TITLE 1. ADMINISTRATION
DEPARTMENT OF GENERAL SERVICES
Proposed Regulation
Title of Regulation: 1VAC30-150. Regulations for
Public Use of Robert E. Lee Monument, Richmond, VA (adding 1VAC30-150-10 through 1VAC30-150-50).
Statutory Authority: § 2.2-1100 of the Code of Virginia.
Public Hearing Information:
March 6, 2019 - 10 a.m. - Department of General Services,
1100 Bank Street, Richmond, VA 23219
Public Comment Deadline: March 8, 2019.
Agency Contact: Rhonda Bishton, Director's Executive
Administrative Assistant, Department of General Services, 1100 Bank Street,
Suite 420, Richmond, VA 23219, telephone (804) 786-3311, FAX (804) 371-8305, or
email rhonda.bishton@dgs.virginia.gov.
Basis: Section 2.2-1102 A 1 of the Code of Virginia authorizes
the Department of General Services to prescribe regulations necessary or
incidental to the performance of the department's duties or execution of powers
conferred by the Code of Virginia. Executive Order 67 (2017) directed the
department to promulgate this regulation.
Purpose: This regulation is promulgated to replace
emergency regulations issued in response to the events of August 2017, when a
"Unite the Right" rally evolved into a violent incident of civil
unrest in Charlottesville, Virginia and necessitated a State of Emergency
declaration by then Governor, Terence R. McAuliffe, to address the violence. Executive
Order 67 details the rationale for requiring a review of the regulations at the
Lee Monument, and that rationale is incorporated by reference here. Executive
Order 67 was published in 34:2 VA.R. 393 September 18, 2017. This
stage begins the regulatory process to make the proposed regulations permanent.
Substance: No substantive changes from the emergency
regulations, which were published in 34:8 VA.R. 767-769 December 11, 2017.
Issues: The primary advantage of this regulation is that
it offers guidelines for public assembly at the Robert E. Lee Monument, which
seek to protect public safety, Commonwealth-owned property, and the residents
and property around the monument, while providing a space for members of the
public to exercise their First Amendment rights. The disadvantage of the
regulation is that it limits the times for public assembly, the items allowed
during a permitted event, and the number of attendees in an effort to maximize
safety in this unique space situated in a residential area in the middle of a
heavily traveled intersection.
Department of Planning and Budget's Economic Impact Analysis:
Summary of the Proposed Amendments to Regulation. The
Department of General Services (DGS) proposes to promulgate a permanent
regulation for public use of the Robert E. Lee Monument.
Result of Analysis. The benefits likely exceed the costs for the
proposed regulation.
Estimated Economic Impact. The statute of Robert E. Lee located
at 1700 Monument Avenue in Richmond, Virginia and the surrounding 25,000 square
feet of land, known as the Lee Monument, is state-owned property. The events at
a "Unite the Right" rally on August 12, 2017, turned into a violent
incident of civil unrest in Charlottesville, Virginia and necessitated a State
of Emergency declaration by then Governor McAuliffe. Executive Order 67
followed on August 18, 2017, and required "full review of permitting
processes and other relevant regulations." The executive order stated:
Unlike a city park, the Lee Monument serves a limited purpose
and has not historically been an open forum for expressive activity. It sits in
a traffic rotary, in a major thoroughfare through the City of Richmond, in the
middle of one of the most scenic and historic residential areas in the United
States. Current standards contemplate up to 5,000 people gathering at the Lee
Monument. Given the size of the Lee Monument, the fact that traffic continually
passes around it, and that there is no pedestrian crosswalk for access, I have
concluded that permitting any large group would create a safety hazard in the
current circumstances. Current policies also allow for permits to be issued
from sunrise to 11:00 pm, which also could, given the Lee Monument's proximity
to private residences, interfere with the quiet enjoyment of those properties.
Moreover, the Lee Monument is a State-property island in an area otherwise
regulated by the City of Richmond, yet there is no formal requirement for
coordinating approval through the City of Richmond's permitting process. This
regulatory gap, which has heretofore been handled informally, must be
addressed.
DGS promulgated emergency regulations on November 17, 2017. DGS
now proposes to adopt those regulations permanently. One of the changes
compared to the previous informal permit process is submission of more detailed
information (e.g., a waste management plan, whether the event is being
advertised, the type of the event, etc.) in addition to previously required
information about the names and addresses of the group or organization, of its
principal officers, and of the individual member responsible for the conduct of
the event, etc. The submission and review of such additional information would
likely add to the administrative costs that would be incurred by the applicant
as well as by DGS. However, the additional information would also help DGS and
the Division of Capitol Police determine staffing requirements to ensure public
safety.
The proposed regulation also requires proof that all permit
applications, including required road closure if necessary, have been submitted
to the City of Richmond. Abutting streets around the monument are the property
of the City of Richmond and subject to the city's permit rules. DGS may only
consider approval of applications if the city has determined that no city
permit is required, or if the required city permits have been issued. This
requirement may add to the administrative costs of the City of Richmond, which
would have to now evaluate each request and make a determination. For example,
based on the publicly available City of Richmond criteria,1
currently the City of Richmond may not require a permit for events where fewer
than 300 people will participate, but this proposed regulation would require
the applicant to obtain a formal determination from the city to that effect.
The proposed regulation has no bearing on the criteria the City
of Richmond have in place or will have in the future. Therefore, the proposed
regulation does not impose any additional burdens on applicants who would
already have to obtain a permit from the city other than proving to DGS that
such a permit is issued by the city. This proposed requirement would indirectly
promote compliance with city permit rules. However, one unintended consequence
could be that future event planners may be more inclined to limit attendance to
fewer than 300 people and hold their events on the city-owned sidewalk
surrounding the monument; therefore avoiding the need for any permits from the
city or DGS.
The proposed regulation also reduces the maximum occupancy on
the monument grounds from an established informal limit of 5,000 to 500 persons
for the reasons stated in the executive order (i.e., limited size of the
monument grounds, traffic in the surrounding area, lack of pedestrian crosswalk
for access) to minimize safety hazards. Similarly, time limits are proposed to
minimize traffic disruptions on a key thoroughfare and for the quiet enjoyment
of surrounding private residences.2 Finally, the proposed regulation
establishes a list of prohibited items and activities (e.g., bricks, stones,
alcohol, penetration of the ground, open burning, etc.) allowed during a
permitted event. These proposed changes would limit the choices available to
event planners compared to the previous informal permit process but are also
expected to improve public safety during permitted events at the monument.
Businesses and Entities Affected. The proposed regulation would
apply to applicants wishing to use Lee Monument grounds for special events.
Events have been permitted and held at the Lee Monument in the past, including
the Easter Parade and the Monument 10K. The Monument 10K should not be affected
by the proposed regulation because the event has not sought a permit to
specifically use the monument grounds in the last several years. The regulation
may not apply to established events (i.e., events permitted in the past more than
three consecutive years). For example, if Monument 10k were to apply for a
permit, they may be grandfathered. An event may also be exempt from some of the
proposed timing, duration, and prohibited item list at DGS's discretion based
on this proposed regulation.
Localities Particularly Affected. The proposed regulation
applies to a state-owned property in the City of Richmond.
Projected Impact on Employment. The proposed regulation would
necessitate additional time to prepare and review an event application but is
unlikely to have any discernible impact on employment.
Effects on the Use and Value of Private Property. The proposed
regulation is expected to minimize disruption around the monument and would
mitigate potential negative impacts during a few events but is unlikely to
significantly affect the use and value of private property in that
neighborhood.
Real Estate Development Costs. The proposed regulation is
unlikely to affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed regulation is unlikely to
impose costs and other impacts on small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
regulation does not adversely affect small businesses.
Adverse Impacts:
Businesses: The proposed regulation does not adversely affect
businesses.
Localities: The proposed regulation would introduce additional
administrative costs on the City of Richmond, but it may also strengthen
compliance with the City of Richmond event permit rules by requiring proof of
such a permit.
Other Entities: The proposed regulation imposes limits on time,
duration, items allowed, and participation of and at events at the Lee
Monument. Any entity wishing to hold an event under previous less stringent
rules may perceive to be adversely affected.
________________________
1See http://eservices.ci.richmond.va.us/APPLICATIONS/SPECIAL
EVENTS/, accessed on Sept 6, 2018.
2Events may occur only Monday through Friday 9 a.m. to 4
p.m. and 7 p.m. to 9 p.m.; Saturday 9 a.m. to 9 p.m.; Sunday 2 p.m. to 9
p.m.
Agency's Response to the Economic Impact Analysis: The
department has reviewed the economic impact analysis by the Department of
Planning and Budged and has no comment.
Summary:
The proposed action establishes the regulations for public
use of the Robert E. Lee Monument located at 1700 Monument Avenue in the City
of Richmond.
CHAPTER 150
REGULATIONS FOR PUBLIC USE OF ROBERT E. LEE MONUMENT, RICHMOND, VA
1VAC30-150-10. Purpose, applicability, and definitions.
The Robert E. Lee Monument, located at 1700 Monument
Avenue, is the largest monument on the City of Richmond's Monument Avenue. The
60-foot high statue, composed of a granite base and 14-foot tall bronze
equestrian statue of Robert E. Lee, stands in the middle of Lee Circle, a
traffic circle at the intersection of Monument Avenue and Allen Avenue. The
purpose of this chapter is to establish and codify regulations governing the use
of this state-owned property. This chapter applies to the Lee Monument.
The following word or term when used in this chapter shall
have the following meaning unless the context clearly indicates otherwise:
"Lee Monument" means the statue of Robert E. Lee
and the surrounding 25,000 square feet of state-owned property located at 1700
Monument Avenue in the City of Richmond. The Lee Monument does not include the
abutting sidewalk or streets, which are the property of the City of Richmond.
1VAC30-150-20. General rules.
The following rules apply to any person, including permit
applicants and permit holders at the Lee Monument.
1. The Lee Monument shall be closed to the public from
sunset each night until sunrise the following morning.
2. Any gathering that is expected to draw 10 or more
participants requires a special event permit.
3. The maximum occupancy of the Lee Monument is 500
persons.
4. There shall be no motor vehicles on the Lee Monument at
any time.
5. No banners, flags, posters, or other objects shall be
placed on or affixed to the statue itself.
6. No persons shall climb on the statue itself. This
provision also applies to the steps of the statue.
7. Unlawful activity is prohibited.
1VAC30-150-30. Rules regarding permitted events.
A. All permitted events must be coordinated with the City
of Richmond to ensure that such event will not interfere with major vehicular
traffic within the traffic circle. The areas surrounding the Lee Monument are
residential zones. In conjunction with § 18.2-419 of the Code of Virginia and
the City of Richmond's noise ordinance level restrictions, events at the
grounds may only occur during the following hours, unless the times referenced
in this subsection conflict with subdivision 1 of 1VAC30-150-20.
1. Monday through Friday: 9 a.m. to 4 p.m. and 7 p.m.
to 9 p.m.
2. Saturday: 9 a.m. to 9 p.m.
3. Sunday: 2 p.m. to 9 p.m.
B. Permitted events may last a maximum of two hours, with
an additional 30 minutes to set up and 30 minutes to break down the event. If
the City of Richmond will require road closure, permitted events will be
authorized to last one hour, with an additional 30 minutes to set up and 30
minutes to break down the event. Permitted events shall not exceed these time
parameters.
C. The following items and activities are prohibited on
the Lee Monument, and any violation will result in an immediate revocation of
the permit and removal from the Lee Monument:
1. Weapons: any pistol, rifle, shotgun, or other firearm of
any kind, whether loaded or unloaded, air rifle, air pistol, paintball gun,
paintball rifle, explosive, blasting cap, knife, hatchet, ax, slingshot,
blackjack, metal knuckles, mace, iron buckle, ax handle, chains, crowbar,
hammer, or any club, bludgeon, or any other instrumentality used, or intended
to be used, as a dangerous weapon.
2. Bricks, stones, rocks, or pieces of asphalt or concrete.
3. Glass bottles, glass jars, or glass containers of any
kind.
4. Tents, tables, scaffolding, or staging.
5. Penetration of the ground by any object.
6. Stick-holding placards.
7. Solicitations, sales, collections, or fundraising
activities.
8. Food, alcohol, or beverages of any type.
9. Auxiliary and portable lights.
10. Open air burning. Hand-held candles with drip guards
are acceptable.
11. The use of unmanned aircraft systems (drones).
12. Hazardous, flammable, or combustible liquids or
materials.
13. Animals, except service animals that are individually
trained to do work or perform tasks for people with disabilities.
14. Fossil-fuel powered generators.
15. Any mask, hood, or other device whereby a substantial
portion of the face is hidden or covered unless otherwise permitted by law.
D. Nothing in this chapter shall prohibit a disabled
person from carrying, possessing, or using a wheelchair, cane, walker, or
similar device necessary for providing mobility so that the person may
participate in a permitted event.
E. Nothing in this chapter shall prohibit certified
law-enforcement officers or other public safety officials acting in their
official capacity from carrying or possessing materials, weapons, or devices
used in the performance of law-enforcement duties.
F. Certain portions of subsections A, B, and C of this
section may not apply to established events that have been approved for more
than three consecutive years by the Department of General Services and the City
of Richmond permitting processes prior to the enactment of this regulation.
1VAC30-150-40. Special event permit process.
A. Requests for a special event permit must be submitted
in writing, on the forms required by the Department of General Services, and
must be submitted to the Director of the Department of General Services at
least 45 days prior to the requested event date.
B. All applications shall contain at a minimum, the
following information:
1. Type and purpose of event, meeting, or function.
2. Name, address, telephone numbers, and email address of
the applicant.
3. Name of the organization, date of origin, status
(corporation, unincorporated association, partnership, nonprofit corporation,
etc.), address, and telephone numbers. If applicable, the federal tax ID
number, registered agent's address, telephone numbers, and email address.
4. Organization's primary point of contact, to include
name, title, permanent address, telephone numbers, and email addresses.
5. Organization's primary and alternative point of contact
who will be on-site at the Lee Monument for the event, to include name,
address, telephone numbers, and email addresses. The organization's on-site
primary point of contact shall be responsible for the conduct of participants
at the event.
6. If the event is designed to be held by, on behalf of, or
for any person other than the applicant, the applicant shall file with the
director written documentation from the person or organization seeking to host
the event, authorizing the applicant to apply for the permit on behalf of the
person or organization.
7. The estimated number of participants for the event. The
maximum occupancy for the Lee Monument is 500 persons.
8. Requested date and start and end times.
9. Whether the event is being advertised, to include
advertising on social media platforms.
10. Proof that all needed permit applications have been
submitted to the City of Richmond, to include a road closure permit if necessary.
The applicant understands that if the City of Richmond will require road
closure, authorized events will be permitted to last one hour, with an
additional 30 minutes to set up and 30 minutes to break down the event. All
events will begin at the agreed upon time and must fall within the allowable
time periods addressed in this section.
11. List of requested items or equipment to be used during
the event.
12. Waste management plan and a point of contact for the
plan, including name and telephone number.
C. Notwithstanding the 45-day requirement for a special
event permit, the applicant may apply for a permit for an event that is
proposed to be conducted in less than six days, provided:
1.The applicant submits a completed special event permit application
in accordance with this chapter.
2. A showing by the applicant, in writing, clearly
describing why the circumstances giving rise to the proposed event did not
reasonably allow the applicant to apply for a permit within the 45-day time
period.
3. The event has not been planned for more than six days in
advance of the proposed event.
4. Proof that all needed permit applications have been
submitted to the City of Richmond, to include a road closure permit if
necessary. The applicant understands that if the City of Richmond will require
road closure based on the size of the event, authorized events will be
permitted to last one hour, with an additional 30 minutes to set up and 30
minutes to break down the event. All events will begin at the agreed upon time
and must fall within the allowable time periods addressed in this section.
D. Permit applications may be submitted up to one year in
advance of the proposed event.
E. The Director of the Department of General Services
shall take action on all permit applications within 10 business days of
receiving a complete special event permit application, and as soon as
practicable but not more than three business days for applications submitted
for events to be held within six business days. If no permits are required by
the City of Richmond, the department shall approve or deny the application
within 10 days. If one or more permits are required by the City of Richmond,
the department shall acknowledge receipt of the application within 10 business
days, but the Director of the Department of General Services shall not grant
final approval until proof that all permits required by the city, to include a
road closure permit, have been issued.
F. The Director of the Department of General Services
shall deny a request for a permit if:
1. Another application has been previously submitted with a
request for the same date and time;
2. Upon advisement from law enforcement, the director
determines that approving the permit and allowing the event to occur would pose
a significant threat to public safety;
3. Any of the conditions are not agreed to by the
applicant;
4. The director concludes that the event could not possibly
conform to the conditions prescribed in this chapter;
5. Any of the information contained in the application is
found to be false or inaccurate; or
6. The City of Richmond denies a needed permit.
G. If a permit request is denied, the director shall send,
in writing, an explanation of why the event permit was denied and if
applicable, provide the applicant with alternative times or dates.
H. If a permit is denied due to a preexisting application
for the same time and date, the director shall notify the applicant if the
originally requested date and time become available.
I. Authorization for the use of the Lee Monument will be
set forth in a letter addressed to the applicant.
J. The director or the director's designee may contact the
applicant and the event organizer at any time to discuss or clarify the
contents of the application or any additional conditions or restrictions to be
applied.
1VAC30-150-50. Permit holder responsibilities.
A. The event organizer is responsible for providing a safe
and secure event and may be required to provide general security, crowd
control, and assistance to participants based on the size of the event. If
general security is required by the Commonwealth, it shall be provided by
law-enforcement personnel licensed by the Commonwealth of Virginia.
B. By submitting an application for a special event permit
under this chapter, the applicant understands the following statements and
conditions and agrees to comply with all rules, conditions, and restrictions:
1. The applicant agrees to all prohibitions and
restrictions identified in this chapter;
2. The applicant and organization agree to indemnify the
Commonwealth of Virginia against any loss or damage to the monument that may
occur in connection with the applicant or event organizer's use of the
property;
3. The applicant agrees to leave the premises clean and
orderly.
4. The applicant and participants agree to obey all
state and local laws and ordinances;
5. The applicant agrees to notify law enforcement, to
include the Division of Capitol Police, if any unlawful activities occur during
the permitted event. In addition to 9-1-1, the applicant should call the
Capitol Police emergency number at (804) 786-4357. For nonemergencies,
applicants should call (804) 786-2568;
6. Unlawful activities will be handled by law enforcement,
to include the Division of Capitol Police; and
7. The applicant shall be required to notify the Director
of the Department of General Services of any changes to the information
contained in the permit application as soon as practicable.
C. Violations of this chapter shall result in immediate
revocation of the permit by the Director of the Department of General Services
or the director's designee, and in the event such revocation occurs, all
participants shall be required to immediately vacate the monument. Failure of
any person to immediately vacate the monument after proper notice shall be
considered trespassing in violation of § 18.2-119 of the Code of Virginia.
NOTICE: Forms used in
administering the regulation have been filed by the agency. The form is not
being published; however, online users of this issue of the Virginia Register
of Regulations may click on the name of a form with a hyperlink to access it.
The form is also available from the agency contact or may be viewed at the Office
of the Registrar of Regulations, 900 East Main Street, 11th Floor, Richmond,
Virginia 23219.
FORMS (1VAC30-150)
Request
to Hold an Event at the Lee Monument (undated, filed 12/19/2018)
VA.R. Doc. No. R18-5342; Filed December 12, 2018, 9:29 a.m.
TITLE 8. EDUCATION
BOARD OF VISITORS OF THE COLLEGE OF WILLIAM AND MARY
Final Regulation
REGISTRAR'S NOTICE: The
Board of Visitors of the College of William and Mary is claiming an exemption
from the Administrative Process Act in accordance with § 2.2-4002 A
6 of the Code of Virginia, which exempts educational institutions operated by
the Commonwealth.
Title of Regulation: 8VAC115-30. Richard Bland
College Weapons on Campus Regulation (amending 8VAC115-30-10, 8VAC115-30-20,
8VAC115-30-30).
Statutory Authority: § 23.1-1301 of the Code of
Virginia.
Effective Date: January 2, 2019.
Agency Contact: Carla Costello, ADA Coordinator and
Compliance Investigator, College of William and Mary, 108 James Blair Hall,
Williamsburg, VA 23185, telephone (757) 221-1254, or email cacostello@wm.edu.
Summary:
The amendments refine the definition of "weapon"
and clarify the applicability of the regulation.
8VAC115-30-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"College property" means any property, vehicle,
or vessel owned, leased, or controlled by Richard Bland College of the
College of William and Mary.
"Police officer" means law-enforcement officials
appointed pursuant to Article 3 (§ 15.2-1609 et seq.) of Chapter 16
and Chapter 17 (§ 15.2-1700 et seq.) of Title 15.2, Article 3 (§ 23.1-809
et seq.) of Chapter 17 (§ 23-232 et seq.) 8 of
Title 23 23.1, Chapter 2 (§ 29.1-200 et seq.) of Title
29.1, or Chapter 1 (§ 52-1 et seq.) of Title 52 of the Code of
Virginia or sworn federal law-enforcement officers.
"Weapon" means any firearm instrument of
combat or any object not designed as an instrument of combat but carried
for the apparent purpose of inflicting or threatening bodily injury. Examples
include:
1. Firearms, including any pistol, revolver, rifle,
shotgun, air-pistol, paintball gun, or other weapon designed or intended to
propel a bullet, cartridge, or missile of any kind by action of an explosion of
any combustible material;
2. Knives, including any dirk, bowie knife, switchblade
knife, ballistic knife, butterfly knife, sword, machete, razor, spring stick,
or other bladed weapon with a blade longer than four inches;
3. Razors or metal knuckles;
4. Blackjacks, foils, or hatchets;
5. Bows and arrows, crossbows, or slingshots;
6. Nun chahkas, including any flailing instrument
consisting of two or more rigid parts connected in such a manner as to allow
them to swing freely, which may also be known as a nun chuck, nunchaku,
shuriken, or fighting chain;
7. Throwing stars, including any disc, of whatever
configuration, having at least two points or pointed blades, which is designed
to be thrown or propelled and which may be known as an oriental dart;
8. Stun guns, including any device that emits a momentary
or pulsed output that is electrical, audible, optical, or electromagnetic in
nature and that is designed to temporarily incapacitate a person;
9. Any explosive or incendiary device, including fireworks
or other devices relying on any combination of explosives and combustibles to
be set off to generate lights, smoke, or noise; or
10. Any other weapon listed in § 18.2-308 A of the
Code of Virginia.
"Weapon" does not include (i) knives or razors
commonly used for domestic or academic purposes or pen or folding knives with
blades less than three inches in length or (ii) mace, pepper spray, and other
such items possessed, stored, or carried for use in accordance with the purpose
intended by the original manufacturer.
8VAC115-30-20. Possession of weapons prohibited; exceptions.
A. Possession, storing, or carrying of any
weapon by any person, except a police officer or an individual authorized
pursuant to college policy, is prohibited on college property, whether
in academic buildings, administrative buildings, student residence and
student life buildings, or dining or athletic facilities, or while attending an
official college event, such as any college building; while attending
an athletic, academic, social, recreational, or educational event,;
or on vehicles or vessels that are college property. This prohibition
also applies to all events or activities on college property where people
congregate in any public or outdoor areas.
B. This prohibition does not apply to:
1. Police officers on college property in an official
capacity pursuant to a college request, mutual aid agreement, or on active duty
and within their jurisdiction; or
2. A college employee possessing, storing, or carrying a
weapon as expressly authorized or required by the terms of the college
employment.
C. Entry upon such college property in violation of
this prohibition is expressly forbidden. Persons violating this prohibition
will be asked to remove the weapon immediately from college property. Failure
to comply with this request may result in arrest for trespass. Members of the
college community are also subject to disciplinary action.
8VAC115-30-30. Person lawfully in charge.
In addition to individuals authorized by college policy or
job duties, Richard Bland College police officers are lawfully in charge
for the purposes of forbidding entry upon or remaining upon college property
while possessing or carrying weapons in violation of this prohibition.
VA.R. Doc. No. R19-5783; Filed December 18, 2018, 4:18 p.m.
TITLE 8. EDUCATION
BOARD OF VISITORS OF THE COLLEGE OF WILLIAM AND MARY
Final Regulation
REGISTRAR'S NOTICE: The
Board of Visitors of the College of William and Mary is claiming an exemption
from the Administrative Process Act in accordance with § 2.2-4002 A
6 of the Code of Virginia, which exempts educational institutions operated by
the Commonwealth.
Title of Regulation: 8VAC115-50. Richard Bland
College Open Flames on Campus (adding 8VAC115-50-10 through 8VAC115-50-50).
Statutory Authority: § 23.1-1301 of the Code of
Virginia.
Effective Date: January 2, 2019.
Agency Contact: Carla Costello, ADA Coordinator and
Compliance Investigator, College of William and Mary, 108 James Blair Hall,
Williamsburg, VA 23185, telephone (757) 221-1254, or email
cacostello@wm.edu.
Summary:
The regulation establishes the limitations on the presence
of open flames in college buildings or on college property and imposes the
requirement for a permit for certain activities involving open burning or open
flames.
CHAPTER 50
RICHARD BLAND COLLEGE OPEN FLAMES ON CAMPUS
8VAC115-50-10. Definitions.
The following words and terms when used in this chapter
shall have the following meanings unless the context clearly indicates
otherwise:
"Open flame" means any activity or device
producing a flame, including candles, tiki torches, oil lanterns, butane or
other gas burners, incense, campfires, bonfires, fire pits, and grills.
"College property" means any property, vehicle,
or vessel owned, leased, or controlled by Richard Bland College.
8VAC115-50-20. Permit required for open burning and open
flames; exceptions.
A. Open flames are prohibited on all college property,
including within college buildings and facilities, except pursuant to a permit
issued by the college's Department of Campus Safety and Police.
B. Exceptions to the requirement for a permit are:
1. Activities taking place within the scope of academic
coursework when under the supervision of the relevant faculty member;
2. Flames created for the transient purpose of lighting a
cigarette, cigar, pipe, or similar smoking device, provided such activity is in
an authorized location and is otherwise lawful, and the burning or smoking
elements are safely and responsibly disposed;
3. Small celebration candles used briefly and in an
appropriate quantity in connection with a celebration, provided such activity
is not left unattended, is in an authorized location and is otherwise lawful,
and the smoking or burning elements are safely and responsibly disposed; and
4. Activities undertaken by college contractors whose
contract has been approved by the President of Richard Bland college or the
president's designee and which contract authorizes open flames.
8VAC115-50-30. Permits.
A. Persons seeking to ignite an open flame must apply to
the Department of Campus Safety and Police for a permit to perform the
activity. Permits may be issued for a one-time event or activity or on a
recurring or ongoing basis.
B. Applicants must apply at least five working days in
advance of the activity to ensure consideration. An applicant's history of
compliance with previous permits will be considered in a decision to grant a
permit.
C. Persons granted permits are required to comply with all
conditions of the permit.
8VAC115-50-40. Person lawfully in charge.
In addition to individuals authorized by college policy,
Richard Bland College police officers and representatives of the Department of
Campus Safety and Police are lawfully in charge for the purposes of forbidding
entry upon or remaining upon college property of those who are in violation of
this prohibition.
8VAC115-50-50. Compliance with policy.
Persons who fail to obtain a permit or to comply with its
conditions will be asked to extinguish the open flame or bring the activity
into compliance with the terms of the permit. Failure to comply may result in a
request to leave campus. Failure to leave campus may result in arrest for
trespass. Members of the campus community are also subject to disciplinary
action, including termination or expulsion.
VA.R. Doc. No. R19-5782; Filed December 18, 2018, 4:19 p.m.
TITLE 11. GAMING
VIRGINIA RACING COMMISSION
Final Regulation
REGISTRAR'S NOTICE: The
Virginia Racing Commission is claiming an exemption from the Administrative
Process Act pursuant to § 2.2-4002 A 17 of the Code of Virginia, which exempts
the commission when promulgating technical regulations regarding actual live
horse racing at race meetings licensed by the commission. The commission is
also claiming an exemption from the Administrative Process Act pursuant to
§ 2.2-4002 B 12 of the Code of Virginia, which exempts agency action
relating to instructions for application or renewal of a license, certificate,
or registration required by law.
Title of Regulation: 11VAC10-60. Participants (amending 11VAC10-60-15).
Statutory Authority: § 59.1-369 of the Code of Virginia.
Effective Date: January 1, 2019.
Agency Contact: Kimberly Mackey, Regulatory Coordinator,
Virginia Racing Commission, 5707 Huntsman Road, Suite 201-B, Richmond, VA
23250, telephone (804) 966-7406, or email kimberly.mackey@vrc.virginia.gov.
Summary:
The amendments reduce the permit fees associated with
participants involved in live horseracing to the same amount charged for
licensee employees.
11VAC10-60-15. Fee schedule for permit holders.
Type of Permit
|
Fee
|
Apprentice Jockey
|
$50 $25
|
Assistant General Manager
|
$25
|
Assistant Racing Secretary
|
$25
|
Assistant Starter
|
$25
|
Assistant Trainer
|
$50 $25
|
Authorized Agent
|
$50 $25
|
Claims Clerk
|
$25
|
Clerk of Scales
|
$25
|
Clerk of the Course
|
$25
|
Clocker
|
$25
|
Concessionaire/Vendor
|
$25
|
Concessionaire/Vendor Employee
|
$25
|
Custodian of Jockeys' Room
|
$25
|
Director of Security
|
$25
|
Driver
|
$50 $25
|
Entry Clerk
|
$25
|
Exercise Rider
|
$25
|
Farrier
|
$50 $25
|
Foreman
|
$50 $25
|
Gap Attendant
|
$25
|
General Manager
|
$25
|
Groom/Hotwalker
|
$25 $10
|
Horse Identifier
|
$25
|
Horsemen's Bookkeeper
|
$25
|
Horse Owner
|
$50 $25
|
Jockey
|
$50 $25
|
Jockey Agent
|
$50 $25
|
Licensee-Administrative Employee
|
$25
|
Licensee-Marketing Employee
|
$25
|
Licensee-Medical Employee
|
$25
|
Licensee-Operations Employee
|
$25
|
Licensee-Plant Employee
|
$25
|
Licensee-Staff Employee
|
$25
|
Mutuel Clerk
|
$25
|
Mutuel Manager
|
$25
|
Outrider
|
$25
|
Paddock Judge
|
$25
|
Patrol Judge
|
$25
|
Photo-Finish Camera Operator
|
$25
|
Placing Judge
|
$25
|
Pony Rider
|
$25
|
Program Director
|
$25
|
Racing Secretary
|
$25
|
Security Officer
|
$25
|
Stable Name
|
$25
|
Stall Superintendent
|
$25
|
Starter
|
$25
|
Timer
|
$25
|
Track Superintendent
|
$25
|
Trainer
|
$50 $25
|
Trainer/Driver (Harness Racing)
|
$50 $25
|
Valet
|
$25
|
Veterinarian (Licensee)
|
$25
|
Veterinarian (Private Practice)
|
$50 $25
|
Video Patrol Personnel
|
$25
|
VA.R. Doc. No. R19-5766; Filed December 17, 2018, 12:30 p.m.
TITLE 12. HEALTH
STATE BOARD OF HEALTH
Final Regulation
Title of Regulation: 12VAC5-490. Virginia Radiation
Protection Regulations: Fee Schedule (amending 12VAC5-490-10, 12VAC5-490-20,
12VAC5-490-40).
Statutory Authority: § 32.1-229.1 of the Code of
Virginia.
Effective Date: February 7, 2019.
Agency Contact: Steve Harrison, Director, Division of
Radiological Health, Virginia Department of Health, 109 Governor Street,
Richmond, VA 23219, telephone (804) 864-8151, FAX (804) 864-8155,
or email steve.harrison@vdh.virginia.gov.
Summary:
The amendments increase fees in the fee schedule used by
the X-Ray Program for device registrations and inspections and in the fee
schedule used by the Radioactive Materials Program for charging annual
licensing fees to maintain program solvency and provide adequate regulatory
controls.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
12VAC5-490-10. Registration fees.
A. All operators or owners of diagnostic x-ray machines used
in the healing arts and capable of producing radiation shall pay the following
registration fee:
1. $50 $100 for each machine and additional tube(s)
tubes that have a required annual inspection, collected annually; and
2. $60 $100 for each machine and additional tube(s)
tubes that have a required inspection every three years, collected every
three years.
B. All operators or owners of therapeutic x-ray, particle
accelerators, and teletherapy machines used in the healing arts capable of
producing radiation shall pay the following annual registration fee:
1. $50 $100 for each machine with a maximum beam
energy of less than 500 KVp;
2. $50 $100 for each machine with a maximum beam
energy of 500 KVp or greater.
C. All operators or owners of baggage, cabinet or analytical,
or industrial x-ray machines capable of producing radiation shall pay the
following annual registration fee:
1. $20 $40 for each machine used for baggage
inspection;
2. $25 $50 for each machine identified as
cabinet or analytical; and
3. $50 $100 for each machine used for industrial
radiography.
D. Where the operator or owner of the aforementioned machines
is a state agency or local government, that agency is exempt from the payment
of the registration fee.
12VAC5-490-20. Inspection fees and inspection frequencies for
x-ray machines.
The following table lists the fees that shall be charged for
surveys requested by the registrant and performed by a Department of Health
inspector, as well as the required inspection frequencies for each type of
x-ray machine:
Type
|
Cost Per Tube
|
Inspection Frequency
|
General Radiographic
(includes: Chiropractic and Special Purpose X-ray Systems)
|
$230 $250
|
Annually
|
Fluoroscopic, C-arm
Fluoroscopic
|
$230 $250
|
Annually
|
Combination
(General Purpose-Fluoroscopic)
|
$460 $500
|
Annually
|
Dental Intraoral and
Panographic
|
$90 $100
|
Every 3 years
|
Veterinary
|
$160 $175
|
Every 3 years
|
Podiatric
|
$90 $125
|
Every 3 years
|
Cephalometric
|
$120 $130
|
Every 3 years
|
Bone Densitometry
|
$90 $100
|
Every 3 years
|
Combination (Dental
Panographic and Cephalometric)
|
$210 $230
|
Every 3 years
|
Shielding Review for Dental
Facilities
|
$250 $300
|
Initial/Prior to use
|
Shielding Review for
Radiographic, Chiropractic, Veterinary, Fluoroscopic, or Podiatric Facilities
|
$450 $500
|
Initial/Prior to use
|
Baggage X-ray Unit
|
$100
|
Every 5 years
|
Cabinet or Analytical X-ray
Unit
|
$150
|
Every 3 years
|
Industrial Radiography X-ray
Unit
|
$200
|
Annually
|
12VAC5-490-40. Application and licensing fees for radioactive
materials licenses.
The application fee for a radioactive materials license and annual
fees for persons issued a radioactive materials license pursuant to 12VAC5-481
are listed in the following table:
Category
|
Specific License Type
|
Application & Annual Fee
|
1
|
|
Special Nuclear Material (SNM)
|
|
|
A.
|
Possession and use of SNM in
sealed sources contained in devices used in measuring systems
|
$1,000 $1,700
|
|
B.
|
SNM to be used as calibration
and reference sources
|
$500 $900
|
|
C.
|
SNM - all other, except
license authorizing SNM in unsealed form that would constitute a critical
mass (fee waived if facility holds additional license category)
|
$2,000 $3,400
|
2
|
|
Source Material
|
|
|
A.
|
Source material processing and
distribution
|
$3,000 $5,100
|
|
B.
|
Source material in shielding
(fee waived if facility holds additional license category)
|
$200 $300
|
|
C.
|
Source material - all other,
excluding depleted uranium used as shielding or counterweights
|
$2,000 $3,400
|
3
|
|
Byproduct, NARM
|
|
|
A.
|
Broad scope for processing or
manufacturing of items for commercial distribution
|
$10,000 $17,000
|
|
B.
|
Processing or manufacturing
and commercial distribution of radiopharmaceuticals, generators, reagent kits
and sources or devices
|
$6,000 $9,000
|
|
C.
|
Commercial distribution or
redistribution of radiopharmaceuticals, generators, reagent kits and sources
or devices
|
$4,000 $6,800
|
|
D.
|
Processing or manufacturing of
items for commercial distribution
|
$2,000 $3,400
|
|
E.
|
Industrial radiography
operations performed only in a shielded radiography installation
|
$3,000 $5,100
|
|
F.
|
Industrial radiography
performed only at the address indicated on the license, and at
temporary job sites
|
$3,500 $6,000
|
|
G.
|
Possession and use of less
than 370 TBq (10,000 curies) of radioactive material in sealed sources for
irradiation of materials where the source is not removed from the shield (fee
waived if facility holds additional irradiator license category)
|
$2,000 $3,400
|
|
H.
|
Possession
and use of less than 370 TBq (10,000 curies) of radioactive material in
sealed sources for irradiation of materials where the source is exposed for
irradiation purposes. The category also includes underwater irradiators for
irradiation of materials in which the source is not exposed for irradiation
|
$3,000 $5,100
|
|
I.
|
Possession and use of at least
370 TBq (10,000 curies) and less than 3.7 PBq (100,000 curies) of radioactive
material in sealed sources for irradiation of materials)
|
$3,000 $5,100
|
|
J.
|
Possession and use of 3.7 PBq
(100,000 curies) or more of radioactive material in sealed sources for
irradiation of materials
|
$5,000 $8,500
|
|
K.
|
Distribute items containing
radioactive materials to persons under a general license
|
$1,000 $1,700
|
|
L.
|
Possess radioactive materials
intended for distribution to persons exempt from licensing
|
$1,000 $1,700
|
|
M.
|
Broad scope for research and
development that does not authorize commercial distribution
|
$6,000 $10,200
|
|
N.
|
Research and development that
does not authorize commercial distribution
|
$1,000 $1,700
|
|
O.
|
Installation, repair,
maintenance or other service of devices or items containing radioactive material,
excluding waste transportation or broker services
|
$1,000 $1,700
|
|
P.
|
Portable gauges
|
$750 $1,300
|
|
Q.
|
Portable X-ray x-ray
fluorescence analyzer (XRF), dewpointer or gas chromatograph
|
$250 $400
|
|
R.
|
Leak testing services
|
$500 $900
|
|
S.
|
Instrument calibration
services
|
$1,000 $1,700
|
|
T.
|
Fixed gauges
|
$750 $1,300
|
|
U.
|
All other radioactive material
licenses, except as otherwise noted
|
$1,500 $2,600
|
4
|
|
Waste Processing
|
|
|
A.
|
Commercial waste treatment
facilities, including incineration
|
$100,000 $170,000
|
|
B.
|
All other commercial
facilities involving waste compaction, repackaging, storage or transfer
|
$7,500 $12,800
|
|
C.
|
Waste processing - all other,
including decontamination service
|
$5,000 $8,500
|
5
|
|
Well Logging
|
|
|
A.
|
Well logging using sealed
sources or subsurface tracer studies
|
$3,000 $5,100
|
|
B.
|
Well logging using sealed
sources and subsurface tracer studies
|
$3,000 $5,100
|
6
|
|
Nuclear Laundry
|
|
|
A.
|
Commercial collection and
laundry of items contaminated with radioactive material
|
$10,000 $17,000
|
7
|
|
Medical/Veterinary Medical or veterinary
|
|
|
A.
|
Human use of sealed sources
contained in teletherapy or stereotactic radiosurgery devices, including
mobile therapy
|
$6,000 $10,200
|
|
B.
|
Broad scope for human use in
medical diagnosis, treatment, research and development (excluding teletherapy
or stereotactic radiosurgery devices)
|
$12,000 $20,400
|
|
C.
|
Mobile nuclear medicine
|
$2,000 $3,400
|
|
D.
|
Medical institutions providing
imaging, diagnostic or radionuclide therapy
|
$2,300 $4,000
|
|
E.
|
Medical institutions using a
High Dose Remote Afterloader (HDR) or emerging technologies
|
$3,750 $6,400
|
|
F.
|
Veterinary use of radioactive
materials
|
$1,000 $1,700
|
|
G.
|
In-vitro
|
$1,000 $1,700
|
8
|
|
Academic
|
|
|
A.
|
Educational use or academic research
and development that does not authorize commercial distribution, excluding
broad scope or human use licenses
|
$750 $1,300
|
9
|
|
Accelerator
|
|
|
A.
|
Production of radioisotopes
with commercial distribution
|
$2,000 $3,400
|
|
B.
|
Production - all other (fee
waived if facility holds medical broad scope license with no commercial
distribution)
|
$2,000 $3,400
|
10
|
|
Reciprocity
|
|
|
A.
|
Reciprocity recognition of an
out-of-state specific license
|
50% of annual fee of applicable
category
|
VA.R. Doc. No. R17-5115; Filed December 13, 2018, 9:33 a.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Fast-Track Regulation
Titles of Regulations: 12VAC30-50. Amount, Duration,
and Scope of Medical and Remedial Care Services (amending 12VAC30-50-130, 12VAC30-50-226).
12VAC30-130. Amount, Duration, and Scope of Selected
Services (amending 12VAC30-130-5170, 12VAC30-130-5190).
Statutory Authority: § 32.1-325 of the Code of
Virginia; 42 USC § 1396 et seq.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Emily McClellan, Regulatory Supervisor,
Policy Division, Department of Medical Assistance Services, 600 East Broad
Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX (804)
786-1680, or email emily.mcclellan@dmas.virginia.gov.
Basis: Section 32.1-325 of the Code of Virginia grants
the Board of Medical Assistance Services the authority to administer and amend
the State Plan for Medical Assistance. Section 32.1-324 of the Code of Virginia
authorizes the Director of the Department of Medical Assistance Services (DMAS)
to administer and amend the State Plan for Medical Assistance according to the
board's requirements. The Medicaid authority as established by § 1902(a) of the
Social Security Act (42 USC § 1396a) provides governing authority for payments
for services.
Purpose: The purpose of this action is to replace
incorrect citations with either correct citations or text and remove an annual
caseload limit for peer support specialists. This action protects the public
health, safety, and welfare by updating the regulations related to peer support
services to ensure that internal cross-references are correct and to remove a
caseload limit that was determined to be a barrier to receiving peer support
services. Peer support services are an important component of the spectrum of
mental health and substance use disorder services, and it is essential to
maintain correct regulations so that Medicaid can continue to offer this
treatment.
Rationale for Using Fast-Track Rulemaking Process: This
regulatory action is being promulgated as a fast-track rulemaking action
because it is expected to be noncontroversial. The citation corrections do not
have any impact on providers or Medicaid members. Medicaid providers requested
the removal of the annual caseload limit, and this change will not impact
Medicaid members.
Substance: Providers of peer support services have found
that some Medicaid members seek services but do not follow through on receiving
services. Those individuals are counted toward the provider's annual caseload,
and the annual limit of 30 to 40 individuals means that providers cannot offer
services to individuals who do wish to follow through with services. Therefore,
the annual caseload requirement has been removed. The caseload limit of 12 to 15
individuals at any one time remains in place.
This regulatory action corrects citations. In one instance, a
citation has been replaced by the medical necessity criteria text for continued
services rather than providing a citation for the requirements for continued
services.
Issues: The primary advantages to the Commonwealth and
the public from these regulatory changes are that they remove incorrect
citations so that the regulations contain accurate cross-references. In
addition, removing the problematic annual caseload limit while maintaining the
limit on cases open at any given time ensures that providers are available to
offer services to individuals who are seeking them while at the same time
ensuring that providers can spend adequate time with each individual. There are
no disadvantages to the Commonwealth or the public as a result of this
regulatory action.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Medical Assistance Services (Board) proposes to remove the annual caseload
limit for peer recovery specialists.
Result of Analysis. The benefits likely exceed the costs for
the proposed regulation.
Estimated Economic Impact. Currently, providers are not allowed
to assign more than 12 to 15 cases to one full-time peer recovery specialist
any one time and 30 to 40 individuals annually. Similarly, part-time
specialists may not be assigned more than 6 to 9 individuals at the same time
and more than 15 individuals annually. DMAS has been made aware that many
individuals initiate the service but later fail to follow up. In such cases,
the annual limit becomes a barrier to serve 12 to 15 cases by a full-time
specialist and 6 to 9 by a part-time specialist. As a result, the Board is proposing
to remove the annual limits. The maximum number of individuals who can be
served by one specialist at one time (i.e., 15 cases for full-time and 9 cases
for part-time specialists) will remain intact.
On a monthly basis, 214 recipients use the service at a cost of
$1,709 or $7.99 per member, per month. The removal of the annual limit will
likely cause an increase in access to this service and associated expenditures,
but any such increase is not likely to be large given the low number of
individuals utilizing the service and the low unit costs.
Businesses and Entities Affected. As of January 2018, there
were 33 peer providers and approximately 214 recipients per month receiving
this service.
Localities Particularly Affected. The proposed regulation does
not disproportionately affect particular localities.
Projected Impact on Employment. Removing the limit on annual
caseloads should have a positive impact on the supply of professional peer
services and could have a small positive effect on employment.
Effects on the Use and Value of Private Property. This change
will allow providers to assign cases to their specialists up to the caseload
limit that remains intact, which should have a positive impact on their asset
values.
Real Estate Development Costs. The proposed regulation does not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. Many of the affected peer providers
are likely to be small businesses. The proposed regulation will allow them to assign
more cases to the specialists working for them.
Alternative Method that Minimizes Adverse Impact. The proposed
regulation does not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed regulation does not adversely affect
businesses.
Localities. The proposed regulation does not adversely affect
localities.
Other Entities. The proposed regulation would cause a slight
increase in Medicaid expenditures.
Agency's Response to Economic Impact Analysis: The
agency has reviewed the economic impact analysis prepared by the Department of
Planning and Budget and raises no issues with this analysis.
Summary:
The amendments (i) remove an annual caseload limit for peer
support specialists that was found to be a barrier to individuals receiving
peer support services but leave a limit for the number of individuals in a peer
support specialist's care at any one time and (ii) correct citations.
12VAC30-50-130. Nursing facility services, EPSDT, including
school health services and family planning.
A. Nursing facility services (other than services in an
institution for mental diseases) for individuals 21 years of age or older.
Service must be ordered or prescribed and directed or performed within the
scope of a license of the practitioner of the healing arts.
B. Early and periodic screening and diagnosis of individuals
younger than 21 years of age, and treatment of conditions found.
1. Payment of medical assistance services shall be made on
behalf of individuals younger than 21 years of age, who are Medicaid eligible,
for medically necessary stays in acute care facilities, and the accompanying
attendant physician care, in excess of 21 days per admission when such services
are rendered for the purpose of diagnosis and treatment of health conditions
identified through a physical examination.
2. Routine physicals and immunizations (except as provided
through EPSDT) are not covered except that well-child examinations in a private
physician's office are covered for foster children of the local social services
departments on specific referral from those departments.
3. Orthoptics services shall only be reimbursed if medically
necessary to correct a visual defect identified by an EPSDT examination or
evaluation. The department shall place appropriate utilization controls upon
this service.
4. Consistent with the Omnibus Budget Reconciliation Act of
1989 § 6403, early and periodic screening, diagnostic, and treatment services
means the following services: screening services, vision services, dental
services, hearing services, and such other necessary health care, diagnostic
services, treatment, and other measures described in Social Security Act §
1905(a) to correct or ameliorate defects and physical and mental illnesses and
conditions discovered by the screening services and that are medically
necessary, whether or not such services are covered under the State Plan and
notwithstanding the limitations, applicable to recipients ages 21 years and
older, provided for by § 1905(a) of the Social Security Act.
5. Community mental health services. These services in order
to be covered (i) shall meet medical necessity criteria based upon diagnoses
made by LMHPs who are practicing within the scope of their licenses and (ii)
are reflected in provider records and on providers' claims for services by
recognized diagnosis codes that support and are consistent with the requested
professional services.
a. Definitions. The following words and terms when used in
this section shall have the following meanings unless the context clearly
indicates otherwise:
"Activities of daily living" means personal care
activities and includes bathing, dressing, transferring, toileting, feeding,
and eating.
"Adolescent or child" means the individual receiving
the services described in this section. For the purpose of the use of these
terms, adolescent means an individual 12 through 20 years of age; a child means
an individual from birth up to 12 years of age.
"Behavioral health service" means the same as
defined in 12VAC30-130-5160.
"Behavioral health services administrator" or
"BHSA" means an entity that manages or directs a behavioral health
benefits program under contract with DMAS.
"Care coordination" means collaboration and sharing
of information among health care providers, who are involved with an
individual's health care, to improve the care.
"Caregiver" means the same as defined in
12VAC30-130-5160.
"Certified prescreener" means an employee of the
local community services board or behavioral health authority, or its designee,
who is skilled in the assessment and treatment of mental illness and has
completed a certification program approved by the Department of Behavioral
Health and Developmental Services.
"Clinical experience" means providing direct
behavioral health services on a full-time basis or equivalent hours of
part-time work to children and adolescents who have diagnoses of mental illness
and includes supervised internships, supervised practicums, and supervised
field experience for the purpose of Medicaid reimbursement of (i) intensive
in-home services, (ii) day treatment for children and adolescents, (iii)
community-based residential services for children and adolescents who are
younger than 21 years of age (Level A), or (iv) therapeutic behavioral services
(Level B). Experience shall not include unsupervised internships, unsupervised
practicums, and unsupervised field experience. The equivalency of part-time
hours to full-time hours for the purpose of this requirement shall be as
established by DBHDS in the document entitled Human Services and Related Fields
Approved Degrees/Experience, issued March 12, 2013, revised May 3, 2013.
"DBHDS" means the Department of Behavioral Health
and Developmental Services.
"Direct supervisor" means the person who provides
direct supervision to the peer recovery specialist. The direct supervisor (i)
shall have two consecutive years of documented practical experience rendering
peer support services or family support services, have certification training
as a PRS under a certifying body approved by DBHDS, and have documented
completion of the DBHDS PRS supervisor training; (ii) shall be a qualified
mental health professional (QMHP-A, QMHP-C, or QMHP-E) as defined in
12VAC35-105-20 with at least two consecutive years of documented experience as
a QMHP, and who has documented completion of the DBHDS PRS supervisor training;
or (iii) shall be an LMHP who has documented completion of the DBHDS PRS
supervisor training who is acting within his scope of practice under state law.
An LMHP providing services before April 1, 2018, shall have until April 1,
2018, to complete the DBHDS PRS supervisor training.
"DMAS" means the Department of Medical Assistance
Services and its contractors.
"EPSDT" means early and periodic screening,
diagnosis, and treatment.
"Family support partners" means the same as defined
in 12VAC30-130-5170.
"Human services field" means the same as the term is
defined by DBHDS in the document entitled Human Services and Related Fields
Approved Degrees/Experience, issued March 12, 2013, revised May 3, 2013.
"Individual service plan" or "ISP" means
the same as the term is defined in 12VAC30-50-226.
"Licensed mental health professional" or
"LMHP" means the same as defined in 12VAC35-105-20.
"LMHP-resident" or "LMHP-R" means the same
as "resident" as defined in (i) 18VAC115-20-10 for licensed
professional counselors; (ii) 18VAC115-50-10 for licensed marriage and family
therapists; or (iii) 18VAC115-60-10 for licensed substance abuse treatment
practitioners. An LMHP-resident shall be in continuous compliance with the
regulatory requirements of the applicable counseling profession for supervised
practice and shall not perform the functions of the LMHP-R or be considered a
"resident" until the supervision for specific clinical duties at a
specific site has been preapproved in writing by the Virginia Board of
Counseling. For purposes of Medicaid reimbursement to their supervisors for
services provided by such residents, they shall use the title
"Resident" in connection with the applicable profession after their
signatures to indicate such status.
"LMHP-resident in psychology" or "LMHP-RP"
means the same as an individual in a residency, as that term is defined in
18VAC125-20-10, program for clinical psychologists. An LMHP-resident in
psychology shall be in continuous compliance with the regulatory requirements
for supervised experience as found in 18VAC125-20-65 and shall not perform the
functions of the LMHP-RP or be considered a "resident" until the
supervision for specific clinical duties at a specific site has been
preapproved in writing by the Virginia Board of Psychology. For purposes of
Medicaid reimbursement by supervisors for services provided by such residents,
they shall use the title "Resident in Psychology" after their
signatures to indicate such status.
"LMHP-supervisee in social work,"
"LMHP-supervisee," or "LMHP-S" means the same as
"supervisee" as defined in 18VAC140-20-10 for licensed clinical
social workers. An LMHP-supervisee in social work shall be in continuous
compliance with the regulatory requirements for supervised practice as found in
18VAC140-20-50 and shall not perform the functions of the LMHP-S or be
considered a "supervisee" until the supervision for specific clinical
duties at a specific site is preapproved in writing by the Virginia Board of
Social Work. For purposes of Medicaid reimbursement to their supervisors for
services provided by supervisees, these persons shall use the title
"Supervisee in Social Work" after their signatures to indicate such
status.
"Peer recovery specialist" or "PRS" means
the same as defined in 12VAC30-130-5160.
"Person centered" means the same as defined in
12VAC30-130-5160.
"Progress notes" means individual-specific
documentation that contains the unique differences particular to the
individual's circumstances, treatment, and progress that is also signed and
contemporaneously dated by the provider's professional staff who have prepared
the notes. Individualized and member-specific progress notes are part of the
minimum documentation requirements and shall convey the individual's status,
staff interventions, and, as appropriate, the individual's progress, or lack of
progress, toward goals and objectives in the ISP. The progress notes shall also
include, at a minimum, the name of the service rendered, the date of the
service rendered, the signature and credentials of the person who rendered the
service, the setting in which the service was rendered, and the amount of time
or units/hours required to deliver the service. The content of each progress note
shall corroborate the time/units billed. Progress notes shall be documented for
each service that is billed.
"Psychoeducation" means (i) a specific form of
education aimed at helping individuals who have mental illness and their family
members or caregivers to access clear and concise information about mental
illness and (ii) a way of accessing and learning strategies to deal with mental
illness and its effects in order to design effective treatment plans and
strategies.
"Psychoeducational activities" means systematic
interventions based on supportive and cognitive behavior therapy that
emphasizes an individual's and his family's needs and focuses on increasing the
individual's and family's knowledge about mental disorders, adjusting to mental
illness, communicating and facilitating problem solving and increasing coping
skills.
"Qualified mental health professional-child" or
"QMHP-C" means the same as the term is defined in 12VAC35-105-20.
"Qualified mental health professional-eligible" or
"QMHP-E" means the same as the term is defined in 12VAC35-105-20 and
consistent with the requirements of 12VAC35-105-590.
"Qualified paraprofessional in mental health" or
"QPPMH" means the same as the term is defined in
12VAC35-105-20 and consistent with the requirements of 12VAC35-105-1370.
"Recovery-oriented services" means the same as
defined in 12VAC30-130-5160.
"Recovery, resiliency, and wellness plan" means the
same as defined in 12VAC30-130-5160.
"Resiliency" means the same as defined in
12VAC30-130-5160.
"Self-advocacy" means the same as defined in
12VAC30-130-5160.
"Service-specific provider intake" means the
face-to-face interaction in which the provider obtains information from the
child or adolescent, and parent or other family member, as appropriate, about
the child's or adolescent's mental health status. It includes documented
history of the severity, intensity, and duration of mental health care problems
and issues and shall contain all of the following elements: (i) the presenting
issue/reason for referral, (ii) mental health history/hospitalizations, (iii)
previous interventions by providers and timeframes and response to treatment,
(iv) medical profile, (v) developmental history including history of abuse, if
appropriate, (vi) educational/vocational status, (vii) current living situation
and family history and relationships, (viii) legal status, (ix) drug and
alcohol profile, (x) resources and strengths, (xi) mental status exam and
profile, (xii) diagnosis, (xiii) professional summary and clinical formulation,
(xiv) recommended care and treatment goals, and (xv) the dated signature of the
LMHP, LMHP-supervisee, LMHP-resident, or LMHP-RP.
"Services provided under arrangement" means the same
as defined in 12VAC30-130-850.
"Strength-based" means the same as defined in
12VAC30-130-5160.
"Supervision" means the same as defined in
12VAC30-130-5160.
b. Intensive in-home services (IIH) to children and
adolescents younger than 21 years of age shall be time-limited interventions
provided in the individual's residence and when clinically necessary in
community settings. All interventions and the settings of the intervention
shall be defined in the Individual Service Plan. All IIH services shall be
designed to specifically improve family dynamics, provide modeling, and the
clinically necessary interventions that increase functional and therapeutic
interpersonal relations between family members in the home. IIH services are
designed to promote psychoeducational benefits in the home setting of an
individual who is at risk of being moved into an out-of-home placement or who
is being transitioned to home from an out-of-home placement due to a documented
medical need of the individual. These services provide crisis treatment;
individual and family counseling; communication skills (e.g., counseling to
assist the individual and his parents or guardians, as appropriate, to
understand and practice appropriate problem solving, anger management, and
interpersonal interaction, etc.); care coordination with other required
services; and 24-hour emergency response.
(1) Service authorization shall be required for Medicaid
reimbursement prior to the onset of services. Services rendered before the date
of authorization shall not be reimbursed.
(2) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services based upon incomplete, missing, or outdated service-specific
provider intakes or ISPs shall be denied reimbursement. Requirements for
service-specific provider intakes and ISPs are set out in this section.
(3) These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, or a QMHP-E.
c. Therapeutic day treatment (TDT) shall be provided two or
more hours per day in order to provide therapeutic interventions. Day treatment
programs provide evaluation; medication education and management; opportunities
to learn and use daily living skills and to enhance social and interpersonal
skills (e.g., problem solving, anger management, community responsibility,
increased impulse control, and appropriate peer relations, etc.); and
individual, group and family counseling.
(1) Service authorization shall be required for Medicaid
reimbursement.
(2) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services based upon incomplete, missing, or outdated service-specific
provider intakes or ISPs shall be denied reimbursement. Requirements for service-specific
provider intakes and ISPs are set out in this section.
(3) These services may be rendered only by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, or a QMHP-E.
d. Community-based services for children and adolescents
younger than 21 years of age (Level A) pursuant to 42 CFR 440.031(d).
(1) Such services shall be a combination of therapeutic
services rendered in a residential setting. The residential services will
provide structure for daily activities, psychoeducation, therapeutic supervision,
care coordination, and psychiatric treatment to ensure the attainment of
therapeutic mental health goals as identified in the individual service plan
(plan of care). Individuals qualifying for this service must demonstrate
medical necessity for the service arising from a condition due to mental,
behavioral or emotional illness that results in significant functional
impairments in major life activities in the home, school, at work, or in the
community. The service must reasonably be expected to improve the child's
condition or prevent regression so that the services will no longer be needed.
The application of a national standardized set of medical necessity criteria in
use in the industry, such as McKesson InterQual® Criteria or an
equivalent standard authorized in advance by DMAS, shall be required for this
service.
(2) In addition to the residential services, the child must
receive, at least weekly, individual psychotherapy that is provided by an LMHP,
LMHP-supervisee, LMHP-resident, or LMHP-RP.
(3) Individuals shall be discharged from this service when
other less intensive services may achieve stabilization.
(4) Authorization shall be required for Medicaid
reimbursement. Services that were rendered before the date of service
authorization shall not be reimbursed.
(5) Room and board costs shall not be reimbursed. DMAS shall
reimburse only for services provided in facilities or programs with no more
than 16 beds.
(6) These residential providers must be licensed by the
Department of Social Services, Department of Juvenile Justice, or Department of
Behavioral Health and Developmental Services under the Standards for Licensed
Children's Residential Facilities (22VAC40-151), Regulation Governing Juvenile
Group Homes and Halfway Houses (6VAC35-41), or Regulations for Children's
Residential Facilities (12VAC35-46).
(7) Daily progress notes shall document a minimum of seven
psychoeducational activities per week. Psychoeducational programming must
include development or maintenance of daily living skills, anger management,
social skills, family living skills, communication skills, stress management,
and any care coordination activities.
(8) The facility/group home must coordinate services with
other providers. Such care coordination shall be documented in the individual's
medical record. The documentation shall include who was contacted, when the
contact occurred, and what information was transmitted.
(9) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services based upon incomplete, missing, or outdated service-specific
provider intakes or ISPs shall be denied reimbursement. Requirements for
intakes and ISPs are set out in 12VAC30-60-61.
(10) These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, a QMHP-E, or a QPPMH.
e. Therapeutic behavioral services (Level B) pursuant to 42
CFR 440.130(d).
(1) Such services must be therapeutic services rendered in a
residential setting. The residential services will provide structure for daily
activities, psychoeducation, therapeutic supervision, care coordination, and
psychiatric treatment to ensure the attainment of therapeutic mental health
goals as identified in the individual service plan (plan of care). Individuals
qualifying for this service must demonstrate medical necessity for the service arising
from a condition due to mental, behavioral or emotional illness that results in
significant functional impairments in major life activities in the home,
school, at work, or in the community. The service must reasonably be expected
to improve the child's condition or prevent regression so that the services
will no longer be needed. The application of a national standardized set of
medical necessity criteria in use in the industry, such as McKesson InterQual®
Criteria, or an equivalent standard authorized in advance by DMAS shall be
required for this service.
(2) Authorization is required for Medicaid reimbursement.
Services that are rendered before the date of service authorization shall not
be reimbursed.
(3) Room and board costs shall not be reimbursed. Facilities
that only provide independent living services are not reimbursed. DMAS shall
reimburse only for services provided in facilities or programs with no more
than 16 beds.
(4) These residential providers must be licensed by the
Department of Behavioral Health and Developmental Services (DBHDS) under the
Regulations for Children's Residential Facilities (12VAC35-46).
(5) Daily progress notes shall document that a minimum of
seven psychoeducational activities per week occurs. Psychoeducational programming
must include development or maintenance of daily living skills, anger
management, social skills, family living skills, communication skills, and
stress management. This service may be provided in a program setting or a
community-based group home.
(6) The individual must receive, at least weekly, individual
psychotherapy and, at least weekly, group psychotherapy that is provided as
part of the program.
(7) Individuals shall be discharged from this service when
other less intensive services may achieve stabilization.
(8) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services that are based upon incomplete, missing, or outdated
service-specific provider intakes or ISPs shall be denied reimbursement.
Requirements for intakes and ISPs are set out in 12VAC30-60-61.
(9) These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, a QMHP-E, or a QPPMH.
(10) The facility/group home shall coordinate necessary
services with other providers. Documentation of this care coordination shall be
maintained by the facility/group home in the individual's record. The
documentation shall include who was contacted, when the contact occurred, and
what information was transmitted.
f. Mental health family support partners.
