- A. No person, unless a licensed pharmacist shall retail, compound or dispense drugs, medicine or poisons, except as provided pursuant to statutory provisions of R.I. Gen. Laws § 5-19.1-8.
B. The Director has determined that, in the interest of public health, a waiver of the requirements of § 1.5.1 of this Part is necessary under limited circumstances. Specifically, the waiver shall only be applicable when such medication will be dispensed by a licensed healthcare professional at the Block Island Health Center or, in the event that the Block Island Health Center ceases to exist, to another pharmacy licensed in the Town of New Shoreham, Rhode Island, and it is necessary to dispense medication before the medication can be delivered to the island. The waiver shall be subject to the following provisions:
- 1. Medication to be dispensed shall be limited to legend drugs included in a written policy established by the Block Island Health Center. A full instruction on the use of the product in plain language shall be provided to the patient.
2. The Block Island Health Center shall keep a written log of all medications dispensed pursuant to the waiver authorized by this Part. The dispensing log shall contain, as a minimum, the following information:
- a. The name of the prescriber;
- b. The full name of the patient;
- c. The name of the drug dispensed in accordance with R.I. Gen. Laws Chapter 21-31;
- d. Quantity and strength of the drug dispensed; and
- e. The date of dispensing.
- 3. Copies of the dispensing logs shall be maintained for twenty-four (24) months from the date the legend drug was dispensed and shall be made available to the Department upon request.
- 4. Each medication dispensed pursuant to the waiver authorized by this Part shall have a label attached which meets the requirements of § 1.6.17(A) of this Part.
- 5. When required, the healthcare provider who dispenses medication pursuant to the waiver authorized by § 1.5.1 of this Part shall be responsible for ensuring that all necessary data is entered into the Department’s Prescription Monitoring Program (PMP) database in accordance with the Rules and Regulations for the Prescription Drug Monitoring Program (Part 20-20-3 of this Title).
- 6. Any waiver utilized pursuant to this Part shall not relieve the licensed healthcare provider of record-keeping or other requirements of this Part.
- C. A licensee must provide current contact information to the Department. Furthermore, licensees will have a continuing obligation to inform the Department of any change in their contact information.
D. All licensees subject to provisions of this Part shall conduct themselves in a professional manner and must adhere to conduct mentioned above in § 1.4(A) of this Part.
1.5.2 Authorized Practices
- A. In accordance with R.I. Gen. Laws § 5-19.1-22, nothing in the Act or this Part shall apply to any practitioner with authority to prescribe who does not maintain an open shop for the retailing, dispensing of medicines and poisons, nor prevent them from administering or supplying to his patients such articles as he or she may deem fit and proper.
- B. Nothing in the Act or this Part shall apply to, nor in any manner interfere with the business of, a general merchant in selling and distributing non-narcotic, non-prescription medicines or drugs which are prepackaged, fully prepared by the manufacturer for use by the consumer, and labeled in accordance with the requirements of the State (R.I. Gen. Laws Chapter 21-31) and Federal Food and Drug Acts.
C. A licensed pharmacist may decline to dispense a drug or device, pursuant to an order or prescription, on ethical, moral, or religious grounds only if the licensed pharmacist has previously notified the pharmacy owner, in writing, of the device(s), drug or class of drugs to which they object, and the pharmacy owner can, without creating undue hardship, provide a reasonable accommodation of the licensed pharmacist's objection. The licensed pharmacy owner shall establish protocols to ensure that the patient has timely access to the prescribed drug or device despite the licensed pharmacist's refusal to dispense the prescription or order. For the purpose of this Section, "reasonable accommodation" shall mean the pharmacy owner has demonstrated that they explored any available reasonable alternative means of accommodating the licensed pharmacist’s ethical, moral, or religious objections, including the possibilities of excusing the licensed pharmacist from those duties or permitting those duties to be performed by another person, but is unable to reasonably accommodate the ethical, moral, or religious objections without undue hardship on the conduct of the pharmacy owner’s business.
1.5.3 Qualifications for Licensure: Pharmacists
A. In addition to the provisions of R.I. Gen. Laws § 5-19.1-14, every person in order to be a licensed pharmacist shall:
- 1. If the applicant is a foreign pharmacy graduate, have obtained full certification from the FPGEC.
- 2. Have satisfactorily completed the internship in accordance with § 1.5.13 of this Part; and
- 3. Have successfully passed such examination as the Board and the Director may require in accordance with § 1.5.5(A) of this Part.
- 4. Not have been convicted of any felony for violations involving controlled substances subject to waiver by the Board upon presentation of satisfactory evidence that such conviction does not impair the ability of the person to conduct with safety to the public the practice of pharmacy.
- 5. Obtain and report an eProfile number from NABP.
6. Meet such additional requirements as may be established in this Part.
1.5.4 Application for Licensure and Fee
A. Application for licensure shall be made on forms provided by the Department, and which may be obtained at:
1. Said forms shall be completed and signed by the applicant, and submitted to the Department no sooner than thirty (30) days prior to the scheduled date of graduation. Such application shall be accompanied by the following documents and fee (non-returnable):
- a. A true copy of certificate of birth;
- b. One (1) unmounted recent photograph, head and shoulders, front view, approximately two inches by three inches (2” x 3”) in size, of the applicant. Such photograph must be certified by a member of the faculty of the college of pharmacy at which the applicant matriculated;
- c. Proof of graduation from an accredited College of Pharmacy;
- d. The application fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
| The Rhode Island Department of Health |
| Three Capitol Hill, Room 103 |
| Providence, Rhode Island 02908 |
- B. Application and supporting documents shall be verified and reviewed by the Department. Eligibility for examinations shall not be granted until after the applicant's date of graduation.
- C. No applicant shall be approved or accepted for examination until they have met all requirements of internship as set forth in § 1.5.13 of this Part. Affidavit of internship hours shall be submitted to the Department prior to application for licensure.
D. Applications shall be completed (including the submission of all supporting documents) within six (6) months of the date of initial submission. Any application that is not completed within this six (6) month time frame shall be deemed to be invalid, shall be denied, and the applicant shall be required to submit a new application. No fees shall be refunded.
1.5.5 Examination for Licensure
A. By Examination: Applicants shall be required to pass a written examination, conducted in English, as the Board deems most practical and expeditious to test the applicant's knowledge and skills to engage in the practice of pharmacy in the State of Rhode Island, pursuant to R.I. Gen. Laws § 5-19.1-14.
1. For written examination the Board requires applicants to successfully pass the following examinations:
a. The North American Pharmacists Licensure Examination (NAPLEX) or its successor examination of the National Association of Boards of Pharmacy (NABP) which may be:
- (1) Administered in the State of Rhode Island with the passing grade as determined by NABP and approved by the Board; or
- (2) Administered in another State by the licensing authority of the respective State, and provided the requirements of § 1.5.5(B) of this Part on transfer of grades are met; and
- b. The Multistate Pharmacy Jurisprudence Examination (MPJE) with a passing grade as determined by NABP.
B. Transfer of Grades
- 1. Applicants wishing to participate in the National Association of Boards of Pharmacy Transfer of Scores Program must comply with all the requirements of the National Association of Boards of Pharmacy regarding the transfer of scores including but not limited to the submission to the National Association of Boards of Pharmacy the completed and signed NAPLEX SCORE TRANSFER FORM with accompanying fee (non-refundable).
- 2. For individuals seeking licensure in Rhode Island, the Board of Pharmacy will only accept scores submitted directly by the National Association of Boards of Pharmacy. Furthermore, each individual seeking licensure in the State of Rhode Island must submit an application for licensure to the Department in accordance with § 1.5.11 of this Part and must meet all other statutory and regulatory requirements in this Part.
3. Applicants participating in the Transfer of Scores Program shall complete the Multistate Jurisprudence Examination, as described in § 1.5.5(A) of this Part, within six (6) months of application to the Rhode Island Board of Pharmacy.
1.5.6 Re-Examination
- A. In case of failure of any applicant to satisfactorily pass the NAPLEX Examination, and/or the Multistate Pharmacy Jurisprudence Examination (MPJE), such applicant shall be entitled to re-examination(s) in accordance with NABP guidelines.
B. Application for re-examination shall be submitted to the Department and accompanied by the required fees in accordance with § 1.5.4 of this Part.
1.5.7 Without Examination by Reciprocity
A. The Department shall, without examination other than those required in § 1.5.5 of this Part relating to the practice of pharmacy, license as a pharmacist any individual who has been duly licensed by examination as a pharmacist under the laws of another State, Territory or Possession of the United States, if, in the opinion of the Board, the applicant meets the qualifications required of professional pharmacists in the State of Rhode Island.
- 1. The Board of Pharmacy in each State in which the applicant holds or has held a registration or license submits to the Board in the State of Rhode Island a statement confirming the applicant to be or have been in good standing.
- 2. The applicant shall have passed the Multistate Pharmacy Jurisprudence Examination and the examination of the National Association of Boards of Pharmacy in accordance with the provisions of § 1.5.5 of this Part.
3. The applicant shall submit to the Department the Official Transfer of Pharmaceutic Licensure Application of the NABP, a copy of their birth certificate, and the application fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
1.5.8 Temporary Ninety (90) Day License
- A. In accordance with R.I. Gen. Laws § 5-19.1-8 persons who provide acceptable evidence of being currently licensed by examination or endorsement under the laws of other States of the United States and the District of Columbia, shall not be prevented from practicing in the State of Rhode Island for a period of ninety (90) days from the date on the application receipt, provided that they become duly licensed in the State of Rhode Island within ninety (90) days. This original privilege to work ninety (90) days shall not be extended or renewed and shall only be granted to an applicant on a one (1) time basis.
B. The licensing agency in each State in which the applicant holds or has held a registration or license shall submit to the Board a statement confirming the applicant to be or have been in good standing in that state.
