- (a) The Bureau may audit a group self-insurance fund’s accident and illness prevention program at least once every 2 years.
- (b) The Bureau may audit a group self-insurance fund’s accident and illness prevention program if the group self-insurance fund fails to file an AIPPS report by specified time frames or meet the requirements of this subchapter.
- (c) A combined audit may be conducted for affiliated companies of a group self-insurance fund if the same facilities, accident and illness prevention program, and accident and illness prevention services are used by each of the companies.
- (d) The notice of the audit will include the reasons for audit.
- (e) At least 60-calendar days prior to an audit, the Bureau will notify the group self-insurance fund administrator in writing of the date on which the audit will occur.