Tuesday, February 27, 2024
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7:00 am-5:30 pm |
Registration and Check-In
If you haven't checked in, come to the AHLA Registration area to print your badge.
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7:00-8:00 am |
Continental Breakfast
This event is included in the program registration fee. Attendees, faculty, and registered guest are welcome.
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8:00-9:15 am Concurrent Extended Sessions |
11. Measuring the Effectiveness of Your Compliance and Ethics Program, Using CMS's Requirements of Participation (SNF, HH) (not repeated)
Michelle R. Adams, Associate General Counsel, Ensign Services, San Juan Capistrano, CA
Joseph Zielinski, Director of Legal Affairs, CarDon & Associates, Fishers, IN
This presentation will discuss how to measure the effectiveness of your organization's compliance and ethics program utilizing CMS's Requirements of Participation. This will be done as follows:
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Analyzing and discussing CMS's requirements for a compliance and ethics program
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Other applicable compliance and ethics guidance
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Comparing and contrasting CMS's requirements for a compliance and ethics program to other similar guidance i.e. DOJ, Federal Sentencing Guidelines etc.
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Why compliance effectiveness matters
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How to utilize data and metrics to drive your compliance and ethics program
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Provide a free tool that will allow attendees to measure the effectiveness of their program
12. Case Law Update (SNF, AL, HH)
Jillian Somers Donovan, Hanson Bridgett LLP, San Francisco, CA
Matthew J. Murer, Polsinelli PC, Chicago, IL
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DAB/ALJ case law update
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False Claims Act and fraud and abuse litigation
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Arbitration agreement litigation
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HIPAA, Data Breach, and Privacy litigation and enforcement
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Survey litigation
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Ownership disclosure
13. Post-Pandemic Threats and Challenges for LTC Providers: Managing the COVID-19 Aftermath (SNF, AL)
Mark Reagan, Hooper Lundy & Bookman PC, San Francisco, CA/ Boston, MA
Bill Ulrich, President/CEO, Consolidated Billing Services, Spokane Valley, WA
This program will explore the ongoing threats and challenges to long-term care providers (including skilled nursing facilities and assisted living facilities) arising from the COVID-19 pandemic and its aftermath. The program will primarily focus on best practices for retaining:
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COVID-19 financial support provided through
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The CARES Act, including the: (i) Payroll Protection Program (“PPP”), (ii) Provider Relief Fund (“PRF”), and (iii) Employee Retention Credit (“ERC”)
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The American Rescue Plan Act (“ARPA”)
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Increased reimbursement or other financial support provided by State Medicaid programs, if applicable
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Payments received from the Medicare program utilizing the Part A waivers associated with the three-day qualifying hospital stay and 100-day benefit period
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A framework for managing these risks to maximize opportunities for recovery, including developing compliance tools for audits and other internal efforts
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A description of the various audit processes and how affected providers can appeal adverse findings
3. Understanding and Addressing Abuse and Neglect Citations in Long Term Care (repeat)
Sean J. Fahey, Hall Render Killian Heath & Lyman PC, Indianapolis, IN
Shelly Maffia, Director Regulatory Services, Proactive LTC Consulting, Evansville, IN
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Define neglect in the context of nursing homes
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Neglect citations and factors contributing to citations
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Practical application of psychosocial guidelines in evaluating scope and severity of abuse and neglect citations
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Best practices for responding to and preventing abuse/neglect citations
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9:15-9:45 am |
Coffee and Networking Break
Exhibits Open–Meet the Exhibitors
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9:45-10:45 am Concurrent Sessions |
14. Assisted Living and Senior Housing Legislative and Regulatory Update (AL) (not repeated)
Daniel Merriman, Senior Compliance/Public Policy Analyst, LCS, Des Moines, IA