1.5.9 Internship: Pharmacy Interns
A. General Requirements
- 1. Any person who is a graduate of an accredited program of pharmacy or who is a student enrolled in an accredited program of pharmacy, or any graduate of a foreign College of Pharmacy who has obtained FPGEC certification, may file with the Department an application for licensure as a pharmacy intern. They shall be required to furnish such information as the Department may prescribe and, simultaneously with the filing of said application, shall pay to the Department a fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
- 2. All pharmacy intern licenses issued must be in accordance with R.I. Gen. Laws § 5-19.1-15(a) and shall be valid for a period of five (5) years. In addition to the requirements of R.I. Gen. Laws § 5-19.1-15(a), if an intern is no longer actively enrolled in a college of pharmacy, they must apply for a new intern license and pay the required fee upon reestablishing active status in the college of pharmacy program.
- 3. It shall be the responsibility of the licensee to notify the Department of any changes in their enrollment status as a pharmacy student and this information may also be provided by colleges of pharmacy.
- 4. No pharmacy student may serve an internship with a preceptor without holding a valid limited license from the Board.
- 5. To assure adequate practical instruction, pharmacy internship experience as required under the Act and this Part shall be obtained after licensure as a pharmacy intern by practice in any licensed pharmacy or other program meeting the requirements promulgated in this Part, and shall include such instruction in the practice of pharmacy as the Board shall prescribe.
- 6. Licensed pharmacy interns shall practice only under the immediate supervision of a licensed pharmacist.
- B. No pharmacy student enrolled in a professional program of an accredited college of pharmacy may serve an internship in the State of Rhode Island with a preceptor without holding a valid limited license by the Board of Pharmacy pursuant to the provisions of R.I. Gen. Laws § 5-19.1-15.
C. Prior to commencing internship, the applicant must obtain a limited license from the Department. A limited license shall be granted to an applicant who:
- 1. Is eighteen (18) years of age or older;
- 2. Has satisfied the Board that they exhibit professional integrity and ethical standards."
- 3. Is enrolled in a professional program of an accredited College of Pharmacy.
D. Pharmacy intern licenses are non-transferrable.
1.5.10 Foreign Graduates
A. Foreign graduates shall have obtained full FPGEC certification prior to commencing internship.
1.5.11 Application and Fee
A. Application for limited licensure shall be made on forms provided by the Department and which may be obtained at:
1. Said forms shall be completed and signed by the applicant and submitted to the Department prior to accruing any hours. Such application shall be accompanied by the following documents and fee (non-returnable and non-refundable):
- a. A copy of certificate of birth to verify that the applicant is eighteen (18) years of age or older;
- b. Documented evidence that the student is enrolled in a professional program of an accredited college of pharmacy, and signed by the Dean of the College of Pharmacy or his appointed designee;
- c. The application fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
2. Foreign Interns: The license application requirement of a documented Social Security Number (SSN) may only be waived for the initial license year. Subsequent license renewal shall require a documented SSN. A foreign pharmacy intern may practice under a limited license without a registered SSN at the discretion of the preceptor.
1.5.12 Internship
| The Rhode Island Department of Health |
| Three Capitol Hill, Room 103 |
| Providence, Rhode Island 02908 |
- A. The internship required of applicants for licensure as pharmacists shall consist of one thousand five hundred (1,500) hours, and shall be carried out under the supervision of a U.S. registered or licensed pharmacist who shall act as a preceptor.
- B. Applicants seeking licensure as a pharmacist by reciprocity (§ 1.5.6 of this Part) shall have satisfied the requirements of internship in the State of initial licensure.
C. Prior to application for examination, the pharmacy intern shall submit, on forms provided by the Department, verification of their practical experience under the supervision of a licensed pharmacist. Any hours accrued prior to the issuance of the limited license shall not be accepted as part of the internship requirement.
1.5.13 Duties and Responsibilities of Pharmacy Interns
- A. Pharmacy interns may perform only those tasks in which they have proficiency, in the professional judgment of the pharmacist-in-charge, but in no case shall ever exceed what is permitted by Regulation or law.
- B. A pharmacy intern may not perform a final review or exercise final decision-making with respect to any of the following without the prior review and approval of the licensed pharmacist: drug utilization review; clinical conflict resolution, or dispensing process validation.
C. A pharmacy intern shall wear a name tag that indicates the intern's name and the intern's licensure designation.
1.5.14 Issuance and Renewal of the Pharmacist License
- A. Upon completion of the requirements, a license shall be issued by the Department to an applicant found to have satisfactorily met all the requirements herein. Said license shall be renewed every two (2) years and will expire on the thirty-first (31st) day of December unless sooner suspended or discontinued.
B. Every person licensed as a pharmacist in the State of Rhode Island who desires to renew their license shall file such renewal application with the Department by the thirty-first (31st) day of December of each even year. Said renewal shall be duly executed together with the renewal fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title) and shall not exceed the amount set forth in R.I. Gen. Laws § 5-19.1-20.
- 1. Upon receipt of such application and payment of such fee, the accuracy of the application shall be verified and a license renewal shall be granted effective for up to two (2) years unless sooner suspended or discontinued.
- C. Every person licensed as a pharmacist in this State who desires to renew their license must obtain an eProfile number from the National Association of Boards of Pharmacy (NABP).
D. Any person who allows their license to lapse by failing to renew it on or before the thirty-first (31st) day of December of each even year may be reinstated upon filing an application with payment of the renewal fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
1. Any pharmacist license that has lapsed, been revoked or suspended and the pharmacist has not practiced pharmacy, as defined by the Board, for three (3) years requires that they take and pass the same examinations required for initial licensure.
1.5.15 Continuing Education
A. Pursuant to the provisions of R.I. Gen. Laws § 5-19.1-14, any pharmacist, licensed to practice pharmacy in Rhode Island, who seeks licensure renewal, shall be required to have satisfactorily completed at least fifteen (15) hours (one and a half (1.5) continuing education units) of continuing education courses sponsored by a recognized provider between January 1st and December 31st of each calendar year. One (1) hour or one tenth (0.1) continuing education units of the required fifteen (15) hours of continuing education between January 1st and December 31st of each calendar year shall be in the area of the law as classified by ACPE. Furthermore, five (5) hours or one half (0.5) continuing education units between January 1st and December 31st of each calendar year must be live hours. In addition:
- 1. Immunizing pharmacists shall complete one (1) hour or one tenth (0.1) continuing education units of the required fifteen (15) hours of continuing education.
- 2. Any pharmacist participating in a collaborative pharmacy practice agreement shall earn at least five (5) additional contact hours or one half (0.5) continuing education units of board-approved continuing education that addresses areas of practice generally related to collaborative practice agreements each year and shall maintain documentation of these hours at the practice site to be made available for inspection by the Boards of Medical Licensure and Discipline and Pharmacy.
- 3. Any pharmacist who has not participated in a collaborative pharmacy practice arrangement for a period of two (2) years and seeks to enter into such an arrangement, must have obtained and/or maintained the certification set forth in this Part, as applicable, or have earned fifteen (15) hours of relevant continuing education within the prior year in the area of practice covered by the agreement.
- 4. For the first (1st) year of licensure following graduation from a College of Pharmacy, a pharmacist shall not be subject to the continuing education requirements of this Part, with the exception of the continuing education requirement contained in § 1.12.1(B)(7) of this Part; and
- 5. In emergency or hardship cases, a licensed pharmacist may apply to the Board on forms provided by the Department for an exemption from the continuing education requirements of this Part.
6. The annual application for license renewal shall include affidavits signed by the applicant attesting to the fact that they have satisfactorily completed an approved course(s) of continuing education provided by a recognized provider, as defined in this Part. Furthermore:
- a. Certificates of continuing education courses must be retained and safeguarded by each pharmacist for review by the Department, if required and requested. Such certificate need not be submitted with the application for licensure renewal; however, documentation must be retained for two (2) years following the date of completion of the course.
- b. Any pharmacist whose license has not been renewed for one (1) or more years must demonstrate compliance with continuing education Regulations for the licensure period immediately prior to application.
c. Pharmacists failing to comply with the requirements of § 1.5.17(A)(6) of this Part.
1.5.16 Recognized Provider
A. A “recognized provider” is any person, group or organization approved by the Board as responsible and competent to provide continuing education courses and includes providers accredited by an appropriate national, regional or state accreditation agency. Any provider approved the Accreditation Council for Pharmaceutical Education (ACPE), the Board of Pharmacy in another State or jurisdiction, or the provider of American Medical Association (AMA) Category I programs shall be considered recognized providers.
1.5.17 Continuing Education Credit for Postgraduate Pharmacy Curriculum/Program
- A. A licensed pharmacist who is enrolled in a postgraduate Doctor of Pharmacy program shall be awarded CEUs for satisfactory completion of courses within said curriculum or program, provided that the sponsor of the postgraduate curriculum or program is an accredited College of Pharmacy. A licensed pharmacist enrolled in other postgraduate pharmacy programs may seek continuing education credit provided that the application satisfies all requirements under this Section and provided further that the course provides instruction in one (1) or more of the following areas: pharmacy, pharmaceutical sciences, pharmacy practice or pharmacy law.
B. Students seeking continuing education credit for postgraduate pharmacy education must maintain official course transcripts for two (2) years after completion of the course work.
1.5.18 Return or Exchange of Drugs
A. Drugs, medicines, sick room supplies, and items for personal hygiene, shall not be accepted for return or exchange by any pharmacist, after such drugs, medicines, sick room supplies, or items for personal hygiene have been taken from the premises where sold, distributed, or dispensed, except under the following conditions:
- 1. Recalls or Errors. Prescription drugs may be returned in the event the drug is subject to a manufacturer’s recall or FDA recall, or if the drug is associated with a medication error.
