Fla. Admin. Code R. 64B15-19.0041
Unless otherwise approved by the Board or its designee, or addressed by the Final Order, the following are the terms applicable to all Final Orders rendered by the Board in disciplinary proceedings.
(4) Continuing Education. Continuing education imposed by Board Order shall be in addition to those hours required for biennial renewal of licensure. The Board confers authority on the Chair to approve or disapprove said continuing education courses. The Respondent is required to submit a course syllabus for all continuing education courses that the Respondent needs to have the Chair approve. The courses shall consist of a formal live lecture format. The time frame for completing such continuing education follows:
(5) Lectures. In the event the Respondent is required by Board Order to present an original one (1) hour lecture on a specific topic, one component of the lecture must address the specific events arising from the Respondent’s disciplinary matter. The Respondent shall present the lecture to the medical staff of a hospital or ambulatory surgical center at which the Respondent maintains staff privileges or to an osteopathic medical society meeting.
(7) PRN Required. Should the Board determine that a contract by the Professionals Resource Network (PRN) is appropriate, Respondent shall participate and comply with the PRN contract.
(9) Continuity of Practice.
(a) Tolling Provisions. In the event the Respondent leaves the State of Florida for a period of 30 days or more or otherwise does not or may not engage in the active practice of osteopathic medicine in the State of Florida, then certain provisions of the requirements in the Board’s Order shall be tolled and shall remain in a tolled status until Respondent returns to the active practice of osteopathic medicine in the State of Florida. Respondent shall notify the Compliance Officer 10 days prior to his or her return to practice in the State of Florida. The following requirements shall be tolled until the Respondent returns to active practice:
1. The time period of probation shall be tolled.
2. The provisions regarding supervision whether direct or indirect by the monitor/supervisor, and required reports from the monitor/supervisor shall be tolled.
3. The requirement for quality assurance review of Respondent’s practice shall be tolled.
4. Any requirements regarding lectures.
(10) Probation Terms. If probation was imposed by Board Order, the following provisions are applicable:
(a) Definitions.
1. Indirect Supervision is supervision by a monitoring physician (monitor), as set forth in the Board’s Order. Indirect supervision does not require that the monitor practice on the same premises as the Respondent. However, the monitor shall practice within a reasonable geographic proximity to Respondent, which shall be within 20 miles and shall be readily available for consultation. The monitor shall be board-certified in the Respondent’s specialty area.
2. Direct Supervision is supervision by a supervising physician (supervisor), as set forth in the Order. Direct supervision requires that the supervisor and Respondent work in the same office. The supervisor shall be board-certified in the Respondent’s specialty area.
(b) Required Supervision.
1. If the terms of the Order include indirect monitoring of the licensee’s practice (monitoring) or direct monitoring of the licensee’s practice (supervision), the Respondent shall not practice osteopathic medicine without an approved monitor/supervisor, as specified by the Final Order.
2. The monitor/supervisor must be licensed under Chapter 459 or 458, F.S., in good standing, in active status, without restriction or limitation on his or her license, must be qualified by training and experience, and must not have any conflicts of interest that would prohibit him or her from impartially performing his or her duties as a monitor/supervisor. Specific grounds for rejecting a proposed monitor/supervisor by the Board or its designee shall include but are not limited to the following:
a. The proposed monitor/supervisor has previously been subject to disciplinary action against his/her medical license in this or any other jurisdiction,
b. The proposed monitor/supervisor is currently under investigation, or is the subject of a pending disciplinary action,
c. The proposed monitor/supervisor is not actively engaged in the same or similar specialty area,
d. The proposed monitor/supervisor is not practicing within a distance of no more than 20 miles from the Respondent’s practice location,
e. The proposed monitor/supervisor is a relative or employee of the Respondent.
(g) Reports. If directed by Board Order, probation reports, in affidavit form, shall be submitted by the Respondent and shall contain the following:
1. Brief statement of why physician is on probation.
2. Practice location.
3. Describe current practice (type and composition).
4. Brief statement of compliance with probationary terms.
5. Describe relationship with monitoring/supervising physician.
6. Advise Compliance Officer of any problems including office incident reports filed; loss or restriction of hospital staff privileges; loss or restriction of DEA registration; or any Medicare/Medicaid program exclusions, restrictions or limitations.
(h) Monitor/Supervisor Reports. If directed by Board Order, monitor/supervisor reports, in affidavit form, shall include the following:
1. Brief statement of why physician is on probation.
2. Description of probationer’s practice.
3. Brief statement of probationer’s compliance with terms of probation.
4. Brief description of probationer’s relationship with monitoring physician.
5. Detail any problems which may have arisen with probationer.
Rulemaking Authority 459.005(1), 459.015(5) FS. Law Implemented 459.015(5) FS. History–New 12-9-14.