(1) Mental health family support partners are peer recovery
support services and are nonclinical, peer-to-peer activities that engage,
educate, and support the caregiver and an individual's self-help efforts to
improve health recovery resiliency and wellness. Mental health family support
partners is a peer support service and is a strength-based, individualized
service provided to the caregiver of a Medicaid-eligible individual younger
than 21 years of age with a mental health disorder that is the focus of
support. The services provided to the caregiver and individual must be directed
exclusively toward the benefit of the Medicaid-eligible individual. Services
are expected to improve outcomes for individuals younger than 21 years of age
with complex needs who are involved with multiple systems and increase the
individual's and family's confidence and capacity to manage their own services
and supports while promoting recovery and healthy relationships. These services
are rendered by a PRS who is (i) a parent of a minor or adult child with a
similar mental health disorder or (ii) an adult with personal experience with a
family member with a similar mental health disorder with experience navigating
behavioral health care services. The PRS shall perform the service within the
scope of his knowledge, lived experience, and education.
(2) Under the clinical oversight of the LMHP making the
recommendation for mental health family support partners, the peer recovery
specialist in consultation with his direct supervisor shall develop a recovery,
resiliency, and wellness plan based on the LMHP's recommendation for service,
the individual's and the caregiver's perceived recovery needs, and any clinical
assessments or service specific provider intakes as defined in this section
within 30 calendar days of the initiation of service. Development of the
recovery, resiliency, and wellness plan shall include collaboration with the
individual and the individual's caregiver. Individualized goals and strategies
shall be focused on the individual's identified needs for self-advocacy and
recovery. The recovery, resiliency, and wellness plan shall also include
documentation of how many days per week and how many hours per week are
required to carry out the services in order to meet the goals of the plan. The
recovery, resiliency, and wellness plan shall be completed, signed, and dated
by the LMHP, the PRS, the direct supervisor, the individual, and the individual's
caregiver within 30 calendar days of the initiation of service. The PRS shall
act as an advocate for the individual, encouraging the individual and the
caregiver to take a proactive role in developing and updating goals and
objectives in the individualized recovery planning.
(3) Documentation of required activities shall be required as
set forth in 12VAC30-130-5200 A and, C, and E through J.
(4) Limitations and exclusions to service delivery shall be
the same as set forth in 12VAC30-130-5210.
(5) Caregivers of individuals younger than 21 years of age who
qualify to receive mental health family support partners (i) care for an
individual with a mental health disorder who requires recovery assistance and
(ii) meet two or more of the following:
(a) Individual and his caregiver need peer-based
recovery-oriented services for the maintenance of wellness and the acquisition
of skills needed to support the individual.
(b) Individual and his caregiver need assistance to develop
self-advocacy skills to assist the individual in achieving self-management of
the individual's health status.
(c) Individual and his caregiver need assistance and support
to prepare the individual for a successful work or school experience.
(d) Individual and his caregiver need assistance to help the
individual and caregiver assume responsibility for recovery.
(6) Individuals 18 through 20 years of age who meet the
medical necessity criteria in 12VAC30-50-226 B 7 e, who would benefit from
receiving peer supports directly and who choose to receive mental health peer
support services directly instead of through their caregiver, shall be
permitted to receive mental health peer support services by an appropriate PRS.
(7) To qualify for continued mental health family support
partners, the requirements for continued services set forth in
12VAC30-130-5180 D shall be met medical necessity criteria shall
continue to be met, and progress notes shall document the status of progress
relative to the goals identified in the recovery, resiliency, and wellness plan.
(8) Discharge criteria from mental health family support
partners shall be the same as set forth in 12VAC30-130-5180 E.
(9) Mental health family support partners services shall be
rendered on an individual basis or in a group.
(10) Prior to service initiation, a documented recommendation
for mental health family support partners services shall be made by a licensed
mental health professional (LMHP) who is acting within his scope of practice
under state law. The recommendation shall verify that the individual meets the
medical necessity criteria set forth in subdivision 5 of this subsection. The
recommendation shall be valid for no longer than 30 calendar days.
(11) Effective July 1, 2017, a peer recovery specialist shall
have the qualifications, education, experience, and certification required by
DBHDS in order to be eligible to register with the Virginia Board of Counseling
on or after July 1, 2018. Upon the promulgation of regulations by the Board of
Counseling, registration of peer recovery specialists by the Board of
Counseling shall be required. The PRS shall perform mental health family
support partners services under the oversight of the LMHP making the
recommendation for services and providing the clinical oversight of the
recovery, resiliency, and wellness plan.
(12) The PRS shall be employed by or have a contractual
relationship with the enrolled provider licensed for one of the following:
(a) Acute care general and emergency department hospital
services licensed by the Department of Health.
(b) Freestanding psychiatric hospital and inpatient
psychiatric unit licensed by the Department of Behavioral Health and
Developmental Services.
(c) Psychiatric residential treatment facility licensed by the
Department of Behavioral Health and Developmental Services.
(d) Therapeutic group home licensed by the Department of
Behavioral Health and Developmental Services.
(e) Outpatient mental health clinic services licensed by the
Department of Behavioral Health and Developmental Services.
(f) Outpatient psychiatric services provider.
(g) A community mental health and rehabilitative services
provider licensed by the Department of Behavioral Health and Developmental
Services as a provider of one of the following community mental health and
rehabilitative services as defined in this section, 12VAC30-50-226,
12VAC30-50-420, or 12VAC30-50-430 for which the individual younger than 21
years meets medical necessity criteria (i) intensive in home; (ii)
therapeutic day treatment; (iii) day treatment or partial hospitalization;
(iv) crisis intervention; (v) crisis stabilization; (vi) mental health skill
building; or (vii) mental health case management.
(13) Only the licensed and enrolled provider as referenced in
subdivision 5 f (12) of this subsection shall be eligible to bill and receive
reimbursement from DMAS or its contractor for mental health family support
partner services. Payments shall not be permitted to providers that fail to
enter into an enrollment agreement with DMAS or its contractor. Reimbursement shall
be subject to retraction for any billed service that is determined not to be in
compliance with DMAS requirements.
(14) Supervision of the PRS shall be required as meet
the requirements set forth in 12VAC30-130-5190 E and 12VAC30-130-5200 G
12VAC30-50-226 B 7 l.
6. Inpatient psychiatric services shall be covered for
individuals younger than age 21 for medically necessary stays in inpatient
psychiatric facilities described in 42 CFR 440.160(b)(1) and (b)(2) for
the purpose of diagnosis and treatment of mental health and behavioral
disorders identified under EPSDT when such services are rendered by (i) a
psychiatric hospital or an inpatient psychiatric program in a hospital
accredited by the Joint Commission on Accreditation of Healthcare
Organizations; or (ii) a psychiatric facility that is accredited by the Joint
Commission on Accreditation of Healthcare Organizations or the Commission on
Accreditation of Rehabilitation Facilities. Inpatient psychiatric hospital
admissions at general acute care hospitals and freestanding psychiatric
hospitals shall also be subject to the requirements of 12VAC30-50-100,
12VAC30-50-105, and 12VAC30-60-25. Inpatient psychiatric admissions to
residential treatment facilities shall also be subject to the requirements of
Part XIV (12VAC30-130-850 et seq.) of Amount, Duration and Scope of Selected
Services.
a. The inpatient psychiatric services benefit for individuals
younger than 21 years of age shall include services defined at 42 CFR 440.160
that are provided under the direction of a physician pursuant to a
certification of medical necessity and plan of care developed by an
interdisciplinary team of professionals and shall involve active treatment
designed to achieve the child's discharge from inpatient status at the earliest
possible time. The inpatient psychiatric services benefit shall include
services provided under arrangement furnished by Medicaid enrolled providers
other than the inpatient psychiatric facility, as long as the inpatient
psychiatric facility (i) arranges for and oversees the provision of all
services, (ii) maintains all medical records of care furnished to the
individual, and (iii) ensures that the services are furnished under the
direction of a physician. Services provided under arrangement shall be documented
by a written referral from the inpatient psychiatric facility. For purposes of
pharmacy services, a prescription ordered by an employee or contractor of the
facility who is licensed to prescribe drugs shall be considered the referral.
b. Eligible services provided under arrangement with the
inpatient psychiatric facility shall vary by provider type as described in this
subsection. For purposes of this section, emergency services means the same as
is set out in 12VAC30-50-310 B.
(1) State freestanding psychiatric hospitals shall arrange
for, maintain records of, and ensure that physicians order these services: (i)
pharmacy services and (ii) emergency services.
(2) Private freestanding psychiatric hospitals shall arrange
for, maintain records of, and ensure that physicians order these services: (i)
medical and psychological services including those furnished by physicians,
licensed mental health professionals, and other licensed or certified health
professionals (i.e., nutritionists, podiatrists, respiratory therapists, and
substance abuse treatment practitioners); (ii) outpatient hospital services;
(iii) physical therapy, occupational therapy, and therapy for individuals with
speech, hearing, or language disorders; (iv) laboratory and radiology services;
(v) vision services; (vi) dental, oral surgery, and orthodontic services; (vii)
transportation services; and (viii) emergency services.
(3) Residential treatment facilities, as defined at 42 CFR
483.352, shall arrange for, maintain records of, and ensure that physicians
order these services: (i) medical and psychological services, including those
furnished by physicians, licensed mental health professionals, and other
licensed or certified health professionals (i.e., nutritionists, podiatrists,
respiratory therapists, and substance abuse treatment practitioners); (ii)
pharmacy services; (iii) outpatient hospital services; (iv) physical therapy,
occupational therapy, and therapy for individuals with speech, hearing, or
language disorders; (v) laboratory and radiology services; (vi) durable medical
equipment; (vii) vision services; (viii) dental, oral surgery, and orthodontic
services; (ix) transportation services; and (x) emergency services.
c. Inpatient psychiatric services are reimbursable only when
the treatment program is fully in compliance with (i) 42 CFR Part 441 Subpart
D, specifically 42 CFR 441.151(a) and (b) and 42 CFR 441.152 through 42 CFR
441.156, and (ii) the conditions of participation in 42 CFR Part 483
Subpart G. Each admission must be preauthorized and the treatment must meet
DMAS requirements for clinical necessity.
d. Service limits may be exceeded based on medical necessity
for individuals eligible for EPSDT.
7. Hearing aids shall be reimbursed for individuals younger
than 21 years of age according to medical necessity when provided by
practitioners licensed to engage in the practice of fitting or dealing in
hearing aids under the Code of Virginia.
8. Addiction and recovery treatment services shall be covered
under EPSDT consistent with 12VAC30-130-5000 et seq.
9. Services facilitators shall be required for all
consumer-directed personal care services consistent with the requirements set
out in 12VAC30-120-935.
10. Behavioral therapy services shall be covered for
individuals younger than 21 years of age.
a. Definitions. The following words and terms when used in
this subsection shall have the following meanings unless the context clearly
indicates otherwise:
"Behavioral therapy" means systematic interventions
provided by licensed practitioners acting within the scope of practice defined
under a Virginia Department of Health Professions regulatory board and covered
as remedial care under 42 CFR 440.130(d) to individuals younger than 21 years
of age. Behavioral therapy includes applied behavioral analysis. Family
training related to the implementation of the behavioral therapy shall be
included as part of the behavioral therapy service. Behavioral therapy services
shall be subject to clinical reviews and determined as medically necessary.
Behavioral therapy may be provided in the individual's home and community
settings as deemed by DMAS or its contractor as medically necessary treatment.
"Counseling" means a professional mental health
service that can only be provided by a person holding a license issued by a
health regulatory board at the Department of Health Professions, which includes
conducting assessments, making diagnoses of mental disorders and conditions,
establishing treatment plans, and determining treatment interventions.
"Individual" means the child or adolescent younger
than 21 years of age who is receiving behavioral therapy services.
"Primary care provider" means a licensed medical
practitioner who provides preventive and primary health care and is responsible
for providing routine EPSDT screening and referral and coordination of other
medical services needed by the individual.
b. Behavioral therapy services shall be designed to enhance
communication skills and decrease maladaptive patterns of behavior, which if
left untreated, could lead to more complex problems and the need for a greater
or a more intensive level of care. The service goal shall be to ensure the
individual's family or caregiver is trained to effectively manage the
individual's behavior in the home using modification strategies. All services
shall be provided in accordance with the ISP and clinical assessment summary.
c. Behavioral therapy services shall be covered when
recommended by the individual's primary care provider or other licensed
physician, licensed physician assistant, or licensed nurse practitioner and
determined by DMAS or its contractor to be medically necessary to correct or
ameliorate significant impairments in major life activities that have resulted
from either developmental, behavioral, or mental disabilities. Criteria for
medical necessity are set out in 12VAC30-60-61 H. Service-specific provider
intakes shall be required at the onset of these services in order to receive
authorization for reimbursement. Individual service plans (ISPs) shall be
required throughout the entire duration of services. The services shall be
provided in accordance with the individual service plan and clinical assessment
summary. These services shall be provided in settings that are natural or
normal for a child or adolescent without a disability, such as the individual's
home, unless there is justification in the ISP, which has been authorized for
reimbursement, to include service settings that promote a generalization of
behaviors across different settings to maintain the targeted functioning
outside of the treatment setting in the individual's home and the larger
community within which the individual resides. Covered behavioral therapy
services shall include:
(1) Initial and periodic service-specific provider intake as
defined in 12VAC30-60-61 H;
(2) Development of initial and updated ISPs as established in
12VAC30-60-61 H;
(3) Clinical supervision activities. Requirements for clinical
supervision are set out in 12VAC30-60-61 H;
(4) Behavioral training to increase the individual's adaptive
functioning and communication skills;
(5) Training a family member in behavioral modification
methods as established in 12VAC30-60-61 H;
(6) Documentation and analysis of quantifiable behavioral data
related to the treatment objectives; and
(7) Care coordination.
C. School health services.
1. School health assistant services are repealed effective
July 1, 2006.
2. School divisions may provide routine well-child screening
services under the State Plan. Diagnostic and treatment services that are
otherwise covered under early and periodic screening, diagnosis and treatment
services, shall not be covered for school divisions. School divisions to
receive reimbursement for the screenings shall be enrolled with DMAS as clinic
providers.
a. Children enrolled in managed care organizations shall
receive screenings from those organizations. School divisions shall not receive
reimbursement for screenings from DMAS for these children.
b. School-based services are listed in a recipient's individualized
education program (IEP) and covered under one or more of the service categories
described in § 1905(a) of the Social Security Act. These services are necessary
to correct or ameliorate defects of physical or mental illnesses or conditions.
3. Providers shall be licensed under the applicable state
practice act or comparable licensing criteria by the Virginia Department of
Education, and shall meet applicable qualifications under 42 CFR Part 440.
Identification of defects, illnesses or conditions and services necessary to
correct or ameliorate them shall be performed by practitioners qualified to
make those determinations within their licensed scope of practice, either as a
member of the IEP team or by a qualified practitioner outside the IEP team.
a. Providers shall be employed by the school division or under
contract to the school division.
b. Supervision of services by providers recognized in
subdivision 4 of this subsection shall occur as allowed under federal
regulations and consistent with Virginia law, regulations, and DMAS provider
manuals.
c. The services described in subdivision 4 of this subsection
shall be delivered by school providers, but may also be available in the
community from other providers.
d. Services in this subsection are subject to utilization
control as provided under 42 CFR Parts 455 and 456.
e. The IEP shall determine whether or not the services
described in subdivision 4 of this subsection are medically necessary and that
the treatment prescribed is in accordance with standards of medical practice.
Medical necessity is defined as services ordered by IEP providers. The IEP
providers are qualified Medicaid providers to make the medical necessity
determination in accordance with their scope of practice. The services must be
described as to the amount, duration and scope.
4. Covered services include:
a. Physical therapy, occupational therapy and services for
individuals with speech, hearing, and language disorders, performed by, or
under the direction of, providers who meet the qualifications set forth at 42
CFR 440.110. This coverage includes audiology services.
b. Skilled nursing services are covered under 42 CFR
440.60. These services are to be rendered in accordance to the licensing
standards and criteria of the Virginia Board of Nursing. Nursing services are
to be provided by licensed registered nurses or licensed practical nurses but
may be delegated by licensed registered nurses in accordance with the
regulations of the Virginia Board of Nursing, especially the section on
delegation of nursing tasks and procedures. The licensed practical nurse is
under the supervision of a registered nurse.
(1) The coverage of skilled nursing services shall be of a
level of complexity and sophistication (based on assessment, planning,
implementation and evaluation) that is consistent with skilled nursing services
when performed by a licensed registered nurse or a licensed practical nurse.
These skilled nursing services shall include dressing changes, maintaining
patent airways, medication administration/monitoring and urinary
catheterizations.
(2) Skilled nursing services shall be directly and
specifically related to an active, written plan of care developed by a
registered nurse that is based on a written order from a physician, physician
assistant or nurse practitioner for skilled nursing services. This order shall
be recertified on an annual basis.
c. Psychiatric and psychological services performed by
licensed practitioners within the scope of practice are defined under state law
or regulations and covered as physicians' services under 42 CFR 440.50 or
medical or other remedial care under 42 CFR 440.60. These outpatient services
include individual medical psychotherapy, group medical psychotherapy coverage,
and family medical psychotherapy. Psychological and neuropsychological testing
are allowed when done for purposes other than educational diagnosis, school
admission, evaluation of an individual with intellectual disability prior to
admission to a nursing facility, or any placement issue. These services are
covered in the nonschool settings also. School providers who may render these
services when licensed by the state include psychiatrists, licensed clinical
psychologists, school psychologists, licensed clinical social workers,
professional counselors, psychiatric clinical nurse specialists, marriage and
family therapists, and school social workers.
d. Personal care services are covered under 42 CFR
440.167 and performed by persons qualified under this subsection. The personal
care assistant is supervised by a DMAS recognized school-based health
professional who is acting within the scope of licensure. This practitioner develops
a written plan for meeting the needs of the child, which is implemented by the
assistant. The assistant must have qualifications comparable to those for other
personal care aides recognized by the Virginia Department of Medical Assistance
Services. The assistant performs services such as assisting with toileting,
ambulation, and eating. The assistant may serve as an aide on a specially
adapted school vehicle that enables transportation to or from the school or
school contracted provider on days when the student is receiving a
Medicaid-covered service under the IEP. Children requiring an aide during
transportation on a specially adapted vehicle shall have this stated in the
IEP.
e. Medical evaluation services are covered as physicians'
services under 42 CFR 440.50 or as medical or other remedial care under 42 CFR
440.60. Persons performing these services shall be licensed physicians,
physician assistants, or nurse practitioners. These practitioners shall
identify the nature or extent of a child's medical or other health related
condition.
f. Transportation is covered as allowed under 42 CFR
431.53 and described at State Plan Attachment 3.1-D (12VAC30-50-530).
Transportation shall be rendered only by school division personnel or
contractors. Transportation is covered for a child who requires transportation
on a specially adapted school vehicle that enables transportation to or from
the school or school contracted provider on days when the student is receiving
a Medicaid-covered service under the IEP. Transportation shall be listed in the
child's IEP. Children requiring an aide during transportation on a specially
adapted vehicle shall have this stated in the IEP.
g. Assessments are covered as necessary to assess or reassess
the need for medical services in a child's IEP and shall be performed by any of
the above licensed practitioners within the scope of practice. Assessments and
reassessments not tied to medical needs of the child shall not be covered.
5. DMAS will ensure through quality management review that
duplication of services will be monitored. School divisions have a
responsibility to ensure that if a child is receiving additional therapy
outside of the school, that there will be coordination of services to avoid
duplication of service.
D. Family planning services and supplies for individuals of
child-bearing age.
1. Service must be ordered or prescribed and directed or
performed within the scope of the license of a practitioner of the healing
arts.
2. Family planning services shall be defined as those services
that delay or prevent pregnancy. Coverage of such services shall not include
services to treat infertility or services to promote fertility. Family planning
services shall not cover payment for abortion services and no funds shall be
used to perform, assist, encourage, or make direct referrals for abortions.
3. Family planning services as established by
§ 1905(a)(4)(C) of the Social Security Act include annual family planning
exams; cervical cancer screening for women; sexually transmitted infection
(STI) testing; lab services for family planning and STI testing; family
planning education, counseling, and preconception health; sterilization
procedures; nonemergency transportation to a family planning service; and U.S.
Food and Drug Administration approved prescription and over-the-counter
contraceptives, subject to limits in 12VAC30-50-210.
12VAC30-50-226. Community mental health services.
A. Definitions. The following words and terms when used in
this section shall have the following meanings unless the context clearly
indicates otherwise:
"Activities of daily living" or "ADLs"
means personal care tasks such as bathing, dressing, toileting, transferring,
and eating or feeding. An individual's degree of independence in performing
these activities is a part of determining appropriate level of care and service
needs.
"Affiliated" means any entity or property in which
a provider or facility has a direct or indirect ownership interest of 5.0% or
more, or any management, partnership, or control of an entity.
"Behavioral health service" means the same as
defined in 12VAC30-130-5160.
"Behavioral health services administrator" or
"BHSA" means an entity that manages or directs a behavioral health
benefits program under contract with DMAS. DMAS' designated BHSA shall be
authorized to constitute, oversee, enroll, and train a provider network;
perform service authorization; adjudicate claims; process claims; gather and
maintain data; reimburse providers; perform quality assessment and improvement;
conduct member outreach and education; resolve member and provider issues; and
perform utilization management including care coordination for the provision of
Medicaid-covered behavioral health services. Such authority shall include
entering into or terminating contracts with providers in accordance with DMAS
authority pursuant to 42 CFR Part 1002 and § 32.1-325 D and E of the Code
of Virginia. DMAS shall retain authority for and oversight of the BHSA entity
or entities.
"Certified prescreener" means an employee of either
the local community services board/behavioral health authority or its designee
who is skilled in the assessment and treatment of mental illness and who has
completed a certification program approved by DBHDS.
"Clinical experience" means, for the purpose of
rendering (i) mental health day treatment/partial hospitalization, (ii)
intensive community treatment, (iii) psychosocial rehabilitation, (iv) mental
health skill building, (v) crisis stabilization, or (vi) crisis intervention
services, practical experience in providing direct services to individuals with
diagnoses of mental illness or intellectual disability or the provision of
direct geriatric services or special education services. Experience shall
include supervised internships, supervised practicums, or supervised field
experience. Experience shall not include unsupervised internships, unsupervised
practicums, and unsupervised field experience. The equivalency of part-time
hours to full-time hours for the purpose of this requirement shall be established
by DBHDS in the document titled Human Services and Related Fields Approved
Degrees/Experience, issued March 12, 2013, revised May 3, 2013.
"Code" means the Code of Virginia.
"DBHDS" means the Department of Behavioral Health
and Developmental Services consistent with Chapter 3 (§ 37.2-300 et seq.)
of Title 37.2 of the Code of Virginia.
"Direct supervisor" means the person who provides
direct supervision to the peer recovery specialist. The direct supervisor (i)
shall have two consecutive years of documented practical experience rendering
peer support services or family support services, have certification training
as a PRS under a certifying body approved by DBHDS, and have documented
completion of the DBHDS PRS supervisor training; (ii) shall be a qualified
mental health professional (QMHP-A, QMHP-C, or QMHP-E) as defined in
12VAC35-105-20 with at least two consecutive years of documented experience as
a QMHP, and who has documented completion of the DBHDS PRS supervisor training;
or (iii) shall be an LMHP who has documented completion of the DBHDS PRS
supervisor training who is acting within his scope of practice under state law.
An LMHP providing services before April 1, 2018, shall have until April 1,
2018, to complete the DBHDS PRS supervisor training.
"DMAS" means the Department of Medical Assistance
Services and its contractor or contractors consistent with Chapter 10 (§
32.1-323 et seq.) of Title 32.1 of the Code of Virginia.
"DSM-5" means the Diagnostic and Statistical Manual
of Mental Disorders, Fifth Edition, copyright 2013, American Psychiatric
Association.
"Human services field" means the same as the term
is defined by DBHDS in the guidance document entitled Human Services and
Related Fields Approved Degrees/Experience, issued March 12, 2013, revised May
3, 2013.
"Individual" means the patient, client, or
recipient of services described in this section.
"Individual service plan" or "ISP" means
a comprehensive and regularly updated treatment plan specific to the
individual's unique treatment needs as identified in the service-specific
provider intake. The ISP contains, but is not limited to, the individual's
treatment or training needs, the individual's goals and measurable objectives
to meet the identified needs, services to be provided with the recommended
frequency to accomplish the measurable goals and objectives, the estimated
timetable for achieving the goals and objectives, and an individualized
discharge plan that describes transition to other appropriate services. The
individual shall be included in the development of the ISP and the ISP shall be
signed by the individual. If the individual is a minor child, the ISP shall
also be signed by the individual's parent/legal guardian. Documentation shall
be provided if the individual, who is a minor child or an adult who lacks legal
capacity, is unable or unwilling to sign the ISP.
"Individualized training" means instruction and
practice in functional skills and appropriate behavior related to the
individual's health and safety, instrumental activities of daily living skills,
and use of community resources; assistance with medical management; and
monitoring health, nutrition, and physical condition. The training shall be
rehabilitative and based on a variety of incremental (or cumulative) approaches
or tools to organize and guide the individual's life planning and shall reflect
what is important to the individual in addition to all other factors that
affect his functioning, including effects of the disability and issues of
health and safety.
"Licensed mental health professional" or
"LMHP" means the same as defined in 12VAC35-105-20.
"LMHP-resident" or "LMHP-R" means the
same as "resident" as defined in (i) 18VAC115-20-10 for licensed
professional counselors; (ii) 18VAC115-50-10 for licensed marriage and family
therapists; or (iii) 18VAC115-60-10 for licensed substance abuse treatment
practitioners. An LMHP-resident shall be in continuous compliance with the
regulatory requirements of the applicable counseling profession for supervised
practice and shall not perform the functions of the LMHP-R or be considered a
"resident" until the supervision for specific clinical duties at a
specific site has been preapproved in writing by the Virginia Board of
Counseling. For purposes of Medicaid reimbursement to their supervisors for
services provided by such residents, they shall use the title
"Resident" in connection with the applicable profession after their
signatures to indicate such status.
"LMHP-resident in psychology" or
"LMHP-RP" means the same as an individual in a residency, as that
term is defined in 18VAC125-20-10, program for clinical psychologists. An
LMHP-resident in psychology shall be in continuous compliance with the
regulatory requirements for supervised experience as found in 18VAC125-20-65
and shall not perform the functions of the LMHP-RP or be considered a
"resident" until the supervision for specific clinical duties at a
specific site has been preapproved in writing by the Virginia Board of
Psychology. For purposes of Medicaid reimbursement by supervisors for services
provided by such residents, they shall use the title "Resident in
Psychology" after their signatures to indicate such status.
"LMHP-supervisee in social work,"
"LMHP-supervisee," or "LMHP-S" means the same as
"supervisee" is defined in 18VAC140-20-10 for licensed clinical
social workers. An LMHP-supervisee in social work shall be in continuous
compliance with the regulatory requirements for supervised practice as found in
18VAC140-20-50 and shall not perform the functions of the LMHP-S or be
considered a "supervisee" until the supervision for specific clinical
duties at a specific site is preapproved in writing by the Virginia Board of
Social Work. For purposes of Medicaid reimbursement to their supervisors for
services provided by supervisees, these persons shall use the title
"Supervisee in Social Work" after their signatures to indicate such
status.
"Peer recovery specialist" or "PRS" means
the same as defined in 12VAC30-130-5160.
"Person centered" means the same as defined in
12VAC30-130-5160.
"Qualified mental health professional-adult" or
"QMHP-A" means the same as defined in 12VAC35-105-20.
"Qualified mental health professional-child" or
"QMHP-C" means the same as defined in 12VAC35-105-20.
"Qualified mental health professional-eligible" or
"QMHP-E" means the same as defined in 12VAC35-105-20.
"Qualified paraprofessional in mental health" or
"QPPMH" means the same as defined in 12VAC35-105-20.
"Recovery-oriented services" means the same as
defined in 12VAC30-130-5160.
"Recovery, resiliency, and wellness plan" means the
same as defined in 12VAC30-130-5160.
"Register" or "registration" means
notifying DMAS or its contractor that an individual will be receiving services
that do not require service authorization.
"Resiliency" means the same as defined in
12VAC30-130-5160.
"Review of ISP" means that the provider evaluates
and updates the individual's progress toward meeting the individualized service
plan objectives and documents the outcome of this review. For DMAS to determine
that these reviews are satisfactory and complete, the reviews shall (i) update
the goals, objectives, and strategies of the ISP to reflect any change in the
individual's progress and treatment needs as well as any newly identified
problems; (ii) be conducted in a manner that enables the individual to
participate in the process; and (iii) be documented in the individual's medical
record no later than 15 calendar days from the date of the review.
"Self-advocacy" means the same as defined in
12VAC30-130-5160.
"Service authorization" means the process to
approve specific services for an enrolled Medicaid, FAMIS Plus, or FAMIS
individual by a DMAS service authorization contractor prior to service delivery
and reimbursement in order to validate that the service requested is medically
necessary and meets DMAS and DMAS contractor criteria for reimbursement.
Service authorization does not guarantee payment for the service.
"Service-specific provider intake" means the same
as defined in 12VAC30-50-130 and also includes individuals who are older than
21 years of age.
"Strength-based" means the same as defined in
12VAC30-130-5160.
"Supervision" means the same as defined in
12VAC30-130-5160.
B. Mental health services. The following services, with their
definitions, shall be covered: day treatment/partial hospitalization,
psychosocial rehabilitation, crisis services, intensive community treatment
(ICT), and mental health skill building. Staff travel time shall not be
included in billable time for reimbursement. These services, in order to be
covered, shall meet medical necessity criteria based upon diagnoses made by
LMHPs who are practicing within the scope of their licenses and are reflected
in provider records and on providers' claims for services by recognized diagnosis
codes that support and are consistent with the requested professional services.
These services are intended to be delivered in a person-centered manner. The
individuals who are receiving these services shall be included in all service
planning activities. All services which do not require service authorization
require registration. This registration shall transmit service-specific
information to DMAS or its contractor in accordance with service authorization
requirements.
1. Day treatment/partial hospitalization services shall be
provided in sessions of two or more consecutive hours per day, which may be
scheduled multiple times per week, to groups of individuals in a nonresidential
setting. These services, limited annually to 780 units, include the major
diagnostic, medical, psychiatric, psychosocial, and psychoeducational treatment
modalities designed for individuals who require coordinated, intensive,
comprehensive, and multidisciplinary treatment but who do not require inpatient
treatment. One unit of service shall be defined as a minimum of two but less
than four hours on a given day. Two units of service shall be defined as at
least four but less than seven hours in a given day. Three units of service
shall be defined as seven or more hours in a given day. Authorization is
required for Medicaid reimbursement.
a. Day treatment/partial hospitalization services shall be
time limited interventions that are more intensive than outpatient services and
are required to stabilize an individual's psychiatric condition. The services
are delivered when the individual is at risk of psychiatric hospitalization or
is transitioning from a psychiatric hospitalization to the community. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual is at risk of
psychiatric hospitalization or is transitioning from a psychiatric
hospitalization to the community.
b. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from mental, behavioral, or
emotional illness that results in significant functional impairments in major
life activities. Individuals must meet at least two of the following criteria
on a continuing or intermittent basis:
(1) Experience difficulty in establishing or maintaining
normal interpersonal relationships to such a degree that they are at risk of
hospitalization or homelessness or isolation from social supports;
(2) Experience difficulty in activities of daily living such
as maintaining personal hygiene, preparing food and maintaining adequate
nutrition, or managing finances to such a degree that health or safety is
jeopardized;
(3) Exhibit such inappropriate behavior that the individual
requires repeated interventions or monitoring by the mental health, social
services, or judicial system that have been documented; or
(4) Exhibit difficulty in cognitive ability such that they are
unable to recognize personal danger or recognize significantly inappropriate
social behavior.
c. Individuals shall be discharged from this service when they
are no longer in an acute psychiatric state and other less intensive services
may achieve psychiatric stabilization.
d. Admission and services for time periods longer than 90
calendar days must be authorized based upon a face-to-face evaluation by a
physician, psychiatrist, licensed clinical psychologist, licensed professional
counselor, licensed clinical social worker, or psychiatric clinical nurse
specialist.
e. These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, QMHP-A, QMHP-C, QMHP-E, or a QPPMH.
2. Psychosocial rehabilitation shall be provided at least two
or more hours per day to groups of individuals in a nonresidential setting.
These services, limited annually to 936 units, include assessment, education to
teach the patient about the diagnosed mental illness and appropriate
medications to avoid complication and relapse, opportunities to learn and use
independent living skills and to enhance social and interpersonal skills within
a supportive and normalizing program structure and environment. One unit of
service is defined as a minimum of two but less than four hours on a given day.
Two units are defined as at least four but less than seven hours in a given
day. Three units of service shall be defined as seven or more hours in a given
day. Authorization is required for Medicaid reimbursement. The service-specific
provider intake, as defined at 12VAC30-50-130, shall document the individual's
behavior and describe how the individual meets criteria for this service.
a. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from mental, behavioral, or emotional
illness that results in significant functional impairments in major life
activities. Services are provided to individuals: (i) who without these
services would be unable to remain in the community or (ii) who meet at least
two of the following criteria on a continuing or intermittent basis:
(1) Experience difficulty in establishing or maintaining
normal interpersonal relationships to such a degree that they are at risk of
psychiatric hospitalization, homelessness, or isolation from social supports;
(2) Experience difficulty in activities of daily living such
as maintaining personal hygiene, preparing food and maintaining adequate
nutrition, or managing finances to such a degree that health or safety is
jeopardized;
(3) Exhibit such inappropriate behavior that repeated
interventions documented by the mental health, social services, or judicial
system are or have been necessary; or
(4) Exhibit difficulty in cognitive ability such that they are
unable to recognize personal danger or significantly inappropriate social
behavior.
b. These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, QMHP-A, QMHP-C, QMHP-E, or a QPPMH.
3. Crisis intervention shall provide immediate mental health
care, available 24 hours a day, seven days per week, to assist individuals who
are experiencing acute psychiatric dysfunction requiring immediate clinical
attention. This service's objectives shall be to prevent exacerbation of a
condition, to prevent injury to the client or others, and to provide treatment
in the context of the least restrictive setting. Crisis intervention activities
shall include assessing the crisis situation, providing short-term counseling
designed to stabilize the individual, providing access to further immediate assessment
and follow-up, and linking the individual and family with ongoing care to
prevent future crises. Crisis intervention services may include office visits,
home visits, preadmission screenings, telephone contacts, and other
client-related activities for the prevention of institutionalization. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual meets criteria for
this service. The provision of this service to an individual shall be
registered with either DMAS, DMAS contractors, or the BHSA within one business
day or the completion of the service-specific provider intake to avoid
duplication of services and to ensure informed care coordination.
a. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from an acute crisis of a
psychiatric nature that puts the individual at risk of psychiatric
hospitalization. Individuals must meet at least two of the following criteria
at the time of admission to the service:
(1) Experience difficulty in establishing or maintaining
normal interpersonal relationships to such a degree that they are at risk of
psychiatric hospitalization, homelessness, or isolation from social supports;
(2) Experience difficulty in activities of daily living such
as maintaining personal hygiene, preparing food and maintaining adequate
nutrition, or managing finances to such a degree that health or safety is
jeopardized;
(3) Exhibit such inappropriate behavior that immediate
interventions documented by mental health, social services, or the judicial
system are or have been necessary; or
(4) Exhibit difficulty in cognitive ability such that they are
unable to recognize personal danger or significantly inappropriate social
behavior.
b. The annual limit for crisis intervention is 720 units per
year. A unit shall equal 15 minutes.
c. These services may only be rendered by an LMHP, an
LMHP-supervisee, LMHP-resident, LMHP-RP, or a certified prescreener.
4. Intensive community treatment (ICT), initially covered for
a maximum of 26 weeks based on an initial service-specific provider intake and
may be reauthorized for up to an additional 26 weeks annually based on written
intake and certification of need by a licensed mental health provider (LMHP),
shall be defined by 12VAC35-105-20 or LMHP-S, LMHP-R, and LMHP-RP and shall
include medical psychotherapy, psychiatric assessment, medication management,
and care coordination activities offered to outpatients outside the clinic,
hospital, or office setting for individuals who are best served in the
community. Authorization is required for Medicaid reimbursement.
a. To qualify for ICT, the individual must meet at least one
of the following criteria:
(1) The individual must be at high risk for psychiatric
hospitalization or becoming or remaining homeless due to mental illness or
require intervention by the mental health or criminal justice system due to
inappropriate social behavior.
(2) The individual has a history (three months or more) of a
need for intensive mental health treatment or treatment for co-occurring
serious mental illness and substance use disorder and demonstrates a resistance
to seek out and utilize appropriate treatment options.
b. A written, service-specific provider intake, as defined at
12VAC30-50-130, that documents the individual's eligibility and the need for
this service must be completed prior to the initiation of services. This intake
must be maintained in the individual's records.
c. An individual service plan shall be initiated at the time
of admission and must be fully developed, as defined in this section, within 30
days of the initiation of services.
d. The annual unit limit shall be 130 units with a unit
equaling one hour.
e. These services may only be rendered by a team that meets
the requirements of 12VAC35-105-1370.
5. Crisis stabilization services for nonhospitalized
individuals shall provide direct mental health care to individuals experiencing
an acute psychiatric crisis which may jeopardize their current community living
situation. Services may be provided for up to a 15-day period per crisis
episode following a face-to-face service-specific provider intake by an LMHP,
LMHP-supervisee, LMHP-resident, or LMHP-RP. Only one unit of service shall be
reimbursed for this intake. The provision of this service to an individual
shall be registered with either DMAS, DMAS contractors, or the BHSA within one
business day of the completion of the service-specific provider intake to avoid
duplication of services and to ensure informed care coordination.
a. The goals of crisis stabilization programs shall be to
avert hospitalization or rehospitalization, provide normative environments with
a high assurance of safety and security for crisis intervention, stabilize
individuals in psychiatric crisis, and mobilize the resources of the community
support system and family members and others for on-going maintenance and
rehabilitation. The services must be documented in the individual's records as
having been provided consistent with the ISP in order to receive Medicaid
reimbursement.
b. The crisis stabilization program shall provide to
individuals, as appropriate, psychiatric assessment including medication
evaluation, treatment planning, symptom and behavior management, and individual
and group counseling.
c. This service may be provided in any of the following
settings, but shall not be limited to: (i) the home of an individual who lives
with family or other primary caregiver; (ii) the home of an individual who
lives independently; or (iii) community-based programs licensed by DBHDS to
provide residential services but which are not institutions for mental disease
(IMDs).
d. This service shall not be reimbursed for (i) individuals
with medical conditions that require hospital care; (ii) individuals with
primary diagnosis of substance abuse; or (iii) individuals with psychiatric
conditions that cannot be managed in the community (i.e., individuals who are
of imminent danger to themselves or others).
e. The maximum limit on this service is 60 days annually.
f. Services must be documented through daily progress notes
and a daily log of times spent in the delivery of services. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual meets criteria for
this service. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from an acute crisis of a
psychiatric nature that puts the individual at risk of psychiatric
hospitalization. Individuals must meet at least two of the following criteria
at the time of admission to the service:
(1) Experience difficulty in
establishing and maintaining normal interpersonal relationships to such a
degree that the individual is at risk of psychiatric hospitalization,
homelessness, or isolation from social supports;
(2) Experience difficulty in
activities of daily living such as maintaining personal hygiene, preparing food
and maintaining adequate nutrition, or managing finances to such a degree that
health or safety is jeopardized;
(3) Exhibit such inappropriate
behavior that immediate interventions documented by the mental health, social
services, or judicial system are or have been necessary; or
(4) Exhibit difficulty in cognitive ability such that the
individual is unable to recognize personal danger or significantly
inappropriate social behavior.
g. These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, QMHP-A, QMHP-C, QMHP-E or a certified
prescreener.
6. Mental health skill-building services (MHSS) shall be
defined as goal-directed training to enable individuals to achieve and maintain
community stability and independence in the most appropriate, least restrictive
environment. Authorization is required for Medicaid reimbursement. Services
that are rendered before the date of service authorization shall not be
reimbursed. These services may be authorized up to six consecutive months as
long as the individual meets the coverage criteria for this service. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual meets criteria for
this service. These services shall provide goal-directed training in the
following areas in order to be reimbursed by Medicaid or the BHSA: (i)
functional skills and appropriate behavior related to the individual's health
and safety, instrumental activities of daily living, and use of community
resources; (ii) assistance with medication management; and (iii) monitoring of
health, nutrition, and physical condition with goals towards self-monitoring
and self-regulation of all of these activities. Providers shall be reimbursed
only for training activities defined in the ISP and only where services meet
the service definition, eligibility, and service provision criteria and this
section. A review of MHSS services by an LMHP, LMHP-R, LMHP-RP, or LMHP-S shall
be repeated for all individuals who have received at least six months of MHSS
to determine the continued need for this service.
a. Individuals qualifying for this service shall demonstrate a
clinical necessity for the service arising from a condition due to mental,
behavioral, or emotional illness that results in significant functional
impairments in major life activities. Services are provided to individuals who
require individualized goal-directed training in order to achieve or maintain
stability and independence in the community.
b. Individuals ages 21 and older shall meet all of the
following criteria in order to be eligible to receive mental health
skill-building services:
(1) The individual shall have one of the following as a
primary mental health diagnosis:
(a) Schizophrenia or other psychotic disorder as set out in
the DSM-5;
(b) Major depressive disorder;
(c) Recurrent Bipolar I or Bipolar II; or
(d) Any other serious mental health disorder that a physician
has documented specific to the identified individual within the past year and
that includes all of the following: (i) is a serious mental illness; (ii)
results in severe and recurrent disability; (iii) produces functional
limitations in the individual's major life activities that are documented in
the individual's medical record; and (iv) requires individualized training for
the individual in order to achieve or maintain independent living in the
community.
(2) The individual shall require individualized goal-directed
training in order to acquire or maintain self-regulation of basic living
skills, such as symptom management; adherence to psychiatric and physical
health medication treatment plans; appropriate use of social skills and
personal support systems; skills to manage personal hygiene, food preparation,
and the maintenance of personal adequate nutrition; money management; and use
of community resources.
(3) The individual shall have a prior history of any of the
following: (i) psychiatric hospitalization; (ii) either residential or
nonresidential crisis stabilization; (iii) intensive community treatment (ICT)
or program of assertive community treatment (PACT) services; (iv) placement in
a psychiatric residential treatment facility (RTC-Level C) as a result of
decompensation related to the individual's serious mental illness; or (v) a
temporary detention order (TDO) evaluation, pursuant to § 37.2-809 B of the
Code of Virginia. This criterion shall be met in order to be initially admitted
to services and not for subsequent authorizations of service. Discharge
summaries from prior providers that clearly indicate (i) the type of treatment
provided, (ii) the dates of the treatment previously provided, and (iii) the
name of the treatment provider shall be sufficient to meet this requirement.
Family member statements shall not suffice to meet this requirement.
(4) The individual shall have had a prescription for
antipsychotic, mood stabilizing, or antidepressant medications within the 12
months prior to the service-specific provider intake date. If a physician or
other practitioner who is authorized by his license to prescribe medications
indicates that antipsychotic, mood stabilizing, or antidepressant medications
are medically contraindicated for the individual, the provider shall obtain
medical records signed by the physician or other licensed prescriber detailing
the contraindication. This documentation shall be maintained in the
individual's mental health skill-building services record, and the provider
shall document and describe how the individual will be able to actively
participate in and benefit from services without the assistance of medication.
This criterion shall be met upon admission to services and shall not be
required for subsequent authorizations of
service. Discharge summaries from prior providers that clearly
indicate (i) the type of treatment provided, (ii) the dates of the treatment
previously provided, and (iii) the name of the treatment provider shall be
sufficient to meet this requirement. Family member statements shall not suffice
to meet this requirement.
c. Individuals aged 18 to 21 years shall meet all of the
following criteria in order to be eligible to receive mental health
skill-building services:
(1) The individual shall not be living in a supervised setting
as described in § 63.2-905.1 of the Code of Virginia. If the individual is transitioning
into an independent living situation, MHSS shall only be authorized for up to
six months prior to the date of transition.
(2) The individual shall have at least one of the following as
a primary mental health diagnosis.
(a) Schizophrenia or other psychotic disorder as set out in
the DSM-5;
(b) Major depressive disorder;
(c) Recurrent Bipolar-I or Bipolar II; or
(d) Any other serious mental health disorder that a physician
has documented specific to the identified individual within the past year and
that includes all of the following: (i) is a serious mental illness or serious
emotional disturbance; (ii) results in severe and recurrent disability; (iii)
produces functional limitations in the individual's major life activities that
are documented in the individual's medical record; and (iv) requires
individualized training for the individual in order to achieve or maintain
independent living in the community.
(3) The individual shall require individualized goal-directed
training in order to acquire or maintain self-regulation of basic living skills
such as symptom management; adherence to psychiatric and physical health
medication treatment plans; appropriate use of social skills and personal
support systems; skills to manage personal hygiene, food preparation, and the
maintenance of personal adequate nutrition; money management; and use of
community resources.
(4) The individual shall have a prior history of any of the
following: (i) psychiatric hospitalization; (ii) either residential or nonresidential
crisis stabilization; (iii) intensive community treatment (ICT) or program of
assertive community treatment (PACT) services; (iv) placement in a psychiatric
residential treatment facility (RTC-Level C) as a result of decompensation
related to the individual's serious mental illness; or (v) temporary detention
order (TDO) evaluation pursuant to § 37.2-809 B of the Code of Virginia. This
criterion shall be met in order to be initially admitted to services and not
for subsequent authorizations of service. Discharge summaries from prior
providers that clearly indicate (i) the type of treatment provided, (ii) the
dates of the treatment previously provided, and (iii) the name of the treatment
provider shall be sufficient to meet this requirement. Family member statements
shall not suffice to meet this requirement.
(5) The individual shall have had a prescription for
antipsychotic, mood stabilizing, or antidepressant medications, within the 12
months prior to the assessment date. If a physician or other practitioner who
is authorized by his license to prescribe medications indicates that
antipsychotic, mood stabilizing, or antidepressant medications are medically
contraindicated for the individual, the provider shall obtain medical records
signed by the physician or other licensed prescriber detailing the
contraindication. This documentation of medication management shall be
maintained in the individual's mental health skill-building services record.
For individuals not prescribed antipsychotic, mood stabilizing, or
antidepressant medications, the provider shall have documentation from the
medication management physician describing how the individual will be able to
actively participate in and benefit from services without the assistance of
medication. This criterion shall be met in order to be initially admitted to
services and not for subsequent authorizations of service. Discharge summaries
from prior providers that clearly indicate (i) the type of treatment provided,
(ii) the dates of the treatment previously provided, and (iii) the name of the
treatment provider shall be sufficient to meet this requirement. Family member
statements shall not suffice to meet this requirement.
(6) An independent clinical assessment, established in
12VAC30-130-3020, shall be completed for the individual.
d. Service-specific provider intakes shall be required at the
onset of services and individual service plans (ISPs) shall be required during
the entire duration of services. Services based upon incomplete, missing,
or outdated service-specific provider intakes or ISPs shall be denied
reimbursement. Requirements for service-specific provider intakes and ISPs are
set out in 12VAC30-50-130.
e. The yearly limit for mental health skill-building services
is 520 units. Only direct face-to-face contacts and services to the individual
shall be reimbursable. One unit is 1 to 2.99 hours per day, two units is 3 to
4.99 hours per day.
f. These services may only be rendered by an LMHP, LMHP-R,
LMHP-RP, LMHP-S, QMHP-A, QMHP-C, QMHP-E, or QPPMH.
g. The provider shall clearly document details of the services
provided during the entire amount of time billed.
h. The ISP shall not include activities that contradict or
duplicate those in the treatment plan established by the group home or assisted
living facility. The provider shall coordinate mental health skill-building
services with the treatment plan established by the group home or assisted
living facility and shall document all coordination activities in the medical
record.
i. Limits and exclusions.
(1) Group home (Level A or B) and assisted living facility
providers shall not serve as the mental health skill-building services provider
for individuals residing in the provider's respective facility. Individuals
residing in facilities may, however, receive MHSS from another MHSS agency not
affiliated with the owner of the facility in which they reside.
(2) Mental health skill-building services shall not be
reimbursed for individuals who are receiving in-home residential services or
congregate residential services through the Intellectual Disability Waiver or
Individual and Family Developmental Disabilities Support Waiver.
(3) Mental health skill-building services shall not be
reimbursed for individuals who are also receiving services under the Department
of Social Services independent living program (22VAC40-151), independent living
services (22VAC40-131 and 22VAC40-151), or independent living arrangement
(22VAC40-131) or any Comprehensive Services Act-funded independent living
skills programs.
(4) Mental health skill-building services shall not be
available to individuals who are receiving treatment foster care
(12VAC30-130-900 et seq.).
(5) Mental health skill-building services shall not be
available to individuals who reside in intermediate care facilities for
individuals with intellectual disabilities or hospitals.
(6) Mental health skill-building services shall not be
available to individuals who reside in nursing facilities, except for up to 60
days prior to discharge. If the individual has not been discharged from the
nursing facility during the 60-day period of services, mental health
skill-building services shall be terminated and no further service
authorizations shall be available to the individual unless a provider can
demonstrate and document that mental health skill-building services are
necessary. Such documentation shall include facts demonstrating a change in the
individual's circumstances and a new plan for discharge requiring up to 60 days
of mental health skill-building services.
(7) Mental health skill-building services shall not be
available for residents of residential treatment centers (Level C facilities)
except for the intake code H0032 (modifier U8) in the seven days immediately
prior to discharge.
(8) Mental health skill-building services shall not be
reimbursed if personal care services or attendant care services are being
received simultaneously, unless justification is provided why this is necessary
in the individual's mental health skill-building services record. Medical record
documentation shall fully substantiate the need for services when personal care
or attendant care services are being provided. This applies to individuals who
are receiving additional services through the Intellectual Disability Waiver
(12VAC30-120-1000 et seq.), Individual and Family Developmental Disabilities
Support Waiver (12VAC30-120-700 et seq.), the Elderly or Disabled with Consumer
Direction Waiver (12VAC30-120-900 et seq.), and EPSDT services
(12VAC30-50-130).
(9) Mental health skill-building services shall not be
duplicative of other services. Providers shall be required to ensure that if an
individual is receiving additional therapeutic services that there will be
coordination of services by either the LMHP, LMHP-R, LMHP-RP, LMHP-S, QMHP-A,
QMHP-C, QMHP-E, or QPPMH to avoid duplication of services.
(10) Individuals who have organic disorders, such as delirium,
dementia, or other cognitive disorders not elsewhere classified, will be
prohibited from receiving mental health skill-building services unless their
physicians issue signed and dated statements indicating that the individuals
can benefit from this service.
(11) Individuals who are not diagnosed with a serious mental
health disorder but who have personality disorders or other mental health disorders,
or both, that may lead to chronic disability shall not be excluded from the
mental health skill-building services eligibility criteria provided that the
individual has a primary mental health diagnosis from the list included in
subdivision B 6 b (1) or B 6 c (2) of this section and that the provider can
document and describe how the individual is expected to actively participate in
and benefit from mental health skill-building services.
7. Mental health peer support services.
a. Mental health peer support services are peer recovery
support services and are nonclinical, peer-to-peer activities that engage,
educate, and support an individual's self-help efforts to improve health
recovery, resiliency, and wellness. Mental health peer support services for
adults is a person centered, strength-based, and recovery-oriented
rehabilitative service for individuals 21 years or older provided by a peer
recovery specialist successful in the recovery process with lived experience
with a mental health disorder, who is trained to offer support and assistance
in helping others in the recovery to reduce the disabling effects of a mental
health disorder that is the focus of support. Services assist the individual
with developing and maintaining a path to recovery, resiliency, and wellness.
Specific peer support service activities shall emphasize the acquisition,
development, and enhancement of recovery, resiliency, and wellness. Services
are designed to promote empowerment, self-determination, understanding, and
coping skills through mentoring and service coordination supports, as well as
to assist individuals in achieving positive coping mechanisms for the stressors
and barriers encountered when recovering from their illnesses or disorders.
b. Under the clinical oversight of the LMHP making the
recommendation for mental health support services, the peer recovery specialist
in consultation with his direct supervisor shall develop a recovery,
resiliency, and wellness plan based on the LMHP's recommendation for service, the
individual's perceived recovery needs, and any clinical assessments or service
specific provider intakes as defined in this section within 30 calendar days of
the initiation of service. Development of the recovery, resiliency, and
wellness plan shall include collaboration with the individual. Individualized
goals and strategies shall be focused on the individual's identified needs for
self-advocacy and recovery. The recovery, resiliency, and wellness plan shall
also include documentation of how many days per week and how many hours per
week are required to carry out the services in order to meet the goals of the
plan. The recovery, resiliency, and wellness plan shall be completed, signed,
and dated by the LMHP, the PRS, the direct supervisor, and the individual
within 30 calendar days of the initiation of service. The PRS shall act as an
advocate for the individual, encouraging the individual to take a proactive
role in developing and updating goals and objectives in the individualized
recovery planning.
c. Documentation of required activities shall be required as
set forth in 12VAC30-130-5200 A and, C, and E through J.
d. Limitations and exclusions to service delivery shall be the
same as set forth in 12VAC30-130-5210.
e. Individuals 21 years or older qualifying for mental health
peer support services shall meet the following requirements:
(1) Require recovery-oriented assistance and support services
for the acquisition of skills needed to engage in and maintain recovery; for
the development of self-advocacy skills to achieve a decreasing dependency on
formalized treatment systems; and to increase responsibilities, wellness
potential, and shared accountability for the individual's own recovery.
(2) Have a documented mental health disorder diagnosis.
(3) Demonstrate moderate to severe functional impairment
because of a diagnosis that interferes with or limits performance in at least
one of the following domains: educational (e.g., obtaining a high school or
college degree); social (e.g., developing a social support system); vocational
(e.g., obtaining part-time or full-time employment); self-maintenance (e.g.,
managing symptoms, understanding his illness, living more independently).
f. To qualify for continued mental health peer support
services, the requirements for continued services set forth in
12VAC30-130-5180 D shall be met medical necessity criteria shall
continue to be met, and progress notes shall document the status of progress
relative to the goals identified in the recovery, resiliency, and wellness plan.
g. Discharge criteria from mental health peer support services
is the same as set forth in 12VAC30-130-5180 E.
h. Mental health peer support services shall be rendered
on an individual basis or in a group.
i. Prior to service initiation, a documented recommendation
for mental health peer support services shall be made by a licensed mental
health professional acting within the scope of practice under state law The
recommendation shall verify that the individual meets the medical necessity criteria
set forth in subdivision 7 e of this subsection. The recommendation shall be
valid for no longer than 30 calendar days.
j. Effective July 1, 2017, a peer recovery specialist shall
have the qualifications, education, experience, and certification established
by DBHDS in order to be eligible to register with the Board of Counseling on or
after July 1, 2018. Upon the promulgation of regulations by the Board of
Counseling, registration of peer recovery specialists by the Board of
Counseling shall be required. The PRS shall perform mental health peer support
services under the oversight of the LMHP making the recommendation for services
and providing the clinical oversight of the recovery, resiliency, and wellness
plan. The PRS shall be employed by or have a contractual relationship with an
enrolled provider licensed for one of the following:
(1) Acute care general hospital licensed by the Department of
Health.
(2) Freestanding psychiatric hospital and inpatient
psychiatric unit licensed by the Department of Behavioral Health and
Developmental Services.
(3) Outpatient mental health clinic services licensed by the
Department of Behavioral Health and Developmental Services.
(4) Outpatient psychiatric services provider.
(5) Rural health clinics and federally qualified health
centers.
(6) Hospital emergency department services licensed by the
Department of Health.
(7) Community mental health and rehabilitative services
provider licensed by the Department of Behavioral Health and Developmental
Services as a provider of one of the following community mental health and
rehabilitative services defined in this section or 12VAC30-50-420 for which the
individual meets medical necessity criteria:
(a) Day treatment or partial hospitalization;
(b) Psychosocial rehabilitation;
(c) Crisis intervention;
(d) Intensive community treatment;
(e) Crisis stabilization;
(f) Mental health skill building; or
(g) Mental health case management.
k. Only the licensed and enrolled provider referenced in
subdivision 7 j of this subsection shall be eligible to bill mental health peer
support services. Payments shall not be permitted to providers that fail to
enter into an enrollment agreement with DMAS or its contractor. Reimbursement
shall be subject to retraction for any billed service that is determined to not
to be in compliance with DMAS requirements.
l. Supervision of the PRS shall be required as set forth in 12VAC30-130-5190
E and 12VAC30-130-5200 G the definition of "supervision" in
12VAC30-130-5160. Supervision of the PRS shall also meet the following
requirements: the supervisor shall be under the clinical oversight of the LMHP
making the recommendation for services, and the peer recovery specialist in
consultation with his direct supervisor shall conduct and document a review of
the recovery, resiliency, and wellness plan every 90 calendar days with the
individual and the caregiver, as applicable. The review shall be signed by the
PRS and the individual and, as applicable, the identified family member or
caregiver. Review of the recovery, resiliency, and wellness plan means the PRS
evaluates and updates the individual's progress every 90 days toward meeting
the plan's goals and documents the outcome of this review in the individual's
medical record. For DMAS to determine that these reviews are complete, the
reviews shall (i) update the goals and objectives as needed to reflect any
change in the individual's recovery as well as any newly identified needs, (ii)
be conducted in a manner that enables the individual to actively participate in
the process, and (iii) be documented by the PRS in the individual's medical
record no later than 15 calendar days from the date of the review.
12VAC30-130-5170. Peer support services and family support
partners: service definitions.
A. ARTS peer support services and ARTS family support
partners are peer recovery support services and are nonclinical, peer-to-peer
activities that engage, educate, and support an individual's, and as applicable
the caregiver's, self-help efforts to improve health recovery, resiliency, and
wellness. These services shall be available to either:
1. Individuals 21 years of age or older with mental health or
substance use disorders or co-occurring mental health and substance use
disorders that are the focus of the support; or
2. The caregiver of individuals younger than 21 years of age
with mental health or substance use disorders or co-occurring mental health and
substance use disorders that are the focus of the support.
3. Individuals 18 through 20 years of age who meet the medical
necessity criteria set forth in 12VAC30-130-5180 A who would benefit from
receiving peer supports directly, and who choose to receive ARTS peer support
services directly instead of through their family shall be permitted to receive
peer support services by an appropriate PRS.
B. ARTS peer support services for adults is a person
centered, strength-based, and recovery-oriented rehabilitative service for
individuals 21 years of age or older provided by a peer recovery specialist
successful in the recovery process with lived experience with substance use
disorders or co-occurring mental health and substance use disorders who is
trained to offer support and assistance in helping others in recovery to reduce
the disabling effects of a mental health or substance use disorder or
co-occurring mental health and substance use disorder that is the focus of
support. Services assist the individual with developing and maintaining a path
to recovery, resiliency, and wellness. Specific peer support service activities
shall emphasize the acquisition, development, and enhancement of recovery,
resiliency, and wellness. Services are designed to promote empowerment,
self-determination, understanding, and coping skills through mentoring and
service coordination supports, as well as to assist individuals in achieving
positive coping mechanisms for the stressors and barriers encountered when
recovering from their illness or disorder.
C. ARTS family Family support partners is a
peer support service and a strength-based, individualized service provided to
the caregiver of a Medicaid-eligible individual younger than 21 years of age
with a mental health or substance use disorder or co-occurring mental health and
substance use disorder that is the focus of support. The services provided to
the caregiver and the individual must be directed exclusively toward the
benefit of the Medicaid-eligible individual. Services are expected to improve
outcomes for an individual younger than 21 years of age with complex needs who
is involved with multiple systems and increase the individual's and family's
confidence and capacity to manage their own services and supports while
promoting recovery and healthy relationships. These services are rendered by a
PRS who is (i) a parent of a minor or adult child with a similar substance use
disorder or co-occurring mental health and substance use disorder or (ii) an
adult with personal experience with a family member with a similar mental
health or substance use disorder or co-occurring mental health and substance
use disorder with experience navigating substance use or behavioral health care
services. The PRS shall perform the service within the scope of his knowledge,
lived experience, and education.
D. ARTS peer support services shall be rendered on an
individual basis or in a group.
12VAC30-130-5190. Peer support services and family support
partners: provider and setting requirements.
A. Effective July 1, 2017, a peer recovery specialist shall
have the qualifications, education, and experience established by DBHDS and
show certification in good standing by the U.S. Department of Veterans Affairs,
NAADAC - the Association of Addiction Professionals, a member board of the
International Certification and Reciprocity Consortium, or any other certifying
body or state certification with standards comparable to or higher than those
specified by DBHDS to be eligible to register with the Board of Counseling on
or after July 1, 2018. Upon the promulgation of regulations by the Board of
Counseling, registration of peer recovery specialists by the Board of
Counseling shall be required.
B. Prior to service initiation, a documented recommendation
for service by a practitioner who meets clauses (i) through (xii) of the
definition of "credentialed addiction treatment professional" found
in 12VAC30-130-5020 and who is acting within his scope of practice under state
law shall be required. A certified substance abuse counselor, as defined in § 54.1-3507.1
of the Code of Virginia, may also provide a documented recommendation for
service if he is acting under the supervision or direction of a licensed
substance use treatment practitioner or licensed mental health professional.
The PRS shall perform ARTS peer services under the oversight of the
practitioner described in this subsection making the recommendation for
services and providing the clinical oversight of the recovery, resiliency, and
wellness plan. The recommendation shall verify that the individual meets the
medical necessity criteria set forth in 12VAC30-130-5180 A or B, as applicable.
C. The PRS shall be employed by or have a contractual
relationship with the enrolled provider licensed for one of the following:
1. Acute care general hospital (ASAM Level 4.0) licensed by
the Department of Health as defined in 12VAC30-130-5150.
2. Freestanding psychiatric hospital or inpatient psychiatric
unit (ASAM Levels 3.5 and 3.7) licensed by the Department of Behavioral Health
and Developmental Services as defined in 12VAC30-130-5130 and 12VAC30-130-5140.
3. Residential placements (ASAM Levels 3.1, 3.3, 3.5, and 3.7)
licensed by the Department of Behavioral Health and Developmental Services as
defined in 12VAC30-130-5110 through 12VAC30-130-5140.
4. ASAM Levels 2.1 and 2.5, licensed by the Department of
Behavioral Health and Developmental Services as defined in 12VAC30-130-5090 and
12VAC30-130-5100.