2. Prescription Drugs. Unused prescription drugs may be accepted by wholesalers or pharmacies, from which they were purchased, for return from nursing facilities, assisted living residences, residential care facilities, community health organizations and State correctional facilities that centrally store prescription drugs and are licensed at the M1 licensure level by the Department, within forty-five (45) days of dispensing.
a. The wholesaler or pharmacy to which the following categories of prescription drugs are returned may repackage, restock, and redistribute such medication:
- (1) Unopened sections of blister pack prescription medication, with seal intact;
- (2) Unopened unit-dose containers of liquids with the safety seal intact;
- (3) Unopened unit-dose containers of powders for oral solution with safety seal intact; and
- (4) Unused injectables, with safety seal intact.
b. Exceptions. Notwithstanding the provisions of § 1.5.18(B)(1) of this Part, the unused prescription drug shall not be accepted, repackaged or redispensed if:
- (1) The prescription drug is expired or beyond use date;
- (2) The pharmacist accepting or redispensing the drug, in their judgment has reason to believe that the prescription drug is adulterated, mislabeled, or has been improperly stored;
- (3) The prescription drug is defined as controlled substances in R.I. Gen. Laws § 21-28-1.02; or
- (4) It is a drug that can only be dispensed to a patient registered with the drug’s manufacturer in accordance with Federal Food and Drug Administration requirements.
- 3. Recording: The wholesaler or pharmacy shall maintain a record of the receipt of each drug, medicine, or device showing the prescription number for which the material was acquired, and quantity. Such records shall be kept on file in the pharmacy for a period of two (2) years and shall be made available to the Department upon request.
- 4. The wholesaler or pharmacy shall be required to reimburse or credit the purchaser for any such returned prescription drugs at original invoice price plus a restocking fee not to exceed five dollars ($5.00).
5. Sick Room Supplies/Equipment: A pharmacist may accept for return sick room supplies/equipment provided such can be sanitized. If the surfaces of the sick room supplies or equipment cannot be cleansed or sterilized, the articles are not returnable. However, sick room supplies are not to be construed to mean nor include hospital beds, wheelchairs, crutches and such other major equipment used in the care and treatment of the sick and injured.
1.5.19 Multi-Drug Single-Dosing Systems
A. General Requirements
1. Requirements related to the utilization of multi-drug single-dosing containers include the following:
- a. The number of drugs placed in one package cannot exceed the capacity of the container in order to prevent damage to the individual dosage forms;
- b. The multi-drug single-dosing container may include controlled medications from Schedule IV and V if such medications are prescribed for the patient on a routine, customary basis;
- c. The labels must be of sufficient size to properly and clearly label each container with all information required by State and Federal law and Rules
- d. The integrity of each individual multi-drug single-dosing container shall be maintained until the last drug dose is administered to or taken by the patient.
- 2. A multi-drug single-dosing container shall be designed to prevent the container from being re-closed, designed to show evidence of having been opened, and designed in such a manner that the label cannot be altered.
- 3. Once a multi-drug single-dosing container has been properly labeled and dispensed to a patient, and said container is returned to the pharmacy for any reason, the drugs packaged in such container shall be considered adulterated and shall not be returned to the pharmacy stock. Provided, however, drugs in multi-drug single-dosing containers may be redispensed to the same patient to whom the drugs were originally dispensed.
- 4. Whenever a drug(s) in a multi-drug single-dosing container has/have been discontinued, the remaining container(s) may be returned to the dispensing pharmacy for the removal of the discontinued drug(s) for destruction. Under no circumstances shall any of the remaining or discontinued drug(s) be returned to the drug stock of the pharmacy or dispensed to any patient other than the patient to whom the drugs were originally dispensed.
- 5. Nothing contained in this Part is meant to prevent a nurse or a patient-specified caregiver from removing a discontinued drug(s) from a container at the time of administration in order to be wasted as directed by a pharmacist or from retaining up to a seventy-two (72) hour supply of the continued drug(s) in the original container in order to maintain a patient on their continuing drug administration schedule.
B. Labeling Requirements
1. Each individual, customized, multi-drug single-dosing container shall bear a label, which, at a minimum, contains the following:
- a. The name of the patient;
- b. The name of the prescribing practitioner of each drug;
- c. The identifying serial number assigned to the prescription drug order for each drug contained therein;
- d. The name, strength, exact physical description, and total quantity of each drug contained therein;
- e. The directions for use, and/or time of administration or time to be taken for each individual multi-drug single-dosing container;
- f. Either the dispensing or preparation date, as well as a beyond-use (expiration) date for each drug contained in the multi-drug single-dosing container. The expiration date of each drug included therein shall not be longer than one (1) year from the date of preparation of the multi-drug single-dosing container. All drugs shall be packaged in accordance with USP Chapter 659 incorporated by reference in § 1.2(G) of this Part.
- 2. The name, address, and telephone number of the pharmacy issuing the multi-drug single dosing container and any cautionary statements necessary for the proper administration or storage of the medication shall appear on the individualized patient container.
C. Exclusions. Multi-drug single-dosing containers shall not include drug(s) that have the following characteristics:
- 1. USP-DI monograph or official labeling requires dispensing in the original container;
- 2. Are incompatible with packaging components or with each other;
- 3. Require special packaging;
- 4. Are controlled medications from Schedules II and III.
D. Requirements for Nursing Facilities and Assisted Living Residences
1. Requirements related to the utilization of multi-drug single-dosing containers in a nursing facility or assisted living residence include the following:
- a. The name, address, and telephone number of the pharmacy issuing the multi-drug single dosing container and any cautionary statements necessary for the proper administration or storage of the medication shall appear on the medication administration record (MAR).
- 2. In a nursing facility or assisted living residence licensed at the M-1 level, only a nurse, other licensed person acting within their scope of practice, or selected non-licensed personnel who have satisfactorily completed a State-Approved Course in Drug Administration and have demonstrated competency in accordance with the State-approved protocol in drug administration shall remove a discontinued drug(s) from a container in order to be wasted in accordance with policies and procedures of the facility.
E. Prescriptions. A prescription shall contain the following information, at a minimum:
- 1. Full name and street address of the patient;
- 2. Name, address, and if required by law or Rules of the Board, DEA registration number of the prescribing practitioner;
- 3. Date of issuance;
- 4. Name, strength, dosage form and quantity of drug prescribed;
- 5. Directions for use;
- 6. Refills authorized, if any;
- 7. If a written prescription, prescribing practitioner’s signature;
- 8. If an electronically transmitted prescription, prescribing practitioner’s electronic or digital signature;
- 9. If a hard copy prescription is generated from a facsimile or a prescribing practitioner’s electronic or manual signature, such prescription shall be applied to paper that utilizes features that will ensure the prescription is not subject to any form of copying and/or alteration;
10. Oral prescriptions shall be reduced promptly to writing and stored either electronically or in hard copy format.
1.5.20 Prescription Refill Information
- A. No pharmacist shall fill or refill any prescription after one (1) year from the date of issuance by the practitioner without authorization from the practitioner.
- B. Authorization for prescription refills is presumed to be within the prescribed dosage or normal therapeutic use. Refiling prescriptions more frequently than the prescribed dosage would require, or refiling prescriptions in significant excess of normal therapeutic use, may constitute unprofessional conduct based on drug utilization requirements in § 1.19 of this Part.
- C. If deemed appropriate in the pharmacist’s professional judgement, a patient may receive, upon request, drug quantities in excess of the face amount written on the prescription for a non-controlled substance only, up to the total amount authorized by refills. The pharmacist shall not dispense in excess of the face amount of a prescription for controlled substance without authorization from the prescriber for each prescription.
- D. A pharmacist may refill a prescription for a patient written by a practitioner who has expired or has had their license to practice or controlled substance registration revoked, suspended, or discontinued, for a period not to exceed ninety (90) days, if the prescription was written by the practitioner prior to their death or action against license and the prescription contains authorizations for refills.
E. Pharmacists shall only compound prescriptions for a drug product(s) not included in the official compendium (The U.S. Pharmacopoeia, N.F.) if the prescription clearly delineates in writing all the ingredients to be included in the drug product. All such prescriptions, drugs and ingredients must conform to the requirements of R.I. Gen. Laws Chapters 21-31, 21-28, 5-19.1 and such other applicable statutory requirements.
1.5.21 Electronic Transmission
A. Technological devices for the transmission or communication of prescriptions between licensed prescribers and pharmacists may be used in accordance with the following requirements:
- 1. The transmission of prescriptions for controlled substances shall comply with the provisions of R.I. Gen. Laws Chapters 21-28 (“Controlled Substances Act”), 21 C.F.R. § 1306.08, R.I. Gen. Laws Chapter 5-37.3 (“Confidentiality of Healthcare Information Act”), and all other Federal or State laws.
- 2. Unless otherwise prohibited by law, prescriptions may be transmitted by electronic means or facsimile from the prescriber as defined in R.I. Gen. Laws Chapter 21-28 and 21 C.F.R. § 1306.08, for transmission of prescriptions to the dispensing pharmacy. The facsimile copy of the prescription may serve as the hard copy of the prescription except for prescription orders for Schedule II drugs in accordance with the provisions of R.I. Gen. Laws Chapter 21-28.
- 3. In addition to all other information required to be included on a prescription, an electronically transmitted prescription and facsimile prescriptions shall include the date of transmission.
- 4. A pharmacy receiving an electronic transmission prescription shall either receive the prescription in hard copy form or have the capacity to retrieve an electronic copy of the prescription from the pharmacy’s computer memory.
- 5. The patient shall have the right to choose the manner in which their prescription is transmitted to the pharmacy.
- 6. The patient shall have the right to choose the pharmacy to which their prescription is transferred.
- 7. The pharmacist shall exercise professional judgment regarding the accuracy or authenticity of the transmitted prescription consistent with existing laws and Regulations.
- 8. Technological devices shall not be used to circumvent documentation, verification, or any provisions of the Act. Neither shall they be used to commit any other action that may be deemed unprofessional conduct.
