Rоbert Perry appeals from a superior court judgment upholding the authority of the Board of Medical Practice to deny Perry’s motion to withdraw his medical-license application; Perry contends that: (1) hi's appeal of the Board’s decision was timely; and (2) the court misconstrued the Board’s statutory authority. We affirm.
FACTS
The material facts are undisputed. In August 1993, following his graduation from the University of Vermont Medical School, Perry applied to the Board for a medical license. The application was held in *401 abeyance until Perry completed his first year of postgraduate medical training, as required for license eligibility. In June 1994, Perry notified the Board that he was prepared to have it review his application. In May 1995, Perry sent a letter to the Board requesting to withdraw his application because he had moved out of state and no longer wished to practice in Vermont. The Board deniеd the request, as well as a follow-up request sent by Perry’s attorney. Thereafter, the Board continued the investigation it had begun, focusing on certain apparent misrepresentations in Perry’s application. In December 1995, Perry submitted a formal motion to dismiss, arguing that the Board lacked the statutory authority to deny his withdrawal request. The following January, the Board issued a written decision denying the motion, and also preliminarily denying the license application subject to further review at Perry’s request. Perry subsequently appealed the preliminary denial of his license application, which remains pending.
In response to the Board’s decision, Perry filed appeals of the Board’s interlocutory ruling denying his withdrawal request with both this Court and the Washington Superior Court. On April 2,1996, this Court granted the State’s motion to dismiss, ruling that interlocutory appeals from Board decisions were subject to the requirements of 3 V.S.A. § 130a, which establishes а procedure for appeals from Board decisions to an administative appellate officer, followed by an appeal to the Washington Superior Court. See In re Perry, No. 96-038 (Vt. Apr. 2, 1996) (mem.). Perry thereupon pursued an administrative appeal, and the State moved to dismiss on the ground that it was untimely. Following a hearing, the appellate officer denied the State’s motion to dismiss, and granted Perry’s motion to withdraw his application, ruling that the Board lacked either express or implied statutory authority to deny the request. The State appealed. In a written opinion, the superior court affirmed the appellate officer’s conclusion that Perry’s appeal was timely, but reversed the officer’s decision concerning the Board’s statutory authority. The court ruled that the Board’s authority to deny the request was “simply a logical extension” of its express power to deny an apрlication in the first instance, and therefore within the scope of its statutory mandate. This appeal followed.
DISCUSSION
We address two procedural issues at the threshold. First, although not raised by either of the parties, we note that the
*402
judgment remains interlocutory in nature', and that none of the procedurеs for perfecting an interlocutory appeal was followed in this case. See V.R.A.E 5, 5.1. Nevertheless, the court’s ruling resolves an important issue separate from the merits, a dismissal of the appeal would most likely result in another appeal after final judgment, the merits have been fully briefed, and the Court has reviewed the case. Therefore, we exercise our discretion to suspend the rules and reach the merits. See
Huddleston v. University of Vermont,
The State initially contends that Perry failed to file a timely notice of appeal from the Board’s decision. As noted, Perry attempted to appeal from the Board’s decision of January 3,1996, by filing notices of appeal on January 12, 1996 with both the superior court and the Supreme Court. Copies of the notice of appeal were served on the executive director of the Board. Following this Court’s dismissal, Perry appealed to the Director of the Offiсe of Professional Regulation, who assigned the case to an appellate officer pursuant to 3 V.S.A. § 130a(a), which provides: “A party aggrieved by a final decision of a board may, within 30 days of the decision, appeal that decision by filing a notice of appeal with the director who shаll assign the case to an appellate officer.”
Because of his mistaken appeal to this Court, Perry failed to file an appeal with the director until May 28, 1996, well beyond the thirty-day filing requirement of § 130a(a). Accordingly, the State requested that the administrative appeal be dismissed as untimely. The appellate officer denied the request. The superior court affirmed that portion of the appellate officer’s ruling. The State renews the argument here.
Perry responds that the' State’s failure to raise the timeliness issue by cross-appeal divests this Court of jurisdiction to consider the clаim. See
Union Bank v. Jones,
We turn to the merits of Perry’s claim that the Board lacked the power to deny his withdrawal motion. The rule that we have repeatedly reaffirmed is that the Board, as аn administrative body, “has only such powers as are expressly conferred upon it by the Legislature, together with such incidental powers expressly granted or necessarily implied as are necessary to the full exercise of those granted.”
Trybulski v. Bellows Falls Hydro-Elec. Corp.,
The Board is broadly empowered to investigate and adjudicate charges of unprofessional conduct by licensees, 26 V.S.A. §§ 1353(a)(2), 1360, impose disciplinary sаnctions,
id.
