(a) Each provider organization shall conduct an audit and review at least quarterly to assess, monitor, and evaluate the quality of patient care as follows:
- (1) The audit must evaluate patient care and personnel performance.
- (2) The results of the audit must be reviewed with the emergency medical service personnel.
(3) Documentation for the audit and review must include the following:
- (A) The criteria used to select audited runs.
- (B) Problem identification and resolution.
- (C) Date of review.
- (D) Attendance at the review.
- (E) A summary of the discussion at the review.
(4) The audit and review must be conducted under the direction of one (1) of the following:
- (A) The provider organization medical director.
- (B) An emergency department committee that is supervised by a medical director with a provider organization representative serving as a member of the committee.
(C) A committee established by the provider organization and under the direction of the medical director or medical director's designee. If the medical director selects a designee, the designee must:
- (i) be a physician licensed under IC 25-22.5 ;
- (ii) have an active role in the delivery of emergency care; and
- (iii) be designated in writing by the medical director as the medical director's designee.
- (5) The audit must provide a method for identifying the need for staff development programs, basic training, in-service training, and orientation.
- (6) The audit must evaluate all levels of care by emergency medical service personnel.
- (b) An audit and review proceeding under this section is confidential, and any communication at the audit and review proceeding is a privileged communication.
- (c) This section does not prevent participation by a provider organization in a peer review committee proceeding under IC 34-30-15 .
- (d) The commission may adopt rules under IC 4-22-2 to implement this section.
As added by P.L.79-2016, SEC.1.