9. Technological devices shall be located within the pharmacy.
1.5.22 Emergency Prescription Refill
A. In the event a pharmacist receives a request for a prescription refill and the pharmacist is unable to readily obtain refill authorization from the prescriber, the pharmacist may dispense a one (1) time emergency refill of up to a ninety (90) day supply of the prescribed medication, providing that:
- 1. The prescription is not for a drug in Schedule II, III, IV, and V appearing in R.I. Gen. Laws Chapter 21-28;
- 2. The medication is essential to the maintenance of life or to the continuation of therapy of a chronic condition
- 3. In the pharmacist’s professional judgment, the interruption of therapy might reasonably produce undesirable health consequences or may cause physical or mental discomfort; and
- 4. The dispensing pharmacist notifies the prescriber of the emergency dispensing within a reasonable time after such dispensing.
- 5. For an emergency prescription refill, there shall be appropriate documentation in the patient profile or on the hard copy of the prescription that an emergency refill has been dispensed.
- A. Pursuant to R.I. Gen. Laws § 5-19.1-9, no person shall conduct, maintain, or operate a pharmacy in the State of Rhode Island without first obtaining and having in force a pharmacy license in accordance with the statutory provisions of the Act and the regulatory requirements of this Part.
B. Restricted Pharmacies: Pursuant to R.I. Gen. Laws § 5-19.1-10, upon application of the plan administrator or trustee of any trust, fund, pension plan, combination plan, or profit sharing plan, which is subject to the provisions of the Employee Retirement Income Security Act of 1974, 29 U.S.C. § 1001 et seq., the Board may license a facility, hereinafter called a restricted pharmacy, for the purpose of dispensing pharmacy services to beneficiaries; provided, however, that no such license shall be granted unless the said trust, fund or plan demonstrates to the satisfaction of the Board that it is associated with another such trust, fund or plan already licensed in another State to own and operate a restricted pharmacy for the purpose of dispensing pharmacy services to its beneficiaries. Charges for such serviced shall be determined by the trustee or plan administrator. A restrictive pharmacy may, after written notice to the Board, limit its operation to a specific schedule of drugs.
- 1. Nothing in this Section shall prohibit a restricted pharmacy from accepting or filling prescriptions by mail; provided, that the prescribing physician is verified, according to the procedures established by R.I. Gen. Laws Chapter 5-37, as licensed to practice in the State of Rhode Island or in any New England State.
- C. Any pharmacy that utilizes latex gloves shall do so in accordance with the provisions of the Rules and Regulations pertaining to the Use of Latex Gloves by Healthcare Workers, in Licensed Healthcare Facilities, and by Other Persons, Firms, or Corporations Licensed or Registered by the Department (Part 20-15-3 of this Title).
- D. A mechanism shall be in place to verify current licensure for every individual within the pharmacy who is licensed, certified, or registered by the State of Rhode Island. Documentation of current licensure shall be maintained by the pharmacy.
E. All pharmacies shall maintain an adequate number of pharmacists and pharmacy technicians to meet pharmacy workload demands, including but not limited to, administration of immunizations and medications, prescribing of medications and any future pharmaceutical care functions as allowed by law, provide for adequate rest periods for personnel, and maintain public safety. Pharmacy staffing information shall be provided to the Department upon request, including but not limited to number of pharmacists and pharmacy technicians, prescription volume, pharmacy hours of operation, and staff schedules. Should the Department deem the pharmacy is inadequately staffed to provide all services, they shall be subjected to disciplinary actions by the Board. Such disciplinary action shall follow the applicable requirements outlined in § 1.19 of this Part. All hearings and reviews required by this Part shall be held in accordance with the provisions of R.I. Gen. Laws Chapter 42-35.
1. “Inadequately staffed” means an insufficient number of pharmacists and technicians to safely carry out the practice of pharmacy and meeting workload demands, including but not limited to, administration of medications and immunizations, and all future functions of pharmacy practice as required by laws and regulations. Inadequately staffed may be determined in a number of ways, including but not limited to, on-site observations of current staffing, pharmacy sales/volume reports, pharmacy staffing schedules, and payroll reports.
1.6.2 Application for License and Fee
- A. Application for a license (retail pharmacy, pharmacy within a medical institution, or restricted pharmacy) to conduct, maintain or operate a pharmacy in the State of Rhode Island shall be made in writing on forms provided by the Department and shall be submitted to the Department at least thirty (30) days prior to the expected operating date of the establishment for the transaction of business as a pharmacy.
B. The initial application must include the following:
- 1. Name and address of owner and/or manager and a notarized declaration of ownership and location;
- 2. Name of pharmacist-in-charge of the pharmacy;
- 3. Proposed location and address of place of business and blueprint or drawings of proposed floor plans;
- 4. For all pharmacies, the initial licensure fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title);
- 5. An eProfile number from the national association of boards of pharmacy.
6. Pharmacies that compound sterile preparations shall provide an inspection report performed by the Board of Pharmacy from the pharmacy’s home State, an independent organization such as NABP, or other similar agency as approved by the Board. Inspection shall be:
- a. At the expense of the applicant;
- b. Performed as a condition of initial licensure and annually thereafter; and
- c. As deemed necessary by the Department to protect the public health and safety.
- 7. Such other information as the Board may deem necessary.
C. Applications for license renewal shall be made on forms provided by the Department and shall include such information as the Board may require, and the application must be accompanied by the license renewal fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
1.6.3 Issuance and Renewal of License
- A. Upon receipt of an application for a license the Board shall issue a license or renewal thereof for a period of one (1) year if the applicant meets the requirements of the Act and this Part. Said license, unless sooner suspended or discontinued, shall expire annually on the thirtieth (30th) day of September following its issuance and may be renewed from year to year upon submission of application and license renewal fee. The applicant for renewal must obtain and submit an eProfile from the national association of boards of pharmacy.
B. A license shall be issued to a pharmacy in the name of the owner of the pharmacy. The license shall be issued for a specific location and shall not be transferable.
- 1. No pharmacist shall be a pharmacist-in-charge at more than one (1) pharmacy at the same time. Provided, however, a pharmacist may be designated as the pharmacist-in-charge at a maximum of two (2) pharmacies for a period not to exceed sixty (60) days for the purpose of transitioning to a new pharmacist-in-charge.
C. A license issued under this Part is the property of the State of Rhode Island and loaned to such licensee. It shall be kept posted in a conspicuous place in the licensed pharmacy.
1. The name of the pharmacist-in-charge shall be conspicuously displayed in the pharmacy.
1.6.4 Change of Ownership and/or Location
- A. When a change of ownership or location or when discontinuation of services is contemplated, the owner shall notify the Department in writing at least fourteen (14) days prior to the proposed action.
- B. The pharmacy owner shall give the Department fourteen (14) days notice in writing prior to terminating services of a pharmacist-in-charge of a pharmacy, unless the pharmacist-in-charge vacates the position without notice. In this instance, the Department shall be notified in writing immediately of the change in pharmacist-in-charge.
C. When there is a change in ownership and/or location, the license shall immediately become void and shall be delivered to the Department.
- 1. The Board, or its designee, reserves the right to extend the expiration date of such license, allowing the pharmacy to operate, but under conditions stipulated by the Board for such time as shall be required for the processing of a new application.
- 2. The new applications must be filed in accordance with the provisions of § 1.6.2 of this Part and be accompanied by the initial licensure fee pursuant to R.I. Gen. Laws § 5-19.1-9 and as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
- D. Pharmacy renovations or remodeling: Any renovations or remodeling of an existing pharmacy shall not be considered a change of location.
E. Patient records shall be retained and shall be capable of being retrieved, in a reasonable time period, for no less than two (2) years after a change of ownership is completed.
1.6.5 General Requirements: All Pharmacies
A. Personnel: A licensed pharmacist shall be physically accessible at the address listed on the license in order to operate and manage the pharmacy at all times during the hours of operation when the pharmacy is open to the public. The pharmacist(s) shall be subject to all the statutory and regulatory provisions of this Part pertaining to the practice of pharmacy.
- 1. The owner shall ensure that a sufficient number of qualified, trained, competent and adequately supervised pharmacists and supportive personnel are employed to provide technical services, as well as ensuring that all such functions and activities are performed competently, safely, and without risk of harm to patients. The relationship between the supervising pharmacist and the supportive personnel shall be such that the pharmacist is fully aware of and responsible for all activities involved in the preparation and dispensing of medications prior to the release to the patient, including the maintenance of appropriate records.
- 2. The pharmacy shall be directed by a licensed pharmacist, hereinafter referred to as the pharmacist-in-charge, who shall be responsible for meeting the requirements set forth by Federal and State law, this Section, and other applicable Regulations of the Board. The pharmacist-in-charge shall be thoroughly familiar with the specialized functions of pharmacy practice.
- 3. The pharmacist-in-charge of any pharmacy licensed in the State of Rhode Island and located in the State of Rhode Island or in another State, shall be licensed as a registered pharmacist in the State where the pharmacy is located.
- 4. The pharmacist-in-charge shall ensure that a sufficient number of pharmacists and supportive personnel are available to operate such pharmacy competently, safely, and to meet the needs of patients. All pharmacists shall be properly identified by name and licensure designation.
- 5. The owner shall develop and implement written policies and procedures to specify the duties to be performed by such pharmacists.
6. The pharmacist-in-charge of a pharmacy shall be responsible for no less than the following:
- a. Provide to the Department a beginning inventory of all controlled substances, Schedules II-V, upon commencement of duties, and an ending inventory of same upon termination of duties as pharmacist-in-charge;
- b. Maintain adequate controls to prohibit the diversion of controlled substances and promptly execute DEA Form 106 (or its successor form) to the Drug Enforcement Administration and the Department in the event of a theft or loss of a controlled substance;
- c. Report prescription forgeries, or attempted forgeries, as deemed necessary in the professional judgment of the pharmacist-in-charge, to the appropriate law enforcement authorities;
- d. Ensure that the pharmacy dispensing area and equipment is in clean and orderly condition, that all licenses and registrations are current, that the “top ten” list and prices are conspicuously posted, and that the expiration dates of the pharmaceutical stock are periodically checked to ensure that no expired medications are dispensed;
- e. Remove all controlled and non-controlled drugs from any pharmacy or institution upon sale or closure of the facility;
- f. Comply with the Rules and Regulations for Disposal of Drugs (Part 20-20-1 of this Title), to utilize an alternative drug destruction mechanism for expired, excess/undesired controlled substances consistent with all Federal and State laws and Regulations;
- g. Contact the Department whenever a concern arises that would affect the pharmacy’s practice;
- h. Ensure adherence to all policies and procedures for the operation of the pharmacy in accordance with the Act and this Part;
- i. Be administratively responsible for the overall operation and conduct of the pharmacy.