5. ASAM Level 1.0 as defined in 12VAC30-30-5080.
6. Opioid treatment services as defined in 12VAC30-130-5050.
7. Office-based opioid treatment as defined in
12VAC30-130-5060.
8. Hospital emergency department services licensed by the
Department of Health.
9. Pharmacy services licensed by the Department of Health.
D. Only a licensed and enrolled provider referenced in subsection
C of this section shall be eligible to bill and receive reimbursement from DMAS
or its contractor for ARTS peer support services. Payments shall not be
permitted to providers that fail to enter into an enrollment agreement with
DMAS or its contractor. Reimbursement shall be subject to retraction for any
billed service that is determined to not to be in compliance with DMAS
requirements.
E. The direct supervisor, as defined in 12VAC30-130-5160,
shall perform direct supervision of the PRS as needed based on the level of
urgency and intensity of service being provided. The direct supervisor shall
have an employment or contract relationship with the same provider entity that
employs or contracts with the PRS. Direct supervisors shall maintain documentation
of all supervisory sessions. In no instance shall supervisory sessions be
performed less than as provided below:
1. If the PRS has less than 12 months experience delivering
ARTS peer support services or ARTS family support partners, he shall receive
face-to-face, one-to-one supervisory meetings of sufficient length to address
identified challenges for a minimum of 30 minutes, two times a month. The
direct supervisor must be available at least by telephone while the PRS is on
duty.
2. If the PRS has been delivering ARTS peer recovery services
over 12 months and fewer than 24 months, he must receive monthly face-to-face,
one-to-one supervision of sufficient length to address identified challenges
for a minimum of 30 minutes. The direct supervisor must be available by
telephone for consult within 24 hours of service delivery if needed for
challenging situations.
F. The caseload assignment of a full-time PRS shall not
exceed 12 to 15 individuals at any one time and 30 to 40 individuals
annually allowing for new case assignments as those on the existing
caseload begin to self-manage with less support. The caseload assignment of a
part-time PRS shall not exceed six to nine individuals at any one time and
15 annually. There are no minimum limits for full-time or part-time PRS
caseloads.
VA.R. Doc. No. R19-5386; Filed December 12, 2018, 3:15 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Fast-Track Regulation
Titles of Regulations: 12VAC30-50. Amount, Duration,
and Scope of Medical and Remedial Care Services (amending 12VAC30-50-130, 12VAC30-50-226).
12VAC30-130. Amount, Duration, and Scope of Selected
Services (amending 12VAC30-130-5170, 12VAC30-130-5190).
Statutory Authority: § 32.1-325 of the Code of
Virginia; 42 USC § 1396 et seq.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Emily McClellan, Regulatory Supervisor,
Policy Division, Department of Medical Assistance Services, 600 East Broad
Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX (804)
786-1680, or email emily.mcclellan@dmas.virginia.gov.
Basis: Section 32.1-325 of the Code of Virginia grants
the Board of Medical Assistance Services the authority to administer and amend
the State Plan for Medical Assistance. Section 32.1-324 of the Code of Virginia
authorizes the Director of the Department of Medical Assistance Services (DMAS)
to administer and amend the State Plan for Medical Assistance according to the
board's requirements. The Medicaid authority as established by § 1902(a) of the
Social Security Act (42 USC § 1396a) provides governing authority for payments
for services.
Purpose: The purpose of this action is to replace
incorrect citations with either correct citations or text and remove an annual
caseload limit for peer support specialists. This action protects the public
health, safety, and welfare by updating the regulations related to peer support
services to ensure that internal cross-references are correct and to remove a
caseload limit that was determined to be a barrier to receiving peer support
services. Peer support services are an important component of the spectrum of
mental health and substance use disorder services, and it is essential to
maintain correct regulations so that Medicaid can continue to offer this
treatment.
Rationale for Using Fast-Track Rulemaking Process: This
regulatory action is being promulgated as a fast-track rulemaking action
because it is expected to be noncontroversial. The citation corrections do not
have any impact on providers or Medicaid members. Medicaid providers requested
the removal of the annual caseload limit, and this change will not impact
Medicaid members.
Substance: Providers of peer support services have found
that some Medicaid members seek services but do not follow through on receiving
services. Those individuals are counted toward the provider's annual caseload,
and the annual limit of 30 to 40 individuals means that providers cannot offer
services to individuals who do wish to follow through with services. Therefore,
the annual caseload requirement has been removed. The caseload limit of 12 to 15
individuals at any one time remains in place.
This regulatory action corrects citations. In one instance, a
citation has been replaced by the medical necessity criteria text for continued
services rather than providing a citation for the requirements for continued
services.
Issues: The primary advantages to the Commonwealth and
the public from these regulatory changes are that they remove incorrect
citations so that the regulations contain accurate cross-references. In
addition, removing the problematic annual caseload limit while maintaining the
limit on cases open at any given time ensures that providers are available to
offer services to individuals who are seeking them while at the same time
ensuring that providers can spend adequate time with each individual. There are
no disadvantages to the Commonwealth or the public as a result of this
regulatory action.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Medical Assistance Services (Board) proposes to remove the annual caseload
limit for peer recovery specialists.
Result of Analysis. The benefits likely exceed the costs for
the proposed regulation.
Estimated Economic Impact. Currently, providers are not allowed
to assign more than 12 to 15 cases to one full-time peer recovery specialist
any one time and 30 to 40 individuals annually. Similarly, part-time
specialists may not be assigned more than 6 to 9 individuals at the same time
and more than 15 individuals annually. DMAS has been made aware that many
individuals initiate the service but later fail to follow up. In such cases,
the annual limit becomes a barrier to serve 12 to 15 cases by a full-time
specialist and 6 to 9 by a part-time specialist. As a result, the Board is proposing
to remove the annual limits. The maximum number of individuals who can be
served by one specialist at one time (i.e., 15 cases for full-time and 9 cases
for part-time specialists) will remain intact.
On a monthly basis, 214 recipients use the service at a cost of
$1,709 or $7.99 per member, per month. The removal of the annual limit will
likely cause an increase in access to this service and associated expenditures,
but any such increase is not likely to be large given the low number of
individuals utilizing the service and the low unit costs.
Businesses and Entities Affected. As of January 2018, there
were 33 peer providers and approximately 214 recipients per month receiving
this service.
Localities Particularly Affected. The proposed regulation does
not disproportionately affect particular localities.
Projected Impact on Employment. Removing the limit on annual
caseloads should have a positive impact on the supply of professional peer
services and could have a small positive effect on employment.
Effects on the Use and Value of Private Property. This change
will allow providers to assign cases to their specialists up to the caseload
limit that remains intact, which should have a positive impact on their asset
values.
Real Estate Development Costs. The proposed regulation does not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. Many of the affected peer providers
are likely to be small businesses. The proposed regulation will allow them to assign
more cases to the specialists working for them.
Alternative Method that Minimizes Adverse Impact. The proposed
regulation does not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed regulation does not adversely affect
businesses.
Localities. The proposed regulation does not adversely affect
localities.
Other Entities. The proposed regulation would cause a slight
increase in Medicaid expenditures.
Agency's Response to Economic Impact Analysis: The
agency has reviewed the economic impact analysis prepared by the Department of
Planning and Budget and raises no issues with this analysis.
Summary:
The amendments (i) remove an annual caseload limit for peer
support specialists that was found to be a barrier to individuals receiving
peer support services but leave a limit for the number of individuals in a peer
support specialist's care at any one time and (ii) correct citations.
12VAC30-50-130. Nursing facility services, EPSDT, including
school health services and family planning.
A. Nursing facility services (other than services in an
institution for mental diseases) for individuals 21 years of age or older.
Service must be ordered or prescribed and directed or performed within the
scope of a license of the practitioner of the healing arts.
B. Early and periodic screening and diagnosis of individuals
younger than 21 years of age, and treatment of conditions found.
1. Payment of medical assistance services shall be made on
behalf of individuals younger than 21 years of age, who are Medicaid eligible,
for medically necessary stays in acute care facilities, and the accompanying
attendant physician care, in excess of 21 days per admission when such services
are rendered for the purpose of diagnosis and treatment of health conditions
identified through a physical examination.
2. Routine physicals and immunizations (except as provided
through EPSDT) are not covered except that well-child examinations in a private
physician's office are covered for foster children of the local social services
departments on specific referral from those departments.
3. Orthoptics services shall only be reimbursed if medically
necessary to correct a visual defect identified by an EPSDT examination or
evaluation. The department shall place appropriate utilization controls upon
this service.
4. Consistent with the Omnibus Budget Reconciliation Act of
1989 § 6403, early and periodic screening, diagnostic, and treatment services
means the following services: screening services, vision services, dental
services, hearing services, and such other necessary health care, diagnostic
services, treatment, and other measures described in Social Security Act §
1905(a) to correct or ameliorate defects and physical and mental illnesses and
conditions discovered by the screening services and that are medically
necessary, whether or not such services are covered under the State Plan and
notwithstanding the limitations, applicable to recipients ages 21 years and
older, provided for by § 1905(a) of the Social Security Act.
5. Community mental health services. These services in order
to be covered (i) shall meet medical necessity criteria based upon diagnoses
made by LMHPs who are practicing within the scope of their licenses and (ii)
are reflected in provider records and on providers' claims for services by
recognized diagnosis codes that support and are consistent with the requested
professional services.
a. Definitions. The following words and terms when used in
this section shall have the following meanings unless the context clearly
indicates otherwise:
"Activities of daily living" means personal care
activities and includes bathing, dressing, transferring, toileting, feeding,
and eating.
"Adolescent or child" means the individual receiving
the services described in this section. For the purpose of the use of these
terms, adolescent means an individual 12 through 20 years of age; a child means
an individual from birth up to 12 years of age.
"Behavioral health service" means the same as
defined in 12VAC30-130-5160.
"Behavioral health services administrator" or
"BHSA" means an entity that manages or directs a behavioral health
benefits program under contract with DMAS.
"Care coordination" means collaboration and sharing
of information among health care providers, who are involved with an
individual's health care, to improve the care.
"Caregiver" means the same as defined in
12VAC30-130-5160.
"Certified prescreener" means an employee of the
local community services board or behavioral health authority, or its designee,
who is skilled in the assessment and treatment of mental illness and has
completed a certification program approved by the Department of Behavioral
Health and Developmental Services.
"Clinical experience" means providing direct
behavioral health services on a full-time basis or equivalent hours of
part-time work to children and adolescents who have diagnoses of mental illness
and includes supervised internships, supervised practicums, and supervised
field experience for the purpose of Medicaid reimbursement of (i) intensive
in-home services, (ii) day treatment for children and adolescents, (iii)
community-based residential services for children and adolescents who are
younger than 21 years of age (Level A), or (iv) therapeutic behavioral services
(Level B). Experience shall not include unsupervised internships, unsupervised
practicums, and unsupervised field experience. The equivalency of part-time
hours to full-time hours for the purpose of this requirement shall be as
established by DBHDS in the document entitled Human Services and Related Fields
Approved Degrees/Experience, issued March 12, 2013, revised May 3, 2013.
"DBHDS" means the Department of Behavioral Health
and Developmental Services.
"Direct supervisor" means the person who provides
direct supervision to the peer recovery specialist. The direct supervisor (i)
shall have two consecutive years of documented practical experience rendering
peer support services or family support services, have certification training
as a PRS under a certifying body approved by DBHDS, and have documented
completion of the DBHDS PRS supervisor training; (ii) shall be a qualified
mental health professional (QMHP-A, QMHP-C, or QMHP-E) as defined in
12VAC35-105-20 with at least two consecutive years of documented experience as
a QMHP, and who has documented completion of the DBHDS PRS supervisor training;
or (iii) shall be an LMHP who has documented completion of the DBHDS PRS
supervisor training who is acting within his scope of practice under state law.
An LMHP providing services before April 1, 2018, shall have until April 1,
2018, to complete the DBHDS PRS supervisor training.
"DMAS" means the Department of Medical Assistance
Services and its contractors.
"EPSDT" means early and periodic screening,
diagnosis, and treatment.
"Family support partners" means the same as defined
in 12VAC30-130-5170.
"Human services field" means the same as the term is
defined by DBHDS in the document entitled Human Services and Related Fields
Approved Degrees/Experience, issued March 12, 2013, revised May 3, 2013.
"Individual service plan" or "ISP" means
the same as the term is defined in 12VAC30-50-226.
"Licensed mental health professional" or
"LMHP" means the same as defined in 12VAC35-105-20.
"LMHP-resident" or "LMHP-R" means the same
as "resident" as defined in (i) 18VAC115-20-10 for licensed
professional counselors; (ii) 18VAC115-50-10 for licensed marriage and family
therapists; or (iii) 18VAC115-60-10 for licensed substance abuse treatment
practitioners. An LMHP-resident shall be in continuous compliance with the
regulatory requirements of the applicable counseling profession for supervised
practice and shall not perform the functions of the LMHP-R or be considered a
"resident" until the supervision for specific clinical duties at a
specific site has been preapproved in writing by the Virginia Board of
Counseling. For purposes of Medicaid reimbursement to their supervisors for
services provided by such residents, they shall use the title
"Resident" in connection with the applicable profession after their
signatures to indicate such status.
"LMHP-resident in psychology" or "LMHP-RP"
means the same as an individual in a residency, as that term is defined in
18VAC125-20-10, program for clinical psychologists. An LMHP-resident in
psychology shall be in continuous compliance with the regulatory requirements
for supervised experience as found in 18VAC125-20-65 and shall not perform the
functions of the LMHP-RP or be considered a "resident" until the
supervision for specific clinical duties at a specific site has been
preapproved in writing by the Virginia Board of Psychology. For purposes of
Medicaid reimbursement by supervisors for services provided by such residents,
they shall use the title "Resident in Psychology" after their
signatures to indicate such status.
"LMHP-supervisee in social work,"
"LMHP-supervisee," or "LMHP-S" means the same as
"supervisee" as defined in 18VAC140-20-10 for licensed clinical
social workers. An LMHP-supervisee in social work shall be in continuous
compliance with the regulatory requirements for supervised practice as found in
18VAC140-20-50 and shall not perform the functions of the LMHP-S or be
considered a "supervisee" until the supervision for specific clinical
duties at a specific site is preapproved in writing by the Virginia Board of
Social Work. For purposes of Medicaid reimbursement to their supervisors for
services provided by supervisees, these persons shall use the title
"Supervisee in Social Work" after their signatures to indicate such
status.
"Peer recovery specialist" or "PRS" means
the same as defined in 12VAC30-130-5160.
"Person centered" means the same as defined in
12VAC30-130-5160.
"Progress notes" means individual-specific
documentation that contains the unique differences particular to the
individual's circumstances, treatment, and progress that is also signed and
contemporaneously dated by the provider's professional staff who have prepared
the notes. Individualized and member-specific progress notes are part of the
minimum documentation requirements and shall convey the individual's status,
staff interventions, and, as appropriate, the individual's progress, or lack of
progress, toward goals and objectives in the ISP. The progress notes shall also
include, at a minimum, the name of the service rendered, the date of the
service rendered, the signature and credentials of the person who rendered the
service, the setting in which the service was rendered, and the amount of time
or units/hours required to deliver the service. The content of each progress note
shall corroborate the time/units billed. Progress notes shall be documented for
each service that is billed.
"Psychoeducation" means (i) a specific form of
education aimed at helping individuals who have mental illness and their family
members or caregivers to access clear and concise information about mental
illness and (ii) a way of accessing and learning strategies to deal with mental
illness and its effects in order to design effective treatment plans and
strategies.
"Psychoeducational activities" means systematic
interventions based on supportive and cognitive behavior therapy that
emphasizes an individual's and his family's needs and focuses on increasing the
individual's and family's knowledge about mental disorders, adjusting to mental
illness, communicating and facilitating problem solving and increasing coping
skills.
"Qualified mental health professional-child" or
"QMHP-C" means the same as the term is defined in 12VAC35-105-20.
"Qualified mental health professional-eligible" or
"QMHP-E" means the same as the term is defined in 12VAC35-105-20 and
consistent with the requirements of 12VAC35-105-590.
"Qualified paraprofessional in mental health" or
"QPPMH" means the same as the term is defined in
12VAC35-105-20 and consistent with the requirements of 12VAC35-105-1370.
"Recovery-oriented services" means the same as
defined in 12VAC30-130-5160.
"Recovery, resiliency, and wellness plan" means the
same as defined in 12VAC30-130-5160.
"Resiliency" means the same as defined in
12VAC30-130-5160.
"Self-advocacy" means the same as defined in
12VAC30-130-5160.
"Service-specific provider intake" means the
face-to-face interaction in which the provider obtains information from the
child or adolescent, and parent or other family member, as appropriate, about
the child's or adolescent's mental health status. It includes documented
history of the severity, intensity, and duration of mental health care problems
and issues and shall contain all of the following elements: (i) the presenting
issue/reason for referral, (ii) mental health history/hospitalizations, (iii)
previous interventions by providers and timeframes and response to treatment,
(iv) medical profile, (v) developmental history including history of abuse, if
appropriate, (vi) educational/vocational status, (vii) current living situation
and family history and relationships, (viii) legal status, (ix) drug and
alcohol profile, (x) resources and strengths, (xi) mental status exam and
profile, (xii) diagnosis, (xiii) professional summary and clinical formulation,
(xiv) recommended care and treatment goals, and (xv) the dated signature of the
LMHP, LMHP-supervisee, LMHP-resident, or LMHP-RP.
"Services provided under arrangement" means the same
as defined in 12VAC30-130-850.
"Strength-based" means the same as defined in
12VAC30-130-5160.
"Supervision" means the same as defined in
12VAC30-130-5160.
b. Intensive in-home services (IIH) to children and
adolescents younger than 21 years of age shall be time-limited interventions
provided in the individual's residence and when clinically necessary in
community settings. All interventions and the settings of the intervention
shall be defined in the Individual Service Plan. All IIH services shall be
designed to specifically improve family dynamics, provide modeling, and the
clinically necessary interventions that increase functional and therapeutic
interpersonal relations between family members in the home. IIH services are
designed to promote psychoeducational benefits in the home setting of an
individual who is at risk of being moved into an out-of-home placement or who
is being transitioned to home from an out-of-home placement due to a documented
medical need of the individual. These services provide crisis treatment;
individual and family counseling; communication skills (e.g., counseling to
assist the individual and his parents or guardians, as appropriate, to
understand and practice appropriate problem solving, anger management, and
interpersonal interaction, etc.); care coordination with other required
services; and 24-hour emergency response.
(1) Service authorization shall be required for Medicaid
reimbursement prior to the onset of services. Services rendered before the date
of authorization shall not be reimbursed.
(2) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services based upon incomplete, missing, or outdated service-specific
provider intakes or ISPs shall be denied reimbursement. Requirements for
service-specific provider intakes and ISPs are set out in this section.
(3) These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, or a QMHP-E.
c. Therapeutic day treatment (TDT) shall be provided two or
more hours per day in order to provide therapeutic interventions. Day treatment
programs provide evaluation; medication education and management; opportunities
to learn and use daily living skills and to enhance social and interpersonal
skills (e.g., problem solving, anger management, community responsibility,
increased impulse control, and appropriate peer relations, etc.); and
individual, group and family counseling.
(1) Service authorization shall be required for Medicaid
reimbursement.
(2) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services based upon incomplete, missing, or outdated service-specific
provider intakes or ISPs shall be denied reimbursement. Requirements for service-specific
provider intakes and ISPs are set out in this section.
(3) These services may be rendered only by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, or a QMHP-E.
d. Community-based services for children and adolescents
younger than 21 years of age (Level A) pursuant to 42 CFR 440.031(d).
(1) Such services shall be a combination of therapeutic
services rendered in a residential setting. The residential services will
provide structure for daily activities, psychoeducation, therapeutic supervision,
care coordination, and psychiatric treatment to ensure the attainment of
therapeutic mental health goals as identified in the individual service plan
(plan of care). Individuals qualifying for this service must demonstrate
medical necessity for the service arising from a condition due to mental,
behavioral or emotional illness that results in significant functional
impairments in major life activities in the home, school, at work, or in the
community. The service must reasonably be expected to improve the child's
condition or prevent regression so that the services will no longer be needed.
The application of a national standardized set of medical necessity criteria in
use in the industry, such as McKesson InterQual® Criteria or an
equivalent standard authorized in advance by DMAS, shall be required for this
service.
(2) In addition to the residential services, the child must
receive, at least weekly, individual psychotherapy that is provided by an LMHP,
LMHP-supervisee, LMHP-resident, or LMHP-RP.
(3) Individuals shall be discharged from this service when
other less intensive services may achieve stabilization.
(4) Authorization shall be required for Medicaid
reimbursement. Services that were rendered before the date of service
authorization shall not be reimbursed.
(5) Room and board costs shall not be reimbursed. DMAS shall
reimburse only for services provided in facilities or programs with no more
than 16 beds.
(6) These residential providers must be licensed by the
Department of Social Services, Department of Juvenile Justice, or Department of
Behavioral Health and Developmental Services under the Standards for Licensed
Children's Residential Facilities (22VAC40-151), Regulation Governing Juvenile
Group Homes and Halfway Houses (6VAC35-41), or Regulations for Children's
Residential Facilities (12VAC35-46).
(7) Daily progress notes shall document a minimum of seven
psychoeducational activities per week. Psychoeducational programming must
include development or maintenance of daily living skills, anger management,
social skills, family living skills, communication skills, stress management,
and any care coordination activities.
(8) The facility/group home must coordinate services with
other providers. Such care coordination shall be documented in the individual's
medical record. The documentation shall include who was contacted, when the
contact occurred, and what information was transmitted.
(9) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services based upon incomplete, missing, or outdated service-specific
provider intakes or ISPs shall be denied reimbursement. Requirements for
intakes and ISPs are set out in 12VAC30-60-61.
(10) These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, a QMHP-E, or a QPPMH.
e. Therapeutic behavioral services (Level B) pursuant to 42
CFR 440.130(d).
(1) Such services must be therapeutic services rendered in a
residential setting. The residential services will provide structure for daily
activities, psychoeducation, therapeutic supervision, care coordination, and
psychiatric treatment to ensure the attainment of therapeutic mental health
goals as identified in the individual service plan (plan of care). Individuals
qualifying for this service must demonstrate medical necessity for the service arising
from a condition due to mental, behavioral or emotional illness that results in
significant functional impairments in major life activities in the home,
school, at work, or in the community. The service must reasonably be expected
to improve the child's condition or prevent regression so that the services
will no longer be needed. The application of a national standardized set of
medical necessity criteria in use in the industry, such as McKesson InterQual®
Criteria, or an equivalent standard authorized in advance by DMAS shall be
required for this service.
(2) Authorization is required for Medicaid reimbursement.
Services that are rendered before the date of service authorization shall not
be reimbursed.
(3) Room and board costs shall not be reimbursed. Facilities
that only provide independent living services are not reimbursed. DMAS shall
reimburse only for services provided in facilities or programs with no more
than 16 beds.
(4) These residential providers must be licensed by the
Department of Behavioral Health and Developmental Services (DBHDS) under the
Regulations for Children's Residential Facilities (12VAC35-46).
(5) Daily progress notes shall document that a minimum of
seven psychoeducational activities per week occurs. Psychoeducational programming
must include development or maintenance of daily living skills, anger
management, social skills, family living skills, communication skills, and
stress management. This service may be provided in a program setting or a
community-based group home.
(6) The individual must receive, at least weekly, individual
psychotherapy and, at least weekly, group psychotherapy that is provided as
part of the program.
(7) Individuals shall be discharged from this service when
other less intensive services may achieve stabilization.
(8) Service-specific provider intakes shall be required at the
onset of services and ISPs shall be required during the entire duration of
services. Services that are based upon incomplete, missing, or outdated
service-specific provider intakes or ISPs shall be denied reimbursement.
Requirements for intakes and ISPs are set out in 12VAC30-60-61.
(9) These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, a QMHP-C, a QMHP-E, or a QPPMH.
(10) The facility/group home shall coordinate necessary
services with other providers. Documentation of this care coordination shall be
maintained by the facility/group home in the individual's record. The
documentation shall include who was contacted, when the contact occurred, and
what information was transmitted.
f. Mental health family support partners.
(1) Mental health family support partners are peer recovery
support services and are nonclinical, peer-to-peer activities that engage,
educate, and support the caregiver and an individual's self-help efforts to
improve health recovery resiliency and wellness. Mental health family support
partners is a peer support service and is a strength-based, individualized
service provided to the caregiver of a Medicaid-eligible individual younger
than 21 years of age with a mental health disorder that is the focus of
support. The services provided to the caregiver and individual must be directed
exclusively toward the benefit of the Medicaid-eligible individual. Services
are expected to improve outcomes for individuals younger than 21 years of age
with complex needs who are involved with multiple systems and increase the
individual's and family's confidence and capacity to manage their own services
and supports while promoting recovery and healthy relationships. These services
are rendered by a PRS who is (i) a parent of a minor or adult child with a
similar mental health disorder or (ii) an adult with personal experience with a
family member with a similar mental health disorder with experience navigating
behavioral health care services. The PRS shall perform the service within the
scope of his knowledge, lived experience, and education.
(2) Under the clinical oversight of the LMHP making the
recommendation for mental health family support partners, the peer recovery
specialist in consultation with his direct supervisor shall develop a recovery,
resiliency, and wellness plan based on the LMHP's recommendation for service,
the individual's and the caregiver's perceived recovery needs, and any clinical
assessments or service specific provider intakes as defined in this section
within 30 calendar days of the initiation of service. Development of the
recovery, resiliency, and wellness plan shall include collaboration with the
individual and the individual's caregiver. Individualized goals and strategies
shall be focused on the individual's identified needs for self-advocacy and
recovery. The recovery, resiliency, and wellness plan shall also include
documentation of how many days per week and how many hours per week are
required to carry out the services in order to meet the goals of the plan. The
recovery, resiliency, and wellness plan shall be completed, signed, and dated
by the LMHP, the PRS, the direct supervisor, the individual, and the individual's
caregiver within 30 calendar days of the initiation of service. The PRS shall
act as an advocate for the individual, encouraging the individual and the
caregiver to take a proactive role in developing and updating goals and
objectives in the individualized recovery planning.
(3) Documentation of required activities shall be required as
set forth in 12VAC30-130-5200 A and, C, and E through J.
(4) Limitations and exclusions to service delivery shall be
the same as set forth in 12VAC30-130-5210.
(5) Caregivers of individuals younger than 21 years of age who
qualify to receive mental health family support partners (i) care for an
individual with a mental health disorder who requires recovery assistance and
(ii) meet two or more of the following:
(a) Individual and his caregiver need peer-based
recovery-oriented services for the maintenance of wellness and the acquisition
of skills needed to support the individual.
(b) Individual and his caregiver need assistance to develop
self-advocacy skills to assist the individual in achieving self-management of
the individual's health status.
(c) Individual and his caregiver need assistance and support
to prepare the individual for a successful work or school experience.
(d) Individual and his caregiver need assistance to help the
individual and caregiver assume responsibility for recovery.
(6) Individuals 18 through 20 years of age who meet the
medical necessity criteria in 12VAC30-50-226 B 7 e, who would benefit from
receiving peer supports directly and who choose to receive mental health peer
support services directly instead of through their caregiver, shall be
permitted to receive mental health peer support services by an appropriate PRS.
(7) To qualify for continued mental health family support
partners, the requirements for continued services set forth in
12VAC30-130-5180 D shall be met medical necessity criteria shall
continue to be met, and progress notes shall document the status of progress
relative to the goals identified in the recovery, resiliency, and wellness plan.
(8) Discharge criteria from mental health family support
partners shall be the same as set forth in 12VAC30-130-5180 E.
(9) Mental health family support partners services shall be
rendered on an individual basis or in a group.
(10) Prior to service initiation, a documented recommendation
for mental health family support partners services shall be made by a licensed
mental health professional (LMHP) who is acting within his scope of practice
under state law. The recommendation shall verify that the individual meets the
medical necessity criteria set forth in subdivision 5 of this subsection. The
recommendation shall be valid for no longer than 30 calendar days.
(11) Effective July 1, 2017, a peer recovery specialist shall
have the qualifications, education, experience, and certification required by
DBHDS in order to be eligible to register with the Virginia Board of Counseling
on or after July 1, 2018. Upon the promulgation of regulations by the Board of
Counseling, registration of peer recovery specialists by the Board of
Counseling shall be required. The PRS shall perform mental health family
support partners services under the oversight of the LMHP making the
recommendation for services and providing the clinical oversight of the
recovery, resiliency, and wellness plan.
(12) The PRS shall be employed by or have a contractual
relationship with the enrolled provider licensed for one of the following:
(a) Acute care general and emergency department hospital
services licensed by the Department of Health.
(b) Freestanding psychiatric hospital and inpatient
psychiatric unit licensed by the Department of Behavioral Health and
Developmental Services.
(c) Psychiatric residential treatment facility licensed by the
Department of Behavioral Health and Developmental Services.
(d) Therapeutic group home licensed by the Department of
Behavioral Health and Developmental Services.
(e) Outpatient mental health clinic services licensed by the
Department of Behavioral Health and Developmental Services.
(f) Outpatient psychiatric services provider.
(g) A community mental health and rehabilitative services
provider licensed by the Department of Behavioral Health and Developmental
Services as a provider of one of the following community mental health and
rehabilitative services as defined in this section, 12VAC30-50-226,
12VAC30-50-420, or 12VAC30-50-430 for which the individual younger than 21
years meets medical necessity criteria (i) intensive in home; (ii)
therapeutic day treatment; (iii) day treatment or partial hospitalization;
(iv) crisis intervention; (v) crisis stabilization; (vi) mental health skill
building; or (vii) mental health case management.
(13) Only the licensed and enrolled provider as referenced in
subdivision 5 f (12) of this subsection shall be eligible to bill and receive
reimbursement from DMAS or its contractor for mental health family support
partner services. Payments shall not be permitted to providers that fail to
enter into an enrollment agreement with DMAS or its contractor. Reimbursement shall
be subject to retraction for any billed service that is determined not to be in
compliance with DMAS requirements.
(14) Supervision of the PRS shall be required as meet
the requirements set forth in 12VAC30-130-5190 E and 12VAC30-130-5200 G
12VAC30-50-226 B 7 l.
6. Inpatient psychiatric services shall be covered for
individuals younger than age 21 for medically necessary stays in inpatient
psychiatric facilities described in 42 CFR 440.160(b)(1) and (b)(2) for
the purpose of diagnosis and treatment of mental health and behavioral
disorders identified under EPSDT when such services are rendered by (i) a
psychiatric hospital or an inpatient psychiatric program in a hospital
accredited by the Joint Commission on Accreditation of Healthcare
Organizations; or (ii) a psychiatric facility that is accredited by the Joint
Commission on Accreditation of Healthcare Organizations or the Commission on
Accreditation of Rehabilitation Facilities. Inpatient psychiatric hospital
admissions at general acute care hospitals and freestanding psychiatric
hospitals shall also be subject to the requirements of 12VAC30-50-100,
12VAC30-50-105, and 12VAC30-60-25. Inpatient psychiatric admissions to
residential treatment facilities shall also be subject to the requirements of
Part XIV (12VAC30-130-850 et seq.) of Amount, Duration and Scope of Selected
Services.
a. The inpatient psychiatric services benefit for individuals
younger than 21 years of age shall include services defined at 42 CFR 440.160
that are provided under the direction of a physician pursuant to a
certification of medical necessity and plan of care developed by an
interdisciplinary team of professionals and shall involve active treatment
designed to achieve the child's discharge from inpatient status at the earliest
possible time. The inpatient psychiatric services benefit shall include
services provided under arrangement furnished by Medicaid enrolled providers
other than the inpatient psychiatric facility, as long as the inpatient
psychiatric facility (i) arranges for and oversees the provision of all
services, (ii) maintains all medical records of care furnished to the
individual, and (iii) ensures that the services are furnished under the
direction of a physician. Services provided under arrangement shall be documented
by a written referral from the inpatient psychiatric facility. For purposes of
pharmacy services, a prescription ordered by an employee or contractor of the
facility who is licensed to prescribe drugs shall be considered the referral.
b. Eligible services provided under arrangement with the
inpatient psychiatric facility shall vary by provider type as described in this
subsection. For purposes of this section, emergency services means the same as
is set out in 12VAC30-50-310 B.
(1) State freestanding psychiatric hospitals shall arrange
for, maintain records of, and ensure that physicians order these services: (i)
pharmacy services and (ii) emergency services.
(2) Private freestanding psychiatric hospitals shall arrange
for, maintain records of, and ensure that physicians order these services: (i)
medical and psychological services including those furnished by physicians,
licensed mental health professionals, and other licensed or certified health
professionals (i.e., nutritionists, podiatrists, respiratory therapists, and
substance abuse treatment practitioners); (ii) outpatient hospital services;
(iii) physical therapy, occupational therapy, and therapy for individuals with
speech, hearing, or language disorders; (iv) laboratory and radiology services;
(v) vision services; (vi) dental, oral surgery, and orthodontic services; (vii)
transportation services; and (viii) emergency services.
(3) Residential treatment facilities, as defined at 42 CFR
483.352, shall arrange for, maintain records of, and ensure that physicians
order these services: (i) medical and psychological services, including those
furnished by physicians, licensed mental health professionals, and other
licensed or certified health professionals (i.e., nutritionists, podiatrists,
respiratory therapists, and substance abuse treatment practitioners); (ii)
pharmacy services; (iii) outpatient hospital services; (iv) physical therapy,
occupational therapy, and therapy for individuals with speech, hearing, or
language disorders; (v) laboratory and radiology services; (vi) durable medical
equipment; (vii) vision services; (viii) dental, oral surgery, and orthodontic
services; (ix) transportation services; and (x) emergency services.
c. Inpatient psychiatric services are reimbursable only when
the treatment program is fully in compliance with (i) 42 CFR Part 441 Subpart
D, specifically 42 CFR 441.151(a) and (b) and 42 CFR 441.152 through 42 CFR
441.156, and (ii) the conditions of participation in 42 CFR Part 483
Subpart G. Each admission must be preauthorized and the treatment must meet
DMAS requirements for clinical necessity.
d. Service limits may be exceeded based on medical necessity
for individuals eligible for EPSDT.
7. Hearing aids shall be reimbursed for individuals younger
than 21 years of age according to medical necessity when provided by
practitioners licensed to engage in the practice of fitting or dealing in
hearing aids under the Code of Virginia.
8. Addiction and recovery treatment services shall be covered
under EPSDT consistent with 12VAC30-130-5000 et seq.
9. Services facilitators shall be required for all
consumer-directed personal care services consistent with the requirements set
out in 12VAC30-120-935.
10. Behavioral therapy services shall be covered for
individuals younger than 21 years of age.
a. Definitions. The following words and terms when used in
this subsection shall have the following meanings unless the context clearly
indicates otherwise:
"Behavioral therapy" means systematic interventions
provided by licensed practitioners acting within the scope of practice defined
under a Virginia Department of Health Professions regulatory board and covered
as remedial care under 42 CFR 440.130(d) to individuals younger than 21 years
of age. Behavioral therapy includes applied behavioral analysis. Family
training related to the implementation of the behavioral therapy shall be
included as part of the behavioral therapy service. Behavioral therapy services
shall be subject to clinical reviews and determined as medically necessary.
Behavioral therapy may be provided in the individual's home and community
settings as deemed by DMAS or its contractor as medically necessary treatment.
"Counseling" means a professional mental health
service that can only be provided by a person holding a license issued by a
health regulatory board at the Department of Health Professions, which includes
conducting assessments, making diagnoses of mental disorders and conditions,
establishing treatment plans, and determining treatment interventions.
"Individual" means the child or adolescent younger
than 21 years of age who is receiving behavioral therapy services.
"Primary care provider" means a licensed medical
practitioner who provides preventive and primary health care and is responsible
for providing routine EPSDT screening and referral and coordination of other
medical services needed by the individual.
b. Behavioral therapy services shall be designed to enhance
communication skills and decrease maladaptive patterns of behavior, which if
left untreated, could lead to more complex problems and the need for a greater
or a more intensive level of care. The service goal shall be to ensure the
individual's family or caregiver is trained to effectively manage the
individual's behavior in the home using modification strategies. All services
shall be provided in accordance with the ISP and clinical assessment summary.
c. Behavioral therapy services shall be covered when
recommended by the individual's primary care provider or other licensed
physician, licensed physician assistant, or licensed nurse practitioner and
determined by DMAS or its contractor to be medically necessary to correct or
ameliorate significant impairments in major life activities that have resulted
from either developmental, behavioral, or mental disabilities. Criteria for
medical necessity are set out in 12VAC30-60-61 H. Service-specific provider
intakes shall be required at the onset of these services in order to receive
authorization for reimbursement. Individual service plans (ISPs) shall be
required throughout the entire duration of services. The services shall be
provided in accordance with the individual service plan and clinical assessment
summary. These services shall be provided in settings that are natural or
normal for a child or adolescent without a disability, such as the individual's
home, unless there is justification in the ISP, which has been authorized for
reimbursement, to include service settings that promote a generalization of
behaviors across different settings to maintain the targeted functioning
outside of the treatment setting in the individual's home and the larger
community within which the individual resides. Covered behavioral therapy
services shall include:
(1) Initial and periodic service-specific provider intake as
defined in 12VAC30-60-61 H;
(2) Development of initial and updated ISPs as established in
12VAC30-60-61 H;
(3) Clinical supervision activities. Requirements for clinical
supervision are set out in 12VAC30-60-61 H;
(4) Behavioral training to increase the individual's adaptive
functioning and communication skills;
(5) Training a family member in behavioral modification
methods as established in 12VAC30-60-61 H;
(6) Documentation and analysis of quantifiable behavioral data
related to the treatment objectives; and
(7) Care coordination.
C. School health services.
1. School health assistant services are repealed effective
July 1, 2006.
2. School divisions may provide routine well-child screening
services under the State Plan. Diagnostic and treatment services that are
otherwise covered under early and periodic screening, diagnosis and treatment
services, shall not be covered for school divisions. School divisions to
receive reimbursement for the screenings shall be enrolled with DMAS as clinic
providers.
a. Children enrolled in managed care organizations shall
receive screenings from those organizations. School divisions shall not receive
reimbursement for screenings from DMAS for these children.
b. School-based services are listed in a recipient's individualized
education program (IEP) and covered under one or more of the service categories
described in § 1905(a) of the Social Security Act. These services are necessary
to correct or ameliorate defects of physical or mental illnesses or conditions.
3. Providers shall be licensed under the applicable state
practice act or comparable licensing criteria by the Virginia Department of
Education, and shall meet applicable qualifications under 42 CFR Part 440.
Identification of defects, illnesses or conditions and services necessary to
correct or ameliorate them shall be performed by practitioners qualified to
make those determinations within their licensed scope of practice, either as a
member of the IEP team or by a qualified practitioner outside the IEP team.
a. Providers shall be employed by the school division or under
contract to the school division.
b. Supervision of services by providers recognized in
subdivision 4 of this subsection shall occur as allowed under federal
regulations and consistent with Virginia law, regulations, and DMAS provider
manuals.
c. The services described in subdivision 4 of this subsection
shall be delivered by school providers, but may also be available in the
community from other providers.
d. Services in this subsection are subject to utilization
control as provided under 42 CFR Parts 455 and 456.
e. The IEP shall determine whether or not the services
described in subdivision 4 of this subsection are medically necessary and that
the treatment prescribed is in accordance with standards of medical practice.
Medical necessity is defined as services ordered by IEP providers. The IEP
providers are qualified Medicaid providers to make the medical necessity
determination in accordance with their scope of practice. The services must be
described as to the amount, duration and scope.
4. Covered services include:
a. Physical therapy, occupational therapy and services for
individuals with speech, hearing, and language disorders, performed by, or
under the direction of, providers who meet the qualifications set forth at 42
CFR 440.110. This coverage includes audiology services.
b. Skilled nursing services are covered under 42 CFR
440.60. These services are to be rendered in accordance to the licensing
standards and criteria of the Virginia Board of Nursing. Nursing services are
to be provided by licensed registered nurses or licensed practical nurses but
may be delegated by licensed registered nurses in accordance with the
regulations of the Virginia Board of Nursing, especially the section on
delegation of nursing tasks and procedures. The licensed practical nurse is
under the supervision of a registered nurse.
(1) The coverage of skilled nursing services shall be of a
level of complexity and sophistication (based on assessment, planning,
implementation and evaluation) that is consistent with skilled nursing services
when performed by a licensed registered nurse or a licensed practical nurse.
These skilled nursing services shall include dressing changes, maintaining
patent airways, medication administration/monitoring and urinary
catheterizations.
(2) Skilled nursing services shall be directly and
specifically related to an active, written plan of care developed by a
registered nurse that is based on a written order from a physician, physician
assistant or nurse practitioner for skilled nursing services. This order shall
be recertified on an annual basis.
c. Psychiatric and psychological services performed by
licensed practitioners within the scope of practice are defined under state law
or regulations and covered as physicians' services under 42 CFR 440.50 or
medical or other remedial care under 42 CFR 440.60. These outpatient services
include individual medical psychotherapy, group medical psychotherapy coverage,
and family medical psychotherapy. Psychological and neuropsychological testing
are allowed when done for purposes other than educational diagnosis, school
admission, evaluation of an individual with intellectual disability prior to
admission to a nursing facility, or any placement issue. These services are
covered in the nonschool settings also. School providers who may render these
services when licensed by the state include psychiatrists, licensed clinical
psychologists, school psychologists, licensed clinical social workers,
professional counselors, psychiatric clinical nurse specialists, marriage and
family therapists, and school social workers.
d. Personal care services are covered under 42 CFR
440.167 and performed by persons qualified under this subsection. The personal
care assistant is supervised by a DMAS recognized school-based health
professional who is acting within the scope of licensure. This practitioner develops
a written plan for meeting the needs of the child, which is implemented by the
assistant. The assistant must have qualifications comparable to those for other
personal care aides recognized by the Virginia Department of Medical Assistance
Services. The assistant performs services such as assisting with toileting,
ambulation, and eating. The assistant may serve as an aide on a specially
adapted school vehicle that enables transportation to or from the school or
school contracted provider on days when the student is receiving a
Medicaid-covered service under the IEP. Children requiring an aide during
transportation on a specially adapted vehicle shall have this stated in the
IEP.
e. Medical evaluation services are covered as physicians'
services under 42 CFR 440.50 or as medical or other remedial care under 42 CFR
440.60. Persons performing these services shall be licensed physicians,
physician assistants, or nurse practitioners. These practitioners shall
identify the nature or extent of a child's medical or other health related
condition.
f. Transportation is covered as allowed under 42 CFR
431.53 and described at State Plan Attachment 3.1-D (12VAC30-50-530).
Transportation shall be rendered only by school division personnel or
contractors. Transportation is covered for a child who requires transportation
on a specially adapted school vehicle that enables transportation to or from
the school or school contracted provider on days when the student is receiving
a Medicaid-covered service under the IEP. Transportation shall be listed in the
child's IEP. Children requiring an aide during transportation on a specially
adapted vehicle shall have this stated in the IEP.
g. Assessments are covered as necessary to assess or reassess
the need for medical services in a child's IEP and shall be performed by any of
the above licensed practitioners within the scope of practice. Assessments and
reassessments not tied to medical needs of the child shall not be covered.
5. DMAS will ensure through quality management review that
duplication of services will be monitored. School divisions have a
responsibility to ensure that if a child is receiving additional therapy
outside of the school, that there will be coordination of services to avoid
duplication of service.
D. Family planning services and supplies for individuals of
child-bearing age.
1. Service must be ordered or prescribed and directed or
performed within the scope of the license of a practitioner of the healing
arts.
2. Family planning services shall be defined as those services
that delay or prevent pregnancy. Coverage of such services shall not include
services to treat infertility or services to promote fertility. Family planning
services shall not cover payment for abortion services and no funds shall be
used to perform, assist, encourage, or make direct referrals for abortions.
3. Family planning services as established by
§ 1905(a)(4)(C) of the Social Security Act include annual family planning
exams; cervical cancer screening for women; sexually transmitted infection
(STI) testing; lab services for family planning and STI testing; family
planning education, counseling, and preconception health; sterilization
procedures; nonemergency transportation to a family planning service; and U.S.
Food and Drug Administration approved prescription and over-the-counter
contraceptives, subject to limits in 12VAC30-50-210.
12VAC30-50-226. Community mental health services.
A. Definitions. The following words and terms when used in
this section shall have the following meanings unless the context clearly
indicates otherwise:
"Activities of daily living" or "ADLs"
means personal care tasks such as bathing, dressing, toileting, transferring,
and eating or feeding. An individual's degree of independence in performing
these activities is a part of determining appropriate level of care and service
needs.
"Affiliated" means any entity or property in which
a provider or facility has a direct or indirect ownership interest of 5.0% or
more, or any management, partnership, or control of an entity.
"Behavioral health service" means the same as
defined in 12VAC30-130-5160.
"Behavioral health services administrator" or
"BHSA" means an entity that manages or directs a behavioral health
benefits program under contract with DMAS. DMAS' designated BHSA shall be
authorized to constitute, oversee, enroll, and train a provider network;
perform service authorization; adjudicate claims; process claims; gather and
maintain data; reimburse providers; perform quality assessment and improvement;
conduct member outreach and education; resolve member and provider issues; and
perform utilization management including care coordination for the provision of
Medicaid-covered behavioral health services. Such authority shall include
entering into or terminating contracts with providers in accordance with DMAS
authority pursuant to 42 CFR Part 1002 and § 32.1-325 D and E of the Code
of Virginia. DMAS shall retain authority for and oversight of the BHSA entity
or entities.
"Certified prescreener" means an employee of either
the local community services board/behavioral health authority or its designee
who is skilled in the assessment and treatment of mental illness and who has
completed a certification program approved by DBHDS.
"Clinical experience" means, for the purpose of
rendering (i) mental health day treatment/partial hospitalization, (ii)
intensive community treatment, (iii) psychosocial rehabilitation, (iv) mental
health skill building, (v) crisis stabilization, or (vi) crisis intervention
services, practical experience in providing direct services to individuals with
diagnoses of mental illness or intellectual disability or the provision of
direct geriatric services or special education services. Experience shall
include supervised internships, supervised practicums, or supervised field
experience. Experience shall not include unsupervised internships, unsupervised
practicums, and unsupervised field experience. The equivalency of part-time
hours to full-time hours for the purpose of this requirement shall be established
by DBHDS in the document titled Human Services and Related Fields Approved
Degrees/Experience, issued March 12, 2013, revised May 3, 2013.
"Code" means the Code of Virginia.
"DBHDS" means the Department of Behavioral Health
and Developmental Services consistent with Chapter 3 (§ 37.2-300 et seq.)
of Title 37.2 of the Code of Virginia.
"Direct supervisor" means the person who provides
direct supervision to the peer recovery specialist. The direct supervisor (i)
shall have two consecutive years of documented practical experience rendering
peer support services or family support services, have certification training
as a PRS under a certifying body approved by DBHDS, and have documented
completion of the DBHDS PRS supervisor training; (ii) shall be a qualified
mental health professional (QMHP-A, QMHP-C, or QMHP-E) as defined in
12VAC35-105-20 with at least two consecutive years of documented experience as
a QMHP, and who has documented completion of the DBHDS PRS supervisor training;
or (iii) shall be an LMHP who has documented completion of the DBHDS PRS
supervisor training who is acting within his scope of practice under state law.
An LMHP providing services before April 1, 2018, shall have until April 1,
2018, to complete the DBHDS PRS supervisor training.
"DMAS" means the Department of Medical Assistance
Services and its contractor or contractors consistent with Chapter 10 (§
32.1-323 et seq.) of Title 32.1 of the Code of Virginia.
"DSM-5" means the Diagnostic and Statistical Manual
of Mental Disorders, Fifth Edition, copyright 2013, American Psychiatric
Association.
"Human services field" means the same as the term
is defined by DBHDS in the guidance document entitled Human Services and
Related Fields Approved Degrees/Experience, issued March 12, 2013, revised May
3, 2013.
"Individual" means the patient, client, or
recipient of services described in this section.
"Individual service plan" or "ISP" means
a comprehensive and regularly updated treatment plan specific to the
individual's unique treatment needs as identified in the service-specific
provider intake. The ISP contains, but is not limited to, the individual's
treatment or training needs, the individual's goals and measurable objectives
to meet the identified needs, services to be provided with the recommended
frequency to accomplish the measurable goals and objectives, the estimated
timetable for achieving the goals and objectives, and an individualized
discharge plan that describes transition to other appropriate services. The
individual shall be included in the development of the ISP and the ISP shall be
signed by the individual. If the individual is a minor child, the ISP shall
also be signed by the individual's parent/legal guardian. Documentation shall
be provided if the individual, who is a minor child or an adult who lacks legal
capacity, is unable or unwilling to sign the ISP.
"Individualized training" means instruction and
practice in functional skills and appropriate behavior related to the
individual's health and safety, instrumental activities of daily living skills,
and use of community resources; assistance with medical management; and
monitoring health, nutrition, and physical condition. The training shall be
rehabilitative and based on a variety of incremental (or cumulative) approaches
or tools to organize and guide the individual's life planning and shall reflect
what is important to the individual in addition to all other factors that
affect his functioning, including effects of the disability and issues of
health and safety.
"Licensed mental health professional" or
"LMHP" means the same as defined in 12VAC35-105-20.
"LMHP-resident" or "LMHP-R" means the
same as "resident" as defined in (i) 18VAC115-20-10 for licensed
professional counselors; (ii) 18VAC115-50-10 for licensed marriage and family
therapists; or (iii) 18VAC115-60-10 for licensed substance abuse treatment
practitioners. An LMHP-resident shall be in continuous compliance with the
regulatory requirements of the applicable counseling profession for supervised
practice and shall not perform the functions of the LMHP-R or be considered a
"resident" until the supervision for specific clinical duties at a
specific site has been preapproved in writing by the Virginia Board of
Counseling. For purposes of Medicaid reimbursement to their supervisors for
services provided by such residents, they shall use the title
"Resident" in connection with the applicable profession after their
signatures to indicate such status.
"LMHP-resident in psychology" or
"LMHP-RP" means the same as an individual in a residency, as that
term is defined in 18VAC125-20-10, program for clinical psychologists. An
LMHP-resident in psychology shall be in continuous compliance with the
regulatory requirements for supervised experience as found in 18VAC125-20-65
and shall not perform the functions of the LMHP-RP or be considered a
"resident" until the supervision for specific clinical duties at a
specific site has been preapproved in writing by the Virginia Board of
Psychology. For purposes of Medicaid reimbursement by supervisors for services
provided by such residents, they shall use the title "Resident in
Psychology" after their signatures to indicate such status.
"LMHP-supervisee in social work,"
"LMHP-supervisee," or "LMHP-S" means the same as
"supervisee" is defined in 18VAC140-20-10 for licensed clinical
social workers. An LMHP-supervisee in social work shall be in continuous
compliance with the regulatory requirements for supervised practice as found in
18VAC140-20-50 and shall not perform the functions of the LMHP-S or be
considered a "supervisee" until the supervision for specific clinical
duties at a specific site is preapproved in writing by the Virginia Board of
Social Work. For purposes of Medicaid reimbursement to their supervisors for
services provided by supervisees, these persons shall use the title
"Supervisee in Social Work" after their signatures to indicate such
status.
"Peer recovery specialist" or "PRS" means
the same as defined in 12VAC30-130-5160.
"Person centered" means the same as defined in
12VAC30-130-5160.
"Qualified mental health professional-adult" or
"QMHP-A" means the same as defined in 12VAC35-105-20.
"Qualified mental health professional-child" or
"QMHP-C" means the same as defined in 12VAC35-105-20.
"Qualified mental health professional-eligible" or
"QMHP-E" means the same as defined in 12VAC35-105-20.
"Qualified paraprofessional in mental health" or
"QPPMH" means the same as defined in 12VAC35-105-20.
"Recovery-oriented services" means the same as
defined in 12VAC30-130-5160.
"Recovery, resiliency, and wellness plan" means the
same as defined in 12VAC30-130-5160.
"Register" or "registration" means
notifying DMAS or its contractor that an individual will be receiving services
that do not require service authorization.
"Resiliency" means the same as defined in
12VAC30-130-5160.
"Review of ISP" means that the provider evaluates
and updates the individual's progress toward meeting the individualized service
plan objectives and documents the outcome of this review. For DMAS to determine
that these reviews are satisfactory and complete, the reviews shall (i) update
the goals, objectives, and strategies of the ISP to reflect any change in the
individual's progress and treatment needs as well as any newly identified
problems; (ii) be conducted in a manner that enables the individual to
participate in the process; and (iii) be documented in the individual's medical
record no later than 15 calendar days from the date of the review.
"Self-advocacy" means the same as defined in
12VAC30-130-5160.
"Service authorization" means the process to
approve specific services for an enrolled Medicaid, FAMIS Plus, or FAMIS
individual by a DMAS service authorization contractor prior to service delivery
and reimbursement in order to validate that the service requested is medically
necessary and meets DMAS and DMAS contractor criteria for reimbursement.
Service authorization does not guarantee payment for the service.
"Service-specific provider intake" means the same
as defined in 12VAC30-50-130 and also includes individuals who are older than
21 years of age.
"Strength-based" means the same as defined in
12VAC30-130-5160.
"Supervision" means the same as defined in
12VAC30-130-5160.
B. Mental health services. The following services, with their
definitions, shall be covered: day treatment/partial hospitalization,
psychosocial rehabilitation, crisis services, intensive community treatment
(ICT), and mental health skill building. Staff travel time shall not be
included in billable time for reimbursement. These services, in order to be
covered, shall meet medical necessity criteria based upon diagnoses made by
LMHPs who are practicing within the scope of their licenses and are reflected
in provider records and on providers' claims for services by recognized diagnosis
codes that support and are consistent with the requested professional services.
These services are intended to be delivered in a person-centered manner. The
individuals who are receiving these services shall be included in all service
planning activities. All services which do not require service authorization
require registration. This registration shall transmit service-specific
information to DMAS or its contractor in accordance with service authorization
requirements.
1. Day treatment/partial hospitalization services shall be
provided in sessions of two or more consecutive hours per day, which may be
scheduled multiple times per week, to groups of individuals in a nonresidential
setting. These services, limited annually to 780 units, include the major
diagnostic, medical, psychiatric, psychosocial, and psychoeducational treatment
modalities designed for individuals who require coordinated, intensive,
comprehensive, and multidisciplinary treatment but who do not require inpatient
treatment. One unit of service shall be defined as a minimum of two but less
than four hours on a given day. Two units of service shall be defined as at
least four but less than seven hours in a given day. Three units of service
shall be defined as seven or more hours in a given day. Authorization is
required for Medicaid reimbursement.
a. Day treatment/partial hospitalization services shall be
time limited interventions that are more intensive than outpatient services and
are required to stabilize an individual's psychiatric condition. The services
are delivered when the individual is at risk of psychiatric hospitalization or
is transitioning from a psychiatric hospitalization to the community. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual is at risk of
psychiatric hospitalization or is transitioning from a psychiatric
hospitalization to the community.
b. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from mental, behavioral, or
emotional illness that results in significant functional impairments in major
life activities. Individuals must meet at least two of the following criteria
on a continuing or intermittent basis:
(1) Experience difficulty in establishing or maintaining
normal interpersonal relationships to such a degree that they are at risk of
hospitalization or homelessness or isolation from social supports;
(2) Experience difficulty in activities of daily living such
as maintaining personal hygiene, preparing food and maintaining adequate
nutrition, or managing finances to such a degree that health or safety is
jeopardized;
(3) Exhibit such inappropriate behavior that the individual
requires repeated interventions or monitoring by the mental health, social
services, or judicial system that have been documented; or
(4) Exhibit difficulty in cognitive ability such that they are
unable to recognize personal danger or recognize significantly inappropriate
social behavior.
c. Individuals shall be discharged from this service when they
are no longer in an acute psychiatric state and other less intensive services
may achieve psychiatric stabilization.
d. Admission and services for time periods longer than 90
calendar days must be authorized based upon a face-to-face evaluation by a
physician, psychiatrist, licensed clinical psychologist, licensed professional
counselor, licensed clinical social worker, or psychiatric clinical nurse
specialist.
e. These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, QMHP-A, QMHP-C, QMHP-E, or a QPPMH.
2. Psychosocial rehabilitation shall be provided at least two
or more hours per day to groups of individuals in a nonresidential setting.
These services, limited annually to 936 units, include assessment, education to
teach the patient about the diagnosed mental illness and appropriate
medications to avoid complication and relapse, opportunities to learn and use
independent living skills and to enhance social and interpersonal skills within
a supportive and normalizing program structure and environment. One unit of
service is defined as a minimum of two but less than four hours on a given day.
Two units are defined as at least four but less than seven hours in a given
day. Three units of service shall be defined as seven or more hours in a given
day. Authorization is required for Medicaid reimbursement. The service-specific
provider intake, as defined at 12VAC30-50-130, shall document the individual's
behavior and describe how the individual meets criteria for this service.
a. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from mental, behavioral, or emotional
illness that results in significant functional impairments in major life
activities. Services are provided to individuals: (i) who without these
services would be unable to remain in the community or (ii) who meet at least
two of the following criteria on a continuing or intermittent basis:
(1) Experience difficulty in establishing or maintaining
normal interpersonal relationships to such a degree that they are at risk of
psychiatric hospitalization, homelessness, or isolation from social supports;
(2) Experience difficulty in activities of daily living such
as maintaining personal hygiene, preparing food and maintaining adequate
nutrition, or managing finances to such a degree that health or safety is
jeopardized;
(3) Exhibit such inappropriate behavior that repeated
interventions documented by the mental health, social services, or judicial
system are or have been necessary; or
(4) Exhibit difficulty in cognitive ability such that they are
unable to recognize personal danger or significantly inappropriate social
behavior.
b. These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, QMHP-A, QMHP-C, QMHP-E, or a QPPMH.
3. Crisis intervention shall provide immediate mental health
care, available 24 hours a day, seven days per week, to assist individuals who
are experiencing acute psychiatric dysfunction requiring immediate clinical
attention. This service's objectives shall be to prevent exacerbation of a
condition, to prevent injury to the client or others, and to provide treatment
in the context of the least restrictive setting. Crisis intervention activities
shall include assessing the crisis situation, providing short-term counseling
designed to stabilize the individual, providing access to further immediate assessment
and follow-up, and linking the individual and family with ongoing care to
prevent future crises. Crisis intervention services may include office visits,
home visits, preadmission screenings, telephone contacts, and other
client-related activities for the prevention of institutionalization. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual meets criteria for
this service. The provision of this service to an individual shall be
registered with either DMAS, DMAS contractors, or the BHSA within one business
day or the completion of the service-specific provider intake to avoid
duplication of services and to ensure informed care coordination.
a. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from an acute crisis of a
psychiatric nature that puts the individual at risk of psychiatric
hospitalization. Individuals must meet at least two of the following criteria
at the time of admission to the service:
(1) Experience difficulty in establishing or maintaining
normal interpersonal relationships to such a degree that they are at risk of
psychiatric hospitalization, homelessness, or isolation from social supports;
(2) Experience difficulty in activities of daily living such
as maintaining personal hygiene, preparing food and maintaining adequate
nutrition, or managing finances to such a degree that health or safety is
jeopardized;
(3) Exhibit such inappropriate behavior that immediate
interventions documented by mental health, social services, or the judicial
system are or have been necessary; or
(4) Exhibit difficulty in cognitive ability such that they are
unable to recognize personal danger or significantly inappropriate social
behavior.
b. The annual limit for crisis intervention is 720 units per
year. A unit shall equal 15 minutes.
c. These services may only be rendered by an LMHP, an
LMHP-supervisee, LMHP-resident, LMHP-RP, or a certified prescreener.
4. Intensive community treatment (ICT), initially covered for
a maximum of 26 weeks based on an initial service-specific provider intake and
may be reauthorized for up to an additional 26 weeks annually based on written
intake and certification of need by a licensed mental health provider (LMHP),
shall be defined by 12VAC35-105-20 or LMHP-S, LMHP-R, and LMHP-RP and shall
include medical psychotherapy, psychiatric assessment, medication management,
and care coordination activities offered to outpatients outside the clinic,
hospital, or office setting for individuals who are best served in the
community. Authorization is required for Medicaid reimbursement.
a. To qualify for ICT, the individual must meet at least one
of the following criteria:
(1) The individual must be at high risk for psychiatric
hospitalization or becoming or remaining homeless due to mental illness or
require intervention by the mental health or criminal justice system due to
inappropriate social behavior.
(2) The individual has a history (three months or more) of a
need for intensive mental health treatment or treatment for co-occurring
serious mental illness and substance use disorder and demonstrates a resistance
to seek out and utilize appropriate treatment options.
b. A written, service-specific provider intake, as defined at
12VAC30-50-130, that documents the individual's eligibility and the need for
this service must be completed prior to the initiation of services. This intake
must be maintained in the individual's records.
c. An individual service plan shall be initiated at the time
of admission and must be fully developed, as defined in this section, within 30
days of the initiation of services.
d. The annual unit limit shall be 130 units with a unit
equaling one hour.
e. These services may only be rendered by a team that meets
the requirements of 12VAC35-105-1370.
5. Crisis stabilization services for nonhospitalized
individuals shall provide direct mental health care to individuals experiencing
an acute psychiatric crisis which may jeopardize their current community living
situation. Services may be provided for up to a 15-day period per crisis
episode following a face-to-face service-specific provider intake by an LMHP,
LMHP-supervisee, LMHP-resident, or LMHP-RP. Only one unit of service shall be
reimbursed for this intake. The provision of this service to an individual
shall be registered with either DMAS, DMAS contractors, or the BHSA within one
business day of the completion of the service-specific provider intake to avoid
duplication of services and to ensure informed care coordination.
a. The goals of crisis stabilization programs shall be to
avert hospitalization or rehospitalization, provide normative environments with
a high assurance of safety and security for crisis intervention, stabilize
individuals in psychiatric crisis, and mobilize the resources of the community
support system and family members and others for on-going maintenance and
rehabilitation. The services must be documented in the individual's records as
having been provided consistent with the ISP in order to receive Medicaid
reimbursement.
b. The crisis stabilization program shall provide to
individuals, as appropriate, psychiatric assessment including medication
evaluation, treatment planning, symptom and behavior management, and individual
and group counseling.
c. This service may be provided in any of the following
settings, but shall not be limited to: (i) the home of an individual who lives
with family or other primary caregiver; (ii) the home of an individual who
lives independently; or (iii) community-based programs licensed by DBHDS to
provide residential services but which are not institutions for mental disease
(IMDs).
d. This service shall not be reimbursed for (i) individuals
with medical conditions that require hospital care; (ii) individuals with
primary diagnosis of substance abuse; or (iii) individuals with psychiatric
conditions that cannot be managed in the community (i.e., individuals who are
of imminent danger to themselves or others).
e. The maximum limit on this service is 60 days annually.
f. Services must be documented through daily progress notes
and a daily log of times spent in the delivery of services. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual meets criteria for
this service. Individuals qualifying for this service must demonstrate a
clinical necessity for the service arising from an acute crisis of a
psychiatric nature that puts the individual at risk of psychiatric
hospitalization. Individuals must meet at least two of the following criteria
at the time of admission to the service:
(1) Experience difficulty in
establishing and maintaining normal interpersonal relationships to such a
degree that the individual is at risk of psychiatric hospitalization,
homelessness, or isolation from social supports;
(2) Experience difficulty in
activities of daily living such as maintaining personal hygiene, preparing food
and maintaining adequate nutrition, or managing finances to such a degree that
health or safety is jeopardized;
(3) Exhibit such inappropriate
behavior that immediate interventions documented by the mental health, social
services, or judicial system are or have been necessary; or
(4) Exhibit difficulty in cognitive ability such that the
individual is unable to recognize personal danger or significantly
inappropriate social behavior.
g. These services may only be rendered by an LMHP,
LMHP-supervisee, LMHP-resident, LMHP-RP, QMHP-A, QMHP-C, QMHP-E or a certified
prescreener.
