receiving services.
(14) A provider agency must deliver services
according to an individual's ISP or written Service Agreement.
(15) Service rates, as authorized in the
Department's electronic payment and reporting system for individuals authorized
to receive community living supports and paid to a provider agency for
delivering services as described in these rules, shall be reimbursed at the
rate for a community living supports agency identified in the Expenditure
Guidelines unless the provider agency is endorsed to operate a standard model
agency in accordance with OAR
411-450-0090.
(16) For a provider agency offering services
to the general public, billings for Medicaid funds may not exceed the customary
charges to private individuals for any like item or services charged by the
provider agency.
(17) SERVICE
RECORD. A provider agency must maintain a current service record for each
individual receiving services. The
individual's service record must include all
of the following:
(a) The individual's name,
current home address, and home phone number.
(b) The individual's current ISP or written
Service Agreement.
(c) Contact
information for the individual's legal or designated representative (as
applicable) and any other people designated by the individual to be contacted
in case of incident or emergency.
(d) Contact information for the case
management entity assisting the individual to obtain services.
(e) Records of service provided, including
type of services, dates, hours, and staff involved.
(f) For skills training, relief care
services, and attendant care that does not meet the definition of DSA, an
electronic system must record all of the following for a service provided at
the time of service:
(A) Type of service
provided.
(B) Individual receiving
service.
(C) Date of service
provided.
(D) Location of
service.
(E) Staff member providing
the service.
(F) Start time of the
service.
(G) End time of the
service.
(18)
A provider agency must ensure staff, contractors, and volunteers receive
appropriate and necessary training.
(19) A provider agency regulated by these
rules must be a drug-free workplace.
(20) A provider agency that owns or leases a
site, delivers services to individuals at the site, and regularly has
individuals present and receiving services at the site, must meet all of the
following minimum requirements:
(a) A written
emergency plan must be developed and implemented and must include instructions
for staff and volunteers in the event of fire, explosion, accident, or other
emergency, including evacuation of individuals receiving services.
(b) Posting of emergency information
including, but not limited to, posting the following telephone numbers by
designated telephones:
(A) Local fire, police
department, and ambulance service, or "911".
(B) The executive director of the provider
agency and other people to be contacted in case of emergency.
(c) A documented safety review
must be conducted quarterly to ensure the service site is free of hazards.
Safety review reports must be kept in a central location by a provider agency
for three years.
(d) When an
individual begins receiving services at a service site, a provider agency must
deliver training to the individual to leave the site in response to an alarm or
other emergency signal and to cooperate with assistance to exit the
site.
(e) A provider agency must
conduct an unannounced evacuation drill each month when individuals are
present.
(A) Exit routes must vary based on
the location of a simulated fire.
(B) Any individual failing to evacuate the
service site unassisted within the established time limits set by the local
fire authority for the site must be provided specialized training or support in
evacuation procedures.
(C) Written
documentation must be made at the time of the drill and kept by the provider
agency for at least two years following the drill. The written documentation
must include all of the following:
(i) Date
and time of the drill.
(ii)
Location of the simulated fire.
(iii) Last names of all individuals and staff
present at the time of the drill.
(iv) Amount of time required by each
individual to evacuate if the individual needs more than the established time
limit.
(v) Signature of the staff
conducting the drill.
(D) In sites delivering services to an
individual who is medically fragile or has severe physical limitations,
requirements of evacuation drill conduct may be modified. The modified plan
must:
(i) Be developed with the local fire
authority, the individual or the individual's legal or designated
representative (as applicable), and the provider agency's executive director;
and
(ii) Be submitted as a variance
request according to OAR
411-450-0100.
(f) A provider agency must provide necessary
adaptations to ensure fire safety for sensory and physically impaired
individuals.
(g) At least once
every five years, a provider agency must conduct a
health and safety
inspection.
(A) The inspection must cover all
areas and buildings where services are delivered to individuals, including
administrative offices and storage areas.
(B) The inspection must be performed by:
(i) The Oregon Occupational Safety and Health
Division;
(ii) The provider
agency's worker's compensation insurance carrier;
(iii) An appropriate expert, such as a
licensed safety engineer or consultant as approved by the Department;
or
(iv) The Oregon Health
Authority, Public Health Division, when necessary.
(C) The inspection must cover all of the
following:
(i) Hazardous material handling and
storage.
(ii) Machinery and
equipment used at the service site.
(iii) Safety equipment.
(iv) Physical environment.
(v) Food handling, when necessary.
(D) The documented results of the
inspection, including recommended modifications or changes and documentation of
any resulting action taken, must be kept by the provider agency for five
years.