Anna F. Munoz, Senior Director, Legal Operations, Licensing & Risk, Brookdale Senior Living Inc, Milwaukee, WI
15. Negotiating JV Agreements Between Private Equity Partners and Senior Housing Operators or Developers (SNF, AL) (not repeated)
Taylor Pancake, Foley & Lardner LLP, Orlando, FL
16. Palliative Care: Regulation, Oversight and Reimbursement (HH)
Edo Banach, Manatt, Phelps & Phillips, LLP, Washington, DC
Keith Lagnese, Chief Medical Officer, Sutter Care at Home, Emeryville, CA
Palliative care is a buzzword, but the term means different things to different people. Despite years of use, there is no set definition and no reimbursement for community-based palliative care in Medicare. This session will help to demystify palliative care, and clarify regulation, oversight and reimbursement now and in the future:
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Palliative medicine reimbursement under Part B
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Community-based palliative care models under Medicare Advantage (as supplemental benefits)
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Innovation models and Palliative Care (GUIDE Model and others)
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State payment of and licensing for palliative care
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Legislative advocacy (PCHETA)
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Crystal ball for palliative care
5. SNF Legislative and Regulatory Update (SNF) (repeat)
Jonathan Lips, VP Legal Affairs, LeadingAge Inc, St. Louis Park, MN
Sam Orbovich, Fredrikson & Byron PA, Minneapolis, MN
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Notable trends in CMS survey and enforcement activity
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Key developments in CMS regulation of skilled nursing facilities, including the newly finalized rule relating to ownership transparency, proposed rules concerning minimum staffing standards and appeal rights for changes in patient status (observation stays), and proposed rules anticipated to be released in 2024
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New and anticipated policy developments from other federal agencies with impact on skilled nursing facilities, such as employment, labor and occupational safety and health
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Outlook for Congressional activity on selected issues affecting the sector in 2024
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10:45-11:15 am |
Coffee and Networking Break
Exhibits Open–Meet the Exhibitors
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11:15 am-12:15 pm Concurrent Sessions |
17. Home Health and Hospice Legislative and Regulatory Update (HH) (not repeated)
Katie Wehri, Director of Home Health & Hospice Regulatory Affairs, National Association for Home Care & Hospice, Washington, DC
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The 2025 Medicare home health payment rule updates
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Nationwide expanded Medicare Home Health Value Based Purchasing Demonstration
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Review Choice Demonstration
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Hospice special focus program overview and updates on survey reforms
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Hospice claims oversight
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Hospice practices under review
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2024 MedPAC recommendations on home health and hospice
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Status of home care expansions in Medicare
18. Surveying the Enforcement Landscape Facing Owners and Operators of SNFs (SNF) (not repeated)
David Abrams, Senior Counsel for Special Investigations, New York State Department of Health, New York, NY
Spencer Bruck, Crowell & Moring, LLP, New York, NY
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Recent Enforcement Actions, including Comprehensive Healthcare
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Developments in FCA caselaw on “Worthless Services”
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Enforcement actions involving self-dealing and financial fraud
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Enforcement of minimum staffing regulations
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Transparency on ownership and financial transactions
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Compliance takeaways
19. CHOWs, CHOPs, and Revalidations and the Impact of New Transparency Initiatives (SNF, AL, HH)
Annaliese "Nan" Impink, Huff Powell Bailey, Atlanta, GA
Paula Sanders, Post and Schell PC, Harrisburg, PA
Providers and their counsel should prepare for the impact of CMS’s transparency initiatives focused on the post-acute sector in particular and other providers more generally. CMS and many states have increased their scrutiny of changes of ownership (CHOWs) and changes of operators (CHOPs), often resulting in long delays. Likewise Medicare and Medicaid revalidations for existing providers are also fraught with pitfalls for the unwary.