§ 1361, issue licenses,
id.
§ 1391, and suspend, revoke or refuse to issue licenses for “false or fraudulent representations” or “immoral, unprofessional or dishonorable conduct.”
Id.
§ 1398; see also
Delozier v. State,
New professions require more careful preparation by one who seeks to enter it than that of medicine. . . . Every one *404 mаy have occasion to consult [the physician], but comparatively few can judge of the qualifications of learning and skill which he possesses. Reliance must be placed upon the assurance given by his license, issued by an authority competent to judge in that respect, that he possesses the requisite qualifications. Due consideration, therefore, for the protection of society may well induce the State to exclude from practice those who have not such a license, or who are found upon examination not to be fully qualified.
Dent v. West Virginia,
Viewed in thе light of this compelling state interest, we have no doubt that the statutory authority to issue or deny a medical license necessarily implies the discretionary authority to deny leave to withdraw a license application. It is well settled that a
licensee
may not evade disciplinary action merely by resigning or allowing a license to expire. See, e.g.,
In re Lassen,
The state’s interest is no less urgent in the case of an applicant for a license. The Board’s authority to investigate an applicant’s background and qualifications is every bit as broad as its authority to investigate a licensee. See 26 V.S.A. § 1353(a)(10) (Board may require licensee or applicant to submit to mental or physical examination, and evaluation of medical knowledge and skill). Where that investigation discloses substantial grounds for denial on the basis of false or fraudulent representations or immoral or dishonorable *405 conduct, the safety of the рublic and the integrity of the profession may — in the Board’s discretion — be better served by issuing a formal ruling, so that a decision of record would be available in this or any other jurisdiction where the applicant might subsequently apply. Allowing an applicant to avoid scrutiny of his or her background, training, experiеnce, and morals by simply withdrawing the application at his or her convenience would ill serve the interest of public safety in this state and the other state licensing jurisdictions.
Although Perry denigrates the interstate component of licensing, the statutes make clear that it is integral to the regulatory scheme. The Board is broadly empowered to suspend or otherwise discipline any practitioner upon notice that he or she has failed to renew, surrendered, or otherwise terminated his or her license in another jurisdiction during or prior to disciplinary proceedings in that jurisdiction. See 26 V.S.A. § 1366(b). The Board is furthеr empowered to refuse to issue a license to applicants “who, by false or fraudulent representations, have obtained or sought to obtain practice in their profession.”
Id §
1398. This provision plainly encompasses applicants who are on record as having been denied licenses in
other
jurisdictions. Thus, the authority to continue an investigation to completion and, where necessary, deny an application for failure to satisfy the licensing requirements of § 1398, represents an integral and necessary component of the Board’s reciprocal duties vis a vis the other licеnsing jurisdictions. Accordingly, we conclude that the Board’s discretion to deny a request for withdrawal of an application falls well within the necessary and implied powers of its express statutory mandate. See
Professional Nurses,
Perry asserts, nevertheless, that this conclusion is undermined by the Legislature’s enactment, subsequent to the Board’s decision, of an amendment to 3 V.S.A. § 129, providing that a professional conduct board may refuse to accept the return of a license, or the withdrawal of an application for a license, by one who is subject to a disciplinary investigation. See
id
§ 129(a)(9); 1997, No. 40, § 4. Perry cites the standard canon of statutory construction that “an amendment of [a] statute shows a legislative intent to change the effect of existing law.”
Montgomery v. Brinver Corp.,
*406
The fundamental objective of statutory interpretation is to discern and implement the legislative intent, see
In re Wal*Mart Stores, Inc.,
As we explained recently in
Smith,
The appellate officer’s dеcision to reverse the Board on the ground that it lacked authority to deny Perry’s motion represented a departure from this policy, and it was followed within several months by a request from the Office of Professional Regulation for legislation containing the amendment that reinstated the former policy. A contemporaneous memorandum from the Director of the Office of Professional Regulation described the amendment in question as a “provision to
clarify
that boards do not have to return applications or licenses when a disciplinary investigation is in process.” (Emphasis added.) These circumstances strongly support an inference that the
*407
amendment was intended to clarify the meaning and scope of the Board’s regulatory authority, not to change it. See
Town of Cambridge,
Accordingly, we conclude that the trial court’s judgment was sound.
Affirmed.
Notes
In view of our holding, we need not reach Perry’s alternative arguments thаt 3 YS.A. § 130a(a) applies only to final decisions of the Board, but see
In re Delozier,