6. Mental health skill-building services (MHSS) shall be
defined as goal-directed training to enable individuals to achieve and maintain
community stability and independence in the most appropriate, least restrictive
environment. Authorization is required for Medicaid reimbursement. Services
that are rendered before the date of service authorization shall not be
reimbursed. These services may be authorized up to six consecutive months as
long as the individual meets the coverage criteria for this service. The
service-specific provider intake, as defined at 12VAC30-50-130, shall document
the individual's behavior and describe how the individual meets criteria for
this service. These services shall provide goal-directed training in the
following areas in order to be reimbursed by Medicaid or the BHSA: (i)
functional skills and appropriate behavior related to the individual's health
and safety, instrumental activities of daily living, and use of community
resources; (ii) assistance with medication management; and (iii) monitoring of
health, nutrition, and physical condition with goals towards self-monitoring
and self-regulation of all of these activities. Providers shall be reimbursed
only for training activities defined in the ISP and only where services meet
the service definition, eligibility, and service provision criteria and this
section. A review of MHSS services by an LMHP, LMHP-R, LMHP-RP, or LMHP-S shall
be repeated for all individuals who have received at least six months of MHSS
to determine the continued need for this service.
a. Individuals qualifying for this service shall demonstrate a
clinical necessity for the service arising from a condition due to mental,
behavioral, or emotional illness that results in significant functional
impairments in major life activities. Services are provided to individuals who
require individualized goal-directed training in order to achieve or maintain
stability and independence in the community.
b. Individuals ages 21 and older shall meet all of the
following criteria in order to be eligible to receive mental health
skill-building services:
(1) The individual shall have one of the following as a
primary mental health diagnosis:
(a) Schizophrenia or other psychotic disorder as set out in
the DSM-5;
(b) Major depressive disorder;
(c) Recurrent Bipolar I or Bipolar II; or
(d) Any other serious mental health disorder that a physician
has documented specific to the identified individual within the past year and
that includes all of the following: (i) is a serious mental illness; (ii)
results in severe and recurrent disability; (iii) produces functional
limitations in the individual's major life activities that are documented in
the individual's medical record; and (iv) requires individualized training for
the individual in order to achieve or maintain independent living in the
community.
(2) The individual shall require individualized goal-directed
training in order to acquire or maintain self-regulation of basic living
skills, such as symptom management; adherence to psychiatric and physical
health medication treatment plans; appropriate use of social skills and
personal support systems; skills to manage personal hygiene, food preparation,
and the maintenance of personal adequate nutrition; money management; and use
of community resources.
(3) The individual shall have a prior history of any of the
following: (i) psychiatric hospitalization; (ii) either residential or
nonresidential crisis stabilization; (iii) intensive community treatment (ICT)
or program of assertive community treatment (PACT) services; (iv) placement in
a psychiatric residential treatment facility (RTC-Level C) as a result of
decompensation related to the individual's serious mental illness; or (v) a
temporary detention order (TDO) evaluation, pursuant to § 37.2-809 B of the
Code of Virginia. This criterion shall be met in order to be initially admitted
to services and not for subsequent authorizations of service. Discharge
summaries from prior providers that clearly indicate (i) the type of treatment
provided, (ii) the dates of the treatment previously provided, and (iii) the
name of the treatment provider shall be sufficient to meet this requirement.
Family member statements shall not suffice to meet this requirement.
(4) The individual shall have had a prescription for
antipsychotic, mood stabilizing, or antidepressant medications within the 12
months prior to the service-specific provider intake date. If a physician or
other practitioner who is authorized by his license to prescribe medications
indicates that antipsychotic, mood stabilizing, or antidepressant medications
are medically contraindicated for the individual, the provider shall obtain
medical records signed by the physician or other licensed prescriber detailing
the contraindication. This documentation shall be maintained in the
individual's mental health skill-building services record, and the provider
shall document and describe how the individual will be able to actively
participate in and benefit from services without the assistance of medication.
This criterion shall be met upon admission to services and shall not be
required for subsequent authorizations of
service. Discharge summaries from prior providers that clearly
indicate (i) the type of treatment provided, (ii) the dates of the treatment
previously provided, and (iii) the name of the treatment provider shall be
sufficient to meet this requirement. Family member statements shall not suffice
to meet this requirement.
c. Individuals aged 18 to 21 years shall meet all of the
following criteria in order to be eligible to receive mental health
skill-building services:
(1) The individual shall not be living in a supervised setting
as described in § 63.2-905.1 of the Code of Virginia. If the individual is transitioning
into an independent living situation, MHSS shall only be authorized for up to
six months prior to the date of transition.
(2) The individual shall have at least one of the following as
a primary mental health diagnosis.
(a) Schizophrenia or other psychotic disorder as set out in
the DSM-5;
(b) Major depressive disorder;
(c) Recurrent Bipolar-I or Bipolar II; or
(d) Any other serious mental health disorder that a physician
has documented specific to the identified individual within the past year and
that includes all of the following: (i) is a serious mental illness or serious
emotional disturbance; (ii) results in severe and recurrent disability; (iii)
produces functional limitations in the individual's major life activities that
are documented in the individual's medical record; and (iv) requires
individualized training for the individual in order to achieve or maintain
independent living in the community.
(3) The individual shall require individualized goal-directed
training in order to acquire or maintain self-regulation of basic living skills
such as symptom management; adherence to psychiatric and physical health
medication treatment plans; appropriate use of social skills and personal
support systems; skills to manage personal hygiene, food preparation, and the
maintenance of personal adequate nutrition; money management; and use of
community resources.
(4) The individual shall have a prior history of any of the
following: (i) psychiatric hospitalization; (ii) either residential or nonresidential
crisis stabilization; (iii) intensive community treatment (ICT) or program of
assertive community treatment (PACT) services; (iv) placement in a psychiatric
residential treatment facility (RTC-Level C) as a result of decompensation
related to the individual's serious mental illness; or (v) temporary detention
order (TDO) evaluation pursuant to § 37.2-809 B of the Code of Virginia. This
criterion shall be met in order to be initially admitted to services and not
for subsequent authorizations of service. Discharge summaries from prior
providers that clearly indicate (i) the type of treatment provided, (ii) the
dates of the treatment previously provided, and (iii) the name of the treatment
provider shall be sufficient to meet this requirement. Family member statements
shall not suffice to meet this requirement.
(5) The individual shall have had a prescription for
antipsychotic, mood stabilizing, or antidepressant medications, within the 12
months prior to the assessment date. If a physician or other practitioner who
is authorized by his license to prescribe medications indicates that
antipsychotic, mood stabilizing, or antidepressant medications are medically
contraindicated for the individual, the provider shall obtain medical records
signed by the physician or other licensed prescriber detailing the
contraindication. This documentation of medication management shall be
maintained in the individual's mental health skill-building services record.
For individuals not prescribed antipsychotic, mood stabilizing, or
antidepressant medications, the provider shall have documentation from the
medication management physician describing how the individual will be able to
actively participate in and benefit from services without the assistance of
medication. This criterion shall be met in order to be initially admitted to
services and not for subsequent authorizations of service. Discharge summaries
from prior providers that clearly indicate (i) the type of treatment provided,
(ii) the dates of the treatment previously provided, and (iii) the name of the
treatment provider shall be sufficient to meet this requirement. Family member
statements shall not suffice to meet this requirement.
(6) An independent clinical assessment, established in
12VAC30-130-3020, shall be completed for the individual.
d. Service-specific provider intakes shall be required at the
onset of services and individual service plans (ISPs) shall be required during
the entire duration of services. Services based upon incomplete, missing,
or outdated service-specific provider intakes or ISPs shall be denied
reimbursement. Requirements for service-specific provider intakes and ISPs are
set out in 12VAC30-50-130.
e. The yearly limit for mental health skill-building services
is 520 units. Only direct face-to-face contacts and services to the individual
shall be reimbursable. One unit is 1 to 2.99 hours per day, two units is 3 to
4.99 hours per day.
f. These services may only be rendered by an LMHP, LMHP-R,
LMHP-RP, LMHP-S, QMHP-A, QMHP-C, QMHP-E, or QPPMH.
g. The provider shall clearly document details of the services
provided during the entire amount of time billed.
h. The ISP shall not include activities that contradict or
duplicate those in the treatment plan established by the group home or assisted
living facility. The provider shall coordinate mental health skill-building
services with the treatment plan established by the group home or assisted
living facility and shall document all coordination activities in the medical
record.
i. Limits and exclusions.
(1) Group home (Level A or B) and assisted living facility
providers shall not serve as the mental health skill-building services provider
for individuals residing in the provider's respective facility. Individuals
residing in facilities may, however, receive MHSS from another MHSS agency not
affiliated with the owner of the facility in which they reside.
(2) Mental health skill-building services shall not be
reimbursed for individuals who are receiving in-home residential services or
congregate residential services through the Intellectual Disability Waiver or
Individual and Family Developmental Disabilities Support Waiver.
(3) Mental health skill-building services shall not be
reimbursed for individuals who are also receiving services under the Department
of Social Services independent living program (22VAC40-151), independent living
services (22VAC40-131 and 22VAC40-151), or independent living arrangement
(22VAC40-131) or any Comprehensive Services Act-funded independent living
skills programs.
(4) Mental health skill-building services shall not be
available to individuals who are receiving treatment foster care
(12VAC30-130-900 et seq.).
(5) Mental health skill-building services shall not be
available to individuals who reside in intermediate care facilities for
individuals with intellectual disabilities or hospitals.
(6) Mental health skill-building services shall not be
available to individuals who reside in nursing facilities, except for up to 60
days prior to discharge. If the individual has not been discharged from the
nursing facility during the 60-day period of services, mental health
skill-building services shall be terminated and no further service
authorizations shall be available to the individual unless a provider can
demonstrate and document that mental health skill-building services are
necessary. Such documentation shall include facts demonstrating a change in the
individual's circumstances and a new plan for discharge requiring up to 60 days
of mental health skill-building services.
(7) Mental health skill-building services shall not be
available for residents of residential treatment centers (Level C facilities)
except for the intake code H0032 (modifier U8) in the seven days immediately
prior to discharge.
(8) Mental health skill-building services shall not be
reimbursed if personal care services or attendant care services are being
received simultaneously, unless justification is provided why this is necessary
in the individual's mental health skill-building services record. Medical record
documentation shall fully substantiate the need for services when personal care
or attendant care services are being provided. This applies to individuals who
are receiving additional services through the Intellectual Disability Waiver
(12VAC30-120-1000 et seq.), Individual and Family Developmental Disabilities
Support Waiver (12VAC30-120-700 et seq.), the Elderly or Disabled with Consumer
Direction Waiver (12VAC30-120-900 et seq.), and EPSDT services
(12VAC30-50-130).
(9) Mental health skill-building services shall not be
duplicative of other services. Providers shall be required to ensure that if an
individual is receiving additional therapeutic services that there will be
coordination of services by either the LMHP, LMHP-R, LMHP-RP, LMHP-S, QMHP-A,
QMHP-C, QMHP-E, or QPPMH to avoid duplication of services.
(10) Individuals who have organic disorders, such as delirium,
dementia, or other cognitive disorders not elsewhere classified, will be
prohibited from receiving mental health skill-building services unless their
physicians issue signed and dated statements indicating that the individuals
can benefit from this service.
(11) Individuals who are not diagnosed with a serious mental
health disorder but who have personality disorders or other mental health disorders,
or both, that may lead to chronic disability shall not be excluded from the
mental health skill-building services eligibility criteria provided that the
individual has a primary mental health diagnosis from the list included in
subdivision B 6 b (1) or B 6 c (2) of this section and that the provider can
document and describe how the individual is expected to actively participate in
and benefit from mental health skill-building services.
7. Mental health peer support services.
a. Mental health peer support services are peer recovery
support services and are nonclinical, peer-to-peer activities that engage,
educate, and support an individual's self-help efforts to improve health
recovery, resiliency, and wellness. Mental health peer support services for
adults is a person centered, strength-based, and recovery-oriented
rehabilitative service for individuals 21 years or older provided by a peer
recovery specialist successful in the recovery process with lived experience
with a mental health disorder, who is trained to offer support and assistance
in helping others in the recovery to reduce the disabling effects of a mental
health disorder that is the focus of support. Services assist the individual
with developing and maintaining a path to recovery, resiliency, and wellness.
Specific peer support service activities shall emphasize the acquisition,
development, and enhancement of recovery, resiliency, and wellness. Services
are designed to promote empowerment, self-determination, understanding, and
coping skills through mentoring and service coordination supports, as well as
to assist individuals in achieving positive coping mechanisms for the stressors
and barriers encountered when recovering from their illnesses or disorders.
b. Under the clinical oversight of the LMHP making the
recommendation for mental health support services, the peer recovery specialist
in consultation with his direct supervisor shall develop a recovery,
resiliency, and wellness plan based on the LMHP's recommendation for service, the
individual's perceived recovery needs, and any clinical assessments or service
specific provider intakes as defined in this section within 30 calendar days of
the initiation of service. Development of the recovery, resiliency, and
wellness plan shall include collaboration with the individual. Individualized
goals and strategies shall be focused on the individual's identified needs for
self-advocacy and recovery. The recovery, resiliency, and wellness plan shall
also include documentation of how many days per week and how many hours per
week are required to carry out the services in order to meet the goals of the
plan. The recovery, resiliency, and wellness plan shall be completed, signed,
and dated by the LMHP, the PRS, the direct supervisor, and the individual
within 30 calendar days of the initiation of service. The PRS shall act as an
advocate for the individual, encouraging the individual to take a proactive
role in developing and updating goals and objectives in the individualized
recovery planning.
c. Documentation of required activities shall be required as
set forth in 12VAC30-130-5200 A and, C, and E through J.
d. Limitations and exclusions to service delivery shall be the
same as set forth in 12VAC30-130-5210.
e. Individuals 21 years or older qualifying for mental health
peer support services shall meet the following requirements:
(1) Require recovery-oriented assistance and support services
for the acquisition of skills needed to engage in and maintain recovery; for
the development of self-advocacy skills to achieve a decreasing dependency on
formalized treatment systems; and to increase responsibilities, wellness
potential, and shared accountability for the individual's own recovery.
(2) Have a documented mental health disorder diagnosis.
(3) Demonstrate moderate to severe functional impairment
because of a diagnosis that interferes with or limits performance in at least
one of the following domains: educational (e.g., obtaining a high school or
college degree); social (e.g., developing a social support system); vocational
(e.g., obtaining part-time or full-time employment); self-maintenance (e.g.,
managing symptoms, understanding his illness, living more independently).
f. To qualify for continued mental health peer support
services, the requirements for continued services set forth in
12VAC30-130-5180 D shall be met medical necessity criteria shall
continue to be met, and progress notes shall document the status of progress
relative to the goals identified in the recovery, resiliency, and wellness plan.
g. Discharge criteria from mental health peer support services
is the same as set forth in 12VAC30-130-5180 E.
h. Mental health peer support services shall be rendered
on an individual basis or in a group.
i. Prior to service initiation, a documented recommendation
for mental health peer support services shall be made by a licensed mental
health professional acting within the scope of practice under state law The
recommendation shall verify that the individual meets the medical necessity criteria
set forth in subdivision 7 e of this subsection. The recommendation shall be
valid for no longer than 30 calendar days.
j. Effective July 1, 2017, a peer recovery specialist shall
have the qualifications, education, experience, and certification established
by DBHDS in order to be eligible to register with the Board of Counseling on or
after July 1, 2018. Upon the promulgation of regulations by the Board of
Counseling, registration of peer recovery specialists by the Board of
Counseling shall be required. The PRS shall perform mental health peer support
services under the oversight of the LMHP making the recommendation for services
and providing the clinical oversight of the recovery, resiliency, and wellness
plan. The PRS shall be employed by or have a contractual relationship with an
enrolled provider licensed for one of the following:
(1) Acute care general hospital licensed by the Department of
Health.
(2) Freestanding psychiatric hospital and inpatient
psychiatric unit licensed by the Department of Behavioral Health and
Developmental Services.
(3) Outpatient mental health clinic services licensed by the
Department of Behavioral Health and Developmental Services.
(4) Outpatient psychiatric services provider.
(5) Rural health clinics and federally qualified health
centers.
(6) Hospital emergency department services licensed by the
Department of Health.
(7) Community mental health and rehabilitative services
provider licensed by the Department of Behavioral Health and Developmental
Services as a provider of one of the following community mental health and
rehabilitative services defined in this section or 12VAC30-50-420 for which the
individual meets medical necessity criteria:
(a) Day treatment or partial hospitalization;
(b) Psychosocial rehabilitation;
(c) Crisis intervention;
(d) Intensive community treatment;
(e) Crisis stabilization;
(f) Mental health skill building; or
(g) Mental health case management.
k. Only the licensed and enrolled provider referenced in
subdivision 7 j of this subsection shall be eligible to bill mental health peer
support services. Payments shall not be permitted to providers that fail to
enter into an enrollment agreement with DMAS or its contractor. Reimbursement
shall be subject to retraction for any billed service that is determined to not
to be in compliance with DMAS requirements.
l. Supervision of the PRS shall be required as set forth in 12VAC30-130-5190
E and 12VAC30-130-5200 G the definition of "supervision" in
12VAC30-130-5160. Supervision of the PRS shall also meet the following
requirements: the supervisor shall be under the clinical oversight of the LMHP
making the recommendation for services, and the peer recovery specialist in
consultation with his direct supervisor shall conduct and document a review of
the recovery, resiliency, and wellness plan every 90 calendar days with the
individual and the caregiver, as applicable. The review shall be signed by the
PRS and the individual and, as applicable, the identified family member or
caregiver. Review of the recovery, resiliency, and wellness plan means the PRS
evaluates and updates the individual's progress every 90 days toward meeting
the plan's goals and documents the outcome of this review in the individual's
medical record. For DMAS to determine that these reviews are complete, the
reviews shall (i) update the goals and objectives as needed to reflect any
change in the individual's recovery as well as any newly identified needs, (ii)
be conducted in a manner that enables the individual to actively participate in
the process, and (iii) be documented by the PRS in the individual's medical
record no later than 15 calendar days from the date of the review.
12VAC30-130-5170. Peer support services and family support
partners: service definitions.
A. ARTS peer support services and ARTS family support
partners are peer recovery support services and are nonclinical, peer-to-peer
activities that engage, educate, and support an individual's, and as applicable
the caregiver's, self-help efforts to improve health recovery, resiliency, and
wellness. These services shall be available to either:
1. Individuals 21 years of age or older with mental health or
substance use disorders or co-occurring mental health and substance use
disorders that are the focus of the support; or
2. The caregiver of individuals younger than 21 years of age
with mental health or substance use disorders or co-occurring mental health and
substance use disorders that are the focus of the support.
3. Individuals 18 through 20 years of age who meet the medical
necessity criteria set forth in 12VAC30-130-5180 A who would benefit from
receiving peer supports directly, and who choose to receive ARTS peer support
services directly instead of through their family shall be permitted to receive
peer support services by an appropriate PRS.
B. ARTS peer support services for adults is a person
centered, strength-based, and recovery-oriented rehabilitative service for
individuals 21 years of age or older provided by a peer recovery specialist
successful in the recovery process with lived experience with substance use
disorders or co-occurring mental health and substance use disorders who is
trained to offer support and assistance in helping others in recovery to reduce
the disabling effects of a mental health or substance use disorder or
co-occurring mental health and substance use disorder that is the focus of
support. Services assist the individual with developing and maintaining a path
to recovery, resiliency, and wellness. Specific peer support service activities
shall emphasize the acquisition, development, and enhancement of recovery,
resiliency, and wellness. Services are designed to promote empowerment,
self-determination, understanding, and coping skills through mentoring and
service coordination supports, as well as to assist individuals in achieving
positive coping mechanisms for the stressors and barriers encountered when
recovering from their illness or disorder.
C. ARTS family Family support partners is a
peer support service and a strength-based, individualized service provided to
the caregiver of a Medicaid-eligible individual younger than 21 years of age
with a mental health or substance use disorder or co-occurring mental health and
substance use disorder that is the focus of support. The services provided to
the caregiver and the individual must be directed exclusively toward the
benefit of the Medicaid-eligible individual. Services are expected to improve
outcomes for an individual younger than 21 years of age with complex needs who
is involved with multiple systems and increase the individual's and family's
confidence and capacity to manage their own services and supports while
promoting recovery and healthy relationships. These services are rendered by a
PRS who is (i) a parent of a minor or adult child with a similar substance use
disorder or co-occurring mental health and substance use disorder or (ii) an
adult with personal experience with a family member with a similar mental
health or substance use disorder or co-occurring mental health and substance
use disorder with experience navigating substance use or behavioral health care
services. The PRS shall perform the service within the scope of his knowledge,
lived experience, and education.
D. ARTS peer support services shall be rendered on an
individual basis or in a group.
12VAC30-130-5190. Peer support services and family support
partners: provider and setting requirements.
A. Effective July 1, 2017, a peer recovery specialist shall
have the qualifications, education, and experience established by DBHDS and
show certification in good standing by the U.S. Department of Veterans Affairs,
NAADAC - the Association of Addiction Professionals, a member board of the
International Certification and Reciprocity Consortium, or any other certifying
body or state certification with standards comparable to or higher than those
specified by DBHDS to be eligible to register with the Board of Counseling on
or after July 1, 2018. Upon the promulgation of regulations by the Board of
Counseling, registration of peer recovery specialists by the Board of
Counseling shall be required.
B. Prior to service initiation, a documented recommendation
for service by a practitioner who meets clauses (i) through (xii) of the
definition of "credentialed addiction treatment professional" found
in 12VAC30-130-5020 and who is acting within his scope of practice under state
law shall be required. A certified substance abuse counselor, as defined in § 54.1-3507.1
of the Code of Virginia, may also provide a documented recommendation for
service if he is acting under the supervision or direction of a licensed
substance use treatment practitioner or licensed mental health professional.
The PRS shall perform ARTS peer services under the oversight of the
practitioner described in this subsection making the recommendation for
services and providing the clinical oversight of the recovery, resiliency, and
wellness plan. The recommendation shall verify that the individual meets the
medical necessity criteria set forth in 12VAC30-130-5180 A or B, as applicable.
C. The PRS shall be employed by or have a contractual
relationship with the enrolled provider licensed for one of the following:
1. Acute care general hospital (ASAM Level 4.0) licensed by
the Department of Health as defined in 12VAC30-130-5150.
2. Freestanding psychiatric hospital or inpatient psychiatric
unit (ASAM Levels 3.5 and 3.7) licensed by the Department of Behavioral Health
and Developmental Services as defined in 12VAC30-130-5130 and 12VAC30-130-5140.
3. Residential placements (ASAM Levels 3.1, 3.3, 3.5, and 3.7)
licensed by the Department of Behavioral Health and Developmental Services as
defined in 12VAC30-130-5110 through 12VAC30-130-5140.
4. ASAM Levels 2.1 and 2.5, licensed by the Department of
Behavioral Health and Developmental Services as defined in 12VAC30-130-5090 and
12VAC30-130-5100.
5. ASAM Level 1.0 as defined in 12VAC30-30-5080.
6. Opioid treatment services as defined in 12VAC30-130-5050.
7. Office-based opioid treatment as defined in
12VAC30-130-5060.
8. Hospital emergency department services licensed by the
Department of Health.
9. Pharmacy services licensed by the Department of Health.
D. Only a licensed and enrolled provider referenced in subsection
C of this section shall be eligible to bill and receive reimbursement from DMAS
or its contractor for ARTS peer support services. Payments shall not be
permitted to providers that fail to enter into an enrollment agreement with
DMAS or its contractor. Reimbursement shall be subject to retraction for any
billed service that is determined to not to be in compliance with DMAS
requirements.
E. The direct supervisor, as defined in 12VAC30-130-5160,
shall perform direct supervision of the PRS as needed based on the level of
urgency and intensity of service being provided. The direct supervisor shall
have an employment or contract relationship with the same provider entity that
employs or contracts with the PRS. Direct supervisors shall maintain documentation
of all supervisory sessions. In no instance shall supervisory sessions be
performed less than as provided below:
1. If the PRS has less than 12 months experience delivering
ARTS peer support services or ARTS family support partners, he shall receive
face-to-face, one-to-one supervisory meetings of sufficient length to address
identified challenges for a minimum of 30 minutes, two times a month. The
direct supervisor must be available at least by telephone while the PRS is on
duty.
2. If the PRS has been delivering ARTS peer recovery services
over 12 months and fewer than 24 months, he must receive monthly face-to-face,
one-to-one supervision of sufficient length to address identified challenges
for a minimum of 30 minutes. The direct supervisor must be available by
telephone for consult within 24 hours of service delivery if needed for
challenging situations.
F. The caseload assignment of a full-time PRS shall not
exceed 12 to 15 individuals at any one time and 30 to 40 individuals
annually allowing for new case assignments as those on the existing
caseload begin to self-manage with less support. The caseload assignment of a
part-time PRS shall not exceed six to nine individuals at any one time and
15 annually. There are no minimum limits for full-time or part-time PRS
caseloads.
VA.R. Doc. No. R19-5386; Filed December 12, 2018, 3:15 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Fast-Track Regulation
Title of Regulation: 12VAC30-130. Amount, Duration,
and Scope of Selected Services (repealing 12VAC30-130-3000 through
12VAC30-130-3030).
Statutory Authority: § 32.1-325 of the Code of
Virginia; 42 USC § 1396 et seq.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Emily McClellan, Regulatory Supervisor,
Policy Division, Department of Medical Assistance Services, 600 East Broad
Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX
(804) 786-1680, or email emily.mcclellan@dmas.virginia.gov.
Basis: Section 32.1-325 of the Code of Virginia
grants to the Board of Medical Assistance Services the authority to administer
and amend the State Plan for Medical Assistance. Section 32.1-324 of the
Code of Virginia authorizes the Director of the Department of Medical
Assistance Services (DMAS) to administer and amend the State Plan for Medical
Assistance according to the board's requirements. The Medicaid authority as
established by § 1902(a) of the Social Security Act (42 USC § 1396a) provides
governing authority for payments for services.
Purpose: This purpose of this action is to repeal the
regulations associated with the Virginia Independent Clinical Assessment
Program (VICAP), which ended on November 30, 2016. The action supports the
public health, safety, and welfare by removing outdated, unnecessary
regulations from the Virginia Administrative Code and providing improved access
to care for qualified Medicaid members.
Rationale for Using Fast-Track Rulemaking Process: This
regulatory action is being promulgated as a fast-track rulemaking action
because it is not expected to be controversial. DMAS reduced the number of
provider obligations when it ended the VICAP program, and repealing these
regulations is a clean-up item.
Substance: VICAP was created in 2011 to better manage
access to select Medicaid-funded community mental health rehabilitative (CMHR)
services, such as intensive in-home, therapeutic day treatment, and mental
health support services, for children and adults up to age 21. The community
services boards (CSBs) served as partners with the Commonwealth, conducting
VICAP assessments during the time period that the VICAP was required for
service authorization of select CMHR services.
Based on a comprehensive review of the behavior health services
administrator's (BHSA) administrative functions, which include medical
necessity review, level of care assessments, and authorization of services, and
a DMAS evaluation of data relative to VICAP assessments, it was determined in
August 2016 that the VICAP was no longer needed to ensure appropriate access to
services. Providers were notified in a DMAS Memorandum dated August 30, 2016,
that the VICAP assessment would do longer be required as of December 1, 2016.
As of today, these functions are performed by the Commonwealth
Coordinated Care Plus Medicaid managed care organizations for their enrolled
members. The BHSA continues to perform these functions for individuals enrolled
in fee-for-service and individuals enrolled in the Medallion 3.0 and Family
Access to Medical Insurance Security programs, until those individuals are
rolled into the Medallion 4.0 program, beginning on August 1, 2018.
Issues: The primary advantages of this action, to both
the public and the agency, are the removal of outdated, unnecessary regulations
from the Virginia Administrative Code and improved access to care for qualified
Medicaid members.
These changes create no disadvantages to the public, the
agency, the Commonwealth, or the regulated community.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Medical Assistance Services (Board) proposes to repeal the regulation for the
Virginia Independent Clinical Assessment Program (VICAP).
Result of Analysis. The benefits likely exceed the costs for
the proposed regulation.
Estimated Economic Impact. The board proposes to repeal the
VICAP regulation. The VICAP was designed to better manage access to several Community
Mental Health Rehabilitative Services (CMHRS) by requiring providers to obtain
an independent clinical assessment to determine that these CMHRS services were
clinically appropriate. These services were Intensive In-Home Services,
Therapeutic Day Treatment, and Mental Health Skill Building for individuals up
to the age of 21.
The VICAP was implemented in 2011 as an interim measure until
the Department of Medical Assistance Services (DMAS) could finalize a contract
with a behavioral health services administrator (BHSA). The community services
boards (CSBs) were partners with the Commonwealth conducting VICAP assessments.
In fiscal year 2016, a monthly average of 1,700 unique members were assessed
for services at a cost of $5.2 million.
In a memo to providers dated August 30, 2016, DMAS concluded:1
Based on a comprehensive review of Magellan's [BHSA] current
administrative functions and the Department's evaluation of data relative to
VICAP assessments, DMAS has determined that the VICAP is no longer needed to
ensure appropriate access to services. Given Magellan's functions including
medical necessity review, level of care assessment, and authorization of
services, the role previously fulfilled by CSBs can now be fulfilled by
Magellan within its existing process. Therefore, starting December 1, 2016,
VICAP assessments will not be required to access Medicaid community mental
health services and DMAS will not reimburse for VICAPs conducted on or after
December 1, 2016.
In lieu of a VICAP assessment, CMH providers will document
medical necessity for each individual in accordance with specific service
definitions as defined in the Magellan agreement and DMAS provider policy
manuals.
Since the termination of the VICAP in 2016, as allowed in the
budget mandates of Item 301 OO and Item 301 PP of Chapter 665 of the 2015 Acts
of Assembly,2 DMAS allocated the funds to be used in standardizing
the care coordination requirements for individuals needing a residential level
of care. This was the implementation of the Independent Assessment and Care
Coordination Team (IACCT) on July 1, 2017.
DMAS has also been in the process of transitioning the CMHRS
services into contracted Medicaid Managed Care Organizations (MCOs).
Responsibility for the management of CMHRS services for individuals enrolled in
Commonwealth Coordinated Care (CCC) Plus was transitioned from the BHSA to the
CCC Plus MCOs on January 1, 2018. CMHR services were included in the Medicaid
Managed Care Program, Medallion 4.0, beginning on August 1, 2018 with regional
rollouts. Individuals enrolled in the Medallion 3.0 Managed Care program and
the Family Access to Medical Insurance Security (FAMIS) program will transition
to Medallion 4.0 statewide by December 31, 2018.
Since the VICAP was effectively terminated in 2016, the repeal
of this regulation is not expected to create any economic impact upon
promulgation beyond improving the consistency between the regulatory language
and the current practice. When the termination was implemented in 2016,
however, VICAP expenditures received by CSBs until that time were effectively
redirected to the contracted BHSA to help fund the IACCT process for children
needing residential treatment. The BHSA, and starting January 1, 2018, the
Medicaid MCOs are now fulfilling the functions including medical necessity
review, level of care assessment and authorization of services.
Businesses and Entities Affected. The proposed repeal of the
regulation is not expected to affect any specific entity upon promulgation but
likely to benefit the public and the providers by improving the consistency
between practice and regulatory language.
Localities Particularly Affected. The proposed regulation does
not disproportionately affect particular localities.
Projected Impact on Employment. No impact on employment is
expected upon promulgation.
Effects on the Use and Value of Private Property. No impact on
the use and value of private property is expected upon promulgation.
Real Estate Development Costs. No impact on real estate
development costs is expected upon promulgation.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects
The proposed regulation will not have costs and other effects
on small businesses upon promulgation.
Alternative Method that Minimizes Adverse Impact. The proposed
regulation will not adversely affect small businesses upon promulgation.
Adverse Impacts:
Businesses. The proposed regulation will not adversely affect
businesses upon promulgation.
Localities. The proposed regulation will not adversely affect
localities upon promulgation.
Other Entities. The proposed regulation will not adversely
affect other entities upon promulgation.
__________________________
1https://www.ecm.virginiamedicaid.dmas.virginia.gov/WorkplaceXT/getContent?impersonate=true&id=%7b78F5CC12-BA98-48C8-9429-084A813E1976%7d&vsId=%7bB114AB78-512B-42F6-ACD9-F87A630D8C54%7d&objectType=document&objectStoreName=VAPRODOS1
2https://budget.lis.virginia.gov/item/2015/1/HB1400/Chapter/1/301/
Agency's Response to Economic Impact Analysis: The
agency has reviewed the economic impact analysis prepared by the Department of
Planning and Budget and concurs with this analysis.
Summary:
The action repeals the regulations associated with the
Virginia Independent Clinical Assessment Program, which ended on November 30,
2016.
Part XVIII
Behavioral Health Services (Repeal)
12VAC30-130-3000. Behavioral health services. (Repealed.)
A. Behavioral health services that shall be covered only
for individuals from birth through 21 years of age are set out in
12VAC30-50-130 B 5 and include: (i) intensive in-home services (IIH), (ii)
therapeutic day treatment (TDT), (iii) community based services for children
and adolescents (Level A), and (iv) therapeutic behavioral services (Level B).
B. Behavioral health services that shall be covered for
individuals regardless of age are set out in 12VAC30-50-226 and include: (i)
day treatment/partial hospitalization, (ii) psychosocial rehabilitation, (iii)
crisis intervention, (iv) case management as set out in 12VAC30-50-420 and
12VAC30-50-430, (v) intensive community treatment (ICT), (vi) crisis
stabilization services, and (vii) mental health support services (MHSS).
12VAC30-130-3010. Definitions. (Repealed.)
The following words and terms when used in these
regulations shall have the following meanings unless the context clearly
indicates otherwise:
"Behavioral health authority" or "BHA"
means the local agency that administers services set out in § 37.2-601 of
the Code of Virginia.
"Behavioral health services administrator" or
"BHSA" means an entity that manages or directs a behavioral health
benefits program under contract with DMAS.
"Community services board" or "CSB"
means the local agency that administers services set out in § 37.2-500 of
the Code of Virginia.
"DMAS" means the Department of Medical
Assistance Services.
"Independent assessor" means a professional who
performs the independent clinical assessment who may be employed by either the
behavioral health services administrator, community services boards/behavioral
health authorities (CSBs/BHAs) or their subcontractors.
"Independent clinical assessment" or
"ICA" means the assessment that is performed under contract with DMAS
either by the behavioral health services administrator or the CSB/BHA, or its
subcontractor, prior to the initiation of (i) intensive in-home (IIH) services
or therapeutic day treatment (TDT) as set out in 12VAC30-50-130 and (ii) mental
health support services (MHSS) for children and adolescents (MHSS) as set out
in 12VAC30-50-226.
"VICAP" means the form entitled Virginia
Independent Clinical Assessment Program that is required to record an
individual's independent clinical assessment information.
12VAC30-130-3020. Independent clinical assessment requirements;
behavioral health level of care determinations and service eligibility. (Repealed.)
A. The independent clinical assessment (ICA), as set forth
in the Virginia Independent Assessment Program (VICAP-001) form, shall contain
the Medicaid individual-specific elements of information and data that shall be
required for an individual younger than the age of 21 to be approved for
intensive in-home (IIH) services, therapeutic day treatment (TDT), or mental
health support services (MHSS) or any combination thereof. Eligibility
requirements for IIH are in 12VAC30-50-130 B 5 b. Eligibility requirements for
TDT are in 12VAC30-50-130 B 5 c. Eligibility requirements for MHSS are in
12VAC30-50-226 B 8.
1. The required elements in the ICA shall be specified in
the VICAP form with either the BHSA or CSBs/BHAs and DMAS.
2. Service recommendations set out in the ICA shall not be
subject to appeal.
B. Independent clinical assessment requirements.
1. Effective July 18, 2011, an ICA shall be required as a
part of the service authorization process for Medicaid and Family Access to
Medical Insurance Security (FAMIS) intensive in-home (IIH) services,
therapeutic day treatment (TDT), or mental health support services (MHSS) for
individuals up to the age of 21. This ICA shall be performed prior to
the request for service authorization and initiation of treatment for
individuals who are not currently receiving or authorized for services. The ICA
shall be completed prior to the service provider conducting an intake or
providing treatment.
a. Each individual shall have at least one ICA prior to the
initiation of either IIH or TDT, or MHSS for individuals up to the age of 21.
b. For individuals who are already receiving IIH services
or TDT, or MHSS, as of July 18, 2011, the requirement for a completed ICA shall
be effective for service reauthorizations for dates of services on and after
September 1, 2011.
c. Individuals who are being discharged from residential
treatment (DMAS service Levels A, B, or C) or inpatient psychiatric hospitalization
do not need an ICA prior to receiving community IIH services or TDT, or MHSS.
They shall be required, however, to have an ICA as part of the first subsequent
service reauthorization for IIH services, TDT, MHSS, or any combination
thereof.
2. The ICA shall be completed and submitted to DMAS or its
service authorization contractor by the independent assessor prior to the
service provider submitting the service authorization or reauthorization
request to the DMAS service authorization contractor. Failure to meet these
requirements shall result in the provider's service authorization or
reauthorization request being returned to the provider.
3. A copy of the ICA shall be retained in the service
provider's individual's file.
4. If a service provider receives a request from parents or
legal guardians to provide IIH services, TDT, or MHSS for individuals who are
younger than 21 years of age, the service provider shall refer the parent or
legal guardian to the BHSA or the local CSB/BHA to obtain the ICA prior to
providing services.
a. In order to provide services, the service provider shall
be required to conduct a service-specific provider intake as defined in
12VAC30-50-130.
b. If the selected service provider concurs that the child
meets criteria for the service recommended by the independent assessor, the
selected service provider shall submit a service authorization request to DMAS
service authorization contractor. The service-specific provider's intake for
IIH services, TDT, or MHSS shall not occur prior to the completion of the ICA
by the BHSA or CSB/BHA, or its subcontractor.
c. If within 30 days after the ICA a service provider
identifies the need for services that were not recommended by the ICA, the
service provider shall contact the independent assessor and request a
modification. The request for a modification shall be based on a significant
change in the individual's life that occurred after the ICA was conducted.
Examples of a significant change may include, but shall not be limited to,
hospitalization; school suspension or expulsion; death of a significant other;
or hospitalization or incarceration of a parent or legal guardian.
d. If the independent assessment is greater than 30 days
old, a new ICA must be obtained prior to the initiation of IIH services, TDT,
or MHSS for individuals younger than 21 years of age.
e. If the parent or legal guardian disagrees with the ICA
recommendation, the parent or legal guardian may appeal the recommendation in
accordance with Part I (12VAC30-110-10 et seq.) In the alternative, the parent
or legal guardian may request that a service provider perform his own
evaluation. If after conducting a service-specific provider intake the service
provider identifies additional documentation previously not submitted for the
ICA that demonstrates the service is medically necessary and clinically
indicated, the service provider may submit the supplemental information with a
service authorization request to the DMAS service authorization contractor. The
DMAS service authorization contractor will review the service authorization
submission and the ICA and make a determination. If the determination results
in a service denial, the individual, parent or legal guardian, and service
provider will be notified of the decision and their appeal rights pursuant to
Part I (12VAC30-110-10 et seq.).
5. If the individual is in immediate need of treatment, the
independent clinical assessor shall refer the individual to the appropriate
enrolled Medicaid emergency services providers in accordance with
12VAC30-50-226 and shall also alert the individual's managed care organization.
C. Requirements for behavioral health services
administrator and community services boards/behavioral health authorities.
1. When the BHSA, CSB, or BHA has been contacted by the
parent or legal guardian, the ICA appointment shall be offered within five
business days of a request for IIH services and within 10 business days for a
request for TDT or MHSS, or both. The appointment may be scheduled beyond the
respective time frame at the documented request of the parent or legal
guardian.
2. The independent assessor shall conduct the ICA with the
individual and the parent or legal guardian using the VICAP-001 form and make a
recommendation for the most appropriate medically necessary services, if
indicated. Referring or treating providers shall not be present during the
assessment but may submit supporting clinical documentation to the assessor.
3. The ICA shall be effective for a 30-day period.
4. The independent assessor shall enter the findings of the
ICA into the DMAS service authorization contractor's web portal within one
business day of conducting the assessment. The independent clinical assessment
form (VICAP-001) shall be completed by the independent assessor within three
business days of completing the ICA.
D. The individual or his parent or legal guardian shall
have the right to freedom of choice of service providers.
12VAC30-130-3030. Application to services. (Repealed.)
A. Intensive in-home (IIH) services.
1. Prior to the provision of IIH services, an independent
clinical assessment shall be conducted by a person who meets the licensed
mental health professional definition found at 12VAC35-105-20 and who is either
employed by or contracted with a behavioral health services administrator
(BHSA), community services board (CSB), behavioral health authority (BHA), or a
subcontractor to the BHSA, CSB, or BHA in accordance with DMAS approval.
2. IIH services that are rendered in the absence of the
required prior independent clinical assessment shall not be reimbursed.
B. Therapeutic day treatment (TDT) services.
1. Prior to the provision of TDT services, an independent
clinical assessment shall be conducted by a person who meets the licensed
mental health professional definition found at 12VAC35-105-20 and who is
employed by or contracted with a BHSA, CSB, BHA, or the subcontractor of the
BHSA, CSB, or BHA in accordance with DMAS approval.
2. TDT services that are rendered in the absence of the
required prior independent clinical assessment shall not be reimbursed.
C. Mental health support services (MHSS).
1. Prior to the provision of MHSS, an independent clinical
assessment, as defined in 12VAC30-130-3010, shall be conducted by a person who
meets the licensed mental health professional definition found at
12VAC35-105-20 and who is employed by or contracted with a BHSA, CSB or BHA, or
a subcontractor of a BHSA, CSB, or BHA in accordance with DMAS approval.
2. MHSS rendered in the absence of the required prior
independent clinical assessment shall not be reimbursed.
D. Other Medicaid-covered community mental health
services. DMAS may apply the independent clinical assessment requirement to any
of the other Medicaid-covered community mental health services set out in
12VAC30-50-130 and 12VAC30-50-226 with appropriate and timely notice to
providers. In such situations, DMAS shall not deny coverage to providers'
claims for these affected services absent at least a 30-day notice of this
change.
VA.R. Doc. No. R19-5568; Filed December 12, 2018, 3:53 p.m.
TITLE 12. HEALTH
STATE BOARD OF BEHAVIORAL HEALTH AND DEVELOPMENTAL SERVICES
Fast-Track Regulation
Title of Regulation: 12VAC35-105. Rules and
Regulations for Licensing Providers by the Department of Behavioral Health and
Developmental Services (amending 12VAC35-105-20).
Statutory Authority: § 37.2-203 of the Code of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Emily Bowles, Legal Coordinator, Office
of Licensing, Department of Behavioral Health and Developmental Services, 1220
Bank Street, P.O. Box 1797, Richmond, VA 23218, telephone (804) 225-3281, FAX
(804) 692-0066, TTY (804) 371-8977, or email emily.bowles@dbhds.virginia.gov.
Basis: Sections 37.2-203 and 37.2-304 of the Code of
Virginia authorize the Board of Behavioral Health and Development Services to
adopt regulations that may be necessary to carry out the provisions of Title
37.2 of the Code of Virginia and other laws of the Commonwealth administered by
the Commissioner and the Department of Behavioral Health and Development
Services.
Purpose: This change is made at the request of the
Department of Medical Assistance Services to create alignment between that
agency's regulations and 12VAC35-105 for all staff qualifications for
reimbursement purposes.
Psychiatric and mental health nurse practitioners work with
mental health patients of all ages and may specialize in a specific age
population. A licensed psychiatric/mental health nurse practitioner (PMHNP) can
practice in a variety of locations including, but not limited to, in-patient psychiatric
facilities, state psychiatric facilities, correctional facilities, mental
health centers, home health locations, and schools. By adding this profession
to the definition of who can be considered a licensed mental health
practitioner, it facilitates more trained professionals to be available to
provide services.
Rationale for Using Fast-Track Rulemaking Process: The
amendments are noncontroversial. One nursing category is already included in
the definition (certified psychiatric clinical nurse specialist); this newly
added category is similar but distinct from the clinical nurse specialist. The
Medicaid funding stream for reimbursement of services is available to both
categories.
Substance: The current
licensing regulations are amended to read as follows:
"Licensed mental health professional (LMHP)" means a
physician, licensed clinical psychologist, licensed professional counselor,
licensed clinical social worker, licensed substance abuse treatment
practitioner, licensed marriage and family therapist, certified psychiatric
clinical nurse specialist, licensed behavioral analyst, or licensed
psychiatric/mental health nurse practitioner.
Issues: There are no identified disadvantages to the
public or the Commonwealth in making this change. By adding this profession to
the definition of who can be considered an LMHP, more trained professionals are
available to provide services. This is an advantage to PMHNPs and individuals
in need of services because it opens the Medicaid funding stream for
reimbursement of services.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. Pursuant to a
request from the Department of Medical Assistance Services (DMAS), the State
Board of Behavioral Health and Developmental Services (Board) proposes to add
"licensed psychiatric/mental health nurse practitioner" to the list
of professions within the definition of licensed mental health professional
(LMHP).
Result of Analysis. The benefits likely exceed the costs for
all proposed changes.
Estimated Economic Impact. Department of Behavioral Health and
Developmental Services (DBHDS) regulations require supervision of mental
health, substance abuse, or co-occurring services that are of an acute or
clinical nature such as outpatient, inpatient, intensive in-home, or day
treatment to be provided by an LMHP or a mental health professional who is
license-eligible and registered with a board of the Department of Health
Professions. DBHDS regulations currently include the following professions as
LMHPs: physician, licensed clinical psychologist, licensed professional
counselor, licensed clinical social worker, licensed substance abuse treatment
practitioner, licensed marriage and family therapist, or certified psychiatric
clinical nurse specialist.
Adding licensed psychiatric/mental health nurse
practitioner (PMHNP) to the definition of licensed mental health
professionals would allow PMHNPs to supervise and shape services and to
effectively include their practice methods into the services provided to
individuals. PMHNPs would be able to supervise and direct courses of treatment
for individuals receiving mental health, substance abuse, or concurring
services that are of an acute or clinical nature. This would enable service
providers more options for staff that can supervise direct courses of
treatment. PMHNPs may only supervise work that falls within their scope of
practice.
Allowing providers more options for staff who can supervise
direct courses of treatment would be beneficial for providers. Enabling PMHNPs to
perform work that the current regulation does not permit would be beneficial
for these professionals. Since PMHNPs may only supervise work that falls within
their scope of practice, there is no increased risk to patients. Thus, the
proposed amendment would likely produce a net benefit.
Businesses and Entities Affected. The proposed amendment
potentially affects the approximate 1,300 licensed service providers,1 363 PMHNPs, and patients served by the service
providers. The majority of the service providers would qualify as a small
business.2
Localities Particularly Affected. The proposed amendment does
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendment may
increase employment opportunities for PMHNPs.
Effects on the Use and Value of Private Property. The proposed
amendment may increase demand for services from PMHNPs. Consequently, the value
of firms that employ PMHNPs may moderately increase.
Real Estate Development Costs. The proposed amendment does not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. By allowing providers more options for
staff who can supervise direct courses of treatment, the proposed amendment may
reduce costs for some small service providers.
Alternative Method that Minimizes Adverse Impact. The proposed
amendment does not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendment does not adversely affect
businesses.
Localities. The proposed amendment does not adversely affect
localities.
Other Entities. The proposed amendment does not adversely
affect other entities.
____________________________
1Provider is defined as "any person, entity, or
organization, excluding an agency of the federal government by whatever name or
designation, that delivers (i) services to individuals with mental illness,
mental retardation (intellectual disability), or substance abuse (substance use
disorders), (ii) services to individuals who receive day support, in-home
support, or crisis stabilization services funded through the IFDDS Waiver, or
(iii) residential services for individuals with brain injury…" See https://law.lis.virginia.gov/admincode/title12/agency35/chapter105/section
20/. Not all providers use LMHPs.
2Data Source: Department of Behavioral Health and
Developmental Services
Agency's Response to Economic Impact Analysis: The
agency concurs with the Department of Planning and Budget's economic impact
analysis.
Summary:
The amendment adds licensed psychiatric/mental health nurse
practitioner to the definition of "licensed mental health
professional."
Article 2
Definitions
12VAC35-105-20. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Abuse" (§ 37.2-100 of the Code of Virginia) means
any act or failure to act by an employee or other person responsible for the
care of an individual in a facility or program operated, licensed, or funded by
the department, excluding those operated by the Virginia Department of
Corrections, that was performed or was failed to be performed knowingly,
recklessly, or intentionally, and that caused or might have caused physical or
psychological harm, injury, or death to a person receiving care or treatment
for mental illness, mental retardation (intellectual disability), or substance
abuse (substance use disorders). Examples of abuse include acts such as:
1. Rape, sexual assault, or other criminal sexual behavior;
2. Assault or battery;
3. Use of language that demeans, threatens, intimidates, or
humiliates the person;
4. Misuse or misappropriation of the person's assets, goods,
or property;
5. Use of excessive force when placing a person in physical or
mechanical restraint;
6. Use of physical or mechanical restraints on a person that
is not in compliance with federal and state laws, regulations, and policies,
professional accepted standards of practice, or the person's individualized
services plan;
7. Use of more restrictive or intensive services or denial of
services to punish the person or that is not consistent with his individualized
services plan.
"Activities of daily living" or "ADLs"
means personal care activities and includes bathing, dressing, transferring,
toileting, grooming, hygiene, feeding, and eating. An individual's degree of
independence in performing these activities is part of determining the
appropriate level of care and services.
"Admission" means the process of acceptance into a
service as defined by the provider's policies.
"Authorized representative" means a person
permitted by law or 12VAC35-115 to authorize the disclosure of information or
consent to treatment and services or participation in human research.
"Behavior intervention" means those principles and
methods employed by a provider to help an individual receiving services to
achieve a positive outcome and to address challenging behavior in a
constructive and safe manner. Behavior intervention principles and methods must
be employed in accordance with the individualized services plan and written
policies and procedures governing service expectations, treatment goals,
safety, and security.
"Behavioral treatment plan," "functional
plan," or "behavioral support plan" means any set of documented
procedures that are an integral part of the individualized services plan and
are developed on the basis of a systematic data collection, such as a
functional assessment, for the purpose of assisting individuals to achieve the
following:
1. Improved behavioral functioning and effectiveness;
2. Alleviation of symptoms of psychopathology; or
3. Reduction of challenging behaviors.
"Brain injury" means any injury to the brain that
occurs after birth, but before age 65, that is acquired through traumatic or
nontraumatic insults. Nontraumatic insults may include anoxia, hypoxia,
aneurysm, toxic exposure, encephalopathy, surgical interventions, tumor, and
stroke. Brain injury does not include hereditary, congenital, or degenerative
brain disorders or injuries induced by birth trauma.
"Care" or "treatment" means the
individually planned therapeutic interventions that conform to current acceptable
professional practice and that are intended to improve or maintain functioning
of an individual receiving services delivered by a provider.
"Case management service" means services that can
include assistance to individuals and their family members in assessing needed
services that are responsive to the person's individual needs. Case management
services include: identifying potential users of the service; assessing needs
and planning services; linking the individual to services and supports; assisting
the individual directly to locate, develop, or obtain needed services and
resources; coordinating services with other providers; enhancing community
integration; making collateral contacts; monitoring service delivery; discharge
planning; and advocating for individuals in response to their changing needs.
"Case management service" does not include maintaining service
waiting lists or periodically contacting or tracking individuals to determine
potential service needs.
"Clinical experience" means providing direct
services to individuals with mental illness or the provision of direct
geriatric services or special education services. Experience may include
supervised internships, practicums, and field experience.
"Commissioner" means the Commissioner of the
Department of Behavioral Health and Developmental Services.
"Community gero-psychiatric residential services"
means 24-hour care provided to individuals with mental illness, behavioral
problems, and concomitant health problems who are usually age 65 or older in a
geriatric setting that is less intensive than a psychiatric hospital but more
intensive than a nursing home or group home. Services include assessment and
individualized services planning by an interdisciplinary services team, intense
supervision, psychiatric care, behavioral treatment planning and behavior
interventions, nursing, and other health related services.
"Community intermediate care facility/mental retardation
(ICF/MR)" means a residential facility in which care is provided to
individuals who have mental retardation (intellectual disability) or a
developmental disability who need more intensive training and supervision than
may be available in an assisted living facility or group home. Such facilities
shall comply with Title XIX of the Social Security Act standards and federal
certification requirements, provide health or rehabilitative services, and
provide active treatment to individuals receiving services toward the
achievement of a more independent level of functioning or an improved quality
of life.
"Complaint" means an allegation of a violation of
these regulations or a provider's policies and procedures related to these
regulations.
"Co-occurring disorders" means the presence of more
than one and often several of the following disorders that are identified
independently of one another and are not simply a cluster of symptoms resulting
from a single disorder: mental illness, mental retardation (intellectual
disability), or substance abuse (substance use disorders); brain injury; or
developmental disability.
"Co-occurring services" means individually planned
therapeutic treatment that addresses in an integrated concurrent manner the
service needs of individuals who have co-occurring disorders.
"Corrective action plan" means the provider's
pledged corrective action in response to cited areas of noncompliance
documented by the regulatory authority. A corrective action plan must be
completed within a specified time.
"Correctional facility" means a facility operated
under the management and control of the Virginia Department of Corrections.
"Crisis" means a deteriorating or unstable
situation often developing suddenly or rapidly that produces acute, heightened,
emotional, mental, physical, medical, or behavioral distress; or any situation
or circumstance in which the individual perceives or experiences a sudden loss
of his ability to use effective problem-solving and coping skills.
"Crisis stabilization" means direct, intensive
nonresidential or residential direct care and treatment to nonhospitalized
individuals experiencing an acute crisis that may jeopardize their current
community living situation. Crisis stabilization is intended to avert
hospitalization or rehospitalization; provide normative environments with a
high assurance of safety and security for crisis intervention; stabilize individuals
in crisis; and mobilize the resources of the community support system, family
members, and others for ongoing rehabilitation and recovery.
"Day support service" means structured programs of
activity or training services for adults with an intellectual disability or a
developmental disability, generally in clusters of two or more continuous hours
per day provided to groups or individuals in nonresidential community-based
settings. Day support services may provide opportunities for peer interaction
and community integration and are designed to enhance the following: self-care
and hygiene, eating, toileting, task learning, community resource utilization,
environmental and behavioral skills, social skills, medication management,
prevocational skills, and transportation skills. The term "day support
service" does not include services in which the primary function is to
provide employment-related services, general educational services, or general
recreational services.
"Department" means the Virginia Department of
Behavioral Health and Developmental Services.
"Developmental disabilities" means autism or a
severe, chronic disability that meets all of the following conditions
identified in 42 CFR 435.1009:
1. Attributable to cerebral palsy, epilepsy, or any other
condition, other than mental illness, that is found to be closely related to
mental retardation (intellectual disability) because this condition results in
impairment of general intellectual functioning or adaptive behavior similar to
behavior of individuals with mental retardation (intellectual disability) and
requires treatment or services similar to those required for these individuals;
2. Manifested before the individual reaches age 18;
3. Likely to continue indefinitely; and
4. Results in substantial functional limitations in three or
more of the following areas of major life activity:
a. Self-care;
b. Understanding and use of language;
c. Learning;
d. Mobility;
e. Self-direction; or
f. Capacity for independent living.
"Discharge" means the process by which the
individual's active involvement with a service is terminated by the provider,
individual, or authorized representative.
"Discharge plan" means the written plan that
establishes the criteria for an individual's discharge from a service and
identifies and coordinates delivery of any services needed after discharge.
"Dispense" means to deliver a drug to an ultimate
user by or pursuant to the lawful order of a practitioner, including the
prescribing and administering, packaging, labeling or compounding necessary to
prepare the substance for that delivery. (§ 54.1-3400 et seq. of the Code of
Virginia.)
"Emergency service" means unscheduled and sometimes
scheduled crisis intervention, stabilization, and referral assistance provided
over the telephone or face-to-face, if indicated, available 24 hours a day and
seven days per week. Emergency services also may include walk-ins, home visits,
jail interventions, and preadmission screening activities associated with the
judicial process.
"Group home or community residential service" means
a congregate service providing 24-hour supervision in a community-based home
having eight or fewer residents. Services include supervision, supports,
counseling, and training in activities of daily living for individuals whose
individualized services plan identifies the need for the specific types of
services available in this setting.
"Home and noncenter based" means that a service is
provided in the individual's home or other noncenter-based setting. This includes
noncenter-based day support, supportive in-home, and intensive in-home
services.
"IFDDS Waiver" means the Individual and Family
Developmental Disabilities Support Waiver.
"Individual" or "individual receiving
services" means a person receiving services that are licensed under this
chapter whether that person is referred to as a patient, consumer, client,
resident, student, individual, recipient, family member, relative, or other
term. When the term is used, the requirement applies to every individual
receiving licensed services from the provider.
"Individualized services plan" or "ISP"
means a comprehensive and regularly updated written plan that describes the
individual's needs, the measurable goals and objectives to address those needs,
and strategies to reach the individual's goals. An ISP is person-centered,
empowers the individual, and is designed to meet the needs and preferences of
the individual. The ISP is developed through a partnership between the
individual and the provider and includes an individual's treatment plan,
habilitation plan, person-centered plan, or plan of care, which are all
considered individualized service plans.
"Initial assessment" means an assessment conducted
prior to or at admission to determine whether the individual meets the
service's admission criteria; what the individual's immediate service, health,
and safety needs are; and whether the provider has the capability and staffing
to provide the needed services.
"Inpatient psychiatric service" means intensive
24-hour medical, nursing, and treatment services provided to individuals with
mental illness or substance abuse (substance use disorders) in a hospital as
defined in § 32.1-123 of the Code of Virginia or in a special unit of such a
hospital.
"Instrumental activities of daily living" or
"IADLs" means meal preparation, housekeeping, laundry, and managing
money. A person's degree of independence in performing these activities is part
of determining appropriate level of care and services.
"Intensive Community Treatment (ICT) service" means
a self-contained interdisciplinary team of at least five full-time equivalent
clinical staff, a program assistant, and a full-time psychiatrist that:
1. Assumes responsibility for directly providing needed
treatment, rehabilitation, and support services to identified individuals with
severe and persistent mental illness especially those who have severe symptoms
that are not effectively remedied by available treatments or who because of
reasons related to their mental illness resist or avoid involvement with mental
health services;
2. Minimally refers individuals to outside service providers;
3. Provides services on a long-term care basis with continuity
of caregivers over time;
4. Delivers 75% or more of the services outside program
offices; and
5. Emphasizes outreach, relationship building, and
individualization of services.
"Intensive in-home service" means family
preservation interventions for children and adolescents who have or are at-risk
of serious emotional disturbance, including individuals who also have a
diagnosis of mental retardation (intellectual disability). Intensive in-home
service is usually time-limited and is provided typically in the residence of
an individual who is at risk of being moved to out-of-home placement or who is
being transitioned back home from an out-of-home placement. The service
includes 24-hour per day emergency response; crisis treatment; individual and
family counseling; life, parenting, and communication skills; and case
management and coordination with other services.
"Investigation" means a detailed inquiry or
systematic examination of the operations of a provider or its services
regarding an alleged violation of regulations or law. An investigation may be
undertaken as a result of a complaint, an incident report, or other information
that comes to the attention of the department.
"Licensed mental health professional" or
"LMHP" means a physician, licensed clinical psychologist, licensed
professional counselor, licensed clinical social worker, licensed substance
abuse treatment practitioner, licensed marriage and family therapist, certified
psychiatric clinical nurse specialist, or licensed behavior analyst,
or licensed psychiatric/mental health nurse practitioner.
"Location" means a place where services are or
could be provided.
"Medically managed withdrawal services" means
detoxification services to eliminate or reduce the effects of alcohol or other
drugs in the individual's body.
"Mandatory outpatient treatment order" means an
order issued by a court pursuant to § 37.2-817 of the Code of Virginia.
"Medical detoxification" means a service provided
in a hospital or other 24-hour care facility under the supervision of medical
personnel using medication to systematically eliminate or reduce effects of
alcohol or other drugs in the individual's body.
"Medical evaluation" means the process of assessing
an individual's health status that includes a medical history and a physical
examination of an individual conducted by a licensed medical practitioner
operating within the scope of his license.
"Medication" means prescribed or over-the-counter
drugs or both.
"Medication administration" means the direct
application of medications by injection, inhalation, ingestion, or any other
means to an individual receiving services by (i) persons legally permitted to
administer medications or (ii) the individual at the direction and in the
presence of persons legally permitted to administer medications.
"Medication assisted treatment (Opioid treatment
service)" means an intervention strategy that combines outpatient
treatment with the administering or dispensing of synthetic narcotics, such as
methadone or buprenorphine (suboxone), approved by the federal Food and Drug
Administration for the purpose of replacing the use of and reducing the craving
for opioid substances, such as heroin or other narcotic drugs.
"Medication error" means an error in administering
a medication to an individual and includes when any of the following occur: (i)
the wrong medication is given to an individual, (ii) the wrong individual is
given the medication, (iii) the wrong dosage is given to an individual, (iv)
medication is given to an individual at the wrong time or not at all, or (v)
the wrong method is used to give the medication to the individual.