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Anticipate the consequences of skilled nursing facilities being assigned to the highest risk category for initial enrollments, CHOWs and CHOPS
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Best practices for handling those consequences
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Strategize about best practices for completing revalidation applications
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Consider how counsel and compliance officers can ensure smoother processing of critical data
9. Respecting Patient Autonomy: Legal and Medical Aspects of End-of-Life Care (SNF, AL, HH) (repeat)
Alan C. Horowitz, Arnall Golden Gregory LLP, Evergreen, CO
Karl Steinberg, Chief Medical Officer, Stone Mountain Medical Associates, Inc., Oceanside, CA
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The legal, ethical, and medical implications of medical aid in dying (“MAID”) along with case studies
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The legal, ethical and medical bases for “wrongful life” lawsuits where a person’s end-of-life wishes or medical orders were not followed, including relevant case studies
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The federal and state requirements, and accepted professional ethical guidelines, that respect patient autonomy in end-of-life decisions including areas such as voluntary stopping eating and drinking (“VSED”)
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The legal, medical, and ethical components of “dementia directives” that request cessation of hand feeding (Stopping Eating and Drinking by Advance Directive [SED by AD])
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The trend of increasing lawsuits and regulatory actions against hospice providers, including common allegations
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12:15-1:30 pm |
Networking and Presentation Lunch, sponsored by Completed Life Initiative
Topic: Capacity is Decision Specific: The Ethical Peril of Curtailing Individual Liberty in Long Term Care
David N. Hoffman
Assistant Professor, Columbia University NY, NY, General Counsel, Claxton Hepburn Medical Center, Board of Directors, Vice President & Secretary, Completed Life Initiative
This is not included in the program registration; there is an additional fee of $65; limited attendance; and pre-registration is required. Continuing Education Credits are not available.
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1:45-2:45 pm Concurrent Sessions |
20. Survey Enforcement Appeal Process (not repeated)
Lauren Carboni, Foley & Lardner LLP, Denver, CO
Michelle Scherwinski, Chief Nursing Officer, Champion Care LLC, Rockville Centre, NY
This session will provide:
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Practical guidance for navigating the long term care facility survey process
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An overview of the survey enforcement appeal process (i.e., DAB hearing request and appeal to court)
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Practical tips to navigate the enforcement appeal process, including managing deadlines, making the determination to appeal to the DAB, strategies to approaching CMS regarding settlement, and more
We hope this session will provide additional tools for LTC facilities to confidentially navigate the survey itself and how to put forth its best case if and when it faces such adversity that is the survey enforcement appeals process.
21.Shifting Standards of Care for Senior Living (AL) (not repeated)
Paul Gordon, Hanson Bridgett LLP, San Francisco, CA
Rachel L. Vranich, General Counsel, Front Porch, Glendale, CA
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If a senior living resident is accidentally locked out of the building and dies from exposure, should it matter whether the facility is independent living, assisted living or memory care?
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Despite the differing levels of care demarcated by licensure regulations and by resident contract language, senior living communities often provide services to seniors with the same or similar levels of acuity, who may face the same risks of adverse outcomes. At the same time, operators are prohibited from inquiring about resident disabilities in many situations
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Even where there are no regulatory obligations and notwithstanding well-crafted contract disclaimers, courts have used common law standards of care to hold operators liable for failure to monitor resident health and safety and to intervene to prevent injury or decline in functioning. See, e.g., Rowland v. Independence Village of Oxford, 974 N.W. 2d 228 (Mich. Supr. Ct. 2022)
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Senior living operators need to understand and adapt to this trend by adjusting their admission policies, forms of contracts, discharge policies and service plans, and how they respond to incidents where residents are at risk of injury or an adverse health outcome
22. Transition of Patients with Behavioral Health Issues from the Acute to Post-Acute Setting (SNF)
Denise Bloch, Saint Louis, MO
Suzi Sheldon-Kreiger, Senior Counsel, BJC Health Care, St. Louis, MO
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Difficulties of balancing patient and family needs with available resources while complying with regulatory requirements while planning the discharge from Acute Care
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Regulatory requirements for Post-Acute Care admission
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The multiple types and age-ranges of patients requiring Post-Acute Care, especially since Covid
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The pitfalls of poor transitions
8. Home Health and Hospice in Government Crosshairs (HH) (repeat)
Debra Grott, Director, Compliance & Regulatory, SimiTree Healthcare Consulting, Punta Gorda, FL
Rachel Hold-Weiss, Benesch Friedlander Coplan & Aronoff LLP, New York, NY
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The home health and hospice focus areas identified in the OIG Work Plan
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The increased scrutiny of home health and hospice and the new fraud prevention measures for hospice
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The recently implemented hospice survey enforcement actions and the Special Focus Program, as well as MedPAC’s new project to analyze lifetime hospice length of stay
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Recent government enforcement examples
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Audit and compliance strategies and practice tips for home health agencies and hospices to weather through the audit, survey and enforcement storm
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2:45-3:15 pm |
Coffee and Networking Break
Exhibits Open–Meet the Exhibitors
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3:15-4:15 pm Concurrent Sessions |
23. Clinically Integrated Networks for Long Term and Post-Acute Care: Building and Growing Opportunities in Value Based Care (SNF, AL, HH) (not repeated)
Katie Colgan, Executive Director of Integrated Networks, AHCA, Columbus, OH
Rhonda Schechter, Frost Brown Todd Attorneys, Cincinnati, OH
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The new state Clinically Integrated Networks (CINs) of SNFs, ALFs, and HHAs that the American Health Care Association has helped build since 2020
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How the reimbursement landscape is changing, propelling LTC/PAC providers to come together to form CINs
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How LTC/PAC CINs are different and similar to CINs of physicians and other more traditional provider types
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How CINs can shape and advance value-based models for LTC/PAC by creating volume which was previously a barrier to such models
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Challenges and benefits of CINs in both value based contracting and quality improvement
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Examples of value based contracts, challenges and benefits
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Examples of quality programs and improvements, challenges and benefits
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How the CINs formed through 2022 were designed to minimize antitrust risk:
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Assessing the degree of financial and clinical integration
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Striving to meet the safety zone for non-exclusive networks set out in 1996 Health Care Antitrust Guidelines
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Emphasizing quality and efficiency of care so the pro-competitive effects outweigh anti-competitive effects
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Next Steps/Takeaways with VBR and antitrust compliance
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Next steps members can take to investigate or consider a network, position themselves to participate in value based care, and comply with antitrust
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Ongoing attention to continuously increasing integration and improving quality and efficiency
24. Navigating Transitions in Operations (SNF, AL)
Noelle Cooper, Lane Powell PC, Seattle, WA
Stephanie Hildebrant, Senior Living Counsel, Inspired Healthcare Capital, Scottsdale, AZ
The closing of an acquisition or the execution of a new management agreement is just the beginning. This session will discuss the key issues in drafting operations transfer agreements and management agreements and provide practical tips for a successful transfer of operations to a new operator, including:
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Planning for and conducting operational due diligence
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Regulatory considerations and interim agreements
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Transitioning assets, records, IT, and employees
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Evaluating risk and allocating potential liabilities through reps, warranties, and indemnities
25. Internal Investigations: The Do's and Don'ts (SNF, AL, HH)
Barbara Barrett, Chief Compliance Officer, Reliant Care Management Co., St. Louis, MO
Elizabeth (Liz) LaFoe Frederick, Husch Blackwell LLP, Jefferson City, MO
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The ins and outs of internal investigations as well as providing tips and strategies for conducting (and resolving) internal investigations
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Events that commonly trigger a need for an internal investigation in the long term care space (e.g., billing issues, compliance audits, employee complaints, license issues, reportable incidents, etc.) as well as processes to have in place prior to investigations to help them go smoothly (e.g., an effective and accessible complaint process)
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Steps to take in an internal investigation and whether and when to involve counsel, covering issues of confidentiality and privilege during the investigative process, as well as tips for assembling the investigative team and preserving and gathering documentation, handling interviews, as well as documenting investigation findings
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Handling investigations that require disclosures (e.g., under the 60-day overpayment rule)
26. Legal Ethics: Exploring Ethical Questions in Your Long Term Care Legal Practice
Christopher C. Puri, Bradley Arant Boult Cummings LLP, Nashville, TN
This legal ethics program will examine some common ethical situations that long term care attorneys confront, including:
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How to deal with potential conflicts when you represent multiple parties involved in long term care such as operators, owners, lenders, and investors
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What happens when you and your client disagree on how to proceed
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Communications and dealings with opposing parties, particularly governmental entities
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Ethical issues that arise from the use of technology
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The application of the Model Rules to problematic ethical issues and other hypothetical situations
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4:30-5:30 pm Concurrent Sessions |
27. Medical Marijuana: Legal and Practical Considerations for Long Term Care Providers (SNF, AL, HH) (not repeated)
Ashlee Gray, General Counsel, Transforming Age, Rancho Mission Viejo, CA
Aleah Schutze, Steptoe & Johnson PLLC, Louisville, KY
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An in-depth discussion of federal laws and policy regarding medical marijuana
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Examples of various state medical and recreational marijuana laws and discuss the conflict between federal and state marijuana laws
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Examples of medical marijuana policies adopted by health care providers
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Legal risks and compliance issues for providers that want to allow the use of medical marijuana in their facilities
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Best practices for providers on topics such as the storage and administration of medical marijuana and patient safety issues
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Discuss employment considerations for long term care providers
28. Ancillary Joint Ventures - "A Cure or a Curse or Both" (SNF, AL)
Jacob R. Klugman, Executive Vice President and General Counsel, Complete Care Management LLC, Toms River, NJ
Alan E. Schabes, Benesch Friedlander Coplan & Aronoff LLP, Cleveland, OH
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Background on the various types of joint ventures that SNF and ALF operators are actively contemplating
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The various joint ventures structures that are being used
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The fraud and abuse concerns that impact all joint ventures including the impact of AO 21-18
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The structural and contractual elements of a JV that pose the greatest regulatory risks
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Best practices in structuring and documenting ancillary services joint ventures
29. What to Expect when You are Expecting: The False Claims Act Edition For Long Term Care Facilities (SNF)
Thomas H. Barnard, Baker Donelson Bearman Caldwell & Berkowitz PC, Baltimore, MD
Kate Proctor, Chief Legal Counsel, Omnia Healthcare Group, Chicago, IL
A detailed look at how outside counsel and in-house counsel work collaboratively to respond to and prepare for False Claims Act investigations. From even before an investigation begins, learn how the different roles and responsibilities can be defined to be most effective in successfully avoiding investigations, securing declinations, and preventing problems. Two instructors have worked together on multiple investigations and have solid experience to share how to best cooperate
7. Facility Planning for LGBTQ+ Residents: Considerations for SNFs and ALs (SNF, AL) (repeat)
Stefanie J. Doyle, Baker Donelson Bearman Caldwell & Berkowitz PC, Washington, DC
Bruce Lederman, Treasurer, Board of Directors, SAGE and President/CEO of Charles E. Smith Life Communities, Rockville, M
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Profile of LGBTQ+ residents and why they are likely to need long term care
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Background regarding Section 1557 of the Affordable Care Act (will cover at least the highlights of the final rule if it is timely released before the conference; otherwise, will provide background regarding current law)
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Why nursing homes should comply with sex nondiscrimination regulations (i.e., survey implications, etc.)
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Sex discrimination in assisted living facilities
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The role of HHS Office of Civil Rights and enforcement actions
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Best practices to prevent, mitigate, and/or respond to enforcement activities
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5:30-6:30 pm |
Networking Reception, sponsored by SimiTree
This event is included in the program registration. Attendees, speakers, and registered spouses and guests welcome.
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