Or. Admin. R. 410-141-3510 - [Effective until4/24/2022]Provider Contracting and Credentialing
Current through Register Vol. 60, No. 12, December 1, 2021
(1) MCEs shall
develop policies and procedures for credentialing providers to include quality
standards and a process to remove providers from their provider network if they
fail to meet the objective quality standards:
(a) MCEs shall ensure that all participating
providers as defined in OAR 410-141-3500 providing coordinated care services to
members are credentialed upon initial contract with the MCE and re-credentialed
no less frequently than every three years. The credentialing and
re-credentialing process shall include review of any information in the
National Practitioners Databank. MCEs shall accept both the Oregon Practitioner
Credentialing Application and the Oregon Practitioner Recredentialing
Application;
(b) MCEs shall screen
their participating providers to be in compliance with 42 CFR 455 Subpart E
(42 CFR
455.410 through 42 CFR 455.470) and retain
all resulting documentation for audit purposes, except in the following
circumstances for credentialing COVID-19 vaccine administration providers for
the sole purpose of administering COVID-19 vaccines or the administration of
the flu vaccine when administered in conjunction with the COVID 19
vaccination.For the purpose of this rule, COVID-19 vaccination administration
provider means a healthcare provider that has successfully enrolled with the
Authoritys Public Health Division to be a COVID-19 vaccination administration
provider, completed all required training, and has agreed to all terms of
program participation.
(A) CCOs may rely upon
the most recent weekly update of the Authoritys active file of vaccine
administration providers to meet contractual and regulatory requirements for
credentialing COVID-19 vaccine administration providers.
(B) CCOs may enroll COVID-19 vaccine
administration providers who are included in the Authoritys most recent active
file of vaccine administration providers.
(C) CCOs shall monitor changes in the
Authoritys weekly active file of vaccine administration providers for
terminations and changes.
(c) MCEs may elect to contract for or to
delegate responsibility for the credentialing and screening processes; however,
CCOs shall be solely and ultimately responsible for adhering with all terms and
conditions held in its contract with the state. For the following activities
including oversight of the following processes regardless of whether the
activities are provided directly, contracted, or delegated, MCEs shall:
(A) Ensure that coordinated care services are
provided within the scope of license or certification of the participating
provider or facility and within the scope of the participating providers
contracted services. They shall ensure participating providers are
appropriately supervised according to their scope of practice;
(B) Provide training for MCE staff and
participating providers and their staff regarding the delivery of coordinated
care services, applicable administrative rules, and the MCEs administrative
policies.
(d) The MCE
shall provide accurate and timely information to the Authority about:
(A) License or certification expiration and
renewal dates;
(B) Whether a
providers license or certification is expired or not renewed or is subject to
licensing termination, suspension, or certification sanction;
(C) If an MCE knows or has reason to know
that a provider has been convicted of a felony or misdemeanor related to a
crime or violation of federal or state laws under Medicare, Medicaid, or Title
XIX (including a plea of olo contendre).
(D) If an MCE removes a provider or fails to
renew a providers contract if the provider fails to meet objective quality
standards.
(e) MCEs may
not refer members to or use providers that:
(A) Have been terminated from
Medicaid;
(B) Have been excluded as
a Medicaid provider by another state;
(C) Have been excluded as Medicare/Medicaid
providers by CMS; or
(D) Are
subject to exclusion for any lawful conviction by a court for which the
provider could be excluded under
42 CFR
1001.101.
(f) MCEs may not accept billings for services
to members provided after the date of the providers exclusion, conviction, or
termination. MCEs shall recoup any monies paid for services to members provided
after the date of the providers exclusion, conviction, or
termination;
(g) MCEs shall require
each atypical provider to be enrolled with the Authority and shall obtain and
use registered National Provider Identifiers (NPIs) and taxonomy codes reported
to the Authority in the Provider Capacity Report for purposes of encounter data
submission prior to submitting encounter data in connection with services by
the provider. MCEs shall require each qualified provider to have and use an NPI
as enumerated by the National Plan and Provider Enumeration System
(NPPES);
(h) The provider
enrollment request (for encounter purposes) and credentialing documents require
the disclosure of taxpayer identification numbers. The Authority shall use
taxpayer identification numbers for the administration of this program
including provider enrollment, internal verification, and administrative
purposes for the medical assistance program for administration of tax laws. The
Authority may use taxpayer identification numbers to confirm whether the
individual or entity is subject to exclusion from participation in the medical
assistance program. Taxpayer identification number includes Employer
Identification Number (EIN), Social Security Number (SSN), and Individual Tax
Identification Number (ITIN) used to identify the individual or entity on the
enrollment request form or disclosure statement. Disclosure of all tax
identification numbers for these purposes is mandatory. Failure to submit the
requested taxpayer identification numbers may result in denial of enrollment as
a provider and denial of a provider number for encounter purposes or denial of
continued enrollment as a provider and deactivation of all provider numbers
used by the provider for encounters.
(2) An MCE may not discriminate with respect
to participation in the MCE against any health care provider who is acting
within the scope of the providers license or certification under applicable
state law on the basis of that license or certification. If an MCE declines to
include individual or groups of providers in its network, it shall give the
affected providers written notice of the reason for its decision. This rule may
not be construed to:
(a) Require that an MCE
contract with any health care provider willing to abide by the terms and
conditions for participation established by the MCE; or
(b) Preclude the MCE from establishing
varying reimbursement rates based on quality or performance measures. For
purposes of this section, quality and performance measures include all factors
that advance the goals of health system transformation including:
(A) Factors designed to maintain quality of
services and control costs and are consistent with its responsibilities to
members; or
(B) Factors that add
value to the service provided including but not limited to expertise,
experience, accessibility, or cultural competence.
(c) The requirements in subsection (b) do not
apply to reimbursement rate variations between providers with the same license
or certification or between specialists and non-specialty providers.
(3) An MCE shall establish an
internal review process for a provider aggrieved by a decision under section
(2) of this rule including an alternative dispute resolution or peer review
process. An aggrieved provider may appeal the determination of the internal
review to the Authority.
(4) To
resolve appeals made to the Authority under sections (2) and (3) of this rule,
the Authority shall provide administrative review of the providers appeal using
the administrative review process established in OAR 410-120-1580. The
Authority shall invite the aggrieved provider and the MCE to participate in the
administrative review. In making a determination of whether there has been
discrimination, the Authority shall consider the MCEs:
(a) Network adequacy;
(b) Provider types and
qualifications;
(c) Provider
disciplines; and
(d) Provider
reimbursement rates.
(5)
A prevailing party in an appeal under sections (3) through (4) of this rule
shall be awarded the costs of the appeal.
(6) MCEs shall not apply any requirement that
any entity operated by the IHS, an Indian tribe, tribal organization or urban
Indian organization be licensed or recognized under the State or local law
where the entity is located to furnish health care services, if the entity
meets all the applicable standards for such licensure or recognition. This
requirement is pursuant to
25 USC
1621t and
1647a.
(7) MCEs shall not require the licensure of a
health professional employed by such an entity under the State or local law
where the entity is located, if the professional is licensed in another
State.
(8) MCEs shall offer
contracts to all Medicaid eligible IHCPs and to provide timely access to
specialty and primary care within their networks to MCE enrolled IHS
beneficiaries seen and referred by IHCPs, regardless of the IHCPs status as
contracted provider within the MCE network.
Notes
Statutory/Other Authority: ORS 413.042 & ORS 414.065
Statutes/Other Implemented: ORS 414.065 & 414.727
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