(h) A provider
agency must ensure each service site has received initial fire and life safety
inspections performed by the local fire authority or a Deputy State Fire
Marshal. The documented results of the inspection, including documentation of
recommended modifications or changes and documentation of any resulting action
taken, must be kept by the provider agency for five years.
(i) Direct service staff must be present in
sufficient number to meet health, safety, and service needs specified in the
individual ISP or Service Agreement for each
individual present. When
individuals are present, at least one staff member on duty must have the
following minimum skills and training:
(A) CPR
certification.
(B) Current First
Aid certification.
(C) Training to
meet other specific medical needs identified in individual ISPs or Service
Agreements.
(D) Training to meet
other specific behavior support needs identified in individual ISPs or Service
Agreements.
(21) A provider agency delivering services to
individuals that involve assistance with meeting health and medical needs must:
(a) Develop and implement written policies
and procedures addressing all of the following:
(A) Emergency medical intervention.
(B) Treatment and documentation of illness
and health care concerns.
(C)
Administering, storing, and disposing of prescription and non-prescription
drugs, including self-administration.
(D) Emergency medical procedures, including
the handling of bodily fluids.
(E)
Confidentiality of medical records.
(b) Maintain a current written record for
each
individual receiving assistance with meeting health and medical needs that
includes all of the following:
(A) Health
status as known.
(B) Changes in
health status observed during hours of service.
(C) Any remedial and corrective action
required and when such actions were taken if occurring during hours of
service.
(D) A description of any
known restrictions on activities due to medical limitations.
(c) If providing medication
administration when an
individual is unable to self-administer medications and
there is no other responsible person present who may lawfully direct
administration of medications, the provider agency must:
(A) Have a written order or copy of the
written order, signed by a physician or physician designee, before any
medication, prescription or non-prescription, is administered.
(B) Administer medications per written
orders.
(C) Administer medications
from containers labeled as specified per physician written order.
(D) Keep medications secure and unavailable
to any other individual and stored as prescribed.
(E) Record administration on an
individualized Medication Administration Record (MAR), including treatments and
PRN, or "as needed", orders.
(F)
Not administer unused, discontinued, outdated, or recalled
medication.
(G) Not administer PRN
psychotropic medication. PRN orders may not be accepted for psychotropic
medication.
(d) Maintain
a MAR (if required). The MAR must include all of the following:
(A) The name of the individual.
(B) The brand name or generic name of the
medication, including the prescribed dosage and frequency of administration as
contained on physician order and medication.
(C) Times and dates the administration or
self-administration of the medication occurs.
(D) The signature of the staff administering
the medication or monitoring the self-administration of the
medication.
(E) Method of
administration.
(F) Documentation
of any known allergies or adverse reactions to a medication.
(G) Documentation and an explanation of why a
PRN, or "as needed", medication was administered and the results of such
administration.
(H) An explanation
of any medication administration irregularity with documentation of a review by
the provider agency's executive director or their designee.
(e) Provide safeguards to prevent
adverse medication reactions including, but not limited to, all of the
following:
(A) Maintaining information about
the effects and side-effects of medications the provider agency has agreed to
administer.
(B) Communicating any
concerns regarding any medication usage, effectiveness, or effects to an
individual or the individual's legal or designated representative (as
applicable).
(C) Prohibiting the
use of one individual's medications by another individual or person.
(f) Maintain a record of visits to
medical professionals, consultants, or therapists if facilitated or delivered
by the provider agency.
(22) A provider agency that owns or operates
vehicles that transport individuals must:
(a)
Maintain the vehicles in safe operating condition.
(b) Comply with the laws of the Oregon Driver
and Motor Vehicles Division (DMV).
(c) Maintain insurance coverage on the
vehicles and all authorized drivers.
(d) Carry a first aid kit in each
vehicle.
(e) Assign drivers who
meet the applicable DMV requirements to operate vehicles that transport
individuals.
(23) If
assisting with
management of funds, a provider agency must have and implement
written policies and procedures related to the oversight of an
individual's
financial resources that includes the following:
(a) Procedures that prohibit inappropriately
expending an individual's personal funds, theft of an individual's personal
funds, using an individual's funds for the benefit of staff, commingling an
individual's personal funds with the provider agency's or another individual's
funds, or the provider agency becoming an individual's legal or designated
representative.
(b) The provider
agency's reimbursement to an individual of any funds that are missing due to
theft or mismanagement on the part of any staff of the provider agency, or of
any funds within the custody of the provider agency that are missing. Such
reimbursement must be made within 10 business days of the verification that
funds are missing.
(24)
PROFESSIONAL BEHAVIOR SERVICES. A provider agency must have and implement
written policies and procedures to assure professional behavior services are
delivered by a qualified behavior professional in accordance with OAR chapter
411, division 304.
(25) BEHAVIOR
SUPPORTS. A provider agency must have and implement written policies and
procedures for the delivery of behavior supports that prohibits abusive
practices and assures behavior supports are included in a Positive Behavior
Support Plan.
(a) A provider agency must
inform each individual, and as applicable their legal or designated
representative, of the behavior support policies and procedures at the time of
entry and as changes occur.
(b) A
decision to alter an individual's behavior must be made by the individual or
their legal or designated representative.
(c) Psychotropic medications and medications
for behavior must be:
(A) Prescribed by a
physician through a written order; and
(B) Monitored by the prescribing physician
for desired responses and adverse consequences.
(26) ADDITIONAL STANDARDS FOR BEHAVIOR
SUPPORTS. For the purpose of this section, a designated person is the person
implementing the behavior supports identified in an
individual's Positive
Behavior
Support Plan.
(a) SAFEGUARDING
INTERVENTIONS AND SAFEGUARDING EQUIPMENT.
(A)
A designated person must only utilize a safeguarding intervention or
safeguarding equipment when:
(i) BEHAVIOR.
Used to address an
individual's challenging behavior, the safeguarding
intervention or safeguarding equipment is included in the
individual's Positive
Behavior
Support Plan written by a qualified behavior professional as described
in OAR
411-304-0150 and implemented consistent with the
individual's Positive
Behavior
Support Plan.
(ii)
MEDICAL. Used to address an individual's medical condition or medical support
need, the safeguarding intervention or safeguarding equipment is included in a
medical order written by the individual's licensed health care provider and
implemented consistent with the medical order.
(B) An
individual, or as applicable their
legal representative, must provide consent for a safeguarding intervention or
safeguarding equipment through an individually-based limitation in accordance
with OAR
411-004-0040.
(C) Prior to
utilizing a safeguarding intervention or safeguarding equipment, a designated
person must be trained.
(i) For a safeguarding
intervention, the designated person must be trained in intervention techniques
using an ODDS-approved behavior intervention curriculum and trained to an
individual's specific needs. Training must be conducted by a person who is
appropriately certified in an ODDS-approved behavior intervention
curriculum.
(ii) For safeguarding
equipment, the designated person must be trained on the use of the identified
safeguarding equipment.
(D) A designated person must not utilize any
safeguarding intervention or safeguarding equipment not meeting the standards
set forth in this rule even when the use is directed by an individual or their
legal or designated representative, regardless of the individual's
age.
(b) EMERGENCY
PHYSICAL RESTRAINTS.
(A) The use of an
emergency physical restraint when not written into a Positive Behavior
Support
Plan, not authorized in an individual's ISP, and not consented to by the
individual in an individually-based limitation, must only be used when all of
the following conditions are met:
(i) In
situations when there is imminent risk of harm to the individual or others or
when the individual's behavior has a probability of leading to engagement with
the legal or justice system.
(ii)
Only as a measure of last resort.
(iii) Only for as long as the situation
presents imminent danger to the health or safety of the individual or
others.
(B) The use of
an emergency physical restraint must not include any of the following
characteristics:
(i) Abusive.
(ii) Aversive.
(iii) Coercive.
(iv) For convenience.
(v) Disciplinary.
(vi) Demeaning.
(vii) Mechanical.
(viii) Prone or supine restraint.
(ix) Pain compliance.
(x) Punishment.
(xi) Retaliatory.
(27) A provider agency
may not knowingly allow an agency employee to provide community living supports
skills training or attendant care services, other than DSA or employment
services, to an individual that also engages the agency employee's services as
a personal support worker.
(28) A
provider agency may not allow:
(a) The parent
of a minor child to provide services as an employee of the agency to the
employee's own child unless, for the duration of the COVID-19 public health
emergency, the child:
(A) Meets the enrollment
criteria for any of the Children's Intensive In-Home Services programs;
or
(B) Has a service level of at
least 240 hours per month.
(b) The spouse of an individual receiving
services to provide services as an employee of the agency to the employee's
spouse.
(29) No later
than January 1, 2023, a provider agency must only deliver community living
supports through employees of the agency. Contracted direct support
professionals are prohibited.
(30)
A provider agency must maintain an average wage for direct support
professionals who deliver hourly attendant care, not including DSA, that is
equal to or greater than the hourly rate stated in the Department's approved
published rate model.
(31) A
provider agency must submit annual data to the nationally standardized
reporting survey organization specified by the Department using the
instructions provided by the organization and the Department.