B. Nothing in this Part shall prohibit a pharmacist from practicing pharmacy and providing pharmaceutical care outside of a pharmacy, including into Rhode Island, if the following conditions are met:
- 1. The pharmacist is licensed in Rhode Island or an employee of a non-resident pharmacy licensed in Rhode Island;
- 2. The pharmacist has real-time electronic access to prescription records, patient profiles, or other relevant medical information and appropriately reviews the information;
- 3. Such records are protected from unauthorized access and use;
- 4. The pharmacist maintains the records or other patient-specific information created, collected, or used electronically; and
5. A pharmacy can permit pharmacists to work remotely, as operationally feasible and in accordance with applicable State and Federal law to conduct prescription data entry, prescription verification, clinical pharmacy and other functions that are normally performed in a pharmacy. Pharmacists shall only be permitted to work remotely as long as licensing reciprocity exists and the pharmacist resides in the United States or United States’ Territory.
1.6.6 Security
- A. Every pharmacy must have and maintain proper security to limit accessibility of unauthorized personnel on the premises and to safeguard against the diversion of drugs, biologicals and medications.
- B. Each pharmacy shall, at least while closed, utilize an alarm or other comparable monitoring system.
- C. The Board shall deem additional security requirements necessary for the protection of the pharmacy and of the public.
- D. The pharmacy shall place security cameras at multiple vantage points in the drug storage area within the pharmacy, including other adjacent areas of the building and pharmacy as deemed necessary by the Department and Board, which actively record and store video data for a minimum of 30 (thirty) days.
E. The pharmacy shall establish policies and procedures to address disasters and emergencies in order to protect the integrity of drugs and prevent unauthorized access to prescription medication.
1.6.7 Facilities, Equipment and Stock
- A. Every pharmacy must be properly secured, equipped with facilities, apparatus, utensils, adequate reference materials relevant to the practice site, and a representative stock of pharmaceuticals, chemicals, drugs and preparations, so that prescriptions can be properly filled.
B. Each pharmacy shall adhere to written policies and procedures that require all stocks of medications to be inspected routinely for outdated, unusable or mislabeled products. Any outdated, unusable, or mislabeled medication or products shall be segregated to ensure that no such medications or products are dispensed.
1.6.8 Space
A. The pharmacy shall be adequate in size and space to enable the pharmacist(s) to discharge all pharmaceutical functions and duties in a safe and effective manner, and to contain all required equipment, utensils, storage areas, including prescription compounding counter, and an area with adequate privacy to conduct patient counseling as well as other practice of pharmacy functions defined in this Part. The pharmacy shall be equipped with proper sanitary appliances and kept in a clean, sanitary and orderly manner.
1.6.9 Pharmaceutical Services – Drug Recall
A. The pharmacist-in-charge shall ensure that a written procedure to handle drug product recalls. The procedure shall include, but is not limited to, the following:
- 1. A process for review of documents (i.e., prescriptions, drug orders, etc.) of the recalled lots;
- 2. Notification to the recipients and prescribers of the recalled product, when appropriate;
- 3. Personal inspection of all areas where drugs are stored to determine presence of recalled products;
- 4. Quarantine of all recalled products to be marked “Quarantined-Do Not Use” until returned to manufacturer; and,
5. Maintenance of written log of all recalls, the actions taken, and the results.
1.6.10 Emergency Kits
A. Drugs and devices may be provided in emergency kits for use by authorized personnel in nursing facilities, assisted living residences, medical institutions, or hospice care facilities (collectively “institutions”) provided that:
- 1. The pharmacist-in-charge or designee, and the qualified health care staff shall jointly determine the drugs to be included in the kit by identity and quantity.
- 2. The emergency kit shall be sealed with a non-reusable, easily removable seal to prevent unauthorized access, and to ensure a proper environment for preservation of the drugs.
- 3. The exterior of the emergency kit shall be labeled so as to clearly indicate that it is an emergency drug kit. A listing of the drugs contained therein including name, strength and quantity of each drug or device shall be attached. Each emergency kit shall be inspected by a pharmacist or his designee monthly to check for expiration dates and the integrity of the seal.
- 4. All drugs within the emergency kit shall be labeled, if applicable, with the name, strength, lot number, manufacturer and expiration date.
- 5. Drugs and devices shall be removed from the emergency kit for administration to a patient only pursuant to a valid physician’s order, by personnel authorized by the medical institution.
- 6. The pharmacy shall be notified whenever an emergency kit is opened. The pharmacist or designee shall re-stock, reseal and return the kit to the unit within a reasonable length of time.
7. The pharmacy may use automated storage and distribution devices as an emergency kit so long as the automated storage and distribution device complies with the provisions of this Section.
1.6.11 Repackaging
A. Drugs which are repackaged within a pharmacy for subsequent dispensing or administration shall be labeled to include:
- 1. The generic or trade name, strength, and quantity of drug
- 2. Control number assigned by the pharmacy which corresponds to the identification of the manufacturer, manufacturer’s expiration date, lot number of the drug, quantity repackaged, date repackaged and pharmacist responsible for repackaging;
- 3. The expiration date of the drug being repackaged shall be one (1) year from the date the drug is repackaged or the expiration date on the manufacturer’s container, whichever is earlier.
- B. The pharmacy shall have and use facilities, personnel, operational practices, packaging material, and control procedures to assure that the purity, integrity, safety, and effectiveness of the drugs are not affected by such repackaging. All repackaging must be performed by or under the supervision of a pharmacist.
C. A pharmacy may repackage a patient’s previously dispensed medication provided that the pharmacy implements policies and procedures that include but are not limited to the following requirements:
- 1. The patient or patient’s responsible party requests that the pharmacy repackage the medication for ease of administration in unit dose containers.
- 2. The pharmacy receiving the previously dispensed medication records the prescription medication received, all label information, and stores the medication separate from the pharmacy’s inventory.
- 3. The medication is repackaged in an appropriate USP approved multi-unit, unit-of-use, or single-unit dose container.
4. The pharmacy records the previously repackaged medication quantity, includes all information on the original prescription label, and a pharmacist verifies the medication that was repackaged is correctly labeled by the pharmacy.
1.6.12 Investigational Drugs
A. The pharmacist-in-charge and the medical staff shall be responsible for developing policies and procedures for ensuring proper labeling pursuant to R.I. Gen. Laws Chapter 21-31, Storage, Distribution, administration and Control of Investigational Drugs.
- 1. Investigational drugs shall be relabeled “For Investigational Use Only.”
2. A perpetual inventory record for investigational drugs shall be maintained. The record shall contain:
- a. Drug’s name, dosage form and strength, lot number, expiration date;
- b. Name, address, telephone number of the sponsor;
- c. Protocol number;
- d. Information on disposition of the drug; and,
- e. Recording dispenser’s initials.
- 3. Investigational drugs shall be segregated from commercial products.
- 4. The pharmacist-in-charge shall be responsible for the provision of staff education regarding investigational drugs.
- 5. Prior to dispensing, any investigational drug, dose and treatment schedule should be verified against the protocol.
B. Any information pertaining to potential adverse effects, precautions, compounding and preparation requirements, etc., of the investigational drug shall be reviewed by the pharmacist.
1.6.13 Adverse Drug Reactions (ADRs) and Medication Errors
A. Medication Use Evaluation Program:
- 1. The pharmacist-in-charge shall establish policies and procedures to increase the effectiveness and minimize the risk of drug use. Policies and procedures shall include defining, monitoring, detecting, reporting and reviewing medication errors and adverse drug reactions (ADRs). ADRs deemed to be significant by the pharmacist shall be reported to the FDA’s MedWatch Program. Vaccine-related adverse events shall be reported to the CDC using VAERS and adverse events involving Dietary Supplements shall be reported to https://www.safetyreporting.hhs.gov.
B. Patient Profile
1. A patient record system shall be maintained by all pharmacies for patients for whom prescriptions are dispensed. The patient record system shall provide for the immediate retrieval of information necessary for the dispensing pharmacist to identify previously dispensed drugs at the time a prescription is presented for dispensing. The pharmacist shall make a reasonable effort to obtain, record, and maintain the following information:
- a. Full name of the patient for whom the drug is intended
- b. Address and telephone number of the patient
- c. Patient’s age or date of birth
- d. Patient’s gender
- e. A list of all prescriptions obtained by the patient at the pharmacy maintaining the patient record during the twelve (12) months immediately preceding the most recent entry showing the name of the drug or device, prescription number, name and strength of the drug, the quantity and date received, and the name of the practitioner, and
- f. Pharmacist comments relevant to the individual’s drug therapy and drug allergies, including any other information peculiar to the specific patient or drug.
- C. The pharmacist shall make a reasonable effort to obtain from the patient or the patient’s agent any known allergies, drug reactions, idiosyncrasies, and chronic conditions of the patient and the identity of any other drugs, including over-the-counter drugs, or devices currently being used by the patient which may relate to prospective drug review, and shall record this information in the patient’s profile.
- D. The patient record shall be maintained for a period of not less than two (2) years from the date of the last entry in the patient profile record. This record may be a hard copy or in a computerized form.