"Medication storage" means any area where
medications are maintained by the provider, including a locked cabinet, locked
room, or locked box.
"Mental Health Community Support Service (MHCSS)"
means the provision of recovery-oriented services to individuals with
long-term, severe mental illness. MHCSS includes skills training and assistance
in accessing and effectively utilizing services and supports that are essential
to meeting the needs identified in the individualized services plan and
development of environmental supports necessary to sustain active community
living as independently as possible. MHCSS may be provided in any setting in
which the individual's needs can be addressed, skills training applied, and
recovery experienced.
"Mental illness" means a disorder of thought, mood,
emotion, perception, or orientation that significantly impairs judgment,
behavior, capacity to recognize reality, or ability to address basic life
necessities and requires care and treatment for the health, safety, or recovery
of the individual or for the safety of others.
"Mental retardation (intellectual disability)"
means a disability originating before the age of 18 years characterized
concurrently by (i) significantly subaverage intellectual functioning as
demonstrated by performance on a standardized measure of intellectual
functioning administered in conformity with accepted professional practice that
is at least two standard deviations below the mean; and (ii) significant
limitations in adaptive behavior as expressed in conceptual, social, and
practical adaptive skills (§ 37.2-100 of the Code of Virginia).
"Neglect" means the failure by an individual or a
program or facility operated, licensed, or funded by the department, excluding
those operated by the Department of Corrections, responsible for providing
services to do so, including nourishment, treatment, care, goods, or services
necessary to the health, safety, or welfare of a person receiving care or
treatment for mental illness, mental retardation (intellectual disability), or
substance abuse (substance use disorders).
"Neurobehavioral services" means the assessment,
evaluation, and treatment of cognitive, perceptual, behavioral, and other
impairments caused by brain injury that affect an individual's ability to
function successfully in the community.
"Outpatient service" means treatment provided to individuals
on an hourly schedule, on an individual, group, or family basis, and usually in
a clinic or similar facility or in another location. Outpatient services may
include diagnosis and evaluation, screening and intake, counseling,
psychotherapy, behavior management, psychological testing and assessment,
laboratory and other ancillary services, medical services, and medication
services. "Outpatient service" specifically includes:
1. Services operated by a community services board or a
behavioral health authority established pursuant to Chapter 5 (§ 37.2-500 et
seq.) or Chapter 6 (§ 37.2-600 et seq.) of Title 37.2 of the Code of Virginia;
2. Services contracted by a community services board or a
behavioral health authority established pursuant to Chapter 5 (§ 37.2-500 et
seq.) or Chapter 6 (§ 37.2-600 et seq.) of Title 37.2 of the Code of Virginia;
or
3. Services that are owned, operated, or controlled by a
corporation organized pursuant to the provisions of either Chapter 9 (§
13.1-601 et seq.) or Chapter 10 (§ 13.1-801 et seq.) of Title 13.1 of the Code
of Virginia.
"Partial hospitalization service" means
time-limited active treatment interventions that are more intensive than
outpatient services, designed to stabilize and ameliorate acute symptoms, and
serve as an alternative to inpatient hospitalization or to reduce the length of
a hospital stay. Partial hospitalization is focused on individuals with serious
mental illness, substance abuse (substance use disorders), or co-occurring
disorders at risk of hospitalization or who have been recently discharged from
an inpatient setting.
"Person-centered" means focusing on the needs and
preferences of the individual; empowering and supporting the individual in
defining the direction for his life; and promoting self-determination,
community involvement, and recovery.
"Program of Assertive Community Treatment (PACT)
service" means a self-contained interdisciplinary team of at least 10
full-time equivalent clinical staff, a program assistant, and a full- or part-time
psychiatrist that:
1. Assumes responsibility for directly providing needed
treatment, rehabilitation, and support services to identified individuals with
severe and persistent mental illnesses, including those who have severe
symptoms that are not effectively remedied by available treatments or who
because of reasons related to their mental illness resist or avoid involvement
with mental health services;
2. Minimally refers individuals to outside service providers;
3. Provides services on a long-term care basis with continuity
of caregivers over time;
4. Delivers 75% or more of the services outside program
offices; and
5. Emphasizes outreach, relationship building, and
individualization of services.
"Provider" means any person, entity, or organization,
excluding an agency of the federal government by whatever name or designation,
that delivers (i) services to individuals with mental illness, mental
retardation (intellectual disability), or substance abuse (substance use
disorders), (ii) services to individuals who receive day support, in-home
support, or crisis stabilization services funded through the IFDDS Waiver, or
(iii) residential services for individuals with brain injury. The person,
entity, or organization shall include a hospital as defined in § 32.1-123 of
the Code of Virginia, community services board, behavioral health authority,
private provider, and any other similar or related person, entity, or
organization. It shall not include any individual practitioner who holds a
license issued by a health regulatory board of the Department of Health
Professions or who is exempt from licensing pursuant to §§ 54.1-2901,
54.1-3001, 54.1-3501, 54.1-3601 and 54.1-3701 of the Code of Virginia.
"Psychosocial rehabilitation service" means a
program of two or more consecutive hours per day provided to groups of adults
in a nonresidential setting. Individuals must demonstrate a clinical need for
the service arising from a condition due to mental, behavioral, or emotional
illness that results in significant functional impairments in major life
activities. This service provides education to teach the individual about
mental illness, substance abuse, and appropriate medication to avoid
complication and relapse and opportunities to learn and use independent skills
and to enhance social and interpersonal skills within a consistent program
structure and environment. Psychosocial rehabilitation includes skills
training, peer support, vocational rehabilitation, and community resource
development oriented toward empowerment, recovery, and competency.
"Qualified Mental Health Professional-Adult
(QMHP-A)" means a person in the human services field who is trained and
experienced in providing psychiatric or mental health services to individuals
who have a mental illness; including (i) a doctor of medicine or osteopathy
licensed in Virginia; (ii) a doctor of medicine or osteopathy, specializing in
psychiatry and licensed in Virginia; (iii) an individual with a master's degree
in psychology from an accredited college or university with at least one year
of clinical experience; (iv) a social worker: an individual with at least a
bachelor's degree in human services or related field (social work, psychology,
psychiatric rehabilitation, sociology, counseling, vocational rehabilitation,
human services counseling or other degree deemed equivalent to those described)
from an accredited college and with at least one year of clinical experience
providing direct services to individuals with a diagnosis of mental illness;
(v) a person with at least a bachelor's degree from an accredited college in an
unrelated field that includes at least 15 semester credits (or equivalent) in a
human services field and who has at least three years of clinical experience;
(vi) a Certified Psychiatric Rehabilitation Provider (CPRP) registered with the
United States Psychiatric Rehabilitation Association (USPRA); (vii) a
registered nurse licensed in Virginia with at least one year of clinical
experience; or (viii) any other licensed mental health professional.
"Qualified Mental Health Professional-Child
(QMHP-C)" means a person in the human services field who is trained and
experienced in providing psychiatric or mental health services to children who
have a mental illness. To qualify as a QMHP-C, the individual must have the
designated clinical experience and must either (i) be a doctor of medicine or
osteopathy licensed in Virginia; (ii) have a master's degree in psychology from
an accredited college or university with at least one year of clinical experience
with children and adolescents; (iii) have a social work bachelor's or master's
degree from an accredited college or university with at least one year of
documented clinical experience with children or adolescents; (iv) be a
registered nurse with at least one year of clinical experience with children
and adolescents; (v) have at least a bachelor's degree in a human services
field or in special education from an accredited college with at least one year
of clinical experience with children and adolescents, or (vi) be a licensed
mental health professional.
"Qualified Mental Health Professional-Eligible
(QMHP-E)" means a person who has: (i) at least a bachelor's degree in a
human service field or special education from an accredited college without one
year of clinical experience or (ii) at least a bachelor's degree in a
nonrelated field and is enrolled in a master's or doctoral clinical program,
taking the equivalent of at least three credit hours per semester and is
employed by a provider that has a triennial license issued by the department
and has a department and DMAS-approved supervision training program.
"Qualified Mental Retardation Professional (QMRP)"
means a person who possesses at least one year of documented experience working
directly with individuals who have mental retardation (intellectual disability)
or other developmental disabilities and one of the following credentials: (i) a
doctor of medicine or osteopathy licensed in Virginia, (ii) a registered nurse
licensed in Virginia, or (iii) completion of at least a bachelor's degree in a
human services field, including, but not limited to sociology, social work,
special education, rehabilitation counseling, or psychology.
"Qualified Paraprofessional in Mental Health
(QPPMH)" means a person who must, at a minimum, meet one of the following
criteria: (i) registered with the United States Psychiatric Association (USPRA)
as an Associate Psychiatric Rehabilitation Provider (APRP); (ii) has an
associate's degree in a related field (social work, psychology, psychiatric
rehabilitation, sociology, counseling, vocational rehabilitation, human
services counseling) and at least one year of experience providing direct
services to individuals with a diagnosis of mental illness; or (iii) has a
minimum of 90 hours classroom training and 12 weeks of experience under the
direct personal supervision of a QMHP-Adult providing services to individuals
with mental illness and at least one year of experience (including the 12 weeks
of supervised experience).
"Recovery" means a journey of healing and
transformation enabling an individual with a mental illness to live a
meaningful life in a community of his choice while striving to achieve his full
potential. For individuals with substance abuse (substance use disorders), recovery
is an incremental process leading to positive social change and a full return
to biological, psychological, and social functioning. For individuals with
mental retardation (intellectual disability), the concept of recovery does not
apply in the sense that individuals with mental retardation (intellectual
disability) will need supports throughout their entire lives although these may
change over time. With supports, individuals with mental retardation
(intellectual disability) are capable of living lives that are fulfilling and
satisfying and that bring meaning to themselves and others whom they know.
"Referral" means the process of directing an
applicant or an individual to a provider or service that is designed to provide
the assistance needed.
"Residential crisis stabilization service" means
(i) providing short-term, intensive treatment to nonhospitalized individuals
who require multidisciplinary treatment in order to stabilize acute psychiatric
symptoms and prevent admission to a psychiatric inpatient unit; (ii) providing
normative environments with a high assurance of safety and security for crisis
intervention; and (iii) mobilizing the resources of the community support
system, family members, and others for ongoing rehabilitation and recovery.
"Residential service" means providing 24-hour
support in conjunction with care and treatment or a training program in a
setting other than a hospital or training center. Residential services provide
a range of living arrangements from highly structured and intensively
supervised to relatively independent requiring a modest amount of staff support
and monitoring. Residential services include residential treatment, group or
community homes, supervised living, residential crisis stabilization, community
gero-psychiatric residential, community intermediate care facility-MR,
sponsored residential homes, medical and social detoxification, neurobehavioral
services, and substance abuse residential treatment for women and children.
"Residential treatment service" means providing an
intensive and highly structured mental health, substance abuse, or
neurobehavioral service, or services for co-occurring disorders in a
residential setting, other than an inpatient service.
"Respite care service" means providing for a short-term,
time limited period of care of an individual for the purpose of providing
relief to the individual's family, guardian, or regular care giver. Persons
providing respite care are recruited, trained, and supervised by a licensed
provider. These services may be provided in a variety of settings including
residential, day support, in-home, or a sponsored residential home.
"Restraint" means the use of a mechanical device,
medication, physical intervention, or hands-on hold to prevent an individual
receiving services from moving his body to engage in a behavior that places him
or others at imminent risk. There are three kinds of restraints:
1. Mechanical restraint means the use of a mechanical device
that cannot be removed by the individual to restrict the individual's freedom
of movement or functioning of a limb or portion of an individual's body when
that behavior places him or others at imminent risk.
2. Pharmacological restraint means the use of a medication
that is administered involuntarily for the emergency control of an individual's
behavior when that individual's behavior places him or others at imminent risk
and the administered medication is not a standard treatment for the
individual's medical or psychiatric condition.
3. Physical restraint, also referred to as manual hold, means
the use of a physical intervention or hands-on hold to prevent an individual
from moving his body when that individual's behavior places him or others at
imminent risk.
"Restraints for behavioral purposes" means using a
physical hold, medication, or a mechanical device to control behavior or
involuntary restrict the freedom of movement of an individual in an instance
when all of the following conditions are met: (i) there is an emergency; (ii)
nonphysical interventions are not viable; and (iii) safety issues require an
immediate response.
"Restraints for medical purposes" means using a
physical hold, medication, or mechanical device to limit the mobility of an
individual for medical, diagnostic, or surgical purposes, such as routine
dental care or radiological procedures and related post-procedure care
processes, when use of the restraint is not the accepted clinical practice for
treating the individual's condition.
"Restraints for protective purposes" means using a
mechanical device to compensate for a physical or cognitive deficit when the
individual does not have the option to remove the device. The device may limit
an individual's movement, for example, bed rails or a gerichair, and prevent
possible harm to the individual or it may create a passive barrier, such as a
helmet to protect the individual.
"Restriction" means anything that limits or
prevents an individual from freely exercising his rights and privileges.
"Screening" means the process or procedure for
determining whether the individual meets the minimum criteria for admission.
"Seclusion" means the involuntary placement of an
individual alone in an area secured by a door that is locked or held shut by a
staff person, by physically blocking the door, or by any other physical means
so that the individual cannot leave it.
"Serious injury" means any injury resulting in
bodily damage, harm, or loss that requires medical attention by a licensed
physician, doctor of osteopathic medicine, physician assistant, or nurse practitioner
while the individual is supervised by or involved in services, such as
attempted suicides, medication overdoses, or reactions from medications
administered or prescribed by the service.
"Service" or "services" means (i) planned
individualized interventions intended to reduce or ameliorate mental illness,
mental retardation (intellectual disability), or substance abuse (substance use
disorders) through care, treatment, training, habilitation, or other supports
that are delivered by a provider to individuals with mental illness, mental
retardation (intellectual disability), or substance abuse (substance use
disorders). Services include outpatient services, intensive in-home services,
opioid treatment services, inpatient psychiatric hospitalization, community
gero-psychiatric residential services, assertive community treatment and other
clinical services; day support, day treatment, partial hospitalization,
psychosocial rehabilitation, and habilitation services; case management
services; and supportive residential, halfway house, and other residential
services; (ii) day support, in-home support, and crisis stabilization services
provided to individuals under the IFDDS Waiver; and (iii) planned
individualized interventions intended to reduce or ameliorate the effects of
brain injury through care, treatment, or other supports or in residential
services for persons with brain injury.
"Shall" means an obligation to act is imposed.
"Shall not" means an obligation not to act is
imposed.
"Skills training" means systematic skill building
through curriculum-based psychoeducational and cognitive-behavioral
interventions. These interventions break down complex objectives for role
performance into simpler components, including basic cognitive skills such as
attention, to facilitate learning and competency.
"Social detoxification service" means providing
nonmedical supervised care for the individual's natural process of withdrawal
from use of alcohol or other drugs.
"Sponsored residential home" means a service where
providers arrange for, supervise, and provide programmatic, financial, and
service support to families or persons (sponsors) providing care or treatment
in their own homes for individuals receiving services.
"State board" means the State Board of Behavioral
Health and Developmental Services. The board has statutory responsibility for
adopting regulations that may be necessary to carry out the provisions of Title
37.2 of the Code of Virginia and other laws of the Commonwealth administered by
the commissioner or the department.
"State methadone authority" means the Virginia
Department of Behavioral Health and Developmental Services that is authorized
by the federal Center for Substance Abuse Treatment to exercise the
responsibility and authority for governing the treatment of opiate addiction
with an opioid drug.
"Substance abuse (substance use disorders)" means
the use of drugs enumerated in the Virginia Drug Control Act (§ 54.1-3400
et seq.) without a compelling medical reason or alcohol that (i) results in
psychological or physiological dependence or danger to self or others as a
function of continued and compulsive use or (ii) results in mental, emotional,
or physical impairment that causes socially dysfunctional or socially
disordering behavior; and (iii), because of such substance abuse, requires care
and treatment for the health of the individual. This care and treatment may
include counseling, rehabilitation, or medical or psychiatric care.
"Substance abuse intensive outpatient service"
means treatment provided in a concentrated manner for two or more consecutive
hours per day to groups of individuals in a nonresidential setting. This
service is provided over a period of time for individuals requiring more
intensive services than an outpatient service can provide. Substance abuse
intensive outpatient services include multiple group therapy sessions during
the week, individual and family therapy, individual monitoring, and case
management.
"Substance abuse residential treatment for women with
children service" means a 24-hour residential service providing an
intensive and highly structured substance abuse service for women with children
who live in the same facility.
"Supervised living residential service" means the
provision of significant direct supervision and community support services to
individuals living in apartments or other residential settings. These services
differ from supportive in-home service because the provider assumes
responsibility for management of the physical environment of the residence, and
staff supervision and monitoring are daily and available on a 24-hour basis.
Services are provided based on the needs of the individual in areas such as
food preparation, housekeeping, medication administration, personal hygiene,
treatment, counseling, and budgeting.
"Supportive in-home service" (formerly supportive
residential) means the provision of community support services and other
structured services to assist individuals, to strengthen individual skills, and
that provide environmental supports necessary to attain and sustain independent
community residential living. Services include drop-in or friendly-visitor
support and counseling to more intensive support, monitoring, training, in-home
support, respite care, and family support services. Services are based on the
needs of the individual and include training and assistance. These services
normally do not involve overnight care by the provider; however, due to the
flexible nature of these services, overnight care may be provided on an occasional
basis.
"Therapeutic day treatment for children and
adolescents" means a treatment program that serves (i) children and
adolescents from birth through age 17 and under certain circumstances up to 21
with serious emotional disturbances, substance use, or co-occurring disorders
or (ii) children from birth through age seven who are at risk of serious
emotional disturbance, in order to combine psychotherapeutic interventions with
education and mental health or substance abuse treatment. Services include:
evaluation; medication education and management; opportunities to learn and use
daily living skills and to enhance social and interpersonal skills; and
individual, group, and family counseling.
"Time out" means the involuntary removal of an
individual by a staff person from a source of reinforcement to a different,
open location for a specified period of time or until the problem behavior has
subsided to discontinue or reduce the frequency of problematic behavior.
"Volunteer" means a person who, without financial
remuneration, provides services to individuals on behalf of the provider.
VA.R. Doc. No. R19-5540; Filed December 12, 2018, 2:42 p.m.
TITLE 12. HEALTH
STATE BOARD OF BEHAVIORAL HEALTH AND DEVELOPMENTAL SERVICES
Fast-Track Regulation
Title of Regulation: 12VAC35-210. Regulations to
Govern Temporary Leave from State Mental Health and State Mental Retardation
Facilities (amending 12VAC35-210-10, 12VAC35-210-20,
12VAC35-210-30, 12VAC35-210-50 through 12VAC35-210-100).
Statutory Authority: § 37.2-203 of the Code of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Ruth Anne Walker, Regulatory
Coordinator, Department of Behavioral Health and Developmental Services, 1220
Bank Street, 11th Floor, Richmond, VA 23219, telephone (804) 225-2252,
FAX (804) 786-8623, or email ruthanne.walker@dbhds.virginia.gov.
Basis: Section 37.2-203 of the Code of Virginia
authorizes the State Board of Behavioral Health and Developmental Services to
adopt regulations that may be necessary to carry out the provisions of Title
37.2 of the Code of Virginia and other laws of the Commonwealth administered by
the commissioner and the department.
Purpose: 12VAC35-210 includes definitions, required
policy, and documentation expectations related to temporary leave from mental
health hospitals and training centers operated by the Department of Behavioral
Health and Developmental Services. Collectively, these hospitals and training
centers are referred to as "state facilities." As long as the
department operates state facilities, this regulation is needed to ensure the
safety of the individuals on leave.
This action is the result of a periodic review. The amendments
are not substantive and merely update language to mirror language in the Code
of Virginia or in 12VAC35-115, referred to as the Human Rights
Regulations.
Rationale for Using Fast-Track Rulemaking Process: This
action is the result of a periodic review. No comments were received during the
review. The amendments merely update language to mirror current language in
state law, state regulation, or practices that have been in place for many
years.
Substance: There are no substantive amendments.
12VAC35-210-100 F is deleted as it is unnecessary because there is no other
reference to how to "revoke" a trial visit and it is redundant with
12VAC35-210-100 D 2.
Issues: This action is the result of a periodic review,
which includes a public comment period. The amendments will provide clarity for
the system by providing updated language to mirror language in the Code of
Virginia, 12VAC35-115, and current practice.
Small Business Impact Review Report of Findings: This
fast-track regulatory action serves as the report of the findings of the
regulatory review pursuant to § 2.2-4007.1 of the Code of Virginia.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. As the result
of a periodic review,1 the State Board of Behavioral Health and
Developmental Services (Board) proposes to update text to mirror language in §
37.2-100 of the Code of Virginia2 and in 12VAC35-115, Regulations to
Assure the Rights of Individuals Receiving Services from Providers Licensed,
Funded, or Operated by the Department Of Behavioral Health and Developmental
Services.3
Result of Analysis. The benefits likely exceed the costs for
the proposed amendment.
Estimated Economic Impact. The Regulations to Govern Temporary
Leave from State Mental Health and Mental Retardation Facilities are designed
to: 1) inform individuals, authorized representatives, Department of Behavioral
Health and Developmental Services (DBHDS) employees, community services board
(CSB) staff, and pertinent stakeholders of the process and procedures related
to temporary leave from state facilities, and 2) establish the conditions for
granting leave, including provisions to ensure accountability and appropriate
care for persons who are on leave status.
The Board's proposal to update language to mirror the Code of
Virginia and 12VAC35-115 provides improved clarity and does not affect
requirements in practice. Thus, the only impact of the proposed language
amendments would be to better inform the public of current legal requirements
and procedures. Consequently, the benefits of the proposed amendments exceed
the costs.
Businesses and Entities Affected. The proposed regulation
affects the 14 DBHDS facilities, 40 Virginia CSBs, and the individuals
receiving services in DBHDS facilities and their families.4
Localities Particularly Affected. The proposed amendments do
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendments do not
affect employment.
Effects on the Use and Value of Private Property. The proposed
amendments do not affect the use and value of private property.
Real Estate Development Costs. The proposed amendments do not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendments do not affect
costs for small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
amendments do not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendments do not adversely affect
businesses.
Localities. The proposed amendments do not adversely affect
localities.
Other Entities. The proposed amendments do not adversely affect
other entities.
_____________________________
1See http://townhall.virginia.gov/L/ViewPReview.cfm?PRid=1603
2See https://law.lis.virginia.gov/vacode/title37.2/chapter1/section37.2-100/
3See https://law.lis.virginia.gov/admincode/title12/agency35/chapter115/
4Data Source: Department of Behavioral Health and
Developmental Services
Agency's Response to Economic Impact Analysis: The
agency concurs with the Department of Planning and Budget's economic impact
analysis.
Summary:
The amendments (i) clarify and update the regulatory text
to reflect current language in § 37.2-100 of the Code of Virginia and
12VAC35-115 and long-standing practices and (ii) include changing "family
visit" to "home visit" and updating the definition of "individualized
services plan."
CHAPTER 210
REGULATIONS TO GOVERN TEMPORARY LEAVE FROM STATE MENTAL HEALTH AND STATE
MENTAL RETARDATION FACILITIES
12VAC35-210-10. Authority and applicability Applicability.
This regulation is adopted pursuant to § 37.2-837 B of the
Code of Virginia to establish a process to facilitate community integration and
the conditions for granting a trial or home visit to individuals admitted to
state hospitals or training centers operated by the Department of Mental
Health, Mental Retardation and Substance Abuse Services.
This regulation shall not apply to individuals receiving
services in a facility who are committed pursuant to Chapter 9 (§ 37.2-900
et seq.) of Title 37.2, Title 19.2, or Title 53.1 of the Code of
Virginia.
12VAC35-210-20. Definitions.
The following words or terms when used in this regulation
chapter shall have the following meanings unless the context clearly
indicates otherwise:
"Authorized representative" or "AR" means
a person permitted by law or the State Mental Health, Mental Retardation,
and Substance Abuse Services Board's regulations regulation to
authorize the disclosure of information; or to consent to
treatment and services, or participation in human research; and to
authorize the disclosure of information on behalf of an individual who lacks
the mental capacity to make these decisions.
"Community services board" or "CSB"
means the public body established pursuant to § 37.2-501 of the Code of
Virginia that provides mental health, mental retardation developmental,
and substance abuse services to individuals within each city or county that
established it. For the purpose of these regulations this chapter,
community services board also includes a behavioral health authority
established pursuant to § 37.2-602 of the Code of Virginia.
"Day pass" means authorized leave from the a
state facility without a staff escort generally occurring during the day
and not extending overnight.
"Department" means the Department of Mental Behavioral
Health, Mental Retardation and Substance Abuse Developmental
Services.
"Family" "Home visit" means
an authorized overnight absence from a state hospital or training center that
allows an individual to spend time with family members, an authorized
representative, or other responsible person or persons.
"Individual" means a person who is receiving
services in a state hospital or training center. This term includes the terms
"consumer," "patient," "resident," and
"client."
"Individualized services plan" or "ISP"
means a comprehensive and regularly updated written plan that includes but
is not limited to an describes the individual's needs, the
measurable goals and objectives to address those needs, and strategies to reach
the individual's goals. An ISP is person-centered, empowers the individual, and
is designed to meet the needs and preferences of the individual. The ISP is
developed through a partnership between the individual and the provider. An
individual's treatment plan, functional plan, habilitation plan, person-centered
plan, or plan of care are all considered individualized services plans
that meets the needs and preferences of an individual and describes the
measurable goals, objectives, and expected outcomes.
"Missing person" means an individual who is not
physically present when and where he should be and his absence cannot be
accounted for or explained.
"Responsible person" means an individual's parent, spouse,
legal guardian, relative, friend, or other person whom the facility
director determines is capable of providing the individual with the needed care
and supervision, and, if the individual has an AR, for
whom the AR has given written consent to supervise the individual during
temporary leave from the state facility.
"State facility" or "facility" means a state
hospital or training center operated by the department for the care and
treatment of individuals with mental illness or mental retardation intellectual
disability.
"Trial visit" means an authorized overnight absence
from a state facility without a staff escort for the purpose of assessing an
individual's readiness for discharge. Trial visits do not include special
hospitalizations, facility-sponsored summer camps, or other facility-sponsored
activities that involve staff supervision.
12VAC35-210-30. General requirements for temporary leave.
A. Directors of state facilities shall develop written
operating policies and procedures for authorizing and implementing the
following types of temporary leave from the facility:
1. Day passes for periods that do not extend overnight;
2. Family Home visits and trial visits for a
maximum of 28 consecutive days per episode for individuals in training centers;
and
3. Family Home visits and trial visits for a
maximum of 14 consecutive days per episode for individuals in state hospitals.
B. The justification for all temporary leave shall be
documented in the ISP. This documentation shall include:
1. The reason for granting the specific type of leave;
2. The benefit to the individual;
3. How the individual participated in the decision-making
related to temporary leave; and
4. How the leave addresses a specific objective or
objectives outcome in the individual's ISP; and
5. The signature of the facility director or designee
authorizing the temporary leave.
C. Responsible persons during leave.
1. Adults and emancipated minors receiving services in state
hospitals who are granted a day pass, family home visit, or trial
visit may be:
a. Placed in the care of a parent, spouse, relative,
guardian, a facility licensed by the department or other a
responsible person or persons; or
b. Authorized to leave the facility on his their
own recognizance, when, in the judgment of the individual and the facility
director, this leave is appropriate.
2. Individuals in training centers and minors receiving
services in any state hospital, who are granted a day pass, family home
visit, or trial visit, shall be placed, with the prior written
consent of the AR, in the care of:
a. The parent, legal guardian, or LAR AR; or
b. Another relative, friend, or other responsible person or
persons, or a facility licensed by the department with the prior written
consent of the AR or a responsible person.
D. The state facility granting a trial or family home
visit to an individual shall not be liable for his the individual's
expenses during the period of that visit. Expenses incurred by an individual
during a trial visit or family home visit shall be the
responsibility of the person into whose care the individual is entrusted or the
appropriate local department of social services of the county or city of
in which the individual resided at the time of his admission to
the facility, as appropriate, pursuant to § 37.2-837 B of the Code of Virginia.
12VAC35-210-50. Trial visits.
A. The facility and the CSB may arrange trial visits for the
purpose of assessing an individual's readiness for discharge from the facility.
These trial visits shall be planned during the regularly scheduled review of
the ISP or at other times in collaboration with (i) the individual, (ii) the
individual's family or AR, or (iii) any other person or persons
requested by the individual. When trial visits are used in conjunction with
discharge planning, the state facility treatment team shall meet with the
individual to discuss his the individual's preferences for
residential settings and give due consideration to his the
individual's expressed preferences. If the treatment team cannot reasonably
accommodate the individual's preferences, a member of the treatment team shall
meet with the individual to discuss the reasons for this determination and the
options that are available to him the individual. The treatment
team shall document in the individual's record that it has met with the
individual to consider his the individual's preferences and
review the available options. All plans for trial visits shall be documented in
the ISP and include consideration of the following:
1. The individual's preferences for residential setting; and
2. The individual's essential support needs for
support and supervision requirements.
B. In advance of the trial visit, the facility shall work
with the individual, CSB, and responsible persons, as appropriate, to develop
an emergency contingency plan to ensure appropriate and timely crisis response.
12VAC35-210-60. Family Home visits.
A. Family Home visits may include visits with
the individual's immediate or extended family, AR, friends, or other persons
arranged by the family or AR.
1. Training centers shall plan family home
visits in collaboration with the individual, his the individual's
family or AR, and when appropriate, the CSB;
2. State hospitals shall plan family home visits
in collaboration with the individual and his, the individual's
family or AR, and when appropriate, the CSB.
B. When planning family home visits, facilities
shall:
1. Ensure all identified essential support needs are
reviewed with the responsible person;
2. Develop plans to address potential emergencies or
unexpected events;
2. 3. Consider whether the visit has an impact
on the treatment or training schedule for the individual and make
appropriate accommodations; and
3. 4. Give consideration to the individual's
medical, behavioral, and psychiatric status.
12VAC35-210-70. Required authorizations and documentation.
The facility shall not release individuals for day passes,
trial visits, or family home visits unless the required
authorizations have been obtained and documentation is included in the
individual's record.
12VAC35-210-80. Illness or injury occurring during a family
day, home, or trial visit.
A. When a facility is notified that an individual is injured
or ill and requires medical attention while on a day pass, trial visit,
or family home visit, the facility director or designee shall
notify the (i) facility medical director, (ii) treatment team leader, (iii) risk
manager, facility (iv) human rights advocate, and (iv)
(v) the CSB. The facility director shall also ensure that all events are
reported in accordance with department and facility policy and protocol for
risk management and any applicable law or regulation.
B. The facility director or designee may assist the CSB or
the responsible person to identify an appropriate setting for the evaluation
and treatment of the individual. The facility medical director may also consult
with the physician and any other medical personnel who are evaluating or
treating the individual. However, the individual shall not return to the
facility until he is medically stabilized.
C. Individuals who have been admitted to a state hospital on
a voluntary basis and require acute hospital admission for illness or injury
while on temporary leave from the state hospital may voluntarily return to the
state hospital following discharge from an acute care hospital if they continue
to meet the admission criteria.
D. If an individual has been legally committed to a state facility
hospital and his length of stay in an acute care hospital exceeds the
period of commitment to the state facility hospital, the facility
hospital shall:
1. Discharge the individual in collaboration with the CSB; and
2. Notify the individual or his the individual's
AR in writing of the discharge.
E. If the facility is notified that an individual has died
while on temporary leave, the facility director or designee shall:
1. Notify the appropriate facility and other department
staff, including, the medical director, risk manager, treatment team
leader, and human rights advocate;
2. Notify the appropriate CSB and AR;
3. File the appropriate documentation of the death in
accordance with department policies and procedures; and
4. Notify the state medical examiner in writing of the death in
accordance with § 32.1-283 of the Code of Virginia.
12VAC35-210-90. Failure to return to training centers.
A. When an individual fails to return to a training center
from any authorized day pass, family home visit, or trial visit
within two hours of the scheduled deadline, the facility director or designee
shall contact the responsible person into whose care the individual was placed
to determine the cause of the delay.
B. Upon the request of the responsible person, the facility
director may extend the period of a family home or trial visit
for up to 72 hours beyond the time the individual was scheduled to return when:
1. An emergency or unforeseen circumstances delay the
individual's return to the training center; and
2. The individual's AR agrees to the extension.
Extensions for emergency or unforeseen circumstances shall
not be granted in advance of the family home visit or trial
visit.
C. If an individual does not return to the training center
from a day pass, trial visit, or family home visit
within two hours of the established deadline for his the individual's
return and the training center is unable to contact the responsible person into
whose care the individual was placed, the facility director or designee may
extend the period of the visit for up to 24 hours if, in his judgment, the
extension is justified. During this period the facility shall continue efforts
to contact the responsible person.
D. If an individual does not return to the training center
and his the individual's absence cannot be accounted for or
reasonably explained by the responsible person or a family member, he the
individual shall be classified as a missing person, and the facility shall
follow the department's policies and procedures for management of individuals
who are missing.
E. If no emergency or unforeseen circumstances exist that may
prevent the individual's return to the facility, and the responsible person
does not agree to the return of the individual to the training center as
scheduled, the facility director shall contact the CSB and discharge the
individual. Written notification of discharge shall be sent to the individual's
AR.
12VAC35-210-100. Failure to return to hospitals.
A. When an individual fails to return to a state hospital
from any authorized day pass, family home visit, or trial visit
within two hours of the scheduled deadline, the facility director or designee
shall contact the responsible person into whose care the individual was placed
to determine the cause of the delay.
B. Upon the request of the responsible person, the facility
director may extend the period of the visit for up to 72 hours beyond the time
the individual was scheduled to return when:
1. An emergency or unforeseen circumstances delay the
individual's return to the hospital; and
2. The individual, or his if applicable, the
individual's AR agree, agrees to the extension.
Extensions for emergency or unforeseen circumstances shall
not be granted in advance of the family home visit or trial
visit.
C. If an individual agrees to return to the facility, the
facility director or designee may assist the individual to make arrangements
for his return in collaboration with the CSB and the responsible person, when
necessary.
D. If an individual is unwilling to return to the facility,
the facility director or his facility director's designee shall
contact the responsible person to determine whether continued hospitalization
is appropriate or the individual should be discharged.
1. If Except for an individual receiving services in
a state hospital who is held upon an order of a court for a criminal
proceeding, if there is no evidence that the individual meets the criteria
for hospitalization then the facility shall discharge the individual in
collaboration with the CSB.
2. If the individual has been legally committed to the
hospital and the facility director determines that the individual may
require further hospitalization and he currently meets commitment criteria and
requires further hospitalization, or that the individual cannot be
located, the facility director shall:
a. Ensure that the commitment order is valid;
b. Classify the individual as a missing person;
c. Alert the CSB pursuant to the department's policies and
procedures for managing management of individuals who are missing
from state facilities;
d. Issue a warrant for the individual's return under §
37.2-834 of the Code of Virginia; and
e. Arrange for a physical examination at the time of the
individual's return to the facility.
3. If the individual is on voluntary status or the commitment
order is no longer valid, the facility director, after consulting with
the appropriate clinical staff, shall:
a. Discharge the individual; and
b. Alert the CSB of the individual's status.
F. When it is determined that an individual who has been
legally committed to the facility must be returned to the facility and the
individual refuses to return on his own accord, the facility director or his designee
shall:
1. Issue a warrant for the individual's return under §
37.2-834 of the Code of Virginia to the hospital; and
2. Contact the CSB upon revocation of the trial visit.
VA.R. Doc. No. R19-5202; Filed December 12, 2018, 2:37 p.m.
TITLE 13. HOUSING
VIRGINIA HOUSING DEVELOPMENT AUTHORITY
Final Regulation
REGISTRAR'S NOTICE: The
Virginia Housing Development Authority is claiming an exemption from the
Administrative Process Act (§ 2.2-4000 et seq. of the Code of Virginia)
pursuant to § 2.2-4002 A 4 of the Code of Virginia.
Title of Regulation: 13VAC10-180. Rules and
Regulations for Allocation of Low-Income Housing Tax Credits (amending 13VAC10-180-50, 13VAC10-180-60,
13VAC10-180-70, 13VAC10-180-90, 13VAC10-180-110).
Statutory Authority: § 36-55.30:3 of the Code of
Virginia.
Effective Date: January 1, 2019.
Agency Contact: Paul M. Brennan, Chief Counsel, Virginia
Housing Development Authority, 601 South Belvidere Street, Richmond, VA 23220,
telephone (804) 343-5798, FAX (804) 833-8344, or email paul.brennan@vhda.com.
Summary:
The amendments:
(i) require a first leasing preference to individuals in
certain identified target populations, who have rental assistance from the
Commonwealth and are referred to the development by approved referring agents,
and limit the tenant eligibility requirements and lease terms a developer may
impose with respect to such individuals;
(ii) require all applicants to waive their rights to pursue
a qualified contract and bar applicants who have participated in a qualified
contract or planned foreclosure in Virginia;
(iii) add a baseline energy performance requirement and
provide points for additional green building certifications;
(iv) approve the use of income averaging, subject to
limitations;
(v) permit the authority to preallocate credits to
developments with innovative features;
(vi) restructure the accessible supportive housing pool and
require that owners have a supportive housing certification and complete the
authority's supportive housing certification;
(vii) restructure the revitalization area point category,
including providing points for certain deals in Opportunity Zones;
(viii) revise the cost limits for developments by creating
a per square foot cost limit that is localized and remove the land and
acquisition cost from such calculation but provide that a developer may meet
either the current limits or new limits in 2019;
(ix) revise maximum allowable developer fees;
(x) require a general contractor cost certification;
(xi) require a physical needs assessment for rehabilitation
developments;
(xii) require a Phase I environmental site assessment;
(xiii) require a site visit by authority staff as part of
application review;
(xiv) provide that a prior award of credits to be refreshed
in exchange for principals not being permitted to compete in the following
year's competitive application process but provide a waiver if the delay is
attributable to governmental delay or inaction;
(xv) limit requests for additional credits to no more than
10% of the original award of credits, otherwise the applicant must return the
prior award and compete again;
(xvi) provide that owners seeking both 9.0% and 4.0%
credits for a combined transaction must meet with authority staff in advance of
application submission and that the two developments must be physically
separate and provide points for such combined applications in the scoring of
the 4.0% application;
(xvii) provide points for rent and income set-asides for
units at the 30% of area median income level that are not subsidized by
project-based vouchers;
(xviii) broaden the subsidized funding points category;
(xix) simplify the calculation of points for developments
constructed using brick and other low-maintenance materials;
(xx) revise or provide amenity item points for multiple
items, including dehumidification systems, internet service, bath vent fans,
solid core interior doors, fire prevention features, USB charging ports, LED
lighting, ledges at entry doors, and balconies;
(xxi) eliminate amenity item points for multiple items,
including certain energy efficiency items that are duplicative in light of the
new energy efficiency threshold requirements and for emergency call systems;
(xxii) reduce points awarded to developments for having
real estate tax abatements;
(xxiii) give the authority the ability to remove basis
boost if it determines a development is feasible without such basis boost;
(xxiv) remove penalty points for certain minor infractions;
(xxv) provide that the analyst preparing the market study
must meet the authority's qualifications;
(xxvi) expand the type of project-based rental assistance
or subsidy that can receive bonus points in the local housing authority pool;
and
(xxvii) make other miscellaneous administrative clarifying
changes.
13VAC10-180-50. Application.
Prior to submitting an application for reservation,
applicants shall submit on such form as required by the executive director, the
letter for authority signature by which the authority shall notify the chief
executive officers (or the equivalent) of the local jurisdictions in which the
developments are to be located to provide such officers a reasonable
opportunity to comment on the developments.
Application for a reservation of credits shall be commenced
by filing with the authority an application, on such form or forms as
the executive director may from time to time prescribe or approve, together
with such documents and additional information (including, without limitation,
a market study that is prepared by a housing market analyst that meets the
authority's requirements for an approved analyst, as set forth on the application
form, instructions, or other communication available to the public, that
shows adequate demand for the housing units to be produced by the applicant's
proposed development) as may be requested by the authority in order to comply
with the IRC and this chapter and to make the reservation and allocation of the
credits in accordance with this chapter. The executive director may reject any
application from consideration for a reservation or allocation of credits if in
such application the applicant does not provide the proper documentation or
information on the forms prescribed by the executive director. In addition
to the market study contained in the application, the authority may conduct its
own analysis of the demand for the housing units to be produced by each
applicant's proposed development.
All sites in an application for a scattered site development
may only serve one primary market area. If the executive director determines
that the sites subject to a scattered site development are served by different
primary market areas, separate applications for credits must be filed for each
primary market area in which scattered sites are located within the deadlines
established by the executive director.
The application should include a breakdown of sources and
uses of funds sufficiently detailed to enable the authority to ascertain what
costs will be incurred and what will comprise the total financing package,
including the various subsidies and the anticipated syndication or placement
proceeds that will be raised. The following cost information, if applicable,
needs to be included in the application to determine the feasible credit
amount: site acquisition costs, site preparation costs, construction costs,
construction contingency, general contractor's overhead and profit, architect
and engineer's fees, permit and survey fees, insurance premiums, real estate
taxes during construction, title and recording fees, construction period
interest, financing fees, organizational costs, rent-up and marketing costs,
accounting and auditing costs, working capital and operating deficit reserves,
syndication and legal fees, development fees, and other costs and fees. All
applications seeking credits for rehabilitation of existing units must provide
for contractor construction costs of at least $10,000 per unit for developments
financed with tax-exempt bonds and $15,000 per unit for all other developments.
Any application that exceeds the cost limits set forth
described below in subdivisions 1, 2, and 3 shall be rejected
from further consideration hereunder and shall not be eligible for any
reservation or allocation of credits. [ For an application submitted in
calendar year 2019 only, the higher of the following two cost limit
calculations may be used by an applicant. Effective January 1, 2020, only the
per square foot cost limits shall apply. ]
[ 1. Per unit cost limits. ]
[ a. Inner Northern Virginia. The Inner Northern
Virginia region shall consist of Arlington County, Fairfax County, City of
Alexandria, City of Fairfax, and City of Falls Church. The total development
cost of proposed developments in the Inner Northern Virginia region may not
exceed (i) for new construction or adaptive reuse: $387,809 per unit plus up to
an additional $43,090 per unit if the proposed development contains underground
or structured parking for each unit or (ii) for ] acquisition/rehabilitation
[ acquisition and rehabilitation: $338,564 per unit. ]
2. [ b. Prince William County, Loudoun
County, Fauquier County, Manassas City, and Manassas Park City. The total
development cost of proposed developments in Prince William County, Loudoun
County, Fauquier County, Manassas City, and Manassas Park City may not exceed
(i) for new construction or adaptive reuse: $288,087 per unit plus up to an
additional $43,090 per unit if the proposed development contains underground or
structured parking for each unit or (ii) for ] acquisition/rehabilitation
[ acquisition and rehabilitation: $203,138 per unit. ]
3. [ c. Balance of the state. The
total development cost of proposed developments in the balance of the state may
not exceed (i) for new construction or adaptive reuse: $215,450 per unit plus
up to an additional $43,090 per unit if the proposed development contains
underground or structured parking for each unit or (ii) for ] acquisition/rehabilitation
[ acquisition and rehabilitation: $166,204 per unit. ]
[ Costs, subject to a per unit limit set by the
executive director, attributable to equipping units with electrical and plumbing
hook-ups for dehumidification systems and attributable to installing approved
dehumidification systems will not be included in the calculation of the ] above
[ per unit cost limits in the preceding subdivision 1. ]
[ The cost limits ] in subdivisions 1, 2, and 3
above [ are 2015 fourth quarter base amounts. The cost limits shall be
adjusted annually beginning in the fourth quarter of 2016 by the authority in
accordance with Marshall & Swift cost factors for such quarter, and the
adjusted will be indicated on the application form, instructions, or other
communication available to the public.
2. Per square foot cost limits. ] The authority
will at least annually establish per-square-foot cost limits based upon
historical cost data of tax credit developments in the Commonwealth. Such
limits will be indicated on the application form, instructions, or other
communication available to the public. The cost limits will be established
for new construction, rehabilitation, and adaptive reuse development types. The
authority will establish geographic limits utilizing Marshall & Swift cost
factors. For the purpose of determining compliance with the cost limits, the
value of a development's land and acquisition costs will not be included in
total development cost. Compliance with [ per square foot ]
cost limits will be determined both at the time of application and also at
the time the authority issues the IRS Form 8609, with the higher of the two
limits being applicable at the time of IRS Form 8609 issuance.
Each application shall include plans and specifications or,
in the case of rehabilitation for which plans will not be used, a unit-by-unit
work write-up for such rehabilitation with certification in such form and
from such person satisfactory to the executive director as to the completion of
such plans or specifications or work write-up.
In the case of rehabilitation, the application must
include a physical needs assessment in such form and substance and prepared by
such person satisfactory to the executive director pursuant to the authority's
requirements as set forth on the application form, instructions, or other
communication available to the public.
Each application must include an environmental site
assessment (Phase I) in such form and substance and prepared by such person
satisfactory to the executive director pursuant to the authority's requirements
as set forth on the application form, instructions, or other communication
available to the public.
Each application shall include evidence of (i) sole fee simple
ownership of the site of the proposed development by the applicant, (ii) lease
of such site by the applicant for a term exceeding the compliance period (as
defined in the IRC) or for such longer period as the applicant represents in
the application that the development will be held for occupancy by low-income
persons or families, or (iii) right to acquire or lease such site
pursuant to a valid and binding written option or contract between the
applicant and the fee simple owner of such site for a period extending at least
four months beyond any application deadline established by the executive
director, provided that such option or contract shall have no conditions within
the discretion or control of such owner of such site. Any contract for the
acquisition of a site with existing residential property may not require an
empty building as a condition of such contract, unless relocation assistance is
provided to displaced households, if any, at such level required by the
authority. A contract that permits the owner to continue to market the
property, even if the applicant has a right of first refusal, does not
constitute the requisite site control required in clause (iii) above. No
application shall be considered for a reservation or allocation of credits unless
such evidence is submitted with the application and the authority determines
that the applicant owns, leases, or has the right to acquire or lease
the site of the proposed development as described in the preceding sentence. In
the case of acquisition and rehabilitation of developments funded by Rural
Development of the U.S. Department of Agriculture (Rural Development), any site
control document subject to approval of the partners of the seller does not
need to be approved by all partners of the seller if the general partner of the
seller executing the site control document provides (i) an attorney's opinion
that such general partner has the authority to enter into the site control
document and such document is binding on the seller or (ii) a letter from the
existing syndicator indicating a willingness to secure the necessary partner
approvals upon the reservation of credits.
Each application shall include written evidence satisfactory
to the authority (i) of proper zoning or special use permit for such site or
(ii) that no zoning requirements or special use permits are applicable.
Each application shall include, in a form or forms
required by the executive director, a certification of previous participation
listing all developments receiving an allocation of tax credits under § 42 of
the IRC in which the principal or principals have or had an ownership or
participation interest, the location of such developments, the number of
residential units and low-income housing units in such developments and such
other information as more fully specified by the executive director.
Furthermore, for any such development, the applicant must indicate whether the
appropriate state housing credit agency has ever filed a Form 8823 with the IRS
reporting noncompliance with the requirements of the IRC and that such
noncompliance had not been corrected at the time of the filing of such Form
8823. The executive director may reject any application from consideration for
a reservation or allocation of credits unless the above information is
submitted with the application. If, after reviewing the above information or
any other information available to the authority, the executive director
determines that the principal or principals do not have the experience,
financial capacity and predisposition to regulatory compliance necessary to
carry out the responsibilities for the acquisition, construction, ownership,
operation, marketing, maintenance and management of the proposed development or
the ability to fully perform all the duties and obligations relating to the
proposed development under law, regulation and the reservation and allocation
documents of the authority or if an applicant is in substantial noncompliance
with the requirements of the IRC, the executive director may reject
applications by the applicant. No application will be accepted from any
applicant with a principal that has or had an ownership or participation
interest in a development at the time the authority reported such development
to the IRS as no longer in compliance and is no longer participating in
the federal low-income housing tax credit program.
Each application shall include, in a form or forms
required by the executive director, a certification that the design of the
proposed development meets all applicable amenity and design requirements
required by the executive director for the type of housing to be provided by
the proposed development.
The application should include pro forma financial statements
setting forth the anticipated cash flows during the credit period as defined in
the IRC. The application shall include a certification by the applicant as to
the full extent of all federal, state and local subsidies that apply (or that
the applicant expects to apply) with respect to each building or development.
The executive director may also require the submission of a legal opinion or
other assurances satisfactory to the executive director as to, among other
things, compliance of the proposed development with the IRC and a
certification, together with an opinion of an independent certified public
accountant or other assurances satisfactory to the executive director, setting
forth the calculation of the amount of credits requested by the application and
certifying, among other things, that under the existing facts and circumstances
the applicant will be eligible for the amount of credits requested.
Each applicant shall commit in the application to provide
relocation assistance to displaced households, if any, at such level required
by the executive director. Each applicant shall commit in the application to
use a property management company certified by the executive director to manage
the proposed development.
Unless prohibited by an applicable federal subsidy
program, each applicant shall commit in the application to provide a leasing
preference to individuals (i) in a target population identified in a memorandum
of understanding between the authority and one or more participating agencies
of the Commonwealth, (ii) having a voucher or other binding commitment for
rental assistance from the Commonwealth, and (iii) referred to the development
by a referring agent approved by the authority. The leasing preference shall
not be applied to more than 10% of the units in the development at any given
time. The applicant may not impose [ more restrictive ]
tenant selection criteria or leasing terms with respect to individuals
receiving this preference [ that are more restrictive than the
applicant's tenant selection criteria or leasing terms applicable to
prospective tenants in the development that do not receive this preference, the
eligibility criteria for the rental assistance from the Commonwealth, or any
eligibility criteria contained in a memorandum of understanding between the
authority and one or more participating agencies of the Commonwealth ].
Each applicant shall commit in the application not to require
an annual minimum income requirement that exceeds the greater of $3,600 or 2.5
times the portion of rent to be paid by tenants receiving rental assistance.
Each applicant shall commit in the application to waive
its right to request to terminate the extended low-income housing commitment
through the qualified contract process, as described in the IRC. Further, any
application submitted by an applicant containing a principal that was a
principal in an owner that has previously requested, on or after January 1,
2019, a qualified contract in the Commonwealth (regardless of whether the
extended low-income housing commitment was terminated through such process)
shall be rejected from further consideration and shall not be eligible for any
reservation or allocation of credits.
Any application submitted by an applicant containing a
principal that was a principal in an owner that has, in the authority's
determination, previously participated, on or after January 1, 2019, in a
foreclosure in Virginia (or instrument in lieu of foreclosure) that was part of
an arrangement a purpose of which was to terminate an extended low-income
housing commitment (regardless whether the extended low-income housing
commitment was terminated through such foreclosure or instrument) shall be
rejected from further consideration and shall not be eligible for any
reservation or allocation of credits.
If an applicant submits an application for reservation or
allocation of credits that contains a material misrepresentation or fails to
include information regarding developments involving the applicant that have
been determined to be out of compliance with the requirements of the IRC, the
executive director may reject the application or stop processing such
application upon discovery of such misrepresentation or noncompliance and may
prohibit such applicant from submitting applications for credits to the
authority in the future.
In any situation in which the executive director deems it
appropriate, he may treat two or more applications as a single application.
Only one application may be submitted for each location.
The executive director may establish criteria and assumptions
to be used by the applicant in the calculation of amounts in the application,
and any such criteria and assumptions may be indicated on the application form,
instructions or other communication available to the public.
The executive director may prescribe such deadlines for
submission of applications for reservation and allocation of credits for any
calendar year as he shall deem necessary or desirable to allow sufficient
processing time for the authority to make such reservations and allocations. If
the executive director determines that an applicant for a reservation of
credits has failed to submit one or more mandatory attachments to the application
by the reservation application deadline, he may allow such applicant an
opportunity to submit such attachments within a certain time established by the
executive director with a 10-point scoring penalty per item.
After receipt of the applications local notification
information data, if necessary, the authority shall notify the chief
executive officers (or the equivalent) of the local jurisdictions in which the
developments are to be located and shall provide such officers a reasonable
opportunity to comment on the developments.
The development for which an application is submitted may be,
but shall not be required to be, financed by the authority. If any such
development is to be financed by the authority, the application for such
financing shall be submitted to and received by the authority in accordance
with its applicable rules and regulations.
The authority may consider and approve, in accordance
herewith, both the reservation and the allocation of credits to buildings or
developments that the authority may own or may intend to acquire, construct and/or
or rehabilitate.
Any application seeking an additional reservation of
credits for a development in excess of 10% of an existing reservation of
credits for such development shall be rejected from further consideration
hereunder and shall not be eligible for any reservation or allocation of
credits pursuant to such application. However, such applicant may execute a
consent to cancellation for such existing reservation and submit a new
application for the aggregate amount of the existing reservation and any
desired increase.
13VAC10-180-60. Review and selection of applications;
reservation of credits.
The executive director may divide the amount of credits into
separate pools and each separate pool may be further divided into separate
tiers. The division of such pools and tiers may be based upon one or more of
the following factors: geographical areas of the state; types or
characteristics of housing, construction, financing, owners, occupants, or
source of credits; or any other factors deemed appropriate by him to best meet
the housing needs of the Commonwealth.
An amount, as determined by the executive director, not less
than 10% of the Commonwealth's annual state housing credit ceiling for credits,
shall be available for reservation and allocation to buildings or developments
with respect to which the following requirements are met:
1. A "qualified nonprofit organization" (as
described in § 42(h)(5)(C) of the IRC) that is authorized to do business
in Virginia and is determined by the executive director, on the basis of such
relevant factors as he shall consider appropriate, to be substantially based or
active in the community of the development and is to materially participate
(regular, continuous and substantial involvement as determined by the executive
director) in the development and operation of the development throughout the
"compliance period" (as defined in § 42(i)(1) of the IRC); and
2. (i) The "qualified nonprofit organization"
described in the preceding subdivision 1 is to own (directly or through a
partnership), prior to the reservation of credits to the buildings or
development, all of the general partnership interests of the ownership entity
thereof; (ii) the executive director of the authority shall have determined
that such qualified nonprofit organization is not affiliated with or controlled
by a for-profit organization; (iii) the executive director of the authority
shall have determined that the qualified nonprofit organization was not formed by
one or more individuals or for-profit entities for the principal purpose of
being included in any nonprofit pools (as defined below) established by the
executive director, and (iv) the executive director of the authority shall have
determined that no staff member, officer or member of the board of directors of
such qualified nonprofit organization will materially participate, directly or
indirectly, in the proposed development as a for-profit entity.
In making the determinations required by the preceding subdivision
1 and clauses (ii), (iii) and (iv) of this subdivision 2 of this
section, the executive director may apply such factors as he deems
relevant, including, without limitation, the past experience and
anticipated future activities of the qualified nonprofit organization, the
sources and manner of funding of the qualified nonprofit organization, the date
of formation and expected life of the qualified nonprofit organization, the
number of paid staff members and volunteers of the qualified nonprofit organization,
the nature and extent of the qualified nonprofit organization's proposed
involvement in the construction or rehabilitation and the operation of the
proposed development, the relationship of the staff, directors or other
principals involved in the formation or operation of the qualified nonprofit
organization with any persons or entities to be involved in the proposed
development on a for-profit basis, and the proposed involvement in the
construction or rehabilitation and operation of the proposed development by any
persons or entities involved in the proposed development on a for-profit basis.
The executive director may include in the application of the foregoing factors
any other nonprofit organizations that, in his determination, are related (by
shared directors, staff or otherwise) to the qualified nonprofit organization
for which such determination is to be made.
For purposes of the foregoing requirements, a qualified
nonprofit organization shall be treated as satisfying such requirements if any
qualified corporation (as defined in § 42(h)(5)(D)(ii) of the IRC) in
which such organization (by itself or in combination with one or more qualified
nonprofit organizations) holds 100% of the stock satisfies such requirements.
The applications shall include such representations and
warranties and such information as the executive director may require in order
to determine that the foregoing requirements have been satisfied. In no event
shall more than 90% of the Commonwealth's annual state housing credit ceiling
for credits be available for developments other than those satisfying the
preceding requirements. The executive director may establish such pools
(nonprofit pools) of credits as he may deem appropriate to satisfy the
foregoing requirement. If any such nonprofit pools are so established, the
executive director may rank the applications therein and reserve credits to
such applications before ranking applications and reserving credits in other
pools, and any such applications in such nonprofit pools not receiving any
reservations of credits or receiving such reservations in amounts less than the
full amount permissible hereunder (because there are not enough credits then
available in such nonprofit pools to make such reservations) shall be assigned to
such other pool as shall be appropriate hereunder; provided, however, that if
credits are later made available (pursuant to the IRC or as a result of either
a termination or reduction of a reservation of credits made from any nonprofit
pools or a rescission in whole or in part of an allocation of credits made from
such nonprofit pools or otherwise) for reservation and allocation by the
authority during the same calendar year as that in which applications in the
nonprofit pools have been so assigned to other pools as described above, the
executive director may, in such situations, designate all or any portion of
such additional credits for the nonprofit pools (or for any other pools as he
shall determine) and may, if additional credits have been so designated for the
nonprofit pools, reassign such applications to such nonprofit pools, rank the
applications therein and reserve credits to such applications in accordance
with the IRC and this chapter. In the event that during any round (as
authorized hereinbelow) of application review and ranking the amount of credits
reserved within such nonprofit pools is less than the total amount of credits
made available therein, the executive director may either (i) leave such
unreserved credits in such nonprofit pools for reservation and allocation in
any subsequent round or rounds or (ii) redistribute, to the extent
permissible under the IRC, such unreserved credits to such other pool or
pools as the executive director shall designate reservations therefore in the
full amount permissible hereunder (which applications shall hereinafter be
referred to as "excess qualified applications") or (iii) carry over
such unreserved credits to the next succeeding calendar year for the inclusion
in the state housing credit ceiling (as defined in § 42(h)(3)(C) of the
IRC) for such year. Notwithstanding anything to the contrary herein, no
reservation of credits shall be made from any nonprofit pools to any
application with respect to which the qualified nonprofit organization has not
yet been legally formed in accordance with the requirements of the IRC. In
addition, no application for credits from any nonprofit pools or any
combination of pools may receive a reservation or allocation of annual credits
in an amount greater than $950,000 unless credits remain available in such
nonprofit pools after all eligible applications for credits from such nonprofit
pools receive a reservation of credits.
Notwithstanding anything to the contrary herein, applicants
relying on the experience of a local housing authority for developer experience
points described hereinbelow and/or or using Hope VI funds from
HUD in connection with the proposed development shall not be eligible to
receive a reservation of credits from any nonprofit pools.
The authority shall review each application, and, based on
the application and other information available to the authority, shall assign
points to each application as follows:
1. Readiness. a. Written evidence satisfactory to the
authority of unconditional approval by local authorities of the plan of
development or site plan for the proposed development or that such approval is
not required. (40 points; applicants receiving points under this subdivision 1 a
are not eligible for points under subdivision 5 a below)
b. For applications submitted prior to January 1, 2016,
written evidence satisfactory to the authority (i) of proper zoning or special
use permit for such site or (ii) that no zoning requirements or special use
permits are applicable. (40 points)
2. Housing needs characteristics.
a. Submission of the form prescribed by the authority with any
required attachments, providing such information necessary for the authority to
send a letter addressed to the current chief executive officer (or the
equivalent) of the locality in which the proposed development is located,
soliciting input on the proposed development from the locality within the
deadlines established by the executive director. (minus 50 points for failure
to make timely submission)
b. A letter in response to its notification to the chief
executive officer of the locality in which the proposed development is to be
located opposing the allocation of credits to the applicant for the
development. In any such letter, the chief executive officer must certify that
the proposed development is not consistent with current zoning or other
applicable land use regulations. Any such letter must also be accompanied by a
legal opinion of the locality's attorney opining that the locality's opposition
to the proposed development does not have a discriminatory intent or a
discriminatory effect (as defined in 24 CFR 100.500(a)) that is not supported
by a legally sufficient justification (as defined in 24 CFR 100.500(b)) in
violation of the Fair Housing Act (Title VIII of the Civil Rights Act of 1968,
as amended) and the HUD implementing regulations. (minus 25 points)
c. Any proposed development that is to be located in a
revitalization area meeting the requirements of § 36-55.30:2 A of the Code
of Virginia. (10 points) or within an opportunity zone designated by
the Commonwealth pursuant to the Federal Tax Cuts and Jobs Act of 2017, as
follows: (i) in a qualified census tract or federal targeted area, both as
defined in the IRC, deemed under § 36-55.30:2 of the Code of Virginia to be
designated as a revitalization area without adoption of a resolution (10
points); (ii) in any redevelopment area, conservation area, or rehabilitation
area created or designated by the city or county pursuant to Chapter 1
(§ 36-1 et seq.) of Title 36 of the Code of Virginia and deemed under
§ 36-55.30:2 to be designated as a revitalization area without adoption of
a further resolution (10 points); (iii) in a revitalization area designated by
resolution adopted pursuant to the terms of § 36-55.30:2 (15 points); (iv)
in a local housing rehabilitation zone created by an ordinance passed by the
city, county, or town and deemed to meet the requirements of § 36-55.30:2
pursuant to § 36-55.64 G of the Code of Virginia (15 points); and (v) in
an opportunity zone and having a binding commitment of funding acceptable to
the executive director pursuant to requirements as set forth on the application
form, instructions, or other communication available to the public. [ (20
(15 ] points). If the development is located in more than one such
area, only the highest applicable points will be awarded, that is, points in
this subdivision c are not cumulative.
d. Commitment by the applicant for any development without
section 8 project-based assistance to give leasing preference to individuals
and families (i) on public housing waiting lists maintained by the local
housing authority operating in the locality in which the proposed development
is to be located and notification of the availability of such units to the
local housing authority by the applicant or (ii) on section 8 (as defined in
13VAC10-180-90) waiting lists maintained by the local or nearest section 8
administrator for the locality in which the proposed development is to be
located and notification of the availability of such units to the local section
8 administrator by the applicant. (5 points)
e. Any of the following: (i) firm financing commitment(s)
from the local government, local housing authority, Federal Home Loan Bank
affordable housing funds, Virginia Housing Trust Fund, funding from VOICE for
projects located in Prince William County and donations from unrelated private
foundations that have filed an IRS Form 990 (or a variation of such form) or
Rural Development for a below-market rate loan or grant; (ii) a resolution
passed by the locality in which the proposed development is to be located
committing such financial support to the development in a form approved by the
authority; (iii) a commitment to donate land, buildings or tap fee waivers from
the local government; or (iv) a commitment to donate land (including a below
market rate land lease) from an entity that is not a principal in the applicant
(the donor being the grantee of a right of first refusal or purchase option,
with no ownership interest in the applicant, shall not make the donor a
principal in the applicant). Any [ nonfederal
(i) ] funding source, as evidenced by a binding commitment or
letter of intent, that is used to reduce the credit request [ ;
(ii) commitment to donate land or buildings or tap fee waivers from the local
government; or (iii) commitment to donate land (including a below market-rate
land lease) from an entity that is not a principal in the applicant (the donor
being the grantee of a right of first refusal or purchase option with no
ownership interest in the applicant shall not make the donor a principal in the
applicant) ]. Loans must be below market-rate (the one-year London
Interbank Offered Rate (LIBOR) rate at the time of commitment) or cash-flow
only to be eligible for points. Financing from the authority and market rate
permanent financing sources are not eligible. [ Funding from the
Federal Home Loan Bank is eligible. ] (The amount of such financing
funding, dollar value of local support, or value of donated land
(including a below market rate land lease) will be determined by the executive
director and divided by the total development sources of funds and the
proposed development cost. The applicant receives two points for
each percentage point up to a maximum of 40 points.) [ The authority
will confirm receipt of such subsidized funding prior to the issuance of IRS
Form 8609. ]
f. Any development subject to (i) HUD's Section 8 or Section
236 program or (ii) Rural Development's 515 program, at the time of
application. (20 points, unless the applicant is or has any common interests
with the current owner, directly or indirectly, the application will only
qualify for these points if the applicant waives all rights to any
developer's fee on acquisition and any other fees associated with the
acquisition and rehabilitation (or rehabilitation only) of the
development unless permitted by the executive director for good cause.)
g. Any development receiving (i) a real estate tax
abatement on the increase in the value of the development or (ii) new
project-based subsidy from HUD or Rural Development for the greater of five
units or 10% of the units of the proposed development. (10 (5
points)
h. Any proposed elderly development located in a census
tract that has less than a 10% poverty rate (based upon Census Bureau data) (25
points). Effective January 1, 2018, any proposed elderly development located in
a census tract that has less than a 12% poverty rate (based upon Census Bureau
data) (20 points); any proposed elderly development located in a census tract
that has less than a 3.0% poverty rate (based upon Census Bureau data) (30
points).
i. Any proposed family development located in a census
tract that has less than a 10% poverty rate (based upon Census Bureau data) (25
points). Effective January 1, 2018, any proposed family development located in
a census tract that has less than a 12% poverty rate (based upon Census Bureau
data) (20 points); any proposed family development located in a census tract
that has less than a 3.0% poverty rate (based upon Census Bureau data) (30
points).
h. Any development receiving new project-based subsidy from
HUD or Rural Development for the greater of five units or 10% of the units of
the proposed development. (10 points)
i. Any proposed elderly or family development located in a
census tract that has less than a 3.0% poverty rate based upon Census Bureau
data (30 points); less than a 10% poverty rate based upon Census Bureau data
(25 points); or less than a 12% poverty rate based upon Census Bureau data. (20
points)
j. Any proposed development listed in the top 25 developments
identified by Rural Development as high priority for rehabilitation at the time
the application is submitted to the authority (15 points).
k. Any proposed new construction development (including
adaptive reuse and rehabilitation that creates additional rental space) located
in a pool identified by the authority as a pool with little or no increase in
rent-burdened population. (up (Up to minus 20 points, depending
upon the portion of the development that is additional rental space, in all
pools except the at-large pool, 0 points in the at-large pool; the executive
director may make exceptions in the following circumstances:
(1) Specialized types of housing designed to meet special
needs that cannot readily be addressed utilizing existing residential
structures;
(2) Housing designed to serve as a replacement for housing
being demolished through redevelopment; or
(3) Housing that is an integral part of a neighborhood
revitalization project sponsored by a local housing authority.)
l. Any proposed new construction development (including
adaptive reuse and rehabilitation that creates additional rental space) that is
located in a pool identified by the authority as a pool with an increasing rent-burdened
population. (up (Up to 20 points, depending upon the portion of
the development that is additional rental space, in all pools except the
at-large pool, 0 points in the at-large pool).
3. Development characteristics.
a. Evidence satisfactory to the authority documenting the
quality of the proposed development's amenities as determined by the following:
(1) The following points are available for any application:
(a) If a community/meeting community room with a
minimum of 749 square feet is provided. (5 points) Community rooms receiving
points under this subdivision 3 a (1) (a) may not be used for commercial
purposes. Effective January 1, 2018, provided Provided that the
cost of the community room is not included in eligible basis, the owner may conduct,
or contract with a nonprofit provider to conduct, programs or classes for
tenants and members of the community in the community room, so long as (i)
tenants compose at least one-third of participants, with first preference given
to tenants above the one-third minimum; (ii) no program or class may be offered
more than five days per week; (iii) no individual program or class may last
more than eight hours per day, and all programs and class sessions may not last
more than 10 hours per day in the aggregate; (iv) cost of attendance of the
program or class must be below market rate with no profit from the operation of
the class or program being generated for the owner (owner may also collect an
amount of for reimbursement of supplies and clean-up costs); (v)
the community room must be available for use by tenants when programs and
classes are not offered, subject to reasonable "quiet hours"
established by owner; and (vi) any owner offering programs or classes must
provide an annual certification to the authority that it is in compliance with
such requirements, with failure to comply with these requirements resulting in
a 10-point penalty for three years from the date of such noncompliance for
principals in the owner.
(b) If the exterior walls are constructed using the
following materials: (i) Brick brick or other similar
low-maintenance material approved by the authority (as indicated on the
application form, instructions, or other communication available to the public)
covering 30% or more of the exterior walls 25% or greater, up to and
including 85%, of the exterior walls of the development. For purposes of making
such coverage calculation, the triangular gable end area, doors, windows, knee
walls, columns, retaining walls, and any features that are not a part of the
façade are excluded from the denominator. Community buildings are included in
the foregoing coverage calculations. (Zero points if coverage is less than 25%;
10 points if coverage is at least 25%, and an additional 15 points is available
on a sliding scale if coverage is greater than 25% up to and including 85%
coverage. No additional points if coverage is greater than 85%). (10
points) and
(ii) If subdivision 3 a (1) (b) (i) above is met, an
additional one-fifth point for each percent of exterior wall brick or other
similar low-maintenance material approved by the authority (as indicated on the
application form, instructions, or other communication available to the public)
in excess of 30%. (maximum 10 points) and
(iii) If subdivision 3 a (1) (b) (i) above is met, an
additional one-tenth point for each percent of exterior wall covered by
fiber-cement board. (maximum 7 points)
(c) If all kitchen and laundry appliances (except range
hoods) meet the EPA's Energy Star qualified program requirements. (5 points)
(d) If all the windows and glass doors are Energy Star
labeled for the North-Central Zone or are National Fenestration Rating Council
(NFRC) labeled with a maximum U-Factor of 0.27 and maximum solar heat gain
coefficient (SHGC) of 0.40. (5 points)
(e) If every unit in the development is heated and cooled
with either (i) heat pump equipment with both a seasonal energy efficiency
ratio (SEER) rating of 15.0 or more and a heating seasonal performance factor
(HSPF) rating of 8.5 or more or (ii) air conditioning equipment with a SEER
rating of 15.0 or more, combined with a gas furnace with an annual fuel
utilization efficiency (AFUE) rating of 90% or more. (10 points)
(f) (c) If the water expense is submetered (the
tenant will pay monthly or bimonthly bill). (5 points)
(g) (d) If points are not awarded pursuant to
subdivision 3 f [ below of this section ] for
optional certification, if each bathroom contains only WaterSense labeled toilets,
faucets and showerheads. (2 (3 points)
(h) (e) If each unit is provided with the
necessary infrastructure for high-speed Internet or broadband service.
(1 point)
(i) If all the water heaters have an energy factor greater
than or equal to 67% for gas water heaters or greater than or equal to 93% for
electric water heaters; or any centralized commercial system that has an
efficiency performance rating equal to or greater than 95%, or any solar
thermal system that meets at least 60% of the development's domestic hot water
load If free Wi-Fi access is provided in the community room and such
access is restricted to resident only usage. (4 points) If each unit is
provided with free individual high-speed Internet access. (6 points, 8 points
if such access is Wi-Fi). (5 points)
(j) If each bathroom is equipped with a WaterSense labeled
toilet. (2 points)
(k) Effective until January 1, 2018, for new construction
only, if each full bathroom is equipped with EPA Energy Star qualified bath
vent fans. (2 points) Effective January 1, 2018, if each full bathroom is
provided either an EPA Energy Star qualified bath vent fan with duct size per
manufacturer requirements or a continuous exhaust as part of a dedicated
outdoor air system with humidity control. (2 points)
(l) If the development has or the application provides for
installation of continuous R-3 or higher wall sheathing insulation. (5 points)
(m) (f) If each full bathroom's bath fans are wired
to the primary bathroom light with a delayed timer, or continuous exhaust by
ERV/DOAS. (3 points) If each full bathroom's bath fans are equipped with a
humidistat. (3 points)
(g) If all cooking surfaces are equipped with fire
prevention features that meet the authority's requirements as indicated on the
application form, instructions, or other communication available to the public.
(4 points)
If all cooking surfaces are equipped with fire prevention
or suppression features that meet the authority's requirements (as
indicated on the application form, instructions, or other communication
available to the public). (2 points)
(h) For rehabilitations, equipping all units with dedicated
space, drain, and electrical hook-ups for permanently installed
dehumidification systems (2 points). For rehabilitations and new construction,
providing permanently installed dehumidification systems in each unit. (5 points)
(i) If each interior door is solid core. (3 points)
(j) If each unit has at least one USB charging port in the
kitchen, living room, and all bedrooms. (1 point)
(k) If each kitchen has LED lighting in all fixtures that
meets the authority's minimum design and construction standards (2 points)
(l) If each unit has a shelf or ledge outside the primary
entry door in interior hallway. (2 points)
(m) For new construction only, if each unit has a balcony
or patio with a minimum depth of five feet clear from face of building and a
size of at least 30 square feet. (4 points)
(2) The following points are available to applications
electing to serve elderly tenants:
(a) If all cooking ranges have front controls. (1 point)
(b) If all units have an emergency call system. (3 points)
(c) If all bathrooms have an independent or supplemental heat source. (1
point)
(d) (c) If all entrance doors to each unit have
two eye viewers, one at 42 inches and the other at standard height. (1 point)
(3) If the structure is historic, by virtue of being listed
individually in the National Register of Historic Places, or due to its
location in a registered historic district and certified by the Secretary of
the Interior as being of historical significance to the district, and the rehabilitation
will be completed in such a manner as to be eligible for historic
rehabilitation tax credits. (5 points)
b. Any development in which (i) the greater of five units or
10% of the units will be assisted by HUD project-based vouchers (as evidenced by
the submission of a letter satisfactory to the authority from an authorized
public housing authority (PHA) that the development meets all prerequisites for
such assistance) or other form of documented and binding federal or state
project-based rent subsidies in order to ensure occupancy by extremely
low-income persons; and (ii) the greater of five units or 10% of the units will
conform to HUD regulations interpreting the accessibility requirements of
§ 504 of the Rehabilitation Act and be actively marketed to persons with
disabilities as defined in the Fair Housing Act in accordance with a plan
submitted as part of the application for credits (all common space must also
conform to HUD regulations interpreting the accessibility requirements of § 504
of the Rehabilitation Act, and all the units described in clause (ii) above
must include roll-in showers and roll-under sinks and front control ranges,
unless agreed to by the authority prior to the applicant's submission of its
application). (60 points)
In addition, for any development eligible for the preceding
60 points, subject to appropriate federal approval, any applicant that commits
to providing a first preference on its waiting list for persons with a
developmental disability as confirmed by the Virginia Department of Behavioral
Health and Developmental Services for the greater of five units or 10% of the
units. (25 points)
c. Any development in which the greater of five units or 10%
of the units (i) have rents within HUD's Housing Choice Voucher (HCV) payment
standard, (ii) conform to HUD regulations interpreting the accessibility
requirements of § 504 of the Rehabilitation Act, and (iii) are actively
marketed to persons with disabilities as defined in the Fair Housing Act in
accordance with a plan submitted as part of the application for credits (all
common space must also conform to HUD regulations interpreting the
accessibility requirements of § 504 of the Rehabilitation Act). (30 points)
In addition, for any development eligible for the preceding
30 points, subject to appropriate federal approval, any applicant that commits
to providing a first preference on its waiting list for persons with a
developmental disability as confirmed by the Virginia Department of Behavioral
Health and Developmental Services for the greater of five units or 10% of the
units. (25 points)
d. Any development in which 5.0% of the units (i) conform to
HUD regulations interpreting the accessibility requirements of § 504 of the
Rehabilitation Act and (ii) are actively marketed to persons with disabilities
as defined in the Fair Housing Act in accordance with a plan submitted as part
of the application for credits. (15 points)
e. Any development located within one-half mile of an existing
commuter rail, light rail or subway station or one-quarter mile of one or more
existing public bus stops. (10 points, unless the development is located within
the geographical area established by the executive director for a pool of
credits for Northern Virginia or Tidewater Metropolitan Statistical Area (MSA),
in which case, the development will receive 20 points if the development is
ranked against other developments in such Northern Virginia or Tidewater MSA
pool, 10 points if the development is ranked against other developments in any
other pool of credits established by the executive director)
f. Each development must meet the following baseline energy
performance standard applicable to the development's construction category. For
new construction, the development must meet all requirements for EPA Energy
Star certification. For rehabilitation, the proposed renovation of the
development must result in at least a 30% post-rehabilitation [ increase
decrease ] on the Home Energy Rating System Index (HERS Index) or
score an 80 or [ better lower ] on the
HERS Index. For adaptive reuse, the proposed development must score a 95 or
[ better lower ] on the HERS Index. For mixed
construction types, the applicable standard will apply to the development's
various construction categories. The development's score on the HERS Index must
be verified by a third-party, independent, nonaffiliated, certified Residential
Energy Services Network (RESNET) home energy rater.
Any development for which the applicant agrees to obtain either
(i) EarthCraft Gold or higher certification or; (ii) U.S.
Green Building Council LEED green-building certification; (iii) National
Green Building Standard Certification of Silver or higher; or (iv) meet
Enterprise Green Communities Criteria prior to the issuance of an IRS Form
8609 with the proposed development's architect certifying in the application
that the development's design will meet the criteria for such certification,
provided that the proposed development's architect is on the authority's
list of LEED/EarthCraft certified architects. (15 points for a LEED Silver
development or EarthCraft certified development; 35 points for a LEED Gold
development or EarthCraft Gold development; 45 points for a LEED Platinum
development and an additional 10 points for an EarthCraft certified development
or EarthCraft Gold development that performs tenant utility monitoring and
benchmarking.) RESNET rater is registered with a provider on the
authority's approved RESNET provider list. (10 points, points in this paragraph
are not cumulative)
Additionally, points on future applications will be awarded
to an applicant having a principal that is also a principal in a tax credit
development in the Commonwealth meeting (i) the Zero Energy Ready Home
Requirements as promulgated by the U.S. Department of Energy (DOE) and as
evidenced by a DOE certificate; or (ii) the Passive House Institute's Passive
House standards as evidenced by a certificate from an accredited Passive House
certifier. (10 points, points in this paragraph are cumulative)
The executive director may, if needed, designate a proposed
development as requiring an increase in credit in order to be financially
feasible and such development shall be treated as if in a difficult development
area as provided in the IRC for any applicant receiving 25 or 45 an
additional 10 points under this subdivision, provided however, any
resulting increase in such development's eligible basis shall be limited to 5.0%
10% of the development's eligible basis for 25 points awarded under
this subdivision and 10% for 45 points awarded under this subdivision of.
Provided, however, the authority may remove such increase in the
development's eligible basis if the authority determines that the
development is financially feasible without such increase in basis.
g. If units are constructed to include the authority's
universal design features, provided that the proposed development's architect
is on the authority's list of universal design certified architects. (15
points, if all the units in an elderly development meet this requirement; 15
points multiplied by the percentage of units meeting this requirement for
nonelderly developments)
[ h. Any development in which the applicant proposes to
produce less than 100 low-income housing units. (20 points for producing 50
low-income housing units or less, minus 0.4 points for each additional
low-income housing unit produced down to 0 points for any development that
produces 100 or more low-income housing units.)
i. h. ] Any applicant for a development
that, pursuant to a common plan of development, is part of a larger development
located on the same or contiguous sites, financed in part by tax-exempt bonds. Combination
developments seeking both 9.0% and 4.0% credits must clearly be presented as
two separately financed deals including separate equity pricing that would
support each respective deal in the event the other were no longer present.
While deals are required to be on the same or a contiguous site they must be
clearly identifiable as separate. The units financed by tax exempt bonds may
not be interspersed throughout the development. Additionally, if co-located
within the same building footprint, the property must identify separate
entrances. All applicants seeking points in this category must arrange a
meeting with authority staff at the authority's offices prior to the deadline
for submission of the application in order to review both the 9.0% and the
tax-exempt bond financed portion of the project. Any applicant failing to meet
with authority staff in advance of applying will not be allowed to compete in
the current competitive round as a combination development. (25 points for
tax-exempt bond financing of at least 30% of aggregate units, 35 points for
tax-exempt bond financing of at least 40% of aggregate units, and 45 points for
tax-exempt bond financing of at least 50% of aggregate units; such points being
noncumulative) noncumulative; such points will be awarded in both the
application and any application submitted for credits associated with the
tax-exempt bonds)
4. Tenant population characteristics. Commitment by the
applicant to give a leasing preference to individuals and families with
children in developments that will have no more than 20% of its units with one
bedroom or less. (15 points; plus 0.75 points for each percent of the
low-income units in the development with three or more bedrooms up to an
additional 15 points for a total of no more than 30 points)
5. Sponsor characteristics.
a. Evidence that the controlling general partner or managing
member of the controlling general partner or managing member for the proposed
development have developed:
(1) As controlling general partner or managing member, (i) at
least three tax credit developments that contain at least three times the
number of housing units in the proposed development or (ii) at least six tax
credit developments. (50 points) or;
(2) At least three deals as a principal and have at least
$500,000 in liquid assets. "Liquid assets" means cash, cash
equivalents, and investments held in the name of the entity(s) and entities
or person(s) persons, including cash in bank accounts, money
market funds, U.S. Treasury bills, and equities traded on the New York Stock
Exchange or NASDAQ. Certain cash and investments will not be considered liquid
assets, including but not limited to: (i) stock held in the applicant's
own company or any closely held entity, (ii) investments in retirement
accounts, (iii) cash or investments pledged as collateral for any liability,
and (iv) cash in property accounts, including reserves. The authority will
assess the financial capacity of the applicant based on its financial
statements. The authority will accept financial statements audited, reviewed,
or compiled by an independent certified public accountant. Only a balance sheet
dated on or after December 31 of the year prior to the application deadline is
required. The authority will accept a compilation report with or without full
note disclosures. Supplementary schedules for all significant assets and
liabilities may be required. Financial statements prepared in accordance with
accounting principles generally accepted in the United States (U.S. GAAP) are
preferred. Statements prepared in the income tax basis or cash basis must
disclose that basis in the report. The authority reserves the right to verify
information in the financial statements. (50 points); or
(3) As controlling general partner or managing member, at
least one tax credit development that contains at least the number of housing
units in the proposed development. (10 points)
Applicants receiving points under subdivisions a (1) and a (2)
of this subdivision 5 shall have the 50 points reduced if the controlling
general partner or managing member of the controlling general partner or
managing member in the applicant acted as a principal in a development
receiving an allocation of credits from the authority where:
(a) such Such principal met the requirements to
be eligible for points under 5 (a) (1) or (2) and
(b) any of the following occurred: (i) submission of a Form
8609 application that failed to match the required accountant's cost
certification (minus 10 points for [ For two ] years);
(ii) failure to place a rehabilitation development in service by substantial
completion (e.g., placed in service by expenditures after two years) (minus 5
points for two years); (iii) [ years Such principal ]
made more than two requests for final inspection (minus 5 points for two
years); or (iv) requests for any deadline extension (minus 1 point for two
years).
Applicants receiving points under subdivisions a (1) and a (2)
of this subdivision 5 are not eligible for points under subdivision a of
subdivision 1 Readiness, above.
b. Any applicant that includes a principal that was a
principal in a development at the time the authority inspected such development
and discovered a life-threatening hazard under HUD's Uniform Physical Condition
Standards and such hazard was not corrected in the timeframe established by the
authority. (minus 50 points for a period of three years after the violation has
been corrected)
c. Any applicant that includes a principal that was a
principal in a development that either (i) at the time the authority reported
such development to the IRS for noncompliance had not corrected such
noncompliance by the time a Form 8823 was filed by the authority or (ii)
remained out-of-compliance with the terms of its extended use commitment after
notice and expiration of any cure period set by the authority. (minus 15 points
for a period of three calendar years after the year the authority filed Form
8823 or expiration of such cure period, unless the executive director
determines that such principal's attempts to correct such noncompliance was
prohibited by a court, local government or governmental agency, in which case,
no negative points will be assessed to the applicant, or 0 points, if the
appropriate individual or individuals connected to the principal attend
compliance training as recommended by the authority)
d. Any applicant that includes a principal that is or was a
principal in a development that (i) did not build a development as represented
in the application for credit (minus two times the number of points assigned to
the item or items not built or minus 20 points for failing to provide a
minimum building requirement, for a period of three years after the last Form
8609 is issued for the development, in addition to any other penalties the
authority may seek under its agreements with the applicant), or (ii) has a
reservation of credits terminated by the authority. (minus 10 points a
period of three years after the credits are returned to the authority).
e. Any applicant that includes a management company in its
application that is rated unsatisfactory by the executive director or if the
ownership of any applicant includes a principal that is or was a principal in a
development that hired a management company to manage a tax credit development
after such management company received a rating of unsatisfactory from the
executive director during the compliance period and extended use period of such
development. (minus 25 points)
f. Any applicant that includes a principal that was a
principal in a development for which the actual cost of construction (as
certified in the Independent Auditor's Report with attached Certification of
Sources and Uses that is submitted in connection with the Owner's Application
for IRS Form 8609) exceeded the applicable cost limit by 5.0% or more (minus 50
points for a period of three calendar years after December 31 of the year the
cost certification is complete; provided, however, if the Board of
Commissioners determines that such overage was outside of the applicant's
control based upon documented extenuating circumstances, no negative points
will be assessed.)
6. Efficient use of resources.
a. The percentage by which the total of the amount of credits
per low-income housing unit (the "per unit credit amount") of the
proposed development is less than the standard per unit credit amounts
established by the executive director for a given unit type, based upon the
number of such unit types in the proposed development. (200 points multiplied
by the percentage by which the total amount of the per unit credit amount of
the proposed development is less than the applicable standard per unit credit
amount established by the executive director, negative points will be assessed
using the percentage by which the total amount of the per unit credit amount of
the proposed development exceeds the applicable standard per unit credit amount
established by the executive director.)
b. The percentage by which the cost per low-income housing
unit (the "per unit cost") (per unit), adjusted by the
authority for location, of the proposed development is less than the standard
per unit cost amounts established by the executive director for a given unit
type, based upon the number of such unit types in the proposed development.
(100 points multiplied by the percentage by which the total amount of the per
unit cost of the proposed development is less than the applicable standard per
unit cost amount established by the executive director; negative points will be
assessed using the percentage by which the total amount of the per unit cost
amount of the proposed development exceeds the applicable standard per
unit cost amount established by the executive director.)
The executive director may use a standard per square foot
credit amount and a standard per square foot cost amount in establishing the
per unit credit amount and the per unit cost amount in subdivision 6 above. For
the purpose of calculating the points to be assigned pursuant to such
subdivision 6 above, all credit amounts shall include any credits previously
allocated to the development.
7. Bonus points.
a. Commitment by the applicant to impose income limits on the
low-income housing units throughout the extended use period (as defined in the
IRC) below those required by the IRC in order for the development to be a
qualified low-income development. Applicants receiving points under this
subdivision 7 a may not receive points under subdivision 7 b below. (Up to 50
points, the product of (i) 100 multiplied by (ii) the percentage of housing
units in the proposed development both rent restricted to and occupied by households
at or below 50% of the area median gross income; plus one point for each
percentage point of such housing units in the proposed development that are
further restricted to rents at or below 30% of 40% of the area median gross
income up to an additional 10 points.) If the applicant commits to providing
housing units in the proposed development both rent-restricted to and occupied
by households at or below 30% of the area median gross income and that are not
subsidized by project-based rental assistance. (plus 1 point for each
percentage point of such housing units in the proposed development, up to an
additional 10 points)
b. Commitment by the applicant to impose rent limits on the
low-income housing units throughout the extended use period (as defined in the
IRC) below those required by the IRC in order for the development to be a
qualified low-income development. Applicants receiving points under this
subdivision 7 b may not receive points under subdivision 7 a. (Up to 25 points,
the product of (i) 50 multiplied by (ii) the percentage of housing units in the
proposed development rent restricted to households at or below 50% of the area
median gross income; plus one point for each percentage point of such housing
units in the proposed development that are further restricted to rents at or
below 30% of 40% of the area median gross income up to an additional 10 points.
Points for proposed developments in low-income jurisdictions shall be two times
the points calculated in the preceding sentence, up to 50 points.)
c. Commitment by the applicant to maintain the low-income
housing units in the development as a qualified low-income housing development
beyond the 30-year extended use period (as defined in the IRC). Applicants
receiving points under this subdivision 7 c may not receive bonus points under
subdivision 7 d. (40 points for a 10-year commitment beyond the 30-year
extended use period or 50 points for a 20-year commitment beyond the 30-year
extended use period.)
d. Participation by a local housing authority or qualified
nonprofit organization (substantially based or active in the community with at
least a 10% ownership interest in the general partnership interest of the
partnership) and a commitment by the applicant to sell the proposed development
pursuant to an executed, recordable option or right of first refusal to such
local housing authority or qualified nonprofit organization or to a wholly
owned subsidiary of such organization or authority, at the end of the 15-year
compliance period, as defined by IRC, for a price not to exceed the outstanding
debt and exit taxes of the for-profit entity. The applicant must record such
option or right of first refusal immediately after the low-income housing
commitment described in 13VAC10-180-70. Applicants receiving points under this
subdivision 7 d may not receive bonus points under subdivision 7 c. (60 points;
plus five points if the local housing authority or qualified nonprofit
organization submits a homeownership plan satisfactory to the authority in
which the local housing authority or qualified nonprofit organization commits
to sell the units in the development to tenants.)
e. Any development participating in the Rental Assistance
Demonstration (RAD) program, or other conversion to project-based vouchers
or project-based rental assistance approved by the authority, competing in
the local housing authority pool will receive an additional 10 points.
Applicants must show proof of a commitment to enter into housing assistance
payment (CHAP) or a RAD conversion commitment (RCC).
In calculating the points for subdivisions 7 a and b above,
any units in the proposed development required by the locality to exceed 60% of
the area median gross income will not be considered when calculating the
percentage of low-income units of the proposed development with incomes below
those required by the IRC in order for the development to be a qualified
low-income development, provided that the locality submits evidence
satisfactory to the authority of such requirement.
After points have been assigned to each application in the
manner described above, the executive director shall compute the total number
of points assigned to each such application. Any application that is assigned a
total number of points less than a threshold amount of 425 points (325 points
for developments financed with tax-exempt bonds in such amount so as not to
require under the IRC an allocation of credits hereunder) shall be rejected
from further consideration hereunder and shall not be eligible for any reservation
or allocation of credits.
[ 8. Innovation. For calendar years 2019, 2020, and
2021, the authority establishes an innovation pool equal to the additional
12.5% of credits established by the federal Consolidated Appropriations Act of
2018. Any applicant intending to submit an application in a particular year's
competitive round and having completed the local notification information
process may self-select to first compete in the innovation pool. Applications
for the innovation pool will be due prior to the deadline for the competitive
pool on a date determined by the authority. The authority will evaluate each
application in the innovation pool, without scoring it on the traditional
points scale, to determine and rank the uniqueness and innovative nature of the
development concept based upon the parameters set forth in this subdivision 8.
The developments meeting the authority's threshold for innovation will be
ranked highest to lowest and only those developments for which there are
sufficient credits in the pool to fully fund such developments will be awarded
credits. However, the application must meet all the requirements of the IRC and
threshold score. The authority may also establish a review committee comprised
of external real estate professionals, academic leaders, and other individuals
knowledgeable of real estate development, design, construction, accessibility,
energy efficiency, or management to assist the authority in determining and
ranking the innovative nature of the development. Factors for consideration:
a. Innovative construction methods or materials that
reduce the traditional construction time or construction cost of the
development while maintaining sustainability;
b. Having more than 50% of funding committed to the
development at the time of application;
c. Regional collaboration and support;
d. Utilizing unique up-zoning activities promoting
greater density (e.g., a higher number of units per acre than otherwise
permitted by zoning);
e. Ability of the development to address an unmet need
of an underserved population or geographic location;
f. Unique or innovative tenant services, tenant
selection criteria, or eviction policies;
g. Demonstrated capacity of the applicant to complete
the proposed development and financial feasibility of the development with the
innovative components;
h. Extent to which the proposed development would be at
a competitive or financial disadvantage relative to developments considered in
the other traditional competitive pools; and
i. The proposed development's contribution to the
authority's identified mission and goals.
Applicants in the innovation pool may amend their
applications prior to submission for competition in the remaining pools. After
review of all applications in the innovation pool, the authority may elect to
not award any credits in the innovation pool or to less than fully fund the
pool and any unused credits will move to the remaining pools. ]
During its review of the submitted applications in all
pools, the authority may conduct its own analysis of the demand for the
housing units to be produced by each applicant's proposed development.
Notwithstanding any conclusion in the market study submitted with an
application, if the authority determines that, based upon information from its
own loan portfolio or its own market study, inadequate demand exists for the
housing units to be produced by an applicant's proposed development, the
authority may exclude and disregard the application for such proposed
development.
During its review of the submitted applications in all
pools, the authority may conduct a site visit to the applicant's proposed
development. Notwithstanding any conclusion in any environmental site
assessment submitted with an application, if the authority determines that the
applicant's proposed development presents health or safety concerns for
potential tenants of the development, the authority may exclude and disregard
the application for such proposed development.
The executive director may exclude and disregard any
application that he determines is not submitted in good faith or that he
determines would not be financially feasible.
Upon assignment of points to all of the applications, the
executive director shall rank the applications based on the number of points so
assigned. If any pools shall have been established, each application shall be
assigned to a pool and, if any, to the appropriate tier within such pool and
shall be ranked within such pool or tier, if any. The amount of credits made
available to each pool will be determined by the executive director. Available
credits will include unreserved per capita dollar amount credits from the
current calendar year under § 42(h)(3)(C)(i) of the IRC, any unreserved per
capita credits from previous calendar years, and credits returned to the
authority prior to the final ranking of the applications and may include up to
40% of next calendar year's per capita credits as shall be determined by the
executive director. Those applications assigned more points shall be ranked
higher than those applications assigned fewer points. However, if any
set-asides established by the executive director cannot be satisfied after
ranking the applications based on the number of points, the executive director
may rank as many applications as necessary to meet the requirements of such
set-aside (selecting the highest ranked application, or applications, meeting
the requirements of the set-aside) over applications with more points.
In the event of a tie in the number of points assigned to two
or more applications within the same pool, or, if none, within the
Commonwealth, and in the event that the amount of credits available for
reservation to such applications is determined by the executive director to be
insufficient for the financial feasibility of all of the developments described
therein, the authority shall, to the extent necessary to fully utilize the
amount of credits available for reservation within such pool or, if none,
within the Commonwealth, select one or more of the applications with the
highest combination of points from subdivision 7 above, and each
application so selected shall receive (in order based upon the number of such
points, beginning with the application with the highest number of such points)
a reservation of credits. If two or more of the tied applications receive the
same number of points from subdivision 7 above and if the amount of
credits available for reservation to such tied applications is determined by
the executive director to be insufficient for the financial feasibility of all
the developments described therein, the executive director shall select one or
more of such applications by lot, and each application so selected by lot shall
receive (in order of such selection by lot) a reservation of credits.
For each application which may receive a reservation of
credits, the executive director shall determine the amount, as of the date of
the deadline for submission of applications for reservation of credits, to be
necessary for the financial feasibility of the development and its viability as
a qualified low-income development throughout the credit period under the IRC.
In making this determination, the executive director shall consider the sources
and uses of the funds, the available federal, state and local subsidies
committed to the development, the total financing planned for the development
as well as the investment proceeds or receipts expected by the authority to be
generated with respect to the development, and the percentage of the credit
dollar amount used for development costs other than the costs of
intermediaries. He shall also examine the development's costs, including
developer's fees and other amounts in the application, for reasonableness, and
if he determines that such costs or other amounts are unreasonably high, he shall
reduce them to amounts that he determines to be reasonable. The executive
director shall review the applicant's projected rental income, operating
expenses and debt service for the credit period. The executive director may
establish such criteria and assumptions as he shall deem reasonable for the
purpose of making such determination, including, without limitation,
criteria as to the reasonableness of fees and profits and assumptions as to the
amount of net syndication proceeds to be received (based upon such percentage
of the credit dollar amount used for development costs, other than the costs of
intermediaries, as the executive director shall determine to be reasonable for
the proposed development), increases in the market value of the development, and
increases in operating expenses, rental income and, in the case of applications
without firm financing commitments (as defined hereinabove) at fixed interest
rates, debt service on the proposed mortgage loan. The executive director may,
if he deems it appropriate, consider the development to be a part of a larger
development. In such a case, the executive director may consider, examine,
review and establish any or all of the foregoing items as to the larger
development in making such determination for the development.
[ The following Maximum ] developer's
[ fees may not fee calculations will ] be
[ exceeded in indicated on ] the application
[ : (i) for 4.0% developments, $20,000 per unit for units zero
through 60; $15,000 per unit for units 61 through 120; and $10,000 per unit for
any units above 120; and (ii) for 9.0% developments, $20,000 per unit for units
zero through 30; $15,000 per unit for units 31 through 60, and $10,000 per unit
for any units above 60. For 4.0% developments above 120 units and 9.0% developments
above 60 units, the developer fee shall be subject form,
instructions, or other communication available ] to the [ authority's
determination public. Notwithstanding such calculations ] of
[ reasonableness, and the developer per unit may be lower
developer's fee, (i) no more ] than [ set forth
above. However, in no event shall the developer fee $3 million
developer's fee may be included in the development's eligible basis, (ii) no
developer's fee may exceed $5 million, and (iii) no developer's fee may ]
exceed 15% of the development's total development cost, as determined by the
authority.
At such time or times during each calendar year as the
executive director shall designate, the executive director shall reserve
credits to applications in descending order of ranking within each pool and
tier, if applicable, until either substantially all credits therein are
reserved or all qualified applications therein have received reservations. (For
the purpose of the preceding sentence, if there is not more than a de minimis
amount, as determined by the executive director, of credits remaining in a pool
after reservations have been made, "substantially all" of the credits
in such pool shall be deemed to have been reserved.) The executive director may
rank the applications within pools at different times for different pools and
may reserve credits, based on such rankings, one or more times with respect to
each pool. The executive director may also establish more than one round of
review and ranking of applications and reservation of credits based on such
rankings, and he shall designate the amount of credits to be made available for
reservation within each pool during each such round. The amount reserved to
each such application shall be equal to the lesser of (i) the amount requested
in the application or (ii) an amount determined by the executive director, as
of the date of application, to be necessary for the financial feasibility of
the development and its viability as a qualified low-income development throughout
the credit period under the IRC; provided, however, that in no event shall the
amount of credits so reserved exceed the maximum amount permissible under the
IRC.
Effective until January 1, 2018, not more than 20% of the
credits in any pool may be reserved to developments intended to provide elderly
housing, unless the feasible credit amount, as determined by the executive
director, of the highest ranked elderly housing development in any pool exceeds
20% of the credits in such pool, then such elderly housing development shall be
the only elderly housing development eligible for a reservation of credits from
such pool. However, if credits remain available for reservation after all
eligible nonelderly housing developments receive a reservation of credits, such
remaining credits may be made available to additional elderly housing
developments. The above limitation of credits available for elderly housing
shall not include elderly housing developments with project-based subsidy
providing rental assistance for at least 20% of the units that are submitted as
rehabilitation developments or assisted living facilities licensed under
Chapter 17 (§ 63.2-1700 et seq.) of Title 63.2 of the Code of Virginia.
If the amount of credits available in any pool is determined
by the executive director to be insufficient for the financial feasibility of
the proposed development to which such available credits are to be reserved,
the executive director may move the proposed development and the credits
available to another pool. If any credits remain in any pool after moving
proposed developments and credits to another pool, the executive director may
for developments that meet the requirements of § 42(h)(1)(E) of the IRC
only, reserve the remaining credits to any proposed development(s) developments
scoring at or above the minimum point threshold established by this chapter
without regard to the ranking of such application with additional credits from
the Commonwealth's annual state housing credit ceiling for the following year in
such an amount necessary for the financial feasibility of the proposed development,
or developments. However, the reservation of credits from the
Commonwealth's annual state housing credit ceiling for the following year shall
be in the reasonable discretion of the executive director if he determines it
to be in the best interest of the plan. In the event a reservation or an
allocation of credits from the current year or a prior year is reduced,
terminated, or canceled, the executive director may substitute such credits for
any credits reserved from the following year's annual state housing credit
ceiling.
In the event that during any round of application review and
ranking the amount of credits reserved within any pools is less than the total
amount of credits made available therein during such round, the executive
director may (i) leave such unreserved credits in such pools for reservation
and allocation in any subsequent round or rounds, (ii) redistribute such
unreserved credits to such other pool or pools as the executive director
may designate, (iii) supplement such unreserved credits in such pools with
additional credits from the Commonwealth's annual state housing credit ceiling
for the following year for reservation and allocation if in the reasonable
discretion of the executive director, it serves the best interest of the plan,
or (iv) carry over such unreserved credits to the next succeeding calendar year
for inclusion in the state housing credit ceiling (as defined in § 42(h)(3)(C)
of the IRC) for such year.
Notwithstanding anything contained herein, the total amount
of credits that may be awarded in any credit year after credit year 2001 to any
applicant or to any related applicants for one or more developments shall not
exceed 15% of Virginia's per capita dollar amount of credits for such credit
year (the "credit cap") (credit cap). However, if the
amount of credits to be reserved in any such credit year to all applications
assigned a total number of points at or above the threshold amount set forth
above shall be less than Virginia's dollar amount of credits available for such
credit year, then the authority's board of commissioners may waive the credit
cap to the extent it deems necessary to reserve credits in an amount at least
equal to such dollar amount of credits. Applicants shall be deemed to be
related if any principal in a proposed development or any person or entity
related to the applicant or principal will be a principal in any other proposed
development or developments. For purposes of this paragraph, a principal shall
also include any person or entity who, in the determination of the executive
director, has exercised or will exercise, directly or indirectly, substantial
control over the applicant or has performed or will perform (or has assisted or
will assist the applicant in the performance of), directly or indirectly,
substantial responsibilities or functions customarily performed by applicants
with respect to applications or developments. For the purpose of determining
whether any person or entity is related to the applicant or principal, persons
or entities shall be deemed to be related if the executive director determines
that any substantial relationship existed, either directly between them or
indirectly through a series of one or more substantial relationships (e.g., if
party A has a substantial relationship with party B and if party B has a
substantial relationship with party C, then A has a substantial relationship
with both party B and party C), at any time within three years of the filing of
the application for the credits. In determining in any credit year whether an
applicant has a substantial relationship with another applicant with respect to
any application for which credits were awarded in any prior credit year, the
executive director shall determine whether the applicants were related as of
the date of the filing of such prior credit year's application or within three
years prior thereto and shall not consider any relationships or any changes in
relationships subsequent to such date. Substantial relationships shall include,
but not be limited to, the following relationships (in each of the
following relationships, the persons or entities involved in the relationship
are deemed to be related to each other): (i) the persons are in the same
immediate family (including, without limitation, a spouse, children,
parents, grandparents, grandchildren, brothers, sisters, uncles, aunts, nieces,
and nephews) and are living in the same household; (ii) the entities have one
or more common general partners or members (including related persons and
entities), or the entities have one or more common owners that (by themselves
or together with any other related persons and entities) have, in the
aggregate, 5.0% or more ownership interest in each entity; (iii) the entities
are under the common control (e.g., the same person or persons and any
related persons serve as a majority of the voting members of the boards of such
entities or as chief executive officers of such entities) of one or more persons
or entities (including related persons and entities); (iv) the person is a
general partner, member or employee in the entity or is an owner (by himself or
together with any other related persons and entities) of 5.0% or more ownership
interest in the entity; (v) the entity is a general partner or member in the
other entity or is an owner (by itself or together with any other related
persons and entities) of 5.0% or more ownership interest in the other entity;
or (vi) the person or entity is otherwise controlled, in whole or in part, by
the other person or entity. In determining compliance with the credit cap with
respect to any application, the executive director may exclude any person or
entity related to the applicant or to any principal in such applicant if the
executive director determines that (i) such person or entity will not
participate, directly or indirectly, in matters relating to the applicant or
the ownership of the development to be assisted by the credits for which the
application is submitted, (ii) such person or entity has no agreement or
understanding relating to such application or the tax credits requested
therein, and (iii) such person or entity will not receive a financial benefit
from the tax credits requested in the application. A limited partner or other
similar investor shall not be determined to be a principal and shall be
excluded from the determination of related persons or entities unless the
executive director shall determine that such limited partner or investor will,
directly or indirectly, exercise control over the applicant or participate in
matters relating to the ownership of the development substantially beyond the
degree of control or participation that is usual and customary for limited
partners or other similar investors with respect to developments assisted by
the credits. If the award of multiple applications of any applicant or related
applicants in any credit year shall cause the credit cap to be exceeded, such
applicant or applicants shall, upon notice from the authority, jointly
designate those applications for which credits are not to be reserved so that
such limitation shall not be exceeded. Such notice shall specify the date by
which such designation shall be made. In the absence of any such designation by
the date specified in such notice, the executive director shall make such
designation as he shall determine to best serve the interests of the program.
Each applicant and each principal therein shall make such certifications, shall
disclose such facts and shall submit such documents to the authority as the
executive director may require to determine compliance with the credit
cap. If an applicant or any principal therein makes any misrepresentation to
the authority concerning such applicant's or principal's relationship with any
other person or entity, the executive director may reject any or all of such
applicant's pending applications for reservation or allocation of credits, may
terminate any or all reservations of credits to the applicant, and may prohibit
such applicant, the principals therein and any persons and entities then or
thereafter having a substantial relationship (in the determination of the
executive director as described above) with the applicant or any principal
therein from submitting applications for credits for such period of time as the
executive director shall determine.
Within a reasonable time after credits are reserved to any
applicants' applications, the executive director shall notify each applicant
for such reservations of credits either of the amount of credits reserved to
such applicant's application (by issuing to such applicant a written binding
commitment to allocate such reserved credits subject to such terms and
conditions as may be imposed by the executive director therein, by the IRC and
by this chapter) or, as applicable, that the applicant's application has been
rejected or excluded or has otherwise not been reserved credits in accordance
herewith. The written binding commitment shall prohibit any transfer, direct or
indirect, of partnership interests (except those involving the admission of
limited partners) prior to the placed-in-service date of the proposed
development unless the transfer is consented to by the executive director. The
written binding commitment shall further limit the developers' fees to the
amounts established during the review of the applications for reservation of
credits and such amounts shall not be increased unless consented to by the
executive director.
If credits are reserved to any applicants for developments
that have also received an allocation of credits from prior years, the
executive director may reserve additional credits from the current year equal
to the amount of credits allocated to such developments from prior years,
provided such previously allocated credits are returned to the authority. Any
previously allocated credits returned to the authority under such circumstances
shall be placed into the credit pools from which the current year's credits are
reserved to such applicants.
The executive director shall make a written explanation
available to the general public for any allocation of housing credit dollar
amount that is not made in accordance with established priorities and selection
criteria of the authority.
The authority's board shall review and consider the analysis
and recommendation of the executive director for the reservation of credits to
an applicant, and, if it concurs with such recommendation, it shall by
resolution ratify the reservation by the executive director of the credits to
the applicant, subject to such terms and conditions as it shall deem necessary
or appropriate to assure compliance with the aforementioned binding commitment
issued or to be issued to the applicant, the IRC and this chapter. If the board
determines not to ratify a reservation of credits or to establish any such
terms and conditions, the executive director shall so notify the applicant.
The executive director may require the applicant to make a
good faith deposit or to execute such contractual agreements providing for
monetary or other remedies as it may require, or both, to assure that the
applicant will comply with all requirements under the IRC, this chapter and the
binding commitment (including, without limitation, any requirement to
conform to all of the representations, commitments and information contained in
the application for which points were assigned pursuant to this section). Upon
satisfaction of all such aforementioned requirements (including any
post-allocation requirements), such deposit shall be refunded to the applicant
or such contractual agreements shall terminate, or both, as applicable.
If, as of the date the application is approved by the
executive director, the applicant is entitled to an allocation of the credits
under the IRC, this chapter and the terms of any binding commitment that the
authority would have otherwise issued to such applicant, the executive director
may at that time allocate the credits to such qualified low-income buildings or
development without first providing a reservation of such credits. This
provision in no way limits the authority of the executive director to require a
good faith deposit or contractual agreement, or both, as described in the
preceding paragraph, nor to relieve the applicant from any other requirements
hereunder for eligibility for an allocation of credits. Any such allocation
shall be subject to ratification by the board in the same manner as provided
above with respect to reservations.
The executive director may require that applicants to whom
credits have been reserved shall submit from time to time or at such specified
times as he shall require, written confirmation and documentation as to the
status of the proposed development and its compliance with the application, the
binding commitment and any contractual agreements between the applicant and the
authority. If on the basis of such written confirmation and documentation as
the executive director shall have received in response to such a request, or on
the basis of such other available information, or both, the executive director
determines any or all of the buildings in the development that were to become
qualified low-income buildings will not do so within the time period required
by the IRC or will not otherwise qualify for such credits under the IRC, this
chapter or the binding commitment, then the executive director may (i)
terminate the reservation of such credits and draw on any good faith deposit,
or (ii) substitute the reservation of credits from the current credit year with
a reservation of credits from a future credit year if the delay is caused by a
lawsuit beyond the applicant's control that prevents the applicant from
proceeding with the development. If, in lieu of or in addition to the foregoing
determination, the executive director determines that any contractual
agreements between the applicant and the authority have been breached by the
applicant, whether before or after allocation of the credits, he may seek to
enforce any and all remedies to which the authority may then be entitled under
such contractual agreements.
The executive director may establish such deadlines for
determining the ability of the applicant to qualify for an allocation of
credits as he shall deem necessary or desirable to allow the authority
sufficient time, in the event of a reduction or termination of the applicant's
reservation, to reserve such credits to other eligible applications and to
allocate such credits pursuant thereto.
Any material changes to the development, as proposed in the
application, occurring subsequent to the submission of the application for the
credits therefor shall be subject to the prior written approval of the
executive director. As a condition to any such approval, the executive director
may, as necessary to comply with this chapter, the IRC, the binding commitment
and any other contractual agreement between the authority and the applicant,
reduce the amount of credits applied for or reserved or impose additional terms
and conditions with respect thereto. If such changes are made without the prior
written approval of the executive director, he may terminate or reduce the
reservation of such credits, impose additional terms and conditions with
respect thereto, seek to enforce any contractual remedies to which the
authority may then be entitled, draw on any good faith deposit, or any
combination of the foregoing.
In the event that any reservation of credits is terminated or
reduced by the executive director under this section, he may reserve, allocate
or carry over, as applicable, such credits in such manner as he shall determine
consistent with the requirements of the IRC and this chapter.
Notwithstanding the provisions of this section, the executive
director may make a reservation of credits in an accessible supportive
housing pool (ASH pool) to any applicant that proposes a nonelderly
development that (i) will be assisted by HUD project-based vouchers or
another form of a documented and binding federal or state
project-based rent subsidies form of rental assistance in order to ensure
occupancy by extremely low-income persons; (ii) conforms to HUD regulations
interpreting the accessibility requirements of § 504 of the Rehabilitation Act;
and (iii) will be actively marketed to people with disabilities in
accordance with a plan submitted as part of the application for credits and
approved by the executive director for either (a) at least 25% of the units
in the development or (b) if HUD Section 811 funds are providing the rent
subsidies, at least 15% but not more than 25% of the units in the development.
at least 15% of the units in the development; (iv) has a principal with a
demonstrated capacity for supportive housing evidenced by a certification from
a certifying body acceptable to the executive director or other preapproved
source; and (v) for which the applicant has completed the authority's
supportive housing certification form. Any such reservations made in any
calendar year may be up to 6.0% of the Commonwealth's annual state housing
credit ceiling for the applicable credit year. However, such reservation will
be for credits from the Commonwealth's annual state housing credit ceiling from
the following calendar year. If the ASH pool application deadline is
simultaneous with the deadline for the other pools, the unsuccessful applicants
in the ASH pool will also compete in the applicable geographic pool.
[ Notwithstanding the provisions of this section, the
executive director may make reservations of credits to developments having
unique and innovative development concepts, such as innovative construction
methods or materials; unique or innovative tenant services, tenant selection
criteria, or eviction policies; or otherwise innovatively contributing to the
authority's identified mission and goals. The applications for such credits
must meet all the requirements of the IRC and threshold score. The authority
shall also establish a review committee comprised of external real estate
professionals, academic leaders, and other individuals knowledgeable of real
estate development, design, construction, accessibility, energy efficiency, or
management to assist the authority in determining and ranking the innovative
nature of the development. Such reservations will be for credits from the next
year's per capita credits and may not exceed 12.5% of the credits expected to
be available for that following calendar year. Such reservations shall not be
considered in the executive director's determination that no more than 40% of
the next calendar year's per capita credits have been prereserved. ]
13VAC10-180-70. Allocation of credits.
At such time as one or more of an applicant's buildings or an
applicant's development which has received a reservation of credits is (i)
placed in service or satisfies the requirements of § 42(h)(1)(E) of the IRC and
(ii) meets all of the preallocation requirements of this chapter, the binding
commitment and any other applicable contractual agreements between the
applicant and the authority, the applicant shall so advise the authority, shall
request the allocation of all of the credits so reserved or such portion
thereof to which the applicant's buildings or development is then entitled
under the IRC, this chapter, the binding commitment and the aforementioned
contractual agreements, if any, and shall submit such application,
certifications, (including an independent certified public
accountant's certification of applicant's actual cost and an independent
certified public accountant's certification of the general contractor's actual
costs), legal and accounting opinions, evidence as to costs, a breakdown of
sources and uses of funds, pro forma financial statements setting forth
anticipated cash flows, and other documentation as the executive director shall
require in order to determine that the applicant's buildings or development is
entitled to such credits as described above. The applicant shall certify to the
authority the full extent of all federal, state and local subsidies which apply
(or which the applicant expects to apply) with respect to the buildings or the
development.
As of the date of allocation of credits to any building or
development and as of the date such building or such development is placed in
service, the executive director shall determine the amount of credits to be
necessary for the financial feasibility of the development and its viability as
a qualified low-income housing development throughout the credit period under
the IRC. In making such determinations, the executive director shall consider
the sources and uses of the funds, the available federal, state and local
subsidies committed to the development, the total financing planned for the
development as well as the investment proceeds or receipts expected by the
authority to be generated with respect to the development and the percentage of
the credit dollar amount used for development costs other than the costs of
intermediaries. He shall also examine the development's costs, including
developer's fees and other amounts in the application, for reasonableness and,
if he determines that such costs or other amounts are unreasonably high, he
shall reduce them to amounts that he determines to be reasonable. The executive
director shall review the applicant's projected rental income, operating
expenses and debt service for the credit period. The executive director may
establish such criteria and assumptions as he shall then deem reasonable (or he
may apply the criteria and assumptions he established pursuant to
13VAC10-180-60) for the purpose of making such determinations, including,
without limitation, criteria as to the reasonableness of fees and profits
and assumptions as to the amount of net syndication proceeds to be received
(based upon such percentage of the credit dollar amount used for development
costs, other than the costs of intermediaries, as the executive director shall
determine to be reasonable for the proposed development), increases in the
market value of the development, and increases in operating expenses, rental
income and, in the case of applications without firm financing commitments (as
defined in 13VAC10-180-60) at fixed interest rates, debt service on the
proposed mortgage loan. The amount of credits allocated to the applicant shall
in no event exceed such amount as so determined by the executive director by
more than a de minimis amount of not more than $100.
Prior to allocating credits to an applicant, the executive
director shall require the applicant to execute and deliver to the authority a
valid IRS Form 8821, Tax Information Authorization, naming the authority as the
appointee to receive tax information. The Forms 8821 of all applicants will be
forwarded to the IRS, which will authorize the IRS to furnish the authority
with all IRS information pertaining to the applicants' developments, including
audit findings and assessments.
Prior to allocating the credits to an applicant, the
executive director shall require the applicant to execute, deliver and record
among the land records of the appropriate jurisdiction or jurisdictions an
extended low-income housing commitment in accordance with the requirements of
the IRC. Such commitment shall require that the applicable fraction (as defined
in the IRC) for the buildings for each taxable year in the extended use period
(as defined in the IRC) will not be less than the applicable fraction specified
in such commitment and which prohibits both (i) the eviction or the termination
of tenancy (other than for good cause) of an existing tenant of a low-income
unit and (ii) any increase in the gross rent with respect to such unit not
otherwise permitted under the IRC. The amount of credits allocated to any
building shall not exceed the amount necessary to support such applicable
fraction, including any increase thereto pursuant to § 42(f)(3) of the IRC
reflected in an amendment to such commitment. The commitment shall provide that
the extended use period will end on the day 15 years after the close of the
compliance period (as defined in the IRC) or on the last day of any longer
period of time specified in the application during which low-income housing
units in the development will be occupied by tenants with incomes not in excess
of the applicable income limitations; provided, however, that the extended use
period for any building shall be subject to termination, in accordance with the
IRC, (i) on the date the building is acquired by foreclosure or
instrument in lieu thereof unless a determination is made pursuant to the IRC
that such acquisition is part of an agreement with the current owner thereof, a
purpose of which is to terminate such period or (ii) on the last day of the
one-year period following the written request by the applicant as specified in
the IRC (such period in no event beginning earlier than the end of the
fourteenth year of the compliance period) if the authority is unable to present
during such one-year period a qualified contract (as defined in the IRC) for
the acquisition of the building by any person who will continue to operate the
low-income portion thereof as a qualified low-income building. In addition,
such termination shall not be construed to permit, prior to close of the
three-year period following such termination, the eviction or termination of
tenancy of any existing tenant of any low-income housing unit other than for
good cause or any increase in the gross rents over the maximum rent levels then
permitted by the IRC with respect to such low-income housing units. Such
commitment shall contain a waiver of the applicant's right to pursue a
qualified contract. Such commitment shall also contain such other terms and
conditions as the executive director may deem necessary or appropriate to
assure that the applicant and the development conform to the representations,
commitments and information in the application and comply with the requirements
of the IRC and this chapter. Such commitment shall be a restrictive covenant on
the buildings binding on all successors to the applicant and shall be
enforceable in any state court of competent jurisdiction by individuals
(whether prospective, present or former occupants) who meet the applicable
income limitations under the IRC.
In accordance with the IRC, the executive director may, for
any calendar year during the project period (as defined in the IRC), allocate
credits to a development, as a whole, which contains more than one building.
Such an allocation shall apply only to buildings placed in service during or
prior to the end of the second calendar year after the calendar year in which
such allocation is made, and the portion of such allocation allocated to any
building shall be specified not later than the close of the calendar year in
which such building is placed in service. Any such allocation shall be subject
to satisfaction of all requirements under the IRC.
If the executive director determines that the buildings or
development is so entitled to the credits, he shall allocate the credits (or
such portion thereof to which he deems the buildings or the development to be
entitled) to the applicant's qualified low-income buildings or to the
applicant's development in accordance with the requirements of the IRC. If the
executive director shall determine that the applicant's buildings or
development is not so entitled to the credits, he shall not allocate the credits
and shall so notify the applicant within a reasonable time after such
determination is made. In the event that any such applicant shall not request
an allocation of all of its reserved credits or whose buildings or development
shall be deemed by the executive director not to be entitled to any or all of
its reserved credits, the executive director may reserve or allocate, as
applicable, such unallocated credits to the buildings or developments of other
qualified applicants at such time or times and in such manner as he shall
determine consistent with the requirements of the IRC and this chapter.
The executive director may prescribe (i) such deadlines for
submissions of requests for allocations of credits for any calendar year as he
deems necessary or desirable to allow sufficient processing time for the
authority to make such allocations within such calendar year and (ii) such
deadlines for satisfaction of all preallocation requirements of the IRC the
binding commitment, any contractual agreements between the authority and the
applicant and this chapter as he deems necessary or desirable to allow the
authority sufficient time to allocate to other eligible applicants any credits
for which the applicants fail to satisfy such requirements.
The executive director may make the allocation of credits
subject to such terms as he may deem necessary or appropriate to assure that
the applicant and the development comply with the requirements of the IRC.
The executive director may also (to the extent not already
required under 13VAC10-180-60) require that all applicants make such good faith
deposits or execute such contractual agreements with the authority as the
executive director may require with respect to the credits, (i) to ensure that
the buildings or development are completed in accordance with the binding
commitment, including all of the representations made in the application for
which points were assigned pursuant to 13VAC10-180-60 and (ii) only in the case
of any buildings or development which are to receive an allocation of credits
hereunder and which are to be placed in service in any future year, to assure
that the buildings or the development will be placed in service as a qualified
low-income housing project (as defined in the IRC) in accordance with the IRC
and that the applicant will otherwise comply with all of the requirements under
the IRC.
In the event that the executive director determines that a
development for which an allocation of credits is made shall not become a
qualified low-income housing project (as defined in the IRC) within the time
period required by the IRC or the terms of the allocation or any contractual
agreements between the applicant and the authority, the executive director may
terminate the allocation and rescind the credits in accordance with the IRC
and, in addition, may draw on any good faith deposit and enforce any of the
authority's rights and remedies under any contractual agreement. An allocation
of credits to an applicant may also be cancelled with the mutual consent of such
applicant and the executive director. Upon the termination or cancellation of
any credits, the executive director may reserve, allocate or carry over, as
applicable, such credits in such manner as he shall determine consistent with
the requirements of the IRC and this chapter.
An applicant that demonstrates a legitimate change in
circumstances or delay beyond their reasonable control, as determined by the
authority, may return a valid reservation of prior years' tax credits between
October 1 and December 31 and receive a reservation of the same amount of
current or future year tax credits. The authority must determine that the
applicant is capable of completing and placing the development in service
within the time required by the IRC for such current or future year tax
credits. However, none of the principals in the development for which credits
are returned and refreshed may be a principal in an application the following
calendar year and the applicant must waive the right to a qualified contract,
if applicable. [ The executive director may waive the one-year
nonparticipation provision if the executive director determines that the delay
in completing the development is materially due to the failure of a
governmental entity or agency within a reasonable period of time to take an
action necessary for the applicant to complete the development, despite the
applicant's good faith best efforts to complete the development. ]
13VAC10-180-90. Monitoring for IRS compliance.
A. Federal law requires the authority to monitor developments
receiving credits for compliance with the requirements of § 42 of the IRC
and notify the IRS of any noncompliance of which it becomes aware. Compliance
with the requirements of § 42 of the IRC is the responsibility of the owner of the
building for which the credit is allowable. The monitoring requirements set
forth hereinbelow are to qualify the authority's allocation plan of credits.
The authority's obligation to monitor for compliance with the requirements of § 42
of the IRC does not make the authority liable for an owner's noncompliance, nor
does the authority's failure to discover any noncompliance by an owner excuse
such noncompliance.
B. The owner of a low-income housing development must keep
records for each qualified low-income building in the development that show for
each year in the compliance period:
1. The total number of residential rental units in the
building (including the number of bedrooms and the size in square feet of each
residential rental unit).
2. The percentage of residential rental units in the building
that are low-income units.
3. The rent charged on each residential rental unit in the
building (including any utility allowances).
4. The number of occupants in each low-income unit, but only
if rent is determined by the number of occupants in each unit under § 42(g)(2)
of the IRC (as in effect before the amendments made by the federal Revenue
Reconciliation Act of 1989).
5. The low-income unit vacancies in the building and
information that shows when, and to whom, the next available units were rented.
6. The annual income certification of each low-income tenant
per unit.
7. Documentation to support each low-income tenant's income
certification (for example, a copy of the tenant's federal income tax return,
Forms W-2, or verifications of income from third parties such as employers or
state agencies paying unemployment compensation). Tenant income is calculated
in a manner consistent with the determination of annual income under section 8
of the United States Housing Act of 1937, 42 USC § 1401 et seq. (section 8),
not in accordance with the determination of gross income for federal income tax
liability. In the case of a tenant receiving housing assistance payments under
section 8, the documentation requirement of this subdivision 7 is satisfied if
the public housing authority provides a statement to the building owner
declaring that the tenant's income does not exceed the applicable income limit
under § 42(g) of the IRC.
8. The eligible basis and qualified basis of the building at
the end of the first year of the credit period.
9. The character and use of the nonresidential portion of the
building included in the building's eligible basis under § 42(d) of the IRC
(e.g., tenant facilities that are available on a comparable basis to all
tenants and for which no separate fee is charged for use of the facilities, or
facilities reasonably required by the development).
The owner of a low-income housing development must retain the
records described in this subsection B for at least six years after the due
date (with extensions) for filing the federal income tax return for that year.
The records for the first year of the credit period, however, must be retained
for at least six years beyond the due date (with extensions) for filing the
federal income tax return for the last year of the compliance period of the
building.
In addition, the owner of a low-income housing development
must retain any original local health, safety, or building code violation
reports or notices issued by the Commonwealth or local government (as described
in subdivision C 6 of this section) for the authority's inspection. Retention
of the original violation reports or notices is not required once the authority
reviews the violation reports or notices and completes its inspection, unless
the violation remains uncorrected.
C. The owner of a low-income housing development must certify
annually to the authority, on the form prescribed by the authority, that, for
the preceding 12-month period:
1. The development met the requirements of the 20-50 test
under § 42(g)(1)(A) of the IRC or, the 40-60 test under § 42(g)(2)(B)
of the IRC, or the income averaging test of the federal Consolidated
Appropriations Act of 2018 (as limited by the executive director),
whichever minimum set-aside test was applicable to the development.
2. There was no change in the applicable fraction (as defined
in § 42(c)(1)(B) of the IRC) of any building in the development, or that there
was a change, and a description of the change.
3. The owner has received an annual income certification from
each low-income tenant, and documentation to support that certification; or, in
the case of a tenant receiving section 8 housing assistance payments, the
statement from a public housing authority described in subdivision 7 of
subsection B of this section (unless the owner has obtained a waiver from the
IRS pursuant to § 42(g)(8)(B) of the IRC).
4. Each low-income unit in the development was rent-restricted
under § 42(g)(2) of the IRC.
5. All units in the development were for use by the general
public (as defined in IRS Regulation § 1.42-9) and that no finding of
discrimination under the Fair Housing Act has occurred for the development. (A
finding of discrimination includes an adverse final decision by the Secretary
of HUD, 24 CFR 180.680, an adverse final decision by a substantially equivalent
state or local fair housing agency, 42 USC § 3616(a)(1), or adverse
judgment from federal court.)
6. Each building in the development was suitable for
occupancy, taking into account local health, safety, and building codes (or
other habitability standards), and that the Commonwealth or local government
unit responsible for making local health, safety, and building code inspections
did not issue a violation report for any building or low-income unit in the
development. (If a violation report or notice was issued by the governmental
unit, the owner must attach a statement summarizing the violation report or
notice or a copy of the violation report or notice to the annual certification.
In addition the owner must state whether the violation has been corrected.)
7. There was no change in the eligible basis (as defined in § 42(d)
of the IRC) of any building in the development, or if there was a change, the
nature of the change (e.g., a common area has become commercial space or a fee
is now charged for a tenant facility formerly provided without charge).
8. All tenant facilities included in the eligible basis under
§ 42(d) of the IRC of any building in the development, such as swimming
pools, other recreational facilities, and parking areas, were provided on a
comparable basis without charge to all tenants in the building.
9. If a low-income unit in the development became vacant
during the year, that reasonable attempts were or are being made to rent that
unit or the next available unit of comparable or smaller size to tenants having
a qualifying income before any units in the development were or will be rented
to tenants not having a qualifying income.
10. If the income of tenants of a low-income unit in the
development increased above the limit allowed in § 42(g)(2)(D)(ii) of the
IRC, the next available unit of comparable or smaller size in the development
was or will be rented to tenants having a qualifying income.
11. An extended low income housing commitment as described in
§ 42(h)(6) of the IRC was in effect (for buildings subject to § 7108(c)(1)
of the federal Omnibus Budget Reconciliation Act of 1989).
12. All units in the development were used on a nontransient
basis (except for transitional housing for the homeless provided under §
42(i)(3)(B)(iii) of the IRC or single-room-occupancy units rented on a
month-by-month basis under § 42(i)(3)(B)(iv) of the IRC).
Such certifications shall be made annually covering each year
of the compliance period and must be made under the penalty of perjury.
In addition, each owner of a low-income housing development
must provide to the authority, on a form prescribed by the authority, a
certification containing such information necessary for the Commonwealth to
determine the eligibility of tax credits for the first year of the
development's compliance period.
D. The authority will review each certification set forth in
subsection C of this section for compliance with the requirements of § 42 of
the IRC. Also, the authority will conduct on-site inspections of all the
buildings in the development by the end of the second calendar year following
the year the last building in the development is placed in service and, for at
least 20% of the development's low-income housing units, inspect the low-income
certification, the documentation the owner has received to support that
certification, and the rent record for the tenants in those units. In addition,
at least once every three years, the authority will conduct on-site inspections
of all the buildings in each low-income housing development and, for at least
20% of the development's low-income units, inspect the units, the low-income certifications,
the documentation the owner has received to support the certifications, and the
rent record for the tenants in those units. The authority will determine which
low-income housing developments will be reviewed in a particular year and which
tenant's records are to be inspected.
In addition, the authority, at its option, may request an
owner of a low-income housing development not selected for the review procedure
set forth above in a particular year to submit to the authority for compliance
review copies of the annual income certifications, the documentation such owner
has received to support those certifications and the rent record for each
low-income tenant of the low-income units in their development.
All low-income housing developments may be subject to review
at any time during the compliance period.
E. The authority has the right to perform, and each owner of
a development receiving credits shall permit the performance of, an on-site
inspection of any low-income housing development through the end of the
compliance period of the building. The inspection provision of this subsection
E is separate from the review of low-income certifications, supporting
documents and rent records under subsection D of this section.
The owner of a low-income housing development should notify
the authority when the development is placed in service. The authority reserves
the right to inspect the property prior to issuing IRS Form 8609 to verify that
the development conforms to the representations made in the Application for
Reservation and Application for Allocation.
F. The authority will provide written notice to the owner of
a low-income housing development if the authority does not receive the
certification described in subsection C of this section, or does not receive or
is not permitted to inspect the tenant income certifications, supporting
documentation, and rent records described in subsection D of this section or
discovers by inspection, review, or in some other manner, that the development
is not in compliance with the provisions of § 42 of the IRC.
Such written notice will set forth a correction period which
shall be that period specified by the authority during which an owner must
supply any missing certifications and bring the development into compliance
with the provisions of § 42 of the IRC. The authority will set the
correction period for a time not to exceed 90 days from the date of such notice
to the owner. The authority may extend the correction period for up to [ 6
six ] months, but only if the authority determines there is good
cause for granting the extension.
The authority will file Form 8823, "Low-Income Housing
Credit Agencies Report of Noncompliance," with the IRS no later than 45
days after the end of the correction period (as described above, including any
permitted extensions) and no earlier than the end of the correction period,
whether or not the noncompliance or failure to certify is corrected. The
authority must explain on Form 8823 the nature of the noncompliance or failure
to certify and indicate whether the owner has corrected the noncompliance or
failure to certify. Any change in either the applicable fraction or eligible
basis under subdivisions 2 and 7 of subsection C of this section, respectively,
that results in a decrease in the qualified basis of the development under § 42(c)(1)(A)
of the IRC is noncompliance that must be reported to the IRS under this
subsection F. If the authority reports on Form 8823 that a building is entirely
out of compliance and will not be in compliance at any time in the future, the
authority need not file Form 8823 in subsequent years to report that building's
noncompliance.
The authority will retain records of noncompliance or failure
to certify for six years beyond the authority's filing of the respective Form
8823. In all other cases, the authority must retain the certifications and
records described in subsection C of this section for three years from the end
of the calendar year the authority receives the certifications and records.
G. If the authority decides to enter into the agreements
described below, the review requirements under subsection D of this section
will not require owners to submit, and the authority is not required to review,
the tenant income certifications, supporting documentation and rent records for
buildings financed by Rural Development under the § 515 program, or
buildings of which 50% or more of the aggregate basis (taking into account the
building and the land) is financed with the proceeds of obligations the interest
on which is exempt from tax under § 103 (tax-exempt bonds). In order for a
monitoring procedure to except these buildings, the authority must enter into
an agreement with Rural Development or tax-exempt bond issuer. Under the
agreement, Rural Development or tax-exempt bond issuer must agree to provide
information concerning the income and rent of the tenants in the building to
the authority. The authority may assume the accuracy of the information
provided by Rural Development or the tax-exempt bond issuer without
verification. The authority will review the information and determine that the
income limitation and rent restriction of § 42(g)(1) and (2) of the IRC are
met. However, if the information provided by Rural Development or tax-exempt
bond issuer is not sufficient for the authority to make this determination, the
authority will request the necessary additional income or rent information from
the owner of the buildings. For example, because Rural Development determines
tenant eligibility based on its definition of "adjusted annual
income," rather than "annual income" as defined under section 8,
the authority may have to calculate the tenant's income for purposes of § 42 of
the IRC and may need to request additional income information from the owner.
H. The owners of low-income housing developments must pay to
the authority such fees in such amounts and at such times as the authority
shall reasonably require the owners to pay in order to reimburse the authority
for the costs of monitoring compliance with § 42 of the IRC.
I. The owners of low-income housing developments that have
submitted IRS Forms 8821, Tax Information Authorization, naming the authority
as the appointee to receive tax information on such owners shall submit from
time to time renewals of such Forms 8821 as required by the authority
throughout the extended use period.
J. The requirements of this section shall continue throughout
the extended use period, notwithstanding the use of the term compliance period,
except to the extent modified or waived by the executive director.
13VAC10-180-110. Qualified contracts.
After the first day of the 14th year of the compliance
period, an owner of a low-income housing tax credit development may seek to
terminate the extended use period pursuant to § 42(h)(6)(E) of the IRC by
requesting the authority to present a qualified contract for the acquisition of
the low-income portion of the development, unless such right to terminate has
already been waived by the owner for the tax credits allocated to such
development. A request for a qualified contract shall be commenced by filing
with the authority a complete application, on such form or forms as the
executive director may from time to time prescribe or approve, together with
such documents and additional information as may be requested by the authority
in order to comply with the IRC and this chapter and to determine the qualified
contract price in accordance with § 42(h)(6)(F) of the IRC. The executive
director may reject any application from consideration for a qualified
contract, if in such application, the owner does not provide the proper
documentation or information on the forms prescribed by the executive director.
Acceptance of the application and approval of the request shall be
contingent upon the developments being in compliance with IRC requirements at
the time of the application and continuing through the qualified contract
process.
The application should include the following information
sufficiently detailed to enable the authority to ascertain the qualified
contract amount: first year IRS Form 8609 for each building, the owner's annual
tax returns for all years of operation since the start of the credit period
("all years"), annual project financial statements for all years,
loan documents for all secured debt during the credit period, the owner's
organizational documents (original, current and all interim amendments), and
accountant work papers for all years. The application may require a physical
needs assessment, appraisal for the entire project, market study for the entire
project, a title report showing marketable title, and a Phase I environmental
assessment at the time of the original submission of the application or the
executive director may permit such items to be obtained after the confirmation
of the qualified contract price.
The executive director may also require the submission of a
legal opinion or other assurances satisfactory to the executive director as to,
among other things, compliance with the IRC and a certification, together with
an opinion of an independent certified public accountant or other assurances
satisfactory to the executive director, setting forth the calculation of the
qualified contract amount requested in the application and certifying, among
other things, that the owner is entitled to the qualified contract amount
requested.
The executive director may establish criteria and assumptions
to be used by the owner in the calculation of qualified contract amount, and
any such criteria and assumptions may be indicated on the application form,
instructions or other communication available to the public.
The authority shall charge reasonable fees in such amounts as
the executive director shall determine to be necessary to cover third party
costs and the authority's actual costs incurred in producing a qualified
contract. Such fees shall not include any general costs associated with the
general operations of the authority. Such fees shall be payable at such time or
times as the executive director shall require.
NOTICE: The following
forms used in administering the regulation were filed by the agency. The forms
are not being published; however, online users of this issue of the Virginia
Register of Regulations may click on the name of a form with a hyperlink to access
it. The forms are also available from the agency contact or may be viewed at
the Office of the Registrar of Regulations, 900 East Main Street, 11th Floor,
Richmond, Virginia 23219.
FORMS (13VAC10-180)
1995 Annual Owners Certification.
Building Information Report.
Project Information Report.
Occupancy Status Report.
Previous Participation Certification.
[ Federal Low Income Housing Tax Credit Program,
Application for Reservation DRAFT (undated, filed 8/30/2018)
2019
Federal Low Income Housing Tax Credit Program, Application for Reservation,
Version 2019-v1 (undated, filed 12/19/2018) ]
VA.R. Doc. No. R19-5635; Filed December 6, 2018, 11:03 a.m.
TITLE 16. LABOR AND EMPLOYMENT
VIRGINIA WORKERS' COMPENSATION COMMISSION
Final Regulation
Title of Regulation: 16VAC30-16. Electronic Medical
Billing (adding 16VAC30-16-10 through 16VAC30-16-80).
Statutory Authority: § 65.2-605.1 of the Code of
Virginia.
Effective Date: February 6, 2019.
Agency Contact: James J. Szablewicz, Chief Deputy
Commissioner, Virginia Workers' Compensation Commission, 333 East Franklin
Street, Richmond, VA 23219, telephone (804) 205-3097, FAX (804) 823-6936,
or email james.szablewicz@workcomp.virginia.gov.
Summary:
Pursuant to Chapter 621 of the 2015 Acts of Assembly, the
regulation implements infrastructure under which (i) providers of workers'
compensation medical services (providers) submit billing, claims, case
management, health records, and all supporting documentation electronically to
employers or employers' workers' compensation insurance carriers (payers) and
(ii) payers return actual payment, claim status, and remittance information
electronically to providers that submit billing and required supporting
documentation electronically. The regulation establishes standards and methods
for electronic submissions and transactions that are consistent with the
electronic medical billing and payment guidelines of the International
Association of Industrial Accident Boards and Commissions. The regulation does
not require any reporting to or enforcement by the Virginia Workers'
Compensation Commission or any other governmental agency.
Changes since the proposed regulation (i) made December 31,
2018, a voluntary compliance date and moved the mandatory compliance date to
July 1, 2019; (ii) adjusted the small provider exemption; and (iii) increased
the time period within which a payer must either reject or complete an
incomplete medical bill.
Summary of Public Comments and Agency's Response: A
summary of comments made by the public and the agency's response may be obtained
from the promulgating agency or viewed at the office of the Registrar of
Regulations.
CHAPTER 16
ELECTRONIC MEDICAL BILLING
16VAC30-16-10. Effective date.
This chapter applies to all medical services and products
provided on or after [ December 31, 2018 July 1, 2019 ].
For medical services and products provided prior to [ December
31, 2018 July 1, 2019 ], medical billing and processing
shall be in accordance with the rules in effect at the time the medical service
or product was provided [ ; however, providers and payers may
voluntarily comply with the provisions of this chapter beginning on December
31, 2018 ].
16VAC30-16-20. Definitions.
The following words and terms when used in this chapter
shall have the following meanings unless the context clearly indicates
otherwise:
"Business day" means Monday through Friday,
excluding days on which a holiday is observed by the Commonwealth of Virginia.
"Clearinghouse" means a public or private
entity, including a billing service, repricing company, community health
management information system or community health information system, and
"value-added" networks and switches, that is an agent of either the
payer or the health care provider and that may perform the following functions:
1. Processes or facilitates the processing of medical
billing information received from a client in a nonstandard format or
containing nonstandard data content into standard data elements or a standard
transaction for further processing of a bill related transaction; or
2. Receives a standard transaction from another entity and
processes or facilitates the processing of medical billing information into
nonstandard format or nonstandard data content for a client entity.
"CMS" means the Centers for Medicare and
Medicaid Services of the U.S. Department of Health and Human Services, the
federal agency that administers these programs.
"Companion Guide" means the Virginia Workers'
Compensation Electronic Billing and Payment Companion Guides, based on
International Association of Industrial Accident Boards and Commissions
National Companion Guides, a separate document that gives detailed information
for electronic data interchange (EDI) medical billing and payment for the
workers' compensation industry using national standards and Virginia specific
procedures.
"Complete electronic medical bill" means a
medical bill that meets all of the criteria enumerated in 16VAC30-16-50 C.
"Electronic" means communication between
computerized data exchange systems that complies with the standards enumerated
in this chapter.
"Health care provider" means a person or entity,
appropriately certified or licensed, as required, who provides medical services
or products to an injured worker in accordance with § 65.2-603 of the Code
of Virginia.
"Health care provider agent" means a person or
entity that contracts with a health care provider establishing an agency
relationship to process bills for services provided by the health care provider
under the terms and conditions of a contract between the agent and health care
provider. Such contracts may permit the agent to submit bills, request
reconsideration, receive reimbursement, and seek medical dispute resolution for
the health care provider services billed in accordance with §§ 65.2-605
and 65.2-605.1 of the Code of Virginia.
"Payer" means the insurer or authorized
self-insured employer legally responsible for paying the workers' compensation
medical bills.
"Payer agent" means any person or entity that
performs medical bill related processes for the payer responsible for the bill.
These processes include reporting to government agencies; electronic
transmission, forwarding, or receipt of documents; review of reports; and
adjudication of bills and their final payment.
"Supporting documentation" means those documents
necessary for the payer to process a bill and includes any written
authorization received from the third-party administrator or any other records
as required by the Virginia Workers' Compensation Commission.
"Technical Report Type 3 (TR3) Implementation
Guide" means an ASC X12 published document for national electronic
standard formats that specifies data requirements and data transaction sets, as
referenced in 16VAC30-16-30.
16VAC30-16-30. Formats for electronic medical bill
processing.
A. For electronic transactions, the following electronic
medical bill processing standards shall be used:
1. Billing.
a. Professional billing: The ASC X12 Standards for
Electronic Data Interchange Technical Report Type 3 and Errata, Health Care
Claim: Professional (837), June 2010, ASC X12, 005010X222A1.
b. Institutional or hospital billing: The ASC X12 Standards
for Electronic Data Interchange Technical Report Type 3 and Errata, Health Care
Claim: Institutional (837), June 2010, ASC X12, 005010X223A2.
c. Dental billing: The ASC X12 Standards for Electronic
Data Interchange Technical Report Type 3 and Errata to Health Care Claim:
Dental (837), June 2010, ASC X12, 005010X224A2.
d. Retail pharmacy billing: The Telecommunication Standard
Implementation Guide, Version D, Release 0 (Version D.0), August 2007, National
Council for Prescription Drug Programs (NCPDP) and the Batch Standard Batch
Implementation Guide, Version 1, Release 2 (Version 1.2), January 2006,
National Council for Prescription Drug Programs.
2. Acknowledgment.
a. Electronic responses to the ASC X12N 837 transactions.
(1) The ASC X12 Standards for Electronic Data Interchange
TA1 Interchange Acknowledgment contained in the standards adopted under
subdivision A 1 of this section;
(2) The ASC X12 Standards for Electronic Data Interchange
Technical Report Type 3, Implementation Acknowledgment for Health Care
Insurance (999), June 2007, ASC X12N/005010X231; and
(3) The ASC X12 Standards for Electronic Data Interchange Technical
Report Type 3, Health Care Claim Acknowledgment (277CA), January 2007, ASC
X12N/005010X214.
b. Electronic responses to NCPDP transactions. The response
contained in the standards adopted under subdivision A 1 d of this section.
3. Electronic remittance advice: The ASC X12 Standards for
Electronic Data Interchange Technical Report Type 3 Errata to Health Care Claim
Payment/Advice (835), June 2010, ASC X12, 005010X221A1.
4. ASC X12 ancillary formats.
a. The ASC X12N/005010X213 Request for Additional Information
(277) is used to request additional attachments that were not originally
submitted with the electronic medical bill.
b. Health Claim Status Request and Response.
The use of the formats in this subdivision 4 is voluntary,
and Section 2.2.2 of the Companion Guide presents an explanation of how to use
them in workers' compensation.
5. Documentation submitted with an electronic medical bill
in accordance with 16VAC30-16-50 E (relating to medical documentation): ASC
X12N Additional Information to Support a Health Claim or Encounter (275),
February 2008, ASC X12, 005010X210.
B. Payers and health care providers may exchange
electronic data in a nonprescribed format by mutual agreement. All data
elements required in the Virginia-prescribed formats shall be present in any
mutually agreed upon format.
C. The implementation specifications for the ASC X12N and
the ASC X12 Standards for Electronic Data Interchange may be obtained from the
ASC X12, 7600 Leesburg Pike, Suite 430, Falls Church, VA 22043; telephone (703)
970-4480; and FAX (703) 970-4488. They are also available online at
http://store.x12.org/. A fee is charged for all implementation specifications.
D. The implementation specifications for the retail
pharmacy standards may be obtained from the National Council for Prescription
Drug Programs, 9240 East Raintree Drive, Scottsdale, AZ 85260; telephone (480)
477-1000; and FAX (480) 767-1042. They are also available online at
http://www.ncpdp.org. A fee is charged for all implementation specifications.
E. Nothing in this section will prohibit payers and health
care providers from using a direct data entry methodology for complying with
the requirements of this section, provided the methodology complies with the
data content requirements of the formats enumerated in subsection A of this
section and this chapter.
F. The most recent standard for the formats in subsection
A of this section shall be used, commencing on the effective date of the
applicable standard as published in the Code of Federal Regulations.
16VAC30-16-40. Billing code sets.
Billing codes and modifier systems identified in this
section are valid codes for the specified workers' compensation transactions,
in addition to any code sets defined by the standards in 16VAC30-16-30.
1. "CDT-4 Codes" are codes and nomenclature
prescribed by the American Dental Association.
2. "CPT-4 Codes" are the procedural terminology
and codes contained in the "Current Procedural Terminology, Fourth
Edition," as published by the American Medical Association.
3. "Diagnosis Related Group" or "DRG"
is the inpatient classification scheme used by CMS for hospital inpatient
reimbursement. The DRG system classifies patients based on principal diagnosis,
surgical procedure, age, presence of comorbidities and complications, and other
pertinent data.
4. "Healthcare Common Procedure Coding System" or
"HCPCS" is a coding system that describes products, supplies,
procedures, and health professional services and that includes the American
Medical Association's Physician "Current Procedural Terminology, Fourth
Edition," CPT-4 codes, alphanumeric codes, and related modifiers.
5. "ICD-10-CM/PCS Codes" are diagnosis and
procedure codes in the International Classification of Diseases, Tenth Edition,
Clinical Modification/Procedure Coding System maintained and published by the
U.S. Department of Health and Human Services.
6. "NDC" are National Drug Codes of the U.S. Food
and Drug Administration.
7. "Revenue Codes" is the four-digit coding
system developed and maintained by the National Uniform Billing Committee for
billing inpatient and outpatient hospital services, home health services, and
hospice services.
8. "National Uniform Billing Committee Codes" are
a code structure and instructions established for use by the National Uniform
Billing Committee, such as occurrence codes, condition codes, or prospective
payment indicator codes. As of [ (insert effective date of final
regulation) February 6, 2019 ], these are known as UB04
codes.
16VAC30-16-50. Electronic medical billing, reimbursement,
and documentation.
A. Applicability.
1. This section outlines the exclusive process for the
initial exchange of electronic medical bill and related payment processing data
for professional, institutional or hospital, pharmacy, and dental services
[ provided to injured workers in accordance with § 65.2-603 of the
Code of Virginia ].
2. [ Payers Unless exempted from
this process in accordance with subdivision B 2 of this section, payers ]
or their agents shall:
a. Accept electronic medical bills submitted in accordance
with the adopted standards;
b. Transmit acknowledgments and remittance advice in
compliance with the adopted standards in response to electronically submitted
medical bills; and
c. Support methods to receive electronic documentation
required for the adjudication of a bill, as described in 16VAC30-16-80.
3. Unless exempted from this process in accordance with
[ subsection subdivision ] B [ 1 ]
of this section, a health care provider shall:
a. Implement a software system capable of exchanging
medical bill data in accordance with the adopted standards or contract with a
clearinghouse to exchange its medical bill data;
b. Submit medical bills as provided in 16VAC30-16-30 A 1 to
any payers that have established connectivity to the health care provider's
system or clearinghouse;
c. Submit required documentation in accordance with
subsection E of this section; and
d. Receive and process any acceptance or rejection
acknowledgment from the payer.
4. Payers shall be able to exchange electronic data by
[ December 31, 2018 July 1, 2019, unless exempted from
the process in accordance with subdivision B 2 of this section ].
5. Health care providers or their agents shall be able to
exchange electronic data by [ December 31, 2018 July
1, 2019 ], unless exempted from the process in accordance with
[ subsection subdivision ] B [ 1 ]
of this section.
B. Exemptions.
[ 1. ] A health care provider is exempt
from the requirement to submit medical bills electronically to a payer if:
[ 1. a. ] The health care
provider employs [ 10 15 ] or fewer
full-time employees; [ and or ]
[ 2. Treatment or services provided to injured
workers to be billed under workers' compensation constitutes less than 10% of
the health care provider's practice. b. The health care provider
submitted fewer than 250 medical bills for workers' compensation treatment,
services, or products in the previous calendar year.
2. A payer is exempt from the requirements to receive and
pay medical bills electronically if the payer processed fewer than 250 medical
bills for workers' compensation treatment, services, or products in the
previous calendar year. ]
C. Complete electronic medical bill. To be considered a
complete electronic medical bill, the bill or supporting transmissions shall:
1. Be submitted in the correct billing format;
2. Be transmitted in compliance with the format
requirements described in 16VAC30-16-30;
3. Include in legible text all supporting documentation for
the bill, including medical reports and records, evaluation reports, narrative
reports, assessment reports, progress reports, progress notes, clinical notes,
hospital records, and diagnostic test results that are expressly required by
law or can reasonably be expected by the payer or its agent under the laws of
Virginia;
4. Identify the following:
a. Injured employee;
b. Employer;
c. Insurance carrier, third-party administrator, managed
care organization, or payer agent;
d. Health care provider;
e. Medical service or product; and
f. Any other requirements as presented in the Companion
Guide; and
5. Use current and valid codes and values as defined in the
applicable formats referenced in this chapter and the Companion Guide.
D. Acknowledgment.
1. An Interchange Acknowledgment (ASC X12 TA1) notifies the
sender of the receipt of, and certain structural defects associated with, an
incoming transaction.
2. An Implementation Acknowledgment (ASC X12 999)
transaction is an electronic notification to the sender of the file that it has
been received and has been:
a. Accepted as a complete and structurally correct file; or
b. Rejected with a valid rejection error code.
3. A Health Care Claim Acknowledgment (ASC X12 277CA) is an
electronic acknowledgment to the sender of an electronic transaction that the
transaction has been received and has been:
a. Accepted as a complete, correct submission; or
b. Rejected with a valid rejection error code.
4. A payer shall acknowledge receipt of an electronic
medical bill by returning an Implementation Acknowledgment (ASC X12 999) within
one business day of receipt of the electronic submission.
a. Notification of a rejected bill is transmitted using the
appropriate acknowledgment when an electronic medical bill does not meet the
definition of a complete electronic medical bill as described in subsection C
of this section or does not meet the edits defined in the applicable
implementation guide.
b. A health care provider or its agent shall not submit a
duplicate electronic medical bill earlier than 60 calendar days from the date
originally submitted if a payer has acknowledged acceptance of the original
complete electronic medical bill. A health care provider or its agent may
submit a corrected medical bill electronically to the payer after receiving
notification of a rejection. The corrected medical bill is submitted as a new,
original bill.
5. A payer shall acknowledge receipt of an electronic
medical bill by returning a Health Care Claim Acknowledgment (ASC X12 277CA)
transaction (detail acknowledgment) within two business days of receipt of the
electronic submission.
a. Notification of a rejected bill is transmitted in an ASC
X12N 277CA response or acknowledgment when an electronic medical bill does not
meet the definition of a complete electronic medical bill or does not meet the
edits defined in the applicable implementation guide.
b. A health care provider or its agent shall not submit a
duplicate electronic medical bill earlier than 60 calendar days from the date
originally submitted if a payer has acknowledged acceptance of the original
complete electronic medical bill. A health care provider or its agent may
submit a corrected medical bill electronically to the payer after receiving
notification of a rejection. The corrected medical bill is submitted as a new,
original bill.
6. Acceptance of a complete medical bill is not an
admission of liability by the payer. A payer may subsequently reject an
accepted electronic medical bill if the employer or other responsible party
named on the medical bill is not legally liable for its payment.
a. The rejection is transmitted by means of a Health Care
Claim Payment/Advice ASC X12 835 transaction.
b. The subsequent rejection of a previously accepted
electronic medical bill shall occur no later than 45 calendar days from the
date of receipt of the complete electronic medical bill.
c. The transaction to reject the previously accepted
complete medical bill shall clearly indicate that the reason for rejection is
that the payer is not legally liable for its payment.
7. Acceptance of [ an a complete
or ] incomplete medical bill does not satisfy the written notice of
injury requirement from an employee or payer as required by §§ 65.2-600
and 65.2-900 of the Code of Virginia.
[ 8. Acceptance of a complete or incomplete medical
bill by a payer does begin the time period by which a payer shall accept or
deny liability for any alleged claim related to such medical treatment pursuant
to § 65.2-605.1 of the Code of Virginia.
9. 8. ] Transmission of an
Implementation Acknowledgment under subdivision D 2 of this section and acceptance
of a complete, structurally correct file serves as proof of the received date
for an electronic medical bill in subsection C of this section.
E. Electronic
documentation.
1. Electronic documentation, including medical reports and
records submitted electronically that support an electronic medical bill, may
be required by the payer before payment may be remitted to the health care
provider in accordance with this chapter.
2. Complete electronic documentation shall be submitted by
secure fax, secure encrypted electronic mail, or in a secure electronic format
as described in 16VAC30-16-30.
3. The electronic transmittal, by secure fax, secure
encrypted electronic mail, or any other secure electronic format, shall
prominently contain the following details on its cover sheet or first page of
the transmittal:
a. The name of the injured employee;
b. Identification of the worker's employer, the employer's
insurance carrier, or the third-party administrator or its agent handling the
workers' compensation claim;
c. Identification of the health care provider billing for
services to the injured worker, and where applicable, its agent;
d. Dates of service;
e. The workers' compensation claim number assigned by the
payer if established by the payer; and
f. The unique attachment indicator number.
F. Electronic remittance advice and electronic funds
transfer.
1. An electronic remittance advice (ERA) is an explanation
of benefits (EOB) or explanation of review (EOR), submitted electronically,
regarding payment or denial of a medical bill, recoupment request, or receipt
of a refund.
2. The ERA shall contain the appropriate Claim Adjustment
Group Codes, Claim Adjustment Reason Codes, and associated Remittance Advice
Remark Codes as specified in the Code Value Usage in Health Care Claim Payments
and Subsequent Claims Technical Report Type 2 (TR2) Workers' Compensation Code
Usage Section and for pharmacy charges, the National Council for Prescription
Drugs Program (NCPDP) Reject/Payment Codes, denoting the reason for payment,
adjustment, or denial. Instructions for the use of the ERA and code sets are
found in section 7.5 of the Companion Guide.
3. The ERA shall be sent before five business days of:
a. The expected date of receipt by the health care provider
of payment from the payer, or
b. The date the bill was rejected by the payer.
4. All payments for services [ that have been
billed electronically in accordance with this chapter ] are
required to be paid via electronic funds transfer unless an alternate
[ electronic ] method is agreed upon by the payer
and health care provider.
G. Requirements for health care providers exempted from
electronic billing. Health care providers exempted from electronic medical
billing pursuant to [ subsection subdivision ]
B [ 1 ] of this section shall submit paper medical
bills for payment in the following formats as applicable:
1. On the current standard forms used by CMS, which are
available online at https://www.cms.gov/Medicare/CMS-Forms/CMS-Forms/index.html.
2. On the current NCPDP Workers' Compensation/Property and
Casualty Universal Claim Form (WC/PC UCF), which are available online at http://www.ncpdp.org/Products/Universal-Claim-Forms.
3. On the current American Dental Association Claim Form,
which is available online at https://www.ada.org/en/publications/cdt/ada-dental-claim-form.
All information submitted on required paper billing forms
under this subsection shall be legible and accurately completed.
H. Resubmissions. A health care provider or its agent
shall not submit a duplicate paper medical bill earlier than 30 business days
from the date originally submitted unless the payer has rejected the medical
bill as incomplete in accordance with 16VAC30-16-60. A health care provider or
its agent may submit a corrected paper medical bill to the payer after
receiving notification of the rejection of an incomplete medical bill. The
corrected medical bill is submitted as a new, original bill.
I. Connectivity. Unless the payer or its agent is exempted
from the electronic medical billing process in accordance with [ subsection
subdivision ] B [ 2 ] of this section, it
should attempt to establish connectivity through a trading partner agreement
with any clearinghouse that requests the exchange of data in accordance with
16VAC30-16-30.
J. Fees. No party to the electronic transactions shall
charge excessive fees of any other party in the transaction. A payer or
clearinghouse that requests another payer or clearinghouse to receive, process,
or transmit a standard transaction shall not charge fees or costs in excess of
the fees or costs for normal telecommunications that the requesting entity
incurs when it directly transmits or receives a standard transaction.
K. A health care provider agent may charge reasonable fees
related to data translation, data mapping, and similar data functions when the
health care provider is not capable of submitting a standard transaction. In
addition, a health care provider agent may charge a reasonable fee related to:
1. Transaction management of standard transactions, such as
editing, validation, transaction tracking, management reports, portal services,
and connectivity; and
2. Other value added services, such as electronic file
transfers related to medical documentation.
L. A payer or its agent shall not reject a standard
electronic transaction on the basis that it contains data elements not needed
or used by the payer or its agent or that the electronic transaction includes
data elements that exceed those required for a complete bill as enumerated in
subsection C of this section.
M. A health care provider that has not implemented a
software system capable of sending standard transactions is required to use a
secure online direct data entry system offered by a payer if the payer does not
charge a transaction fee. A health care provider using an online direct data
entry system offered by a payer or other entity shall use the appropriate data
content and data condition requirements of the standard transactions.
16VAC30-16-60. Employer, insurance carrier, managed care
organization, or agent's receipt of medical bills from health care providers.
A. Upon receipt of medical bills submitted in accordance
with 16VAC30-16-30, 16VAC30-16-40, and 16VAC30-16-50, a payer shall evaluate
each bill's conformance with the criteria of a complete electronic medical
bill.
1. A payer shall not reject medical bills that are
complete, unless the bill is a duplicate bill. [ A payer may
subsequently reject a complete medical bill or any portion thereof that is
contested or denied in accordance with the requirements of subsection B of §
65.2-605.1 of the Code of Virginia. ]
2. Within [ 21 45 ] calendar
days of receipt of an incomplete medical bill, a payer or its agent shall
either:
a. Complete the bill by adding missing health care provider
identification or demographic information already known to the payer; or
b. Reject the incomplete bill, in accordance with this
subsection [ and the requirements of subsection B of § 65.2-605.1
of the Code of Virginia ].
B. The received date of an electronic medical bill is the
date all of the contents of a complete electronic medical bill are successfully
received by the payer.
C. The payer may contact the health care provider to obtain
the information necessary to make the bill complete.
1. Any request by the payer or its agent for additional
documentation to pay a medical bill shall:
a. Be made by telephone or electronic transmission unless
the information cannot be sent by those media, in which case the sender shall
send the information by mail or personal delivery;
b. Be specific to the bill or the bill's related episode of
care;
c. Describe with specificity the clinical and other
information to be included in the response;
d. Be relevant and necessary for the resolution of the
bill;
e. Be for information that is contained in or is in the
process of being incorporated into the injured employee's medical or billing
record maintained by the health care provider; and
f. Indicate the specific reason for which the insurance
carrier is requesting the information.
2. If the payer or its agent obtains the missing
information and completes the bill to the point that it can be adjudicated for
payment, the payer shall document the name and telephone number of the person
who supplied the information.
3. Health care providers and payers, or their agents, shall
maintain documentation of any pertinent internal or external communications
that are necessary to make the medical bill complete.
D. A payer shall not reject or deny a medical bill except
as provided in subsection A of this section. When rejecting or denying an
electronic medical bill, the payer shall clearly identify the reasons for the
bill's rejection or denial by utilizing the appropriate codes in the standard
transactions found in 16VAC30-16-50 D 3 b [ and shall comply with
all requirements of subsection B of § 65.2-605.1 of the Code of Virginia ].
E. The rejection of an incomplete medical bill in
accordance with this section fulfills the obligation of the payer to provide to
the health care provider or its agent information related to the incompleteness
of the bill.
F. Payers shall timely reject incomplete bills or request
additional information needed to reasonably determine the amount payable.
1. For bills submitted electronically, the rejection of the
entire bill or the rejection of specific service lines included in the initial
bill shall be sent to the submitter [ within two business days
of receipt as soon as practicable but not more than 45 calendar days
after receipt ].
2. If bills are submitted in a batch transmission, only the
specific bills failing edits shall be rejected.
3. If there is a technical defect within the transmission
itself that prevents the bills from being accessed or processed, the
transmission will be rejected with an Interchange Acknowledgment (ASC X12 TA1)
transaction or an Implementation Acknowledgment (ASC X12 999) transaction, as
appropriate.
G. If a payer has reason to challenge the coverage or
amount of a specific line item on a bill but has no reasonable basis for
objections to the remainder of the bill, the uncontested portion shall be paid
timely, as described in subsection H of this section.
H. Payment of all uncontested portions of a complete
medical bill shall be made within 60 calendar days of receipt of the original
bill or receipt of additional information requested by the payer allowed under
the law. Amounts paid after this 60-calendar-day review period will
accrue interest at the judgment rate of interest as provided in § 6.2-302 of
the Code of Virginia. The interest payment shall be made at the same time.
[ I. A payer shall not reject or deny a medical
bill except as provided in subsection A of this section. When rejecting or
denying a medical bill, the payer shall also communicate to the health care
provider the reasons for the medical bill's rejection or denial. ]
16VAC30-16-70. Communication between health care providers
and payers.
A. Any communication between the health care provider and
the payer related to medical bill processing shall be of sufficient specific
detail to allow the responder to easily identify the information required to
resolve the issue or question related to the medical bill. Generic statements
that simply state a conclusion such as "payer improperly reduced the
bill" or "health care provider did not document" or other
similar phrases with no further description of the factual basis for the
sender's position do not satisfy the requirements of this section.
B. The payer's utilization of the Claim Adjustment Group
Codes, Claim Adjustment Reason Codes, or the Remittance Advice Remark Codes, or
as appropriate, the National Council for Prescription Drugs Program
Reject/Payment Codes, when communicating with the health care provider or its
agent or assignee, through the use of the Health Care Claim Payment/Advice ASC
X12 835 transaction, provides a standard mechanism to communicate issues
associated with the medical bill.
C. Communication between the health care provider and payer
related to medical bill processing shall be made by telephone or electronic
transmission unless the information cannot be sent by those media, in which
case the sender shall send the information by mail or personal delivery.
16VAC30-16-80. Medical documentation necessary for billing
adjudication.
A. Medical documentation includes all medical reports and
records permitted or required in accordance with Rule 4.2 of the Rules of the
Virginia Workers' Compensation Commission, subdivision 2 of 16VAC30-50-50.
B. Any request by the payer for additional documentation
to process a medical bill shall conform to the requirements of 16VAC30-16-60 C.
C. It is the obligation of an insurer or employer to
furnish its agents with any documentation necessary for the resolution of a
medical bill.
D. Health care providers, health care facilities,
third-party biller, third-party assignees, and claims administrators and their
agents shall comply with all applicable federal and jurisdictional rules
related to privacy, confidentiality, and security.
DOCUMENTS INCORPORATED BY REFERENCE (16VAC30-16)
Electronic
Billing and Payment Companion Guide, Virginia Workers' Compensation Commission
Release 1.0, 12/2018
VA.R. Doc. No. R16-4654; Filed December 20, 2018, 7:30 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF FUNERAL DIRECTORS AND EMBALMERS
Fast-Track Regulation
Title of Regulation: 18VAC65-20. Regulations of the
Board of Funeral Directors and Embalmers (adding 18VAC65-20-236).
Statutory Authority: §§ 54.1-2400 and 54.1-2805 of the
Code of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Corie Tillman Wolf, Executive Director,
Board of Funeral Directors and Embalmers, 9960 Mayland Drive, Suite 300,
Richmond, VA 23233, telephone (804) 367-4479, FAX (804) 527-4471, or email
fanbd@dhp.virginia.gov.
Basis: Regulations are promulgated under the general
authority of§ 54.1-2400 of the Code of Virginia, which provides the Board of
Funeral Directors and Embalmers the authority to promulgate regulations to
administer the regulatory system. Section 54.1-2805 of the Code of Virginia
authorizes the board to promulgate regulations allowing students to assist with
embalming in funeral establishments.
Purpose: The purpose of the amended regulation is
compliance with the legislation passed by the General Assembly authorizing
mortuary school students to assist with embalming in licensed funeral
establishments in accordance with regulations promulgated by the board. The
regulations are necessary to ensure a safe environment for such training,
appropriate instruction in embalming, and awareness by consumers that training
is occurring is the establishment. Regulations will protect not only the
students and instructors but will further protect the safety and welfare of the
public by having future licensees become more proficient embalmers.
Rationale for Using Fast-Track Rulemaking Process:
Legislation passed by the General Assembly authorizes "a person who is
duly enrolled in a mortuary education program in the Commonwealth may assist in
embalming while under the immediate supervision of a funeral service licensee
or embalmer with an active, unrestricted license issued by the Board, provided
that such embalming occurs in a funeral service establishment licensed by the
Board and in accordance with regulations promulgated by the Board." The
regulations promulgated by the board are intended to facilitate such practice
while protecting consumers of funeral services. They were developed in
conjunction with the mortuary science programs, are consistent with their
accrediting standards, and were unanimously adopted by the board. Therefore,
the amendments should not be controversial.
Substance: To comply with the legislation of the 2018
General Assembly, regulations require (i) the establishment participating in
training to have a current, unrestricted license and meet certain accreditation
standards for training; (ii) specific instruction in embalming for students in
the context of an embalming laboratory course; (iii) a limitation on the number
of students who may be supervised and a requirement that the supervisor be
physically present with the student who is assisting with embalming tasks; (iv)
information on the embalming authorization form noting participation of
students in the establishment; and (v) the name of the student and supervisor
on the embalming report.
Issues: The advantage to the public is students who seek
to become funeral service licensees will have a wider range of opportunities
for embalming and training and will be more proficient after graduation. The
mortuary school programs will see significant savings from a reduction in the
number of cadavers they will need to purchase. There are no disadvantages for
the public; there are adequate safeguards in the regulation to ensure an
embalming with student assistance will be done properly under close
supervision. There are no advantages or disadvantages to the agency or the
Commonwealth.
Department of Planning and
Budget's Economic Impact Analysis:
Summary of the Proposed Amendments to Regulation. Pursuant to
Chapter 186 of the 2018 Acts of Assembly,1 the Board of Funeral
Directors and Embalmers (Board) proposes to establish requirements for students
assisting with embalming at licensed funeral establishments.
Result of Analysis. The benefits likely exceed the costs for
all proposed changes.
Estimated Economic Impact. Practical experience in embalming is
a required part of obtaining a degree in mortuary science. Currently, such
practical experience can only be obtained at the two mortuary education
programs in the Commonwealth: John Tyler Community College and Tidewater
Community College.
Chapter 186 established that "a person who is duly
enrolled in a mortuary education program in the Commonwealth may assist in
embalming while under the immediate supervision of a funeral service licensee
or embalmer with an active, unrestricted license issued by the Board, provided
that such embalming occurs in a funeral service establishment licensed by the
Board and in accordance with regulations promulgated by the Board." In
this action, the Board establishes rules by which this can happen.
This is beneficial in that it potentially provides the
opportunity for mortuary students to have a greater range of experience in
embalming, thus better preparing them to practice as a funeral service licensee.
Also, according to the Department of Health Professions (DHP), the quality of
available cadavers would typically be higher at funeral service establishments
compared to those available to the community colleges.
Further, there may be significant cost savings to the mortuary
school programs at the community colleges. One community college reported that
it "will cut budget costs for the practical embalming component that is
required by accrediting agency. Our program spends $2,100 per cadaver for the
cadaver, transportation and cremation which equates to about $80,000 per
academic year."2 Through the enabling legislation and
subsequent regulations, the program estimates that those costs will be cut in
half.
Businesses and Entities Affected. According to DHP, there are
437 licensed funeral establishments that could potentially serve as a training
site for student embalmers. All or most likely qualify as small businesses.
There are two community colleges in the Commonwealth that have mortuary
education programs.
Localities Particularly Affected. The proposed amendments do
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendments are
unlikely to significantly affect total employment.
Effects on the Use and Value of Private Property. The proposed
amendments may result in mortuary students assisting in licensed mortuary
establishments. The value of these private businesses is unlikely to be
significantly affected.
Real Estate Development Costs. The proposed amendments do not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendments do not
significantly affect costs for small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
amendments do not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendments do not adversely affect
businesses.
Localities. The proposed amendments do not adversely affect
localities.
Other Entities. The proposed amendments do not adversely affect
other entities.
________________________
Agency's Response to Economic Impact Analysis: The Board
of Funeral Directors and Embalmers concurs with the analysis of the Department
of Planning and Budget.
Summary:
Pursuant to Chapter 186 of the 2018 Acts of Assembly, which
allows a mortuary student to assist with embalming at a funeral establishment,
the amendments require that (i) an establishment participating in student
training has a current, unrestricted license and meets certain accreditation
standards for training; (ii) students receive specific instruction in the
context of an embalming laboratory course; (iii) a supervisor may supervise no
more than three students and must be physically present when a student is
assisting with embalming tasks; (iv) the embalming authorization form discloses
the possible participation of students in embalming; and (v) the embalming
report contains the name of the student and the signature of the supervisor if
a student assisted in embalming.
18VAC65-20-236. Requirements for students assisting with
embalming.
In accordance with § 54.1-2805 of the Code of Virginia, a
student who is duly enrolled in a mortuary education program in the
Commonwealth and who is not registered with the board as a funeral intern may
assist in embalming in a funeral service establishment provided the following
requirements are met:
1. The funeral establishment holds a current, unrestricted
licensed issued by the board;
2.The funeral establishment and funeral service licensee or
embalmer providing student supervision meet the accreditation standards of the
American Board of Funeral Service Education and the Commission on Accreditation
for off-campus embalming instruction;
3. Students shall receive instruction and shall observe
embalming of a dead human body prior to assisting with an embalming in a
funeral service establishment and shall assist with embalming in conjunction
with an embalming laboratory course;
4. A funeral service licensee or embalmer may supervise up
to three students under his immediate supervision, which shall mean the
supervisor is physically and continuously present in the preparation room with
the students to supervise each task to be performed;
5. A funeral service establishment shall include on the
form granting permission to embalm information disclosing that the
establishment is a training facility for mortuary education students and that a
student may be assisting the licensee with embalming; and
6. The embalming report shall include the names of students
assisting with an embalming and shall be signed by the supervisor.
VA.R. Doc. No. R19-5468; Filed December 12, 2018, 2:32 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Fast-Track Regulation
Title of Regulation: 18VAC90-19. Regulations
Governing the Practice of Nursing (amending 18VAC90-19-110).
Statutory Authority: § 54.1-2400 of the Code of
Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Jay P. Douglas, R.N., Executive Director,
Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA 23233, telephone
(804) 367-4520, FAX (804) 527-4455, or email jay.douglas@dhp.virginia.gov.
Basis: Regulations are promulgated under the general
authority of § 54.1-2400 of the Code of Virginia, which provides the Board
of Nursing the authority to promulgate regulations to administer the regulatory
system, and § 54.1-3001 of the Code of Virginia, which provides the
statutory authority for a 90-day period of practice following graduation from
an approved nursing education program.
Purpose: The purpose is clarification of 18VAC90-19-110
F, which specifies the requirements for licensure by examination. As authorized
by the Code of Virginia, the board allows an applicant to practice for 90 days
following graduation from a nursing education program. The current language
seems to indicate that the applicant has 90 days to practice following receipt
of the authorization letter from the board. The board often encounters
confusion among applicants about the timing of the 90 days of authorized
practice. The amendment clarifies the use of titles by applicants, so employers
and applicants will clearly understand the limitations. Public health and
safety will be better protected by clarifying that applicants who have failed
the examination or have not passed within the 90-day period cannot practice or
represent themselves as registered nurse or licensed practical nurse
applicants.
Rationale for Using Fast-Track Rulemaking Process: The
action is intended to clarify the current regulation rather than change its
substance. There should be no objection to making the rule clearer.
Substance: The board has amended 18VAC90-19-110 F to
clarify that the use of titles by registered nurse and licensed practical nurse
applicants is applicable only to those who have authorization to practice for
90 days following graduation from an approved nursing education program.
Issues: The primary advantage of the amendment to the
public is clearer language to avoid confusion or possible unintentional
violation of law and regulation. There are no disadvantages to the public.
There are no advantages or disadvantages to the Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Nursing (Board) proposes to clarify that the designations "R.N.
Applicant"1 and "L.P.N. Applicant"2 are applicable
to authorized nurse licensure applicants for 90 days following graduation from
an approved nursing education program, rather than 90 days following receipt of
the authorization letter from the Board.
Result of Analysis. The benefits likely exceed the costs for
all proposed changes.
Estimated Economic Impact. Code of Virginia § 54.1-30013
authorizes the Board to allow a nursing applicant for licensure to practice for
90 days "following graduation from a nursing education program." The
current regulatory language implies that the applicant has 90 days to practice
"following receipt of the authorization letter from the Board."
According to the Department of Health Professions (DHP), the Board has often
encountered confusion among applicants about the timing of the 90 days of
authorized practice. The Board proposes to clarify the use of titles by
applicants, so employers and applicants will clearly understand the
limitations. Consequently, the proposed amendment would not affect requirements
or opportunities but would be beneficial in that it may reduce confusion among
the public and affected entities.
Businesses and Entities Affected. The proposed amendment
affects nursing education graduates who wish to become authorized to practice
prior to obtaining full licensure. According to DHP, the Board issues 50 to 100
authorization letters per week.
Localities Particularly Affected. The proposed amendment does
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendment does not
significantly affect employment.
Effects on the Use and Value of Private Property. The proposed
amendment does not affect the use and value of private property.
Real Estate Development Costs. The proposed amendment does not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendment does not
significantly affect costs for small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
amendment does not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendment does not adversely affect
businesses.
Localities. The proposed amendment does not adversely affect
localities.
Other Entities. The proposed amendment does not adversely
affect other entities.
_________________________
1"R.N."
is registered nurse.
2"L.P.N."
is licensed practical nurse.
3See https://law.lis.virginia.gov/vacode/title54.1/chapter30/section54.1-3001/
Agency's Response to Economic Impact Analysis: The Board
of Nursing concurs with the analysis of the Department of Planning and Budget.
Summary:
The amendment clarifies that the use of titles by
registered nurse and licensed practical nurse applicants is applicable only to
those who have authorization to practice for 90 days following graduation from
an approved nursing education program.
Part III
Licensure and Renewal; Reinstatement
18VAC90-19-110. Licensure by examination.
A. The board shall authorize the administration of the NCLEX
for registered nurse licensure and practical nurse licensure.
B. A candidate shall be eligible to take the NCLEX
examination (i) upon receipt by the board of the completed application, the
fee, and an official transcript or attestation of graduation from the nursing
education program and (ii) when a determination has been made that no grounds
exist upon which the board may deny licensure pursuant to § 54.1-3007 of the
Code of Virginia.
C. To establish eligibility for licensure by examination, an
applicant for the licensing examination shall:
1. File the required application, any necessary documentation
and fee, including a criminal history background check as required by § 54.1-3005.1
of the Code of Virginia.
2. Arrange for the board to receive an official transcript
from the nursing education program that shows either:
a. That the degree or diploma has been awarded and the date of
graduation or conferral; or
b. That all requirements for awarding the degree or diploma
have been met and that specifies the date of conferral.
3. File a new application and reapplication fee if:
a. The examination is not taken within 12 months of the date
that the board determines the applicant to be eligible; or
b. Eligibility is not established within 12 months of the
original filing date.
D. The minimum passing standard on the examination for
registered nurse licensure and practical nurse licensure shall be determined by
the board.
E. Any applicant suspected of giving or receiving
unauthorized assistance during the examination may be noticed for a hearing
pursuant to the provisions of the Administrative Process Act (§ 2.2-4000 et
seq. of the Code of Virginia) to determine eligibility for licensure or
reexamination.
F. Practice of nursing pending receipt of examination
results.
1. A graduate who has filed a completed application for
licensure in Virginia and has received an authorization letter issued by the
board may practice nursing in Virginia from the date of the authorization
letter. The period of practice shall not exceed 90 days between the date of
successful completion of the nursing education program, as documented on the
applicant's transcript, and the publication of the results of the candidate's
first licensing examination.
2. Candidates who practice nursing as provided in subdivision
1 of this subsection shall use the designation "R.N. Applicant" or
"L.P.N. Applicant" on a nametag or when signing official records.
3. The designations "R.N. Applicant" and
"L.P.N. Applicant" shall not be used by applicants who either do
not take the examination within 90 days following receipt of the authorization
letter from the board beyond the 90-day period of authorized practice
or by applicants who have failed the examination.
G. Applicants who fail the examination.
1. An applicant who fails the licensing examination shall not
be licensed or be authorized to practice nursing in Virginia.
2. An applicant for licensure by reexamination shall file the
required board application and reapplication fee in order to establish
eligibility for reexamination.
3. Applicants who have failed the examination for licensure in
another United States jurisdiction but satisfy the qualifications for licensure
in this jurisdiction may apply for licensure by examination in Virginia. Such
applicants shall submit the required application and fee. Such applicants shall
not, however, be permitted to practice nursing in Virginia until the requisite
license has been issued.
VA.R. Doc. No. R19-5478; Filed December 12, 2018, 2:33 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Fast-Track Regulation
Title of Regulation: 18VAC90-21. Medication
Administration Training and Immunization Protocol.
Statutory Authority: § 54.1-2400 of the Code of
Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: February 6, 2019.
Effective Date: February 21, 2019.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA 23233,
telephone (804) 367-4520, FAX (804) 527-4455, or email
jay.douglas@dhp.virginia.gov.
Basis: Section 54.1-2400 of the Code of Virginia
provides the Board of Nursing the authority to promulgate regulations to
administer the regulatory system and to delegate to an agency subordinate the
authority to conduct informal fact-finding proceedings.
Section 54.1-3408 of the Code of Virginia has numerous subsections
authorizing unlicensed persons in certain settings to administer certain drugs,
provided they have been properly trained. For example, subsection I states:
"This section shall not prevent the administration of drugs by a person
who has satisfactorily completed a training program for this purpose approved
by the Board of Nursing…" To provide a regulatory structure for such
training programs, the board promulgated 18VAC90-21. This chapter was carved
out of 18VAC90-20 during the regulatory review of all regulations in 2014.
Likewise, subsection L of § 54.1-3408 provides: "A
prescriber may authorize, pursuant to a protocol approved by the Board of
Nursing the administration of vaccines to adults for immunization, when a
practitioner with prescriptive authority is not physically present…." The
protocol for such immunization is found in 18VAC90-21-50.
Purpose: The regulatory change is consistent with the
principle of regulations that are clearly written and easily understandable.
The current title of the regulation may be confusing to persons who think it
applies to medication administration by licensed persons. It is necessary to
retain the current chapter because its provisions protect the health and safety
of the public, but the title is amended to be more descriptive of its content.
Rationale for Using Fast-Track Rulemaking Process: The
Board of Nursing conducted a periodic review of 18VAC90-21. The amendment is
technical in nature, does not change procedure, and has no impact on the
public. Therefore, this action is not expected to be controversial.
Substance: The title is changed from Regulations for
Medication Administration and Immunization Protocol to Regulations for Training
Programs for Medication Administration by Unlicensed Persons and Immunization Protocol.
Issues: There are no advantages or disadvantages to the
public; the amendment is technical and clarifying. There are no advantages or
disadvantages to the agency or the Commonwealth.
Department of Planning and
Budget's Economic Impact Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Nursing (Board) proposes to amend the title of 18VAC90-21.
Result of Analysis. The benefits likely exceed the costs for
all proposed changes.
Estimated Economic Impact. The current title of 18VAC90-21 is
Medication Administration Training and Immunization Protocol. The Board
proposes to change the title to Training Programs for Medication Administration
by Unlicensed Persons and Immunization Protocol. The Board believes that the
current title of the regulation may be confusing to persons who think it
applies to medication administration by licensed persons. The proposed
amendment is moderately beneficial in that it may reduce potential confusion
amongst the public. Since it has no associated cost, the proposal would produce
a net benefit.
Businesses and Entities Affected. The proposed amendment
affects members of the public who may misunderstand the application of the
regulation.
Localities Particularly Affected. The proposed amendment does
not disproportionately affect particular localities.
Projected Impact on Employment. The proposed amendment does not
affect employment.
Effects on the Use and Value of Private Property. The proposed
amendment does not affect the use and value of private property.
Real Estate Development Costs. The proposed amendment does not
affect real estate development costs.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. The proposed amendment does not affect
costs for small businesses.
Alternative Method that Minimizes Adverse Impact. The proposed
amendment does not adversely affect small businesses.
Adverse Impacts:
Businesses. The proposed amendment does not adversely affect
businesses.
Localities. The proposed amendment does not adversely affect
localities.
Other Entities. The proposed amendment does not adversely
affect other entities.
Agency's Response to Economic Impact Analysis: The Board
of Nursing concurs with the analysis of the Department of Planning and Budget.
Summary:
The amendment modifies the chapter title to clarify that
the regulations apply to medication administration by unlicensed persons.
CHAPTER 21
MEDICATION ADMINISTRATION TRAINING PROGRAMS FOR MEDICATION
ADMINISTRATION BY UNLICENSED PERSONS AND IMMUNIZATION PROTOCOL
VA.R. Doc. No. R19-5625; Filed December 12, 2018, 2:31 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Emergency Regulation
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-10, 18VAC90-30-20,
18VAC90-30-50, 18VAC90-30-85, 18VAC90-30-110, 18VAC90-30-120; adding
18VAC90-30-86).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-90).
Statutory Authority: §§ 54.1-2400 and 54.1-2957 of the
Code of Virginia.
Effective Dates: January 7, 2019, through June 6, 2020.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email
jay.douglas@dhp.virginia.gov.
Preamble:
Section 2.2-4011 B of the Code of Virginia states that agencies
may adopt emergency regulations in situations in which Virginia statutory law
or the appropriation act or federal law or federal regulation requires that a
regulation be effective in 280 days or less from its enactment, and the
regulation is not exempt under the provisions of § 2.2-4006 A 4 of the
Code of Virginia.
Chapter 776 of the 2018 Acts of Assembly permits a nurse
practitioner who meets the statutory requirements to practice without a
practice agreement with a patient care team physician and requires the Boards
of Medicine and Nursing to jointly promulgate requlations to implement the act
within 280 days of enactment.
The amendments set the qualifications for authorization for
a nurse practitioner to practice without a practice agreement, including the
hours required to be the equivalent of five years of full-time clinical
experience, the content of the attestation from the physician and the nurse
practitioner, the submission of an attestation when the nurse practitioner is
unable to obtain a physician attestation, the requirements for autonomous
practice, and the fee for authorization for autonomous practice.
Part I
General Provisions
18VAC90-30-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Approved program" means a nurse practitioner
education program that is accredited by the Council on Accreditation of Nurse
Anesthesia Educational Programs/Schools, American College of Nurse Midwives,
Commission on Collegiate Nursing Education, or the National League for Nursing
Accrediting Commission or is offered by a school of nursing or jointly offered
by a school of medicine and a school of nursing that grant a graduate degree in
nursing and which that hold a national accreditation acceptable
to the boards.
"Autonomous practice" means practice in a
category in which a nurse practitioner is certified and licensed without a
written or electronic practice agreement with a patient care team physician in
accordance with 18VAC90-30-86.
"Boards" means the Virginia Board of Nursing and
the Virginia Board of Medicine.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Certified registered nurse anesthetist" means an
advanced practice registered nurse who is certified in the specialty of nurse anesthesia,
who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957, and who practices under the
supervision of a doctor of medicine, osteopathy, podiatry, or dentistry but is
not subject to the practice agreement requirement described in § 54.1-2957.
"Collaboration" means the communication and
decision-making process among members of a patient care team related to the
treatment and care of a patient and includes (i) communication of data and
information about the treatment and care of a patient, including exchange of
clinical observations and assessments, and (ii) development of an appropriate
plan of care, including decisions regarding the health care provided, accessing
and assessment of appropriate additional resources or expertise, and
arrangement of appropriate referrals, testing, or studies.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"Consultation" means the communicating of data and
information, exchanging of clinical observations and assessments, accessing and
assessing of additional resources and expertise, problem solving, and arranging
for referrals, testing, or studies.
"Licensed nurse practitioner" means an advanced
practice registered nurse who has met the requirements for licensure as stated
in Part II (18VAC90-30-60 et seq.) of this chapter.
"National certifying body" means a national
organization that is accredited by an accrediting agency recognized by the U.S.
Department of Education or deemed acceptable by the National Council of State
Boards of Nursing and has as one of its purposes the certification of nurse
anesthetists, nurse midwives, or nurse practitioners, referred to in
this chapter as professional certification, and whose certification of such persons
by examination is accepted by the committee.
"Patient care team physician" means a person who
holds an active, unrestricted license issued by the Virginia Board of Medicine
to practice medicine or osteopathic medicine.
"Practice agreement" means a written or electronic
statement, jointly developed by the collaborating patient care team physician(s)
physician and the licensed nurse practitioner(s) practitioner
that describes the procedures to be followed and the acts appropriate to the
specialty practice area to be performed by the licensed nurse practitioner(s)
practitioner in the care and management of patients. The practice
agreement also describes the prescriptive authority of the nurse practitioner,
if applicable. For a nurse practitioner licensed in the category of certified
nurse midwife, the practice agreement is a statement jointly developed with the
consulting physician.
18VAC90-30-20. Delegation of authority.
A. The boards hereby delegate to the executive director of
the Virginia Board of Nursing the authority to issue the initial licensure and
the biennial renewal of such licensure to those persons who meet the
requirements set forth in this chapter, to grant authorization for
autonomous practice to those persons who have met the qualifications of
18VAC90-30-86, and to grant extensions or exemptions for compliance with
continuing competency requirements as set forth in subsection E of
18VAC90-30-105. Questions of eligibility shall be referred to the Committee of
the Joint Boards of Nursing and Medicine.
B. All records and files related to the licensure of nurse
practitioners shall be maintained in the office of the Virginia Board of
Nursing.
18VAC90-30-50. Fees.
A. Fees required in connection with the licensure of nurse
practitioners are:
|
1. Application
|
$125
|
|
2. Biennial licensure renewal
|
$80
|
|
3. Late renewal
|
$25
|
|
4. Reinstatement of licensure
|
$150
|
|
5. Verification of licensure to another jurisdiction
|
$35
|
|
6. Duplicate license
|
$15
|
|
7. Duplicate wall certificate
|
$25
|
|
8. Return check charge
|
$35
|
|
9. Reinstatement of suspended or revoked license
10. Autonomous practice attestation
|
$200
$100
|
B. For renewal of licensure from July 1, 2017, through June
30, 2019, the following fee shall be in effect:
18VAC90-30-85. Qualifications for licensure by endorsement.
A. An applicant for licensure by endorsement as a nurse
practitioner shall:
1. Provide verification of licensure as a nurse practitioner
or advanced practice nurse in another U.S. jurisdiction with a license in good
standing, or, if lapsed, eligible for reinstatement;
2. Submit evidence of professional certification that is
consistent with the specialty area of the applicant's educational preparation
issued by an agency accepted by the boards as identified in 18VAC90-30-90; and
3. Submit the required application and fee as prescribed in
18VAC90-30-50.
B. An applicant shall provide evidence that includes a
transcript that shows successful completion of core coursework that prepares
the applicant for licensure in the appropriate specialty.
C. An applicant for licensure by endorsement who is also
seeking authorization for autonomous practice shall comply with subsection F of
18VAC90-30-86.
18VAC90-30-86. Autonomous practice for nurse practitioners
other than certified nurse midwives or certified registered nurse anesthetists.
A. A nurse practitioner with a current, unrestricted
license, other than someone licensed in the category of certified nurse midwife
or certified registered nurse anesthetist, may qualify for autonomous practice
by completion of the equivalent of five years of full-time clinical experience
as a nurse practitioner.
1. Five years of full-time clinical experience shall be
defined as 1,800 hours per year for a total of 9,000 hours.
2. Clinical experience shall be defined as the postgraduate
delivery of health care directly to patients pursuant to a practice agreement
with a patient care team physician.
B. Qualification for authorization for autonomous practice
shall be determined upon submission of a fee as specified in 18VAC90-30-50 and
an attestation acceptable to the boards. The attestation shall be signed by the
nurse practitioner and the nurse practitioner's patient care team physician
stating that:
1. The patient care team physician served as a patient care
team physician on a patient care team with the nurse practitioner pursuant to a
practice agreement meeting the requirements of this chapter and §§ 54.1-2957
and 54.1-2957.01 of the Code of Virginia;
2. While a party to such practice agreement, the patient
care team physician routinely practiced with a patient population and in a
practice area included within the category, as specified in 18VAC90-30-70, for
which the nurse practitioner was certified and licensed; and
3. The period of time and hours of practice during which
the patient care team physician practiced with the nurse practitioner under
such a practice agreement.
C. The nurse practitioner may submit attestations from
more than one patient care team physician with whom the nurse practitioner
practiced during the equivalent of five years of practice, but all attestations
shall be submitted to the boards at the same time.
D. If a nurse practitioner is licensed and certified in
more than one category as specified in 18VAC90-30-70, a separate fee and
attestation that meets the requirements of subsection B of this section shall
be submitted for each category. If the hours of practice are applicable to the
patient population and in practice areas included within each of the categories
of licensure and certification, those hours may be counted toward a second
attestation.
E. In the event a patient care team physician has died,
become disabled, retired, or relocated to another state, or of other
circumstance that inhibits the ability of the nurse practitioner from obtaining
an attestation as specified in subsection B of this section, the nurse
practitioner may submit other evidence of meeting the qualifications for
autonomous practice along with an attestation signed by the nurse practitioner.
Other evidence may include employment records, military service, Medicare or
Medicaid reimbursement records, or other similar records that verify full-time
clinical practice in the role of a nurse practitioner in the category for which
the nurse practitioner is licensed and certified. The burden shall be on the
nurse practitioner to provide sufficient evidence to support the nurse
practitioner's inability to obtain an attestation from a patient care team
physician.
F. A nurse practitioner to whom a license is issued by
endorsement may engage in autonomous practice if such application includes an
attestation acceptable to the boards that the nurse practitioner has completed
the equivalent of five years of full-time clinical experience as specified in
subsection A of this section and in accordance with the laws of the state in
which the nurse practitioner was previously licensed.
G. A nurse practitioner authorized to practice
autonomously shall:
1. Only practice within the scope of the nurse
practitioner's clinical and professional training and limits of the nurse
practitioner's knowledge and experience and consistent with the applicable
standards of care;
2. Consult and collaborate with other health care providers
based on the clinical conditions of the patient to whom health care is
provided; and
3. Establish a plan for referral of complex medical cases
and emergencies to physicians or other appropriate health care providers.
18VAC90-30-110. Reinstatement of license.
A. A licensed nurse practitioner whose license has lapsed may
be reinstated within one renewal period by payment of the current renewal fee
and the late renewal fee.
B. An applicant for reinstatement of license lapsed for more
than one renewal period shall:
1. File the required application and reinstatement fee;
2. Be currently licensed as a registered nurse in Virginia or
hold a current multistate licensure privilege as a registered nurse; and
3. Provide evidence of current professional competency
consisting of:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90;
b. Continuing education hours taken during the period in which
the license was lapsed, equal to the number required for licensure renewal
during that period, not to exceed 120 hours; or
c. If applicable, current, unrestricted licensure or
certification in another jurisdiction.
4. If qualified for autonomous practice, provide the
required fee and attestation in accordance with 18VAC90-30-86.
C. An applicant for reinstatement of license following
suspension or revocation shall:
1. Petition for reinstatement and pay the reinstatement fee;
2. Present evidence that he is currently licensed as a
registered nurse in Virginia or hold a current multistate licensure privilege
as a registered nurse; and
3. Present evidence that he is competent to resume practice as
a licensed nurse practitioner in Virginia to include:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90; or
b. Continuing education hours taken during the period in which
the license was suspended or revoked, equal to the number required for
licensure renewal during that period, not to exceed 120 hours.
The committee shall act on the petition pursuant to the
Administrative Process Act, § 2.2-4000 et seq. of the Code of Virginia.
Part III
Practice of Licensed Nurse Practitioners
18VAC90-30-120. Practice of licensed nurse practitioners other
than certified registered nurse anesthetists or certified nurse midwives.
A. A nurse practitioner licensed in a category other than
certified registered nurse anesthetist or certified nurse midwife shall be
authorized to render care in collaboration and consultation with a licensed
patient care team physician as part of a patient care team or if determined
by the boards to qualify in accordance with 18VAC90-30-86, authorized to
practice autonomously without a practice agreement with a patient care team
physician.
B. The practice shall be based on specialty education
preparation as an advanced practice registered nurse in accordance with
standards of the applicable certifying organization, as identified in
18VAC90-30-90.
C. All nurse practitioners licensed in any category other
than certified registered nurse anesthetist or certified nurse midwife shall
practice in accordance with a written or electronic practice agreement as
defined in 18VAC90-30-10 or in accordance with 18VAC90-30-86.
D. The written or electronic practice agreement shall include
provisions for:
1. The periodic review of patient charts or electronic patient
records by a patient care team physician and may include provisions for visits
to the site where health care is delivered in the manner and at the frequency
determined by the patient care team;
2. Appropriate physician input in complex clinical cases and
patient emergencies and for referrals; and
3. The nurse practitioner's authority for signatures,
certifications, stamps, verifications, affidavits, and endorsements provided it
is:
a. In accordance with the specialty license of the nurse
practitioner and within the scope of practice of the patient care team
physician;
b. Permitted by § 54.1-2957.02 or applicable sections of
the Code of Virginia; and
c. Not in conflict with federal law or regulation.
E. The practice agreement shall be maintained by the nurse
practitioner and provided to the boards upon request. For nurse practitioners
providing care to patients within a hospital or health care system, the
practice agreement may be included as part of documents delineating the nurse
practitioner's clinical privileges or the electronic or written delineation of
duties and responsibilities; however, the nurse practitioner shall be
responsible for providing a copy to the boards upon request.
Part III
Practice Requirements
18VAC90-40-90. Practice agreement.
A. With the exception of exceptions listed in
subsection E of this section, a nurse practitioner with prescriptive authority
may prescribe only within the scope of the written or electronic practice
agreement with a patient care team physician.
B. At any time there are changes in the patient care team
physician, authorization to prescribe, or scope of practice, the nurse
practitioner shall revise the practice agreement and maintain the revised
agreement.
C. The practice agreement shall contain the following:
1. A description of the prescriptive authority of the nurse
practitioner within the scope allowed by law and the practice of the nurse
practitioner.
2. An authorization for categories of drugs and devices within
the requirements of § 54.1-2957.01 of the Code of Virginia.
3. The signature of the patient care team physician who is
practicing with the nurse practitioner or a clear statement of the name of the
patient care team physician who has entered into the practice agreement.
D. In accordance with § 54.1-2957.01 of the Code of
Virginia, a physician shall not serve as a patient care team physician to more
than six nurse practitioners with prescriptive authority at any one time.
E. Exceptions.
1. A nurse practitioner licensed in the category of
certified nurse midwife and holding a license for prescriptive authority may
prescribe in accordance with a written or electronic practice agreement with a
consulting physician or may prescribe Schedule VI controlled substances without
the requirement for inclusion of such prescriptive authority in a practice
agreement.
2. A nurse practitioner who is licensed in a category other
than certified nurse midwife or certified registered nurse anesthetist and who
has met the qualifications for autonomous practice as set forth in
18VAC90-30-86 may prescribe without a practice agreement with a patient care
team physician.
VA.R. Doc. No. R19-5512; Filed December 19, 2018, 9:45 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Emergency Regulation
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-10, 18VAC90-30-20,
18VAC90-30-50, 18VAC90-30-85, 18VAC90-30-110, 18VAC90-30-120; adding
18VAC90-30-86).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-90).
Statutory Authority: §§ 54.1-2400 and 54.1-2957 of the
Code of Virginia.
Effective Dates: January 7, 2019, through June 6, 2020.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email
jay.douglas@dhp.virginia.gov.
Preamble:
Section 2.2-4011 B of the Code of Virginia states that agencies
may adopt emergency regulations in situations in which Virginia statutory law
or the appropriation act or federal law or federal regulation requires that a
regulation be effective in 280 days or less from its enactment, and the
regulation is not exempt under the provisions of § 2.2-4006 A 4 of the
Code of Virginia.
Chapter 776 of the 2018 Acts of Assembly permits a nurse
practitioner who meets the statutory requirements to practice without a
practice agreement with a patient care team physician and requires the Boards
of Medicine and Nursing to jointly promulgate requlations to implement the act
within 280 days of enactment.
The amendments set the qualifications for authorization for
a nurse practitioner to practice without a practice agreement, including the
hours required to be the equivalent of five years of full-time clinical
experience, the content of the attestation from the physician and the nurse
practitioner, the submission of an attestation when the nurse practitioner is
unable to obtain a physician attestation, the requirements for autonomous
practice, and the fee for authorization for autonomous practice.
Part I
General Provisions
18VAC90-30-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Approved program" means a nurse practitioner
education program that is accredited by the Council on Accreditation of Nurse
Anesthesia Educational Programs/Schools, American College of Nurse Midwives,
Commission on Collegiate Nursing Education, or the National League for Nursing
Accrediting Commission or is offered by a school of nursing or jointly offered
by a school of medicine and a school of nursing that grant a graduate degree in
nursing and which that hold a national accreditation acceptable
to the boards.
"Autonomous practice" means practice in a
category in which a nurse practitioner is certified and licensed without a
written or electronic practice agreement with a patient care team physician in
accordance with 18VAC90-30-86.
"Boards" means the Virginia Board of Nursing and
the Virginia Board of Medicine.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Certified registered nurse anesthetist" means an
advanced practice registered nurse who is certified in the specialty of nurse anesthesia,
who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957, and who practices under the
supervision of a doctor of medicine, osteopathy, podiatry, or dentistry but is
not subject to the practice agreement requirement described in § 54.1-2957.
"Collaboration" means the communication and
decision-making process among members of a patient care team related to the
treatment and care of a patient and includes (i) communication of data and
information about the treatment and care of a patient, including exchange of
clinical observations and assessments, and (ii) development of an appropriate
plan of care, including decisions regarding the health care provided, accessing
and assessment of appropriate additional resources or expertise, and
arrangement of appropriate referrals, testing, or studies.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"Consultation" means the communicating of data and
information, exchanging of clinical observations and assessments, accessing and
assessing of additional resources and expertise, problem solving, and arranging
for referrals, testing, or studies.
"Licensed nurse practitioner" means an advanced
practice registered nurse who has met the requirements for licensure as stated
in Part II (18VAC90-30-60 et seq.) of this chapter.
"National certifying body" means a national
organization that is accredited by an accrediting agency recognized by the U.S.
Department of Education or deemed acceptable by the National Council of State
Boards of Nursing and has as one of its purposes the certification of nurse
anesthetists, nurse midwives, or nurse practitioners, referred to in
this chapter as professional certification, and whose certification of such persons
by examination is accepted by the committee.
"Patient care team physician" means a person who
holds an active, unrestricted license issued by the Virginia Board of Medicine
to practice medicine or osteopathic medicine.
"Practice agreement" means a written or electronic
statement, jointly developed by the collaborating patient care team physician(s)
physician and the licensed nurse practitioner(s) practitioner
that describes the procedures to be followed and the acts appropriate to the
specialty practice area to be performed by the licensed nurse practitioner(s)
practitioner in the care and management of patients. The practice
agreement also describes the prescriptive authority of the nurse practitioner,
if applicable. For a nurse practitioner licensed in the category of certified
nurse midwife, the practice agreement is a statement jointly developed with the
consulting physician.
18VAC90-30-20. Delegation of authority.
A. The boards hereby delegate to the executive director of
the Virginia Board of Nursing the authority to issue the initial licensure and
the biennial renewal of such licensure to those persons who meet the
requirements set forth in this chapter, to grant authorization for
autonomous practice to those persons who have met the qualifications of
18VAC90-30-86, and to grant extensions or exemptions for compliance with
continuing competency requirements as set forth in subsection E of
18VAC90-30-105. Questions of eligibility shall be referred to the Committee of
the Joint Boards of Nursing and Medicine.
B. All records and files related to the licensure of nurse
practitioners shall be maintained in the office of the Virginia Board of
Nursing.
18VAC90-30-50. Fees.
A. Fees required in connection with the licensure of nurse
practitioners are:
|
1. Application
|
$125
|
|
2. Biennial licensure renewal
|
$80
|
|
3. Late renewal
|
$25
|
|
4. Reinstatement of licensure
|
$150
|
|
5. Verification of licensure to another jurisdiction
|
$35
|
|
6. Duplicate license
|
$15
|
|
7. Duplicate wall certificate
|
$25
|
|
8. Return check charge
|
$35
|
|
9. Reinstatement of suspended or revoked license
10. Autonomous practice attestation
|
$200
$100
|
B. For renewal of licensure from July 1, 2017, through June
30, 2019, the following fee shall be in effect:
18VAC90-30-85. Qualifications for licensure by endorsement.
A. An applicant for licensure by endorsement as a nurse
practitioner shall:
1. Provide verification of licensure as a nurse practitioner
or advanced practice nurse in another U.S. jurisdiction with a license in good
standing, or, if lapsed, eligible for reinstatement;
2. Submit evidence of professional certification that is
consistent with the specialty area of the applicant's educational preparation
issued by an agency accepted by the boards as identified in 18VAC90-30-90; and
3. Submit the required application and fee as prescribed in
18VAC90-30-50.
B. An applicant shall provide evidence that includes a
transcript that shows successful completion of core coursework that prepares
the applicant for licensure in the appropriate specialty.
C. An applicant for licensure by endorsement who is also
seeking authorization for autonomous practice shall comply with subsection F of
18VAC90-30-86.
18VAC90-30-86. Autonomous practice for nurse practitioners
other than certified nurse midwives or certified registered nurse anesthetists.
A. A nurse practitioner with a current, unrestricted
license, other than someone licensed in the category of certified nurse midwife
or certified registered nurse anesthetist, may qualify for autonomous practice
by completion of the equivalent of five years of full-time clinical experience
as a nurse practitioner.
1. Five years of full-time clinical experience shall be
defined as 1,800 hours per year for a total of 9,000 hours.
2. Clinical experience shall be defined as the postgraduate
delivery of health care directly to patients pursuant to a practice agreement
with a patient care team physician.
B. Qualification for authorization for autonomous practice
shall be determined upon submission of a fee as specified in 18VAC90-30-50 and
an attestation acceptable to the boards. The attestation shall be signed by the
nurse practitioner and the nurse practitioner's patient care team physician
stating that:
1. The patient care team physician served as a patient care
team physician on a patient care team with the nurse practitioner pursuant to a
practice agreement meeting the requirements of this chapter and §§ 54.1-2957
and 54.1-2957.01 of the Code of Virginia;
2. While a party to such practice agreement, the patient
care team physician routinely practiced with a patient population and in a
practice area included within the category, as specified in 18VAC90-30-70, for
which the nurse practitioner was certified and licensed; and
3. The period of time and hours of practice during which
the patient care team physician practiced with the nurse practitioner under
such a practice agreement.
C. The nurse practitioner may submit attestations from
more than one patient care team physician with whom the nurse practitioner
practiced during the equivalent of five years of practice, but all attestations
shall be submitted to the boards at the same time.
D. If a nurse practitioner is licensed and certified in
more than one category as specified in 18VAC90-30-70, a separate fee and
attestation that meets the requirements of subsection B of this section shall
be submitted for each category. If the hours of practice are applicable to the
patient population and in practice areas included within each of the categories
of licensure and certification, those hours may be counted toward a second
attestation.
E. In the event a patient care team physician has died,
become disabled, retired, or relocated to another state, or of other
circumstance that inhibits the ability of the nurse practitioner from obtaining
an attestation as specified in subsection B of this section, the nurse
practitioner may submit other evidence of meeting the qualifications for
autonomous practice along with an attestation signed by the nurse practitioner.
Other evidence may include employment records, military service, Medicare or
Medicaid reimbursement records, or other similar records that verify full-time
clinical practice in the role of a nurse practitioner in the category for which
the nurse practitioner is licensed and certified. The burden shall be on the
nurse practitioner to provide sufficient evidence to support the nurse
practitioner's inability to obtain an attestation from a patient care team
physician.
F. A nurse practitioner to whom a license is issued by
endorsement may engage in autonomous practice if such application includes an
attestation acceptable to the boards that the nurse practitioner has completed
the equivalent of five years of full-time clinical experience as specified in
subsection A of this section and in accordance with the laws of the state in
which the nurse practitioner was previously licensed.
G. A nurse practitioner authorized to practice
autonomously shall:
1. Only practice within the scope of the nurse
practitioner's clinical and professional training and limits of the nurse
practitioner's knowledge and experience and consistent with the applicable
standards of care;
2. Consult and collaborate with other health care providers
based on the clinical conditions of the patient to whom health care is
provided; and
3. Establish a plan for referral of complex medical cases
and emergencies to physicians or other appropriate health care providers.
18VAC90-30-110. Reinstatement of license.
A. A licensed nurse practitioner whose license has lapsed may
be reinstated within one renewal period by payment of the current renewal fee
and the late renewal fee.
B. An applicant for reinstatement of license lapsed for more
than one renewal period shall:
1. File the required application and reinstatement fee;
2. Be currently licensed as a registered nurse in Virginia or
hold a current multistate licensure privilege as a registered nurse; and
3. Provide evidence of current professional competency
consisting of:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90;
b. Continuing education hours taken during the period in which
the license was lapsed, equal to the number required for licensure renewal
during that period, not to exceed 120 hours; or
c. If applicable, current, unrestricted licensure or
certification in another jurisdiction.
4. If qualified for autonomous practice, provide the
required fee and attestation in accordance with 18VAC90-30-86.
C. An applicant for reinstatement of license following
suspension or revocation shall:
1. Petition for reinstatement and pay the reinstatement fee;
2. Present evidence that he is currently licensed as a
registered nurse in Virginia or hold a current multistate licensure privilege
as a registered nurse; and
3. Present evidence that he is competent to resume practice as
a licensed nurse practitioner in Virginia to include:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90; or
b. Continuing education hours taken during the period in which
the license was suspended or revoked, equal to the number required for
licensure renewal during that period, not to exceed 120 hours.
The committee shall act on the petition pursuant to the
Administrative Process Act, § 2.2-4000 et seq. of the Code of Virginia.
Part III
Practice of Licensed Nurse Practitioners
18VAC90-30-120. Practice of licensed nurse practitioners other
than certified registered nurse anesthetists or certified nurse midwives.
A. A nurse practitioner licensed in a category other than
certified registered nurse anesthetist or certified nurse midwife shall be
authorized to render care in collaboration and consultation with a licensed
patient care team physician as part of a patient care team or if determined
by the boards to qualify in accordance with 18VAC90-30-86, authorized to
practice autonomously without a practice agreement with a patient care team
physician.
B. The practice shall be based on specialty education
preparation as an advanced practice registered nurse in accordance with
standards of the applicable certifying organization, as identified in
18VAC90-30-90.
C. All nurse practitioners licensed in any category other
than certified registered nurse anesthetist or certified nurse midwife shall
practice in accordance with a written or electronic practice agreement as
defined in 18VAC90-30-10 or in accordance with 18VAC90-30-86.
D. The written or electronic practice agreement shall include
provisions for:
1. The periodic review of patient charts or electronic patient
records by a patient care team physician and may include provisions for visits
to the site where health care is delivered in the manner and at the frequency
determined by the patient care team;
2. Appropriate physician input in complex clinical cases and
patient emergencies and for referrals; and
3. The nurse practitioner's authority for signatures,
certifications, stamps, verifications, affidavits, and endorsements provided it
is:
a. In accordance with the specialty license of the nurse
practitioner and within the scope of practice of the patient care team
physician;
b. Permitted by § 54.1-2957.02 or applicable sections of
the Code of Virginia; and
c. Not in conflict with federal law or regulation.
E. The practice agreement shall be maintained by the nurse
practitioner and provided to the boards upon request. For nurse practitioners
providing care to patients within a hospital or health care system, the
practice agreement may be included as part of documents delineating the nurse
practitioner's clinical privileges or the electronic or written delineation of
duties and responsibilities; however, the nurse practitioner shall be
responsible for providing a copy to the boards upon request.
Part III
Practice Requirements
18VAC90-40-90. Practice agreement.
A. With the exception of exceptions listed in
subsection E of this section, a nurse practitioner with prescriptive authority
may prescribe only within the scope of the written or electronic practice
agreement with a patient care team physician.
B. At any time there are changes in the patient care team
physician, authorization to prescribe, or scope of practice, the nurse
practitioner shall revise the practice agreement and maintain the revised
agreement.
C. The practice agreement shall contain the following:
1. A description of the prescriptive authority of the nurse
practitioner within the scope allowed by law and the practice of the nurse
practitioner.
2. An authorization for categories of drugs and devices within
the requirements of § 54.1-2957.01 of the Code of Virginia.
3. The signature of the patient care team physician who is
practicing with the nurse practitioner or a clear statement of the name of the
patient care team physician who has entered into the practice agreement.
D. In accordance with § 54.1-2957.01 of the Code of
Virginia, a physician shall not serve as a patient care team physician to more
than six nurse practitioners with prescriptive authority at any one time.
E. Exceptions.
1. A nurse practitioner licensed in the category of
certified nurse midwife and holding a license for prescriptive authority may
prescribe in accordance with a written or electronic practice agreement with a
consulting physician or may prescribe Schedule VI controlled substances without
the requirement for inclusion of such prescriptive authority in a practice
agreement.
2. A nurse practitioner who is licensed in a category other
than certified nurse midwife or certified registered nurse anesthetist and who
has met the qualifications for autonomous practice as set forth in
18VAC90-30-86 may prescribe without a practice agreement with a patient care
team physician.
VA.R. Doc. No. R19-5512; Filed December 19, 2018, 9:45 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Final Regulation
REGISTRAR'S NOTICE: The
Board of Pharmacy is claiming an exemption from Article 2 of the Administrative
Process Act in accordance with § 2.2-4006 A 13 of the Code of Virginia,
which exempts amendments to regulations of the board to schedule a substance
pursuant to subsection E of § 54.1-3443 of the Code of Virginia. The board
will receive, consider, and respond to petitions by any interested person at
any time with respect to reconsideration or revision.
Title of Regulation: 18VAC110-20. Regulations
Governing the Practice of Pharmacy (amending 18VAC110-20-323).
Statutory Authority: §§ 54.1-2400 and 54.1-3443 of the
Code of Virginia.
Effective Date: February 6, 2019.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4456, FAX (804) 527-4472, or email
caroline.juran@dhp.virginia.gov.
Summary:
The amendment adds one compound into Schedule V of the Drug
Control Act pursuant to § 54.1-3443 E of the Code of Virginia to mirror a
federal action, which does the same, and after the expiration of 30 days from
publication in the Federal Register of the final federal rule.
18VAC110-20-323. Scheduling for conformity with federal law or
rule.
Pursuant to subsection E of § 54.1-3443 of the Code of
Virginia and in order to conform the Drug Control Act to recent scheduling
changes enacted in federal law or rule, the board:
1. Adds MT-45 (1-cyclohexyl-4-(1,2-diphenylethyl)piperazine)
to Schedule I;
2. Adds Dronabinol ((-)-delta-9-trans tetrahydrocannabinol) in
an oral solution in a drug product approved for marketing by the U.S. Food and
Drug Administration to Schedule II; and
3. Deletes naldemedine from Schedule II; and
4. Adds a drug product in finished dosage formulation that
has been approved by the U.S. Food and Drug Administration that contains
cannabidiol
(2-[1R-3-methyl-6R-(1-methylethenyl)-2-cyclohexen-1-yl]-5-pentyl-1,3-benzenediol)
derived from cannabis and no more than 0.1% (w/w) residual
tetrahydrocannabinols to Schedule V.
VA.R. Doc. No. R19-5748; Filed December 12, 2018, 12:01 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF SOCIAL WORK
Proposed Regulation
Title of Regulation: 18VAC140-20. Regulations
Governing the Practice of Social Work (amending 18VAC140-20-105).
Statutory Authority: §§ 54.1-2400 and 54.1-3708 of
the Code of Virginia.
Public Hearing Information:
February 1, 2019 - 9:45 a.m. - Department of Health
Professions, Perimeter Center, 9960 Mayland Drive, 2nd Floor, Richmond, VA
23233
Public Comment Deadline: March 8, 2019.
Agency Contact: Jaime Hoyle, Executive Director, Board
of Social Work, 9960 Mayland Drive, Suite 300, Richmond, VA 23233-1463,
telephone (804) 367-4406, FAX (804) 527-4435, or email
jaime.hoyle@dhp.virginia.gov.
Basis: Section 54.1-2400 of the Code of Virginia
provides the Board of Social Work the authority to promulgate regulations to
administer the regulatory system. The board has a specific mandate to
promulgate regulations requiring continuing education under § 54.1-3708 of the
Code of Virginia.
Purpose: The purpose of adding required continuing
education hours in ethics or standards of practice is to address a concern
about complaints against social workers, almost all of which stem from an
ethical issue or a failure to adhere to professional standards of practice. While
the rate of complaints against clinical social workers is similar to or lower
than other behavioral health professions (13.52 per 1,000 licensees for
licensed clinical social workers (LCSWs); 15.75 per 1,000 for licensed
professional counselors; and 16.45 per 1,000 for licensed clinical
psychologists in the 2014-2016 biennium), the nature of the complaints
indicates a lack of understanding of ethics or standards of practice.
Therefore, the board believes a higher percentage of the total hours of continuing
education should be devoted to those topics to protect the health, welfare, and
safety of clients receiving social work services.
Substance: Currently, 18VAC140-20-105 specifies that 30
hours of continuing education are required for renewal of a licensed clinical
social work license and 15 hours for a licensed social worker every two years.
A minimum of two of those hours must pertain to ethics or the standards of
practice for the behavioral health professions or to laws governing the
practice of social work in Virginia. The proposed amendment would increase the
ethics or standards requirement from two to six hours for LCSWs and three hours
for licensed social workers; there would be no change in the total hours
required.
Issues: The primary advantage to the public is some
assurance that social workers are more knowledgeable about the ethics and
standards of practice affecting their profession. There are no disadvantages to
the public. There are no advantages and disadvantages to the agency or the
Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Social Work (Board) proposes to reallocate continuing education (CE) hours to
the required ethics or standards of practice for the behavioral health
professions or the laws governing the practice of social work (ethics) for
Licensed Clinical Social Workers (LCSWs) and Licensed Social Workers (LSWs).
Result of Analysis. The benefits likely exceed the costs for
all proposed changes.
Estimated Economic Impact. Currently, LCSWs must devote a
minimum of two hours to ethics every two years out of the total 30 hours of CE
required for renewal of a license. Similarly, LSWs are required to devote a
minimum of two hours every two years for ethics out of the total 15 hours of
CE.
The Board proposes to increase the hours for ethics from two to
six hours for LCSWs and from two to three hours for LSWs with no change to the
total CE hours required for either profession. According to the Board, the
purpose of adding hours in ethics is to address a concern about complaints
against social workers, almost all of which stem from an ethical issue or a
failure to adhere to professional standards of practice. According to the
Department of Health Professions (DHP), while the rate of complaints against
LCSWs is similar to or lower than other behavioral health professions (13.52
per 1,000 licensees for LCSWs; 15.75 per 1,000 for licensed professional
counselors; 16.45 per 1,000 for licensed clinical psychologists in the
2014-2016 biennium), the nature of the complaints indicates a lack of
understanding of ethics or standards of practice. Therefore, the Board believes
a higher percentage of the total hours of continuing education should be
devoted to those topics in order to protect the health, welfare and safety of
clients receiving social work services.
Because there would be no change to the total continuing
education hours required, the proposed change should not have any significant
economic impact on licensees. However, the proposed change may necessitate an
adjustment in continuing education provider curriculum and may add to their
costs by a small amount. Since the number of current complaints received by the
Board is likely to decrease with implementation of the proposed change, the
regulatory package would likely produce a net benefit.
Businesses and Entities Affected. There are 6,985 licensed
clinical social workers and 795 licensed social workers. DHP does not track the
number of continuing education providers.
Localities Particularly Affected. The proposed regulation does
not affect any particular locality more than others.
Projected Impact on Employment. No significant impact on
employment is expected.
Effects on the Use and Value of Private Property. No
significant impact on the use and value of private property is expected.
Real Estate Development Costs. No impact on real estate
development costs is expected.
Small Businesses:
Definition. Pursuant to § 2.2-4007.04 of the Code of Virginia,
small business is defined as "a business entity, including its affiliates,
that (i) is independently owned and operated and (ii) employs fewer than 500
full-time employees or has gross annual sales of less than $6 million."
Costs and Other Effects. Most continuing education providers
are likely small businesses. However, having to adjust their curriculum to
emphasize ethics/standards issues is not anticipated to have significant costs
and other effects on them.
Alternative Method that Minimizes Adverse Impact. The proposed
amendments would not have a significant adverse effect on continuing education
providers.
Adverse Impacts:
Businesses. The proposed amendments would not adversely affect
businesses.
Localities. The proposed amendments would not adversely affect
localities.
Other Entities. The proposed amendments would not adversely
affect other entities.
Agency's Response to Economic Impact Analysis: The Board
of Social Work concurs with the analysis of the Department of Planning and
Budget.
Summary:
The amendments increase the continuing education hours
required for license renewal pertaining to ethics or the standards of practice
to a minimum of six hours every two years for licensed clinical social workers
and a minimum of three hours every two years for licensed social workers.
18VAC140-20-105. Continued competency requirements for renewal
of an active license.
A. Licensed clinical social workers shall be required to have
completed a minimum of 30 contact hours of continuing education and licensed
social workers shall be required to have completed a minimum of 15 contact
hours of continuing education prior to licensure renewal in even years. Courses
or activities shall be directly related to the practice of social work or
another behavioral health field. A minimum of two six of those
hours for licensed clinical social workers and a minimum of three of those
hours for licensed social workers must pertain to ethics or the standards
of practice for the behavioral health professions or to laws governing the
practice of social work in Virginia. Up to two continuing education hours
required for renewal may be satisfied through delivery of social work services,
without compensation, to low-income individuals receiving health services
through a local health department or a free clinic organized in whole or
primarily for the delivery of those services, as verified by the department or
clinic. Three hours of volunteer service is required for one hour of
continuing education credit.
1. The board may grant an extension for good cause of up to
one year for the completion of continuing education requirements upon written
request from the licensee prior to the renewal date. Such extension shall not
relieve the licensee of the continuing education requirement.
2. The board may grant an exemption for all or part of the
continuing education requirements due to circumstances beyond the control of
the licensee such as temporary disability, mandatory military service, or
officially declared disasters upon written request from the licensee prior to
the renewal date.
B. Hours may be obtained from a combination of board-approved
activities in the following two categories:
1. Category I. Formally Organized Learning Activities. A
minimum of 20 hours for licensed clinical social workers or 10 hours for
licensed social workers shall be documented in this category, which shall
include one or more of the following:
a. Regionally accredited university or college academic
courses in a behavioral health discipline. A maximum of 15 hours will be
accepted for each academic course.
b. Continuing education programs offered by universities or
colleges accredited by the Council on Social Work Education.
c. Workshops, seminars, conferences, or courses in the
behavioral health field offered by federal, state or local social service
agencies, public school systems, or licensed health facilities and
licensed hospitals.
d. Workshops, seminars, conferences, or courses in the
behavioral health field offered by an individual or organization that has been
certified or approved by one of the following:
(1) The Child Welfare League of America and its state and
local affiliates.
(2) The National Association of Social Workers and its state
and local affiliates.
(3) The National Association of Black Social Workers and its
state and local affiliates.
(4) The Family Service Association of America and its state
and local affiliates.
(5) The Clinical Social Work Association and its state and
local affiliates.
(6) The Association of Social Work Boards.
(7) Any state social work board.
2. Category II. Individual Professional Activities. A maximum
of 10 of the required 30 hours for licensed clinical social workers or a
maximum of five of the required 15 hours for licensed social workers may be
earned in this category, which shall include one or more of the following:
a. Participation in an Association of Social Work Boards item
writing workshop. (Activity will count for a maximum of two hours.)
b. Publication of a professional social work-related book or
initial preparation/presentation preparation or presentation of a
social work-related course. (Activity will count for a maximum of 10 hours.)
c. Publication of a professional social work-related article
or chapter of a book, or initial preparation/presentation preparation
or presentation of a social work-related in-service training, seminar, or
workshop. (Activity will count for a maximum of five hours.)
d. Provision of a continuing education program sponsored or
approved by an organization listed under Category I. (Activity will count for a
maximum of two hours and will only be accepted one time for any specific
program.)
e. Field instruction of graduate students in a Council on
Social Work Education-accredited school. (Activity will count for a maximum of
two hours.)
f. Serving as an officer or committee member of one of the
national professional social work associations listed under subdivision B 1 d
of this section or as a member of a state social work licensing board.
(Activity will count for a maximum of two hours.)
g. Attendance at formal staffings at federal, state, or local
social service agencies, public school systems, or licensed health facilities
and licensed hospitals. (Activity will count for a maximum of five hours.)
h. Individual or group study including listening to audio
tapes, viewing video tapes, or reading, professional books or
articles. (Activity will count for a maximum of five hours.)
VA.R. Doc. No. R18-5436; Filed December 12, 2018, 2:25 p.m.
TITLE 22. SOCIAL SERVICES
DEPARTMENT FOR AGING AND REHABILITATIVE SERVICES
Final Regulation
Title of Regulation: 22VAC30-20. Provision of
Vocational Rehabilitation Services (amending 22VAC30-20-90).
Statutory Authority: §§ 51.5-118 and 51.5-131 of the
Code of Virginia.
Effective Date: February 6, 2019.
Agency Contact: Leah Mills, Policy Analyst, Department
for Aging and Rehabilitative Services, 8004 Franklin Farms Drive, Richmond, VA
23229, telephone (804) 662-7610, FAX (804) 662-7663, TTY (800) 464-9950,
or email leah.mills@dars.virginia.gov.
Summary:
The amendment reduces the number of categories for order of
selection from four to three by combining priority categories II and III. In
the event that the Department for Aging and Rehabilitative Services cannot
provide the full range of vocational rehabilitation services to all eligible
individuals who apply for these services because of insufficient resources, an
order of selection may be implemented to determine those persons to be provided
services.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
22VAC30-20-90. Order of selection for services.
A. In the event that the full range of vocational
rehabilitation services cannot be provided to all eligible individuals who
apply for services because of insufficient resources, an order of selection
system may be implemented by the commissioner following consultation with the
State Rehabilitation Council. The order of selection shall determine those
persons to be provided services. It shall be the policy of the department to
encourage referrals and applications of all persons with disabilities and, to
the extent resources permit, provide services to all eligible persons.
The following order of selection is implemented when services
cannot be provided to all eligible persons:
1. Persons eligible and presently receiving services under an
individualized plan for employment;
2. Persons referred and needing diagnostic services to
determine eligibility; and
3. Persons determined to be eligible for services, but not
presently receiving services under an individualized plan for employment, shall
be served according to the following order of priorities:
a. Priority I. An individual with a most significant
disability in accordance with the definition in 22VAC30-20-10;
b. Priority II. An individual with a significant disability
that results in a serious functional limitations limitation
in two at least one functional capacities capacity;
and
c. Priority III. An individual with a significant
disability that results in a serious functional limitation in one functional
capacity; and
d. Priority IV. Other persons determined to be
disabled, in order of eligibility determination.
B. An order of selection shall not be based on any other
factors, including (i) any duration of residency requirement, provided the
individual is present in the state; (ii) type of disability; (iii) age, gender,
race, color, or national origin; (iv) source of referral; (v) type of expected
employment outcome; (vi) the need for specific services or anticipated cost of
services required by the individual; or (vii) the income level of an individual
or an individual's family.
C. In administering the order of selection, the department
shall (i) implement the order of selection on a statewide basis; (ii) notify
all eligible individuals of the priority categories in the order of selection,
their assignment to a particular category and their right to appeal their category
assignment; (iii) continue to provide all needed services to any eligible
individual who has begun to receive services under an individualized plan for
employment prior to the effective date of the order of selection, irrespective
of the severity of the individual's disability; and (iv) ensure that its
funding arrangements for providing services under the state plan, including
third-party arrangements and awards under the establishment authority, are
consistent with the order of selection. If any funding arrangements are
inconsistent with the order of selection, the department shall renegotiate
these funding arrangements so that they are consistent with the order of
selection.
D. Consultation with the State Rehabilitation Council shall
include (i) the need to establish an order of selection, including any
reevaluation of the need; (ii) priority categories of the particular order of
selection; (iii) criteria for determining individuals with the most significant
disabilities; and (iv) administration of the order of selection.
VA.R. Doc. No. R17-4951; Filed December 13, 2018, 11:24 a.m.
TITLE 22. SOCIAL SERVICES
DEPARTMENT FOR AGING AND REHABILITATIVE SERVICES
Final Regulation
Title of Regulation: 22VAC30-80. Auxiliary Grants
Program (amending 22VAC30-80-10, 22VAC30-80-20,
22VAC30-80-30, 22VAC30-80-45 through 22VAC30-80-70; adding 22VAC30-80-35).
Statutory Authority: §§ 51.5-131 and 51.5-160 of
the Code of Virginia.
Effective Date: February 6, 2019.
Agency Contact: Tishaun Harris-Ugworji, Program
Consultant, Department for Aging and Rehabilitative Services, 8004 Franklin
Farms Drive, Richmond, VA 23229, telephone (804) 662-7531, or email
tishaun.harrisugworji@dars.virginia.gov.
Summary:
The amendments (i) add supportive housing, which is a new
living arrangement that individuals who receive auxiliary grant payments may
choose, as a third setting in which individuals may receive the auxiliary
grant; (ii) define requirements to participate in the supportive housing
setting; (iii) clarify providers' responsibilities for each setting; and (iv)
update terminology and guidelines for the Auxiliary Grant Program.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
22VAC30-80-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Adult foster care" or "AFC" means a
locally optional program that provides room and board, supervision, and special
services to an individual who has a physical or mental health need. Adult
foster care may be provided for up to three individuals by any one provider who
is approved by the local department of social services.
"Assisted living care" means a level of service
provided by an assisted living facility for individuals who may have physical
or mental impairments and require at least moderate assistance with the
activities of daily living. Included in this level of service are individuals
who are dependent in behavior pattern (i.e., abusive, aggressive, disruptive)
as documented on the Uniform Assessment Instrument.
"Assisted living facility" or "ALF" means
[ , as defined in § 63.2-100 of the Code of Virginia, ]
any congregate residential setting that provides or coordinates personal and
health care services, 24-hour supervision, and assistance (scheduled and
unscheduled) for the maintenance or care of four or more adults who are aged,
infirm or disabled and who are cared for in a primarily residential setting,
except (i) a facility or portion of a facility licensed by the State Board of
Health or the Department of Behavioral Health and Developmental Services, but
including any portion of such facility not so licensed; (ii) the home or
residence of an individual who cares for or maintains only persons related to
him by blood or marriage; (iii) a facility or portion of a facility serving
infirm or disabled persons between the ages of 18 and 21, or 22 if enrolled in
an educational program for the handicapped pursuant to § 22.1-214 of the Code
of Virginia, when such facility is licensed by the [ department Virginia
Department of Social Services ] as a children's residential facility
under Chapter 17 (§ 63.2-1700 et seq.) of Title 63.2 of the Code of Virginia,
but including any portion of the facility not so licensed; and (iv) any housing
project for persons 62 years of age or older or the disabled that provides
no more than basic coordination of care services and is funded by the U.S.
Department of Housing and Urban Development, by the U.S. Department of
Agriculture, or by the Virginia Housing Development Authority. Included in this
definition are any two or more places, establishments or institutions owned or
operated by a single entity and providing maintenance or care to a combined
total of four or more aged, infirm or disabled adults. Maintenance or care
means the protection, general supervision and oversight of the physical and
mental well-being of an aged, infirm or disabled individual. [ Assuming
responsibility for the well-being of individuals residing in an ALF, either
directly or through contracted agents, is considered "general supervision
and oversight." ]
"Authorized payee" means the individual who may be
a court-appointed conservator or guardian, a person with a valid power of
attorney, or an authorized representative with the documented authority to
accept funds on behalf of the individual. An authorized payee for the auxiliary
grant shall not be (i) the licensee or (ii) the owner of, employee of, or an
entity hired by or contracted by the ALF or AFC home.
"Authorized representative" means the person
representing or standing in place of the individual receiving the auxiliary
grant for the conduct of the auxiliary grant recipient's affairs (i.e., personal
or business interests). "Authorized representative" may include a
guardian, conservator, attorney-in-fact under durable power of attorney,
trustee, or other person expressly named in writing by the individual as his
agent. An authorized representative shall not be (i) the licensee or (ii) the
owner of, employee of, or an entity hired by or contracted by the ALF or,
AFC home, or a supportive housing provider unless the auxiliary grant
recipient designates such a person to assist with financial management of his
personal needs allowance as a choice of last resort because there is no other
authorized representative willing or available to serve in this capacity.
"Auxiliary Grants Program" or [ "AG
Program" "AG" ] means a state and locally funded
assistance program to supplement income of an individual receiving Supplemental
Security Income (SSI) or adult who would be eligible for SSI except for excess
income, who resides in an ALF or in, an AFC home, or a
supportive housing setting with an established rate. The total number of
individuals within the Commonwealth of Virginia eligible to receive AG in a
supportive housing setting shall not exceed the number designated in the signed
agreement between the department and the Social Security Administration.
"Certification" means an official approval as
designated on the form provided by the department and prepared by the an
ALF or a supportive housing provider. Each ALF shall annually certifying
certify that the ALF it has properly managed the personal
funds and personal needs allowances of individuals residing in the ALF and is
in compliance with program regulations and appropriate licensing regulations. Each
supportive housing provider shall annually certify that it is in compliance
with this chapter.
"Department" means the Department for Aging and
Rehabilitative Services.
"DBHDS" means the Department of Behavioral
Health and Developmental Services.
"Established rate" means the rate as set forth in
the appropriation act or as set forth to meet federal maintenance of effort
requirements.
"Licensee" means any person, association,
partnership, corporation, limited liability company, or governmental
unit to whom a license to operate an ALF is issued in accordance with 22VAC40-72
22VAC40-73.
"Personal funds" means payments the individual
receives, whether earned or unearned, including wages, pensions, Social
Security benefits, and retirement benefits. "Personal funds" does not
include the personal needs allowance.
"Personal needs allowance" means a portion of the
AG payment that is reserved for meeting the individual's personal needs. The
amount is established by the Virginia General Assembly.
"Personal toiletries" means hygiene items provided
to the individual by the ALF or AFC home including deodorant, razor, shaving
cream, shampoo, soap, toothbrush, and toothpaste.
[ "Program" means the Auxiliary Grant AG
Program. ]
"Provider" means an ALF that is licensed by the
[ Virginia ] Department of Social Services or an AFC provider
that is approved by a local department of social services or a supportive
housing provider as defined in § 37.2-421.1 of the Code of Virginia.
"Provider agreement" means a document written
agreement that the ALF [ ALFs ALF ] and
supportive housing providers must complete and submit to the department
when requesting to be approved for admitting approval to admit
individuals receiving AG.
"Qualified assessor" means an individual who is
authorized by 22VAC30-110 to perform an assessment, reassessment, or change in
level of care for an individual applying for AG or residing in an ALF or a
supportive housing setting. For individuals receiving services from a community
services board or behavioral health authority, a qualified assessor is an
employee or designee of the community services board or behavioral health
authority.
"Rate" means the established rate.
"Residential living care" means a level of service
provided by an ALF for individuals who may have physical or mental impairments
and require only minimal assistance with the activities of daily living.
Included in this level of service are individuals who are dependent in
medication administration as documented on the Uniform Assessment Instrument
(UAI).
"Supportive housing" or "SH" means a
residential setting with access to supportive services for an AG recipient in
which tenancy as described in § 37.2-421.1 of the Code of Virginia is provided
or facilitated by a provider licensed to provide mental health community
support services, intensive community treatment, programs of assertive
community treatment, supportive in-home services, or supervised living
residential services that has entered into an agreement with the DBHDS pursuant
to § 37.2-421.1 of the Code of Virginia.
"Third-party payment" means a payment made by a
third party to an ALF or, an AFC home, or supportive housing
provider on behalf of an AG recipient for goods or services other than for
food, shelter, or specific goods or services required to be provided by the ALF
or, an AFC home, or a supportive housing provider as a
condition of participation in the Auxiliary Grants AG [ Program ]
in accordance with 22VAC30-80-45.
"Uniform Assessment Instrument" or "UAI"
means the department-designated assessment form. It is used to record
assessment information for determining the level of service that is needed.
22VAC30-80-20. Assessment.
A. In order to receive payment from the [ program
AG ] for care in an ALF or [ in an ] AFC
home, an individual applying for AG shall have been assessed by a qualified
assessor using the UAI in accordance with 22VAC30-110 and determined to need
residential or assisted living care or AFC.
B. As a condition of eligibility for the [ program
AG ], a UAI shall be completed on an individual prior to admission,
except for an emergency placement as documented and approved by a Virginia
adult protective services worker; at least once annually; and whenever there is
a significant change in the individual's level of care, and a determination is
made that the individual needs residential or assisted living care in an ALF or
AFC home.
C. The ALF or AFC provider is prohibited from charging a
security deposit or any other form of compensation for providing a room and
services to the individual. The collection or receipt of money, gift, donation
or other consideration from or on behalf of an individual for any services
provided is prohibited.
D. In order to receive payment from the AG [ program ]
for care in the SH setting, an individual shall be evaluated by a qualified
assessor in accordance with § 51.5-160 E of the Code of Virginia. Eligible
individuals shall be notified of the SH setting option and the availability of
approved SH providers at the time of their annual level of care assessment. The
individual may select SH or ALF at any time after the first or any subsequent
annual reassessment as long as the individual meets the criteria for
residential or assisted living level of care and subject to the availability of
the selected housing option.
22VAC30-80-30. Basic services in an assisted living facility
or an adult foster care home.
A. The rate established under the [ program
AG ] for the ALF setting shall cover the following services:
1. Room and board.
a. A furnished room in accordance with 22VAC40-72-730 22VAC40-73-750;
b. Housekeeping services based on the needs of the individual;
c. Meals and snacks provided in
accordance with 22VAC40-72 22VAC40-73-590, including, but not
limited to food service, nutrition, number and timing of meals, observance
of religious dietary practices, special diets, menus for meals and snacks, and
emergency food and water. A minimum of three well-balanced meals shall be
provided each day. When a diet is prescribed for an individual by his
physician, it shall be prepared and served according to the physician's orders.
Basic and bedtime snacks shall be made available for all individuals desiring
them and shall be listed on the daily menu. Unless otherwise ordered in writing
by the individual's physician, the daily menu, including snacks, for each
individual shall meet the guidelines of the U.S. Department of Agriculture's
Food Guide Pyramid guidance system or the dietary allowances of the
Food and Nutritional Board of the National Academy of Sciences, taking into
consideration the age, sex, and activity of the resident. Second servings shall
be provided, if requested, at no additional charge. At least one meal each day
shall include a hot main dish; and
d. Clean bed linens and towels
as needed by the individual and at least once a week.
2. Maintenance and care.
a. Minimal assistance as defined in 22VAC40-72-10 22VAC40-73-10
with personal hygiene including bathing, dressing, oral hygiene, hair grooming
and shampooing, care of clothing, shaving, care of toenails and fingernails or
arranging for such assistance if the resident's medical condition precludes
facility from providing the service, arranging for haircuts as needed, and care
of needs associated with menstruation or occasional bladder or bowel
incontinence that occurs less than weekly;
b. Medication administration as required by licensing
regulations including insulin injections;
c. Provision of personal toiletries including toilet paper;
d. Minimal assistance with the following:
(1) Care of personal possessions;
(2) Care of the personal needs allowance and
personal funds if requested by the individual and provider policy allows
this practice, and in compliance with 22VAC40-72-140 22VAC40-73-80
and 22VAC40-72-150, Standards for Licensed Assisted Living Facilities 22VAC40-73-90;
(3) Use of the telephone;
(4) Arranging nonmedical transportation;
(5) Obtaining necessary personal items and clothing;
(6) Making and keeping appointments; and
(7) Correspondence;
e. Securing health care and transportation when needed for
medical treatment;
f. Providing social and recreational activities in accordance
with 22VAC40-72-520 22VAC40-73-520; and
g. General supervision for safety.
B. The AFC provider shall adhere to the standards in
22VAC30-120-40.
22VAC30-80-35. Basic services in supportive housing
settings.
A. The rate established
under the [ program AG ] for SH, as defined in
22VAC30-80-10, shall cover a residential setting with access to SH services
that include:
1. Development of individualized SH service plans;
2. Access to skills training;
3. Assistance with accessing available community-based
services and supports;
4. Initial identification and ongoing review of the level
of care needs; and
5. Ongoing monitoring of services described in the
individual's individualized SH plan.
B. The residential setting covered under the [ program
AG ] for SH, as defined in 22VAC30-80-10, shall be the least
restrictive and most integrated setting practicable for the individual and
shall:
1. Comply with federal habitability standards;
2. Provide cooking and bathroom facilities in each unit;
3. Afford dignity and privacy to the individual; and
4. Include rights of tenancy pursuant to the Virginia
Residential Landlord and Tenant Act (§ 55-248.2 et seq. of the Code of
Virginia).
22VAC30-80-45. Conditions of participation in the program.
A. Provider agreement for ALF.
1. As a condition of participation in the [ program
AG ], the ALF provider is required to complete and submit to the
department a signed provider agreement as stipulated in subdivision 2 of
this subsection in this section. The agreement is to be submitted
prior to the ALF accepting AG payment for qualified individuals. A copy of the
ALF's current license must be submitted with the provider agreement.
2. The ALF provider shall agree to the following conditions in
the provider agreement to participate in the [ program AG ]:
a. Provide services in accordance with all laws, regulations,
policies, and procedures that govern the provision of services in the facility;
b. Submit an annual certification form by October 1 of each
year;
c. Care for individuals with AG in accordance with the
requirements in this chapter at the current established rate;
d. Refrain from charging the individual, his family, or his
authorized personal representative a security deposit or any other form of
compensation as a condition of admission or continued stay in the facility;
e. Accept the established rate as payment in full for services
rendered;
f. Account for the personal needs allowances in a separate
bank account and apart from other facility funds and issue a statement to each
individual regarding his account balance that includes any payments deposited
or withdrawn during the previous calendar month;
g. Provide a 60-day written notice to the regional licensing
office in the event of the facility's closure or ownership change;
h. Provide written notification of the date and place of an
individual's discharge or the date of an individual's death to the local
department of social services determining the individual's AG eligibility and
to the qualified assessor within 10 days of the individual's discharge or
death; and
i. Return to the local department of social services
determining the individual's AG eligibility, all AG funds received after the
death or discharge date of an individual in the facility.
B. As a condition of participation in the [ program
AG ], the AFC provider shall be approved by a local department of
social services and comply with the requirements set forth in 22VAC30-120.
C. Provider agreement for SH.
1. As a condition of participating in the AG [ program ],
the SH provider shall enter an agreement with DBHDS pursuant to § 37.2-421.1 of
the Code of Virginia.
2. The SH provider shall submit a copy of the executed
agreement and a copy of its current DBHDS license prior to the SH provider
receiving payments from the AG [ program ] on
behalf of qualified individuals.
3. The SH provider shall provide SH services for each
individual in accordance with § 37.2-421.1 of the Code of Virginia and all
other applicable laws, regulations, and policies and procedures.
C. D. ALFs and, AFC homes, or
SH providers providing services to AG recipients may accept third-party
payments made by persons or entities for the actual costs of goods or services
that have been provided to the AG recipient. The department shall not include
such payments as income for the purpose of determining eligibility for or
calculating the amount of an AG provided that the payment is made:
1. Directly to the ALF or, AFC home, or SH
provider by the third party on behalf of the individual after the goods or
services have been provided;
2. Voluntarily by the third party, and not in satisfaction of
a condition of admission, continued stay, or provision of proper care and
services, unless the AG recipient's physical needs exceed the services required
to be provided by the ALF, AFC, or SH provider as a condition of participation
in the auxiliary grant program AG; and
3. For specific goods or services provided to the individual
other than food, shelter, or other specific goods or services required to be
provided by the ALF or, AFC home, or SH provider as a
condition of participation in the AG [ program ].
D. E. Third-party payments shall not be used to
pay for a private room in an ALF or AFC home.
E. F. ALFs and, AFC homes, and
SH providers shall document all third-party payments received on behalf of
an individual, including the source, amount, and date of the payment, and the
goods or services for which such payments were made. Documentation related to
the third-party payments shall be provided to the department upon request.
F. G. ALFs and, AFC homes, and
SH providers shall provide each AG recipient and his authorized
representative with a written list of the goods and services that shall be
covered by the AG as defined in this chapter, including a clear statement that
the facility shall not charge an individual or the individual's family or
authorized representative additional amounts for goods or services included on
such list. This statement shall be signed by the AG recipient or authorized
representative as acknowledgment of receipt and shall be made available to the department
upon request.
22VAC30-80-50. Establishment of rate.
The established rate for individuals authorized to reside in
an ALF or in, an AFC, or a supportive housing setting is
the established rate as set forth in the appropriation act or as set forth by
changes in the federal maintenance of effort formula. The AG payment is
determined by adding the rate plus the personal needs allowance minus the
individual's countable income. The effective date is the date of the
individual's approval for AG by the local department of social services.
22VAC30-80-60. Reimbursement.
A. Any payments contributed toward the cost of care basic
services as defined in 22VAC30-80-30 and 22VAC30-80-35 pending AG
eligibility determination shall be reimbursed to the individual or contributing
party by the ALF or, AFC, or SH provider once eligibility
for AG is established and that payment received. The payment shall be made
payable to the individual, who will then reimburse the provider for care
appropriate providers for basic services. If the individual is not
capable of managing his finances, his authorized representative or
authorized payee is responsible for reimbursing the provider.
B. In the event an ALF is closed, the facility shall prorate
the rate up to the date of the individual's discharge and return the balance of
the AG to the local department of social services that determined the
individual's eligibility for the AG. If the facility maintained the
individual's personal needs allowance, the facility shall provide a final
accounting of the individual's personal needs allowance account within 60 days
of the individual's discharge. Verification of the accounting and of the reimbursement
to the individual shall be sent to the case management agency responsible for
the individual's annual reassessment. In the event of the individual's death,
the provider shall give to the individual's personal authorized
representative a final accounting of the individual's funds within 60 calendar
days of the event. All AG funds received after the death or discharge date
shall be returned to the local department of social services responsible for
determining the individual's AG eligibility as soon as practicable.
C. Providers who do not comply with the requirements of this
chapter may be subject to adverse action, which may include suspension of new
AG program [ Program ] admissions or termination
of provider agreements.
22VAC30-80-70. ALF certification Certification
and record requirements.
A. ALFs ALF and SH providers shall submit to
the department an annual certification form by October 1 of each year for
the preceding state fiscal year. The certification shall include the following:
(i) identifying information about the ALF provider, (ii)
census information including a list of individuals who resided in the facility or
SH setting and received AG during the reporting period, and (iii)
personal needs allowance accounting information if such personal needs
accounting information is required by the setting. If a provider fails to
submit an annual certification form, the provider will not be authorized to
accept additional individuals with AG.
B. All information reported by an ALF or SH provider
on the certification form shall be subject to audit by the department.
Financial information that is not reconcilable to the provider's general ledger
or similar records could result in establishment of a liability to the
provider. Records shall be retained for three years after the end of the
reporting period or until audited by the department, whichever is first.
C. All records maintained by an AFC provider, as required by
22VAC30-120, shall be made available to the department or the approving local
department of social services upon request. All records are subject to audit by
the department. Financial information that is not reconcilable to the
provider's records could result in establishment of a liability to the
provider. Records shall be retained for three years after the end of the
reporting period or until audited by the department, whichever is first.
NOTICE: The following
forms used in administering the regulation were filed by the agency. The forms
are not being published; however, online users of this issue of the Virginia
Register of Regulations may click on the name of a form with a hyperlink to
access it. The forms are also available from the agency contact or may be
viewed at the Office of the Registrar of Regulations, 900 East Main Street,
11th Floor, Richmond, Virginia 23219.
FORMS (22VAC30-80)
Auxiliary Grant Program Provider Agreement,
032-02-0747-02-eng (rev. 6/13)
Auxiliary Grant Certification, 032-02-0747-06-eng (rev.
5/13)
Auxiliary
Grant Provider Agreement, 032-02-0747-06-eng (rev. 7/2017)
Auxiliary
Grant Certification, Reporting Period July 1, 2016, to June 30, 2017, 032-02-0745-10-eng
(rev. 7/2017)
Statement of Virginia Residency and Intent to
Remain in Virginia, 032-02-0749-00-eng (eff. 12/2012)
Auxiliary
Grant Certification, Reporting Period April 1, 2017, to October 1, 2017,
032-15-0012-00-eng (eff. 2/2017)
VA.R. Doc. No. R17-4816; Filed December 13, 2018, 11:21 a.m.
TITLE 22. SOCIAL SERVICES
STATE BOARD OF SOCIAL SERVICES
Emergency Regulation
Title of Regulation: 22VAC40-677. State Oversight of
a Local Social Services Department that Fails to Provide Services (adding 22VAC40-677-10).
Statutory Authority: §§ 63.2-217 and 63.2-408 of the
Code of Virginia.
Effective Dates: December 17, 2018, through June 16,
2020.
Agency Contact: Karin Clark, Regulatory Coordinator,
Department of Social Services, 801 East Main Street, Richmond, VA 23219,
telephone (804) 726-7017, FAX (804) 726-7015, or email
karin.clark@dss.virginia.gov.
Preamble:
Section 2.2-4011 A of the Code of Virginia states that
"[r]egulations that an agency finds are necessitated by an emergency
situation may be adopted upon consultation with the Attorney General, which
approval shall be granted only after the agency has submitted a request stating
in writing the nature of the emergency, and the necessity for such action shall
be at the sole discretion of the Governor."
Localities in Virginia are charged with administering
public assistance and social services specifically intended to protect the
health, safety, and welfare of citizens. Included in these services are
critical safety-net programs, such as Medicaid, Supplemental Nutrition
Assistance Program, and Temporary Assistance for Needy Families. In addition,
localities administer programs, such as child protective services and foster
care, that protect the safety and well-being of the Commonwealth's most
vulnerable citizens.
In the event the locality fails, refuses, or is unable to
provide these core services, the safety and well-being of individuals in need
are seriously jeopardized. This emergency action provides the Commissioner of
the Department of Social Services with regulatory authority to provide
immediate direction and oversight to a local department of social services,
with appropriate State Board of Social Services proceedings. While this
direction and oversight is not expected to be a frequent need, should the
situation arise, the commissioner would be able to provide the appropriate
resources in a timely manner to assess and remedy the situation in the local department.
Promulgating this regulation through the standard,
three-stage regulatory process would take, at a minimum, 18 months and likely
longer. Because of the human risk involved in not providing timely direction
and oversight in the described scenario, the agency believes an emergency
situation exists.
CHAPTER 677
STATE OVERSIGHT OF A LOCAL SOCIAL SERVICES DEPARTMENT THAT FAILS TO PROVIDE
SERVICES
22VAC40-677-10. State response to when a local department of
social services fails to provide services.
A. Each county and city must provide public assistance and
social services in accordance with the provisions of Subtitles II (§ 63.2-500
et seq.) and III (§ 63.2-900 et seq.) of Title 63.2 of the Code of Virginia. If
any county or city, through its appropriate authorities or officers fails,
refuses, or is unable to provide public assistance or social services in
accordance with the Code of Virginia, and with appropriate proceedings by the
Board of Social Services as directed by § 63.2-408 of the Code of Virginia, the
Commissioner of the Department of Social Services shall have the authority to
direct and oversee all programs set forth in Subtitles II and III for that
particular county or city, including to provide for the payment of public
assistance and expenditures for social services and administration.
B. The commissioner may also withhold from any county or
city the entire reimbursement for administrative expenditures or any part
thereof for the period of time such locality fails to operate public assistance
programs or social service programs in accordance with state laws and
regulations or fails to provide the necessary staff for the implementation of
such programs.
C. The commissioner shall at the end of each month file
with the State Comptroller and with the local governing body of such county or
city a statement showing all disbursements and expenditures, including
administrative expenditures, made for and on behalf of such county or city, and
the State Comptroller shall from time to time as such funds become available
deduct from funds appropriated by the Commonwealth, in excess of requirements
of the Constitution of Virginia, for distribution to such county or city
amounts required to reimburse the Commonwealth for expenditures incurred under
the provisions of this section.
D. In consultation with the county or city, the
commissioner shall develop a transition plan that sets the conditions under
which the responsibility to direct and oversee the programs is transferred back
to the county or city.
E. The commissioner shall report quarterly to the State
Board of Social Services and to the local board of social services on the
status of services and expenditures in the city or county as well as the
progress toward developing and meeting the conditions of the transition plan.
VA.R. Doc. No. R19-5464; Filed December 17, 2018, 1:00 p.m.