E. Prospective Drug Review
1. A pharmacist shall review the patient record and each prescription presented for dispensing for purposes of promoting therapeutic appropriateness by identifying:
- a. Over-utilization or under-utilization
- b. Therapeutic duplication
- c. Drug-disease contraindications
- d. Drug-drug interactions
- e. Incorrect drug dosage or duration of drug treatment
- f. Drug-allergy interactions
- g. Clinical abuse/misuse
- h. Food-drug interaction
- 2. Upon recognizing any of the above, the pharmacist shall take appropriate steps to avoid or resolve the problem which shall, if necessary, include consultation with the practitioner or other appropriate persons.
F. Continuous quality improvement programs
- 1. Notwithstanding practices constituting unprofessional practice indicated in this Part, any pharmacy that actively reports dispensing errors and the analysis of such errors to a patient safety organization shall be deemed in compliance with this Section.
2. Pharmacies not actively reporting to patient safety organizations shall implement a program for continuous quality improvement in compliance with this Section.
a. Notification requirements
- (1) A pharmacy intern or pharmacy technician who identifies or learns of a dispensing error shall immediately notify a pharmacist on duty of the dispensing error.
- (2) A pharmacist on duty shall appropriately respond to the dispensing error in a manner that protects the health and safety of the patient.
- (3) A pharmacist on duty shall immediately notify the patient or the person responsible for administration of the drug to the patient and communicate steps to avoid injury or mitigate the error if the patient is in receipt of a drug involving a dispensing error that may cause patient harm or affect the efficacy of the drug therapy. Additionally, reasonable efforts shall be made to determine if the patient self-administered or was administered the drug involving the dispensing error. If it is known or reasonable to believe the patient self-administered or was administered the drug involving the dispensing error, the pharmacist shall immediately assure that the prescriber is notified.
b. Documentation and record requirements; remedial action:
- (1) Documentation of the dispensing error must be initiated as soon as practical, not to exceed three (3) days from identifying the error. Documentation shall include, at a minimum, a description of the event that is sufficient to allow further investigation, categorization, and analysis of the event.
- (2) The pharmacist-in-charge or designee shall perform a systematic, ongoing analysis, as defined in these Regulations, of dispensing errors. An analysis of each dispensing error shall be performed within thirty (30) days of identifying the error.
- (3) The pharmacist-in-charge shall inform pharmacy personnel of changes made to pharmacy policies, procedures, systems, or processes as a result of the analysis.
- (4) Documentation associated with the dispensing error need only to be maintained until the systematic analysis has been completed. Prescriptions, dispensing information, and other records required by Federal or state law shall be maintained accordingly.
(5) A separate record shall be maintained and available for inspection to ensure compliance with this Section for twelve (12) months from the date of the analysis of dispensing errors and shall include the following information:
- (AA) Dates the analysis was initiated and completed;
- (BB) Names of the participants in the analysis;
(CC) General description of remedial action taken to prevent or reduce future errors; and
1.6.14 Patient Counseling
A. After receipt of a new prescription and following a review of the patient’s record, a pharmacist or pharmacy intern, as defined in the Act, shall initiate discussion of matters which will enhance or optimize drug therapy with each patient or care giver of such patient. Such discussion shall be in person whenever practicable, by telephone or electronic means, and shall include appropriate elements of patient counseling, as is appropriate for the patient in the professional judgment of the pharmacist. The offer to counsel may be delegated by the pharmacist. Nothing in this Section will prohibit a pharmacist from counseling a patient on a refill prescription when deemed necessary in the professional judgment of the pharmacist. Such elements may include the following:
- 1. The name and description of the drug;
- 2. The dosage form, dose, route of administration, dosing schedule, and duration of drug therapy;
- 3. Intended use of the drug and expected action;
- 4. Special directions and precautions for preparation, administration, and use by the patient;
- 5. Common severe side or adverse effects or interactions and therapeutic contraindications that may be encountered, including their avoidance, and the action required if they occur;
- 6. Techniques for self-monitoring drug therapy;
- 7. Proper storage;
- 8. Prescription refill information;
- 9. Action to be taken in the event of a missed dose; and
- 10. Pharmacist comments relevant to the individual’s drug therapy, including any other information peculiar to the specific patient or drug.
- B. Alternative forms of patient information shall be used, when deemed necessary in the professional judgment of the pharmacist, to supplement patient counseling when appropriate. Examples to include written information leaflets, pictogram labels, video programs, etc.
- C. Patient counseling and patient profiles, as described above and defined in this Act shall not be required for inpatients of a hospital or institution, or any other licensed health-care facility, where other licensed healthcare professionals are authorized to administer the drugs.
D. A pharmacist shall not be required to counsel a patient or care giver when the patient or care giver refuses such consultation. Such refusal shall be documented in writing.
1.6.15 Prescription Transfer
A. Prescriptions may be transferred an unlimited amount of times for the purposes of filling or refilling between pharmacies by any means either verbally, electronically, or via fax provided that the pharmacies adhere to the following requirements:
- 1. The prescription is for a drug that is lawfully able to be filled.
- 2. The pharmacist, or supportive personnel, as permitted, transferring the prescription cancels the original prescription in their records, and indicates in the prescription record to whom the prescription was transferred, including the name of the pharmacy, the date of the transfer, and the name or initials of the transferring pharmacist or supportive personnel.
3. The pharmacist, or supportive personnel, as permitted, receiving the transferred prescription shall:
- a. Note that it is a transferred prescription
b. Record all of the following information in the prescription records, in addition to other information required by law:
- (1) Date of issuance of the original prescription
- (2) Original number of refills authorized on prescription
- (3) Complete refill record from original prescription
- (4) Number of valid refills remaining
- c. File number of the original prescription
- d. Name of the pharmacy and pharmacist or supportive personnel from whom the prescription was transferred
- 4. A pharmacist, or supportive personnel, as permitted, may transfer a prescription to another pharmacist or supportive personnel employed by the same corporation without regard to the requirements of §§ 1.6.15(A)(2) and (3) of this Part, provided that both have access to the same computerized prescription transfer system which contains the prescription and refill records and incorporates procedures to prevent unauthorized refills.
- 5. If the prescription is for a controlled substance in Schedules II, III, IV, or V, the pharmacies shall comply with 21 C.F.R. §§ 1306.25 and 1306.08(e).
B. The requirements of §§ 1.6.15(A)(2) through (4) of this Part are excepted when an offsite pharmacy that provides pharmaceutical services to a nursing facility, assisted living residence, mental health institution, medical institution, hospital, or hospice care facility pursuant to a valid medication order or prescription directly transmits and shares the quantity of a prescription or medication order with another pharmacy if:
- 1. The transmission and sharing of the prescription or medication order is for the limited purpose of ensuring that drugs or devices are attainable to meet the immediate needs of patients for up to a seventy-two (72) hour supply or the originating pharmacy cannot provide services for the institutional facility on an ongoing basis due to a State of Emergency declared by an authorized government official or agency or unforeseen circumstances requiring that the pharmacy temporarily cease operations;
- 2. The originating pharmacy obtains consent from the facility, home health agency or hospice agency to share the pharmacy services for its residents;
- 3. The originating pharmacy provides a copy of a valid verbal, electronic, or written prescription or medication order to the receiving pharmacy prior to dispensing by the receiving pharmacy; and
4. The receiving pharmacy maintains responsibility for performing all requirements under applicable pharmacy statutes and Regulations when dispensing the portion of the prescription or medication order.
1.6.16 Beyond-Use Dating on Labels
A. It shall be the responsibility of the dispenser, taking into account the nature of the drug repackaged, the characteristics of the container, and the storage conditions to which the article may be subject, to determine a suitable beyond-use date to be placed on the label. In addition:
- 1. The maximum beyond-use date that may be placed on the prescription container label shall be one (1) year from the date the drug is dispensed or the expiration date on the manufacturer’s container, whichever is earlier.
2. Where an expiration date on a product is dated only by the month and year, the intended expiration date shall be considered to be the last day of the stated month.
1.6.17 Necessity of Prescription Label
A. In accordance with R.I. Gen. Laws § 5-19.1-18, to every box, bottle, jar, tube or other container of a prescription which is dispensed, a label shall be attached, the contents of which shall include:
- 1. The name of the prescriber;
- 2. The full name of the patient;
- 3. The name and address of the pharmacy;
- 4. The name of the drug dispensed in accordance with R.I. Gen. Laws Chapter 21-31;
- 5. Quantity and strength of the drug dispensed;
- 6. The date of dispensing;
- 7. The prescription number;
- 8. The expiration date of the prescription in accordance with § 1.6.16 of this Part; and
- 9. A full instruction on the use of the product in plain language.
- B. Said label shall be printed, typed, or a combination of printed and typed, but shall not be handwritten, except in the case of an emergency.
- C. No person shall alter, deface, or remove any label so affixed.
D. The requirements of this Section shall not apply to an order to dispense a drug for immediate administration to a licensed hospital, nursing facility, or hospice facility in-patient.
1.6.18 Generic Substitutions
- A. Pharmacists when dispensing a prescription shall, unless requested otherwise by the individual presenting the prescription in writing, substitute drugs containing all the same active chemical ingredients of the same strength, quantity, and dosage form as the drug requested by the prescriber from approved prescription drug products in accordance with the provisions of R.I. Gen. Laws §§ 21-31-16 and 21-31-15(l)(1), unless ordered by the prescribing physician to dispense as brand name necessary on the prescription form, or if the prescriber gives oral direction to that effect to the dispensing pharmacist.
- B. The requirements of § 1.6.18(A) of this Part shall not apply to an order to dispense a drug for immediate administration to a licensed hospital, nursing facility or hospice facility in-patient.
C. The pharmacist shall make a product selection from approved prescription drug products and shall pass the savings on to the ultimate consumer. When a drug product selection is made, the pharmacist shall indicate the product dispensed on the written prescription or on the oral prescription, which has been reduced to writing or product information may be maintained on a computerized system if information is readily retrievable.
1.6.19 Biosimilar Interchange
A. Pharmacists when dispensing a biological product shall, unless requested otherwise by the patient, interchange with a less expensive product that is a highly similar product to the FDA-approved biological product, known as a reference product, which has no clinically meaningful differences in terms of safety and effectiveness from the reference product, and the FDA has:
- 1. Licensed and determined meets the standards for interchangeability pursuant to 42 U.S.C. § 262(k)(4) or lists of licensed, biological products with reference product exclusivity and biosimilarity or interchangeability evaluations; or
2. Determined is therapeutically equivalent as set forth in the latest edition of or supplement to, the United States Food and Drug Administration’s Approved Drug Products with Therapeutic Equivalence Evaluations.
1.6.20 Central Database – Operation
- A. In accordance with R.I. Gen. Laws § 5-19.1-17, pharmacies operated by a person pursuant to the Act may refill prescriptions which have been previously dispensed by an affiliated pharmacy, provided, that prior to dispensing a refill the pharmacy refilling the prescription verifies the appropriateness of the refill through a centralized database.
- B. Clinic pharmacies operated by a health maintenance organization licensed under R.I. Gen. Laws Chapter 27-41 and the Act may refill prescriptions which have been previously dispensed by another health maintenance organization clinic pharmacy, provided that prior to dispensing a refill the pharmacy refilling the prescription verifies the appropriateness of the refill through a centralized database of that health maintenance organization.
- C. Disclosure of prescription information to any other person(s) other than agents of properly licensed pharmacies pursuant to §§ 1.6.20(A) and (B) of this Part is prohibited.
- D. Disclosure of prescription information is permitted only to those directly involved in patient care consistent with R.I. Gen. Laws Chapter 5-37.3, the “Healthcare Communications and Information Act” and other applicable Federal and State laws.
E. The disclosure of prescription information to researchers may only be authorized in accordance with Federal policy for the protection of human subjects.
1.6.21 Product Selection
A. A pharmacist may alter the prescribed dosage form of a medication, if in the professional judgment of the pharmacist, the form dispensed meets the bio-equivalency of the dose prescribed and it is appropriate for the patient.
1.6.22 Poison Prevention Packaging
- A. All drugs and substances cited in the Federal Poison Prevention Packaging Act Regulations, 15 U.S.C. § 1471 et seq., shall be packaged and dispensed in accordance with said Regulations.
B. Documentation shall be maintained by the pharmacy to record those instances when a non-child-resistant safety cap container has been requested by a consumer.
1.6.23 Product Verification
A. Verification by a pharmacist of a filled prescription must include a verification of the prescription label and product against the original or scanned prescription.
1.6.24 Therapeutic Substitution
A. Therapeutic substitutions by pharmacists are permitted in situations requiring compliance with a formulary prepared by the pharmacy and therapeutics committee, and agreed to by the staff physicians of the facility:
- 1. In a hospital, licensed pursuant to R.I. Gen. Laws Chapter 23-17; or
2. In a nursing facility, medical institution, or hospice care facility with contracted pharmaceutical services pursuant to § 1.7.1 of this Part and licensed under R.I. Gen. Laws Chapter 23-17.
1.6.25 Return to Stock of Undelivered Medications
A. Prescriptions that have not been picked up by or delivered to patients may be returned to stock. The pharmacist shall be responsible for the development of written policies and procedures that shall include, but not be limited to, the following:
- 1. Drugs returned to stock have been maintained to assure their integrity;
- 2. No drugs returned to stock have expirations dates that exceed twelve (12) months from the date of dispensing of original prescription;
- 3. Patient information on prescription labels have been redacted to protect patient confidentiality; and
4. Given a manufacturer or FDA recall for a drug product, pharmacist shall assume products held in containers without lot numbers are included in the recall and proceed accordingly.
1.6.26 General Requirements: Retail Pharmacies
- A. Space. Any new pharmacy shall have an area of not less than two hundred and fifty square feet (250’).
B. List of Drugs Posted. Each pharmacy:
- 1. Shall conspicuously display the list of the ten (10) prescribed health maintenance prescription drugs compiled by the Director at or adjacent to the place in the pharmacy where prescriptions are presented for compounding and dispensing;
- 2. Shall, upon request, provide to a consumer who possesses a prescription for any listed prescription drug, the current selling price of that drug; and
- 3. May change the current selling price and the posting of that price on the list at any time.
- C. Each pharmacy shall post, in a clear and legible form, on that list, the current selling price of each prescription drug listed. Current selling price means the actual price to be paid by a retail purchaser to the pharmacy for any prescription drug listed at the usual strength and amount listed.
D. The requirements of this Section do not apply to an order to dispense a drug for immediate administration to a hospital patient.
1.6.27 General Requirements: Institutional Pharmacies
A. Physical Requirements. An institutional pharmacy shall have sufficient floor space allocated to it to ensure that drugs are prepared in sanitary, well-lighted and enclosed places. It shall have sufficient equipment, supplies and physical facilities for proper compounding, dispensing and storage of drugs, including parenteral preparations and for the provision of pharmaceutical care. All work surfaces shall be free of equipment, supplies, records and labels unrelated to the preparation of medications. The equipment and physical facilities shall include, but are not limited to, the following:
- 1. Compounding and dispensing areas;
- 2. Physically separate parenteral solution additive area when solutions are compound in the pharmacy as described in § 1.8 of this Part;
- 3. Receiving and storage areas;
- 4. Packaging and repackaging areas;
- 5. Office space sufficient to allow for administrative functions without interference with the safe compounding and dispensing of medications and security of the pharmacy.
B. After-hours Pharmacy Services. The pharmacist-in-charge shall establish policies and procedures for the provision of a limited supply of medications for filling of urgent orders to patients of the medical institution after the scheduled hours of operation of the pharmacy. The pharmacist-in-charge shall provide for the provision of pharmaceutical care after normal working hours by use of an “on call” pharmacist accessible to the medical institution after hours. The institutional pharmacy may enter into a contractual arrangement with another pharmacy or pharmacist for the provision of such services. Medications may be accessed from a pharmacy-designated area. The policies and procedures shall address:
- 1. A list of those individuals authorized by the pharmacist-in-charge to remove medications from the pharmacy-designated area
- 2. A list of medications authorized for removal from the pharmacy-designated area determined by the pharmacist-in-charge or designee, and the medical staff of the medical institution. The pharmacist in charge shall limit the number of medications, quantity and dosage forms to maximize patient safety. Medications shall be removed from the designated area in unit-of-use packaging, whenever possible. If a non-unit-dosed medication is needed when the pharmacy is closed, the bulk medication container shall be signed out. When the pharmacy re-opens, the pharmacist shall retrieve the bottle and dispense the necessary amount of medication. The bottle shall be returned to the pharmacy within twenty-four (24) hours after the pharmacy re-opens.
- 3. Documentation of medications removed from the pharmacy-designated area, which shall include, but not be limited to, medication name, strength, signature of authorized person removing medications, quantity and name of patient
- 4. Methods for performing a periodic review of those policies and procedures
C. Medication Distribution and Control. The pharmacist-in-charge shall establish policies and procedures relating to the procurement, distribution and control of all drug products used in the medical institution.
1. Medication Orders
- a. Medications are to be prescribed, dispensed and administered only upon orders of authorized practitioners and medication orders transmitted to the pharmacy in an appropriate manner.
- b. A licensed pharmacist in the institutional pharmacy shall review all medication orders for appropriateness upon receipt in the pharmacy prior to dispensing, except orders initiated in the operating room, emergency room, procedural rooms, and ambulatory care centers. Medication orders written when the pharmacy is closed shall be reviewed within twenty-four (24) hours after the pharmacy re-opens.
- c. All patient medication orders shall be contained in the patient’s medical record.
d. Medication orders shall contain:
- (1) Full name and street address of the patient;
- (2) Name, address, and if required by law or rules of the Board, DEA registration number of the prescribing practitioner;
- (3) Date of issuance;
- (4) Name, strength, dosage form of drug prescribed;
- (5) Directions for use;
- (6) If a written prescription, prescribing practitioner’s signature;
- (7) If an electronically transmitted prescription, prescribing practitioner’s electronic signature or type written signature; and
- (8) Oral prescriptions shall be reduced promptly to writing by the pharmacist or intern and stored either electronically or in hard copy format.
- e. Medication orders for controlled substances must comply with all applicable Federal and State laws.
f. A valid medication order may be transmitted to a licensed pharmacy by the following means:
- (1) Delivery of the original, signed written medication order.
- (2) Electronically by a nurse or authorized agent of the prescriber in a hospital, nursing facility, medical institutions, or hospice care facilities via a secure, interoperable information technology system that exchanges data accurately, effectively and in compliance with applicable laws.
- (3) Verbally by an authorized prescriber or the prescriber’s authorized designated agent. For the purposes of this Section, nurses in nursing facilities shall be considered authorized designated agents.
- (4) Via facsimile by a prescriber or the prescriber’s authorized designated agent. If the order was initially received verbally, the transmitted document shall include the name of the prescriber, the name of the agent who received and transcribed the medication order.
2. Medication Storage and Security
- a. All areas designated for medication storage shall have and shall maintain proper security to limit accessibility of unauthorized personnel on the premises and to safeguard against diversion of drugs, biologicals and medications.
- b. All medications shall be stored in designated areas under proper conditions of sanitation, temperature, light, moisture, ventilation, and segregation to ensure medication integrity. Medications shall be stored in accordance with medication labeling pursuant to the Federal and State Food Drug and Cosmetic Acts, 21 U.S.C. § 301 et seq. and R.I. Gen. Laws Chapter 21-31.
- c. Each pharmacy shall adhere to written policies and procedures that require all stocks of medications to be inspected routinely for outdated, unusable or mislabeled products.
- d. Floor stock of medications shall be limited to medications for emergency use, non-legend medications that are routinely used, and limited medications as designated by the facility.
- e. All medication areas including auxiliary drug supplies, unit dose carts and emergency kits, shall remain secured at all times. All medications must be adequately secured to restrict access by unauthorized personnel.
- f. Sample medications shall be procured, stored, dispensed and/or donated to charitable institutions in accordance with the Federal Food Drug and Cosmetic Act.
3. Labeling
- a. All drugs dispensed within a medical institution shall be labeled and identified up to the point of administration.
- b. Whenever a drug is added to a parenteral admixture, it shall be labeled with a supplementary label indicating the name and amount of the drug added, expiration date and expiration time, if applicable. For admixtures prepared outside the pharmacy, the pharmacist-in-charge shall develop policies and procedures for preparation and labeling.
- c. Labels for outpatient medications shall comply with R.I. Gen. Laws § 21-31-15(l)(l).
4. Records. The pharmacist-in-charge shall develop a system of daily accountability for medication compounding and dispensing that shall permit the identification of the responsible pharmacist. Readily retrievable records of accountability shall be maintained for at least two (2) years. At a minimum, this system shall identify all personnel who perform these activities and the pharmacist responsible for:
- a. Interpretation and appropriateness of new medication orders;
- b. Profile entry of new medication orders;
- c. Dispensing of new medication orders including “stat” doses;
- d. Daily cart fills;
- e. Compounding medications; and
- f. Periodically assessing the quality of pharmacy procedures for preparation and release of drugs for replenishment of floor stock, ancillary drug supplies, emergency kits and automated dispensing devices in locations outside the pharmacy.
5. Patient’s personal medications may be administered to the patient in the event that the hospital does not stock the medication, and shall be arranged per hospital policy.
- a. Notwithstanding the provision of § 1.6.27(C)(5) of this Part, or any other provision of this Part to the contrary, a hospital may refuse to store its patients’ personal medication in its pharmacy and may direct that personal medications be stored securely in the patients’ rooms or returned to the patients’ homes. A patient’s personal medication may be administered to the patient during a hospital stay, if necessary.
6. Emergency Outpatient Medications
a. The pharmacist-in-charge and medical staff shall establish policies and procedures for the dispensing of medications from the emergency room.
- (1) Only a licensed prescriber shall be authorized to dispense medications to patients in an emergency situation.
- (2) Emergency medications shall be labeled in accordance with R.I. Gen. Laws § 21-31-15(l)(l).
7. Monitoring Drug Therapy. The pharmacist shall review the appropriateness of the choice of medications for the patient and the patient’s therapeutic regimen, pursuant to § 1.6.13(C) of this Part.
a. Pharmacists shall have access to the following information:
- (1) Admission diagnosis;
- (2) Age, weight, height and sex;
- (3) History of allergies and/or previous adverse drug reactions;
- (4) Current and discontinued medications;
- (5) Co-morbid disease states;
- (6) Pertinent laboratory information.
- b. The pharmacist shall review each medication order and, in the case of an identified, significant problem or opportunity for improvement, the pharmacist shall contact the prescribing practitioner. All such communications shall be documented electronically or in writing. Pharmacy interventions shall be reviewed with appropriate staff committees on a routine basis.
c. Medication Use Evaluation Program: The pharmacist-in-charge and medical staff shall establish policies and procedures to increase the effectiveness and minimize the risk of drug use. Policies and procedures shall include defining, monitoring, detecting, reporting and reviewing the following:
- (1) Adverse Drug Reactions (ADR): ADRs that the pharmacist deems to be significant shall be reported to the FDA’s MedWatch Program. Vaccine-related adverse events shall be reported to the CDC.
- (2) Medication Errors: Special consideration shall be given to measures to prevent medication administration errors associated with preparing parenteral and sterile products.
(3) Medication Use Evaluation: The system shall identify, and resolve actual and potential medication-related problems, and prevent potential medication problems that could interfere with optimum patient outcomes from medication therapy.
1.6.28 Standing Orders
A. A Rhode Island licensed pharmacist may engage in a standing order pursuant to a signed standing order by a Rhode Island licensed physician or other practitioner. More than one (1) pharmacist may engage in a standing order signed by a Rhode Island licensed physician or other prescriber.
- 1. The signed standing order must be kept on file and readily retrievable at the site where the engagement in said order is taking place.
- 2. All standing orders must be approved by the BOP, the BMLD and the Director, each party listed herein may request revisions to any proposed standing order as a condition of approval. Each proposed standing order must first be submitted to the BOP. Upon BOP approval, the proposed standing order will be forwarded to the BMLD. Upon BMLD approval the standing order will be sent to the Director for approval.
- 3. No proposed standing order may commence until it is approved by the Director. The Director may also terminate a standing order at any time.
B. Standing orders must include, but are not limited to the following:
- 1. An explanation of the standing order;
- 2. The criteria for the standing order;
- 3. The training requirements for the individuals participating in the standing order, if any;
- 4. The medicine, medical supply, and/or medical equipment that may be supplied and/or administered per the standing order;
- 5. The indications for which the medicine, medical supply, and/or medical equipment is to be administered, prescribed, or dispensed;
- 6. The number of dose(s) of the medicine, medical supply or equipment per the standing order;
- 7. The route of administration or use;
- 8. Record of the clinical documentation in paper or electric form and any other documentation per State or Federal requirements;
- 9. The effective dates of the standing order.
- C. If a standing order lists more than one (1) medicine, medical supply, and/or equipment for the treatment of a condition, the purpose of each medicine medical supply or equipment must be listed on the standing order.
- D. The standing order must not exceed a two (2) year time period. If a renewal is requested, a review per § 1.13.1(A)(2) prior to the anniversary date of the standing order is required.
A. General Licensure Requirements
1. Pursuant to the provisions of R.I. Gen. Laws §§ 5-19.1-12, 5-19.1-13, and 23-25.6-1, et seq.:
- a. If Rhode Island is the State in which a prescription drug is distributed or is the State from which or into which a prescription drug is distributed by a wholesale distributor or redistributor, that wholesale distributor or redistributor may not distribute in or into or out of Rhode Island unless each facility of such wholesale distributor or redistributor is licensed in Rhode Island.
- b. If Rhode Island is the State into which a prescription drug is shipped by a wholesale distributor or redistributor, that wholesale distributor or redistributor shall also be licensed as a wholesale distributor or redistributor by the State from which that wholesale distributor or redistributor ships.
- c. If Rhode Island is the State in which a prescription drug is manufactured or is the State from which or into which a prescription drug of a manufacturer is shipped, this prescription drug may not be manufactured in and/or shipped into or out of Rhode Island unless each facility of such manufacturer is licensed in Rhode Island.
2. Federal Licensure
- a. A manufacturer shall also be licensed as a manufacturer by the Secretary of the U.S. Department of Health and Human Services, Food and Drug Administration;
- 3. The Board shall have the right to deny a license to an applicant if it determines that the granting of such a license would not be consistent with the public health and safety.
- 4. A wholesale distributor, redistributor, or manufacturer license is only valid for the name, ownership and location listed on the license. Changes of name, ownership or location shall require a new license.
- 5. When wholesale distribution, redistribution, or manufacturing facility operations are conducted at more than one (1) location, each location shall be licensed by the Board.
- 6. A wholesale distributor, redistributor, or manufacturer shall not operate from a place of residence.
- 7. A wholesale distributing, redistributing, or manufacturing facility shall be located apart and separate from any retail pharmacy licensed by the Board.
- 8. Changes in any information required for a wholesale distributor, redistributor, or manufacturer must be reported to the Board, in writing, within ten (10) days (e.g. facility manager, designated representative, telephone number, etc.).
- 9. Each wholesale distributor, redistributor, or manufacturer facility must publicly display all licenses and have readily available the most recent State and/or Federal inspection reports.
- 10. Each wholesale distributor or manufacturer shall ship only to the address listed on the purchaser’s license
11. Compliance with Federal, State and Local Laws. Each wholesale distributor, redistributor, or manufacturer shall operate in compliance with applicable Federal, State and local laws and Regulations.
- a. Each wholesale distributor, redistributor, or manufacturer shall permit the Department, Board and authorized Federal, State and local law enforcement officials to enter and inspect their premises and delivery vehicles, and to audit their records and written operating procedures, at reasonable times, and in a reasonable manner, to the extent authorized by law.
- b. Each wholesale distributor or manufacturer that deals in controlled substances shall register with the Department, and with the Drug Enforcement Administration (DEA), and shall comply with all applicable State, local and DEA Regulations.
B. Wholesale Distributor Licensure
1. The Department and Board requires the following from each wholesale distributor or redistributor as part of the initial licensing procedure, and as part of any renewal of such license:
- a. The applicant’s full name, full business address, and telephone number;
- b. All trade or business names used by the applicant;
- c. The type of ownership (e.g., individual, partnership, limited liability company or corporation);
d. Name(s) of the owner(s) of the applicant including:
- (1) If a person; the name, address, Social Security Number and date of birth;
- (2) If other than a person; the name, address, and Social Security Number and date of birth of each partner, limited liability company member, or corporate officer and corporate director, and the Federal Employer Identification Number [FEIN];
- (3) If a corporation, the State of incorporation; and
- (4) If a publicly traded corporation, the information in § 1.15.1(B)(1)(d) of this Part is not required for corporate officers and corporate directors.
- e. Names of designated representatives and facility managers of the applicant, their Social Security Numbers and date of birth;
- f. Proof of licensure by the U.S. Secretary of Health and Human Services, Food and Drug Administration and, if applicable, by the State where the applicant is located (home State);
- g. Upon the Board’s written request, a list of all manufacturers, wholesale distributors, and dispensers for whom the manufacturer provides services at such facility;
- h. Any other information the Board deems necessary to protect the public health and safety; and
- i. The initial or renewal licensure fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
C. Criteria for Renewal of Licensure for Wholesale Distributors or Redistributors
1. The Board shall consider, at a minimum, the following factors in determining the eligibility for, and renewal of, licensure of wholesale distributors:
- a. Engaging in any unprofessional conduct as defined in § 1.19 of this Part;
- b. Any finding by a law enforcement agency or regulatory agency that the applicant or any of its owners have violated any Federal, State, or local laws or foreign laws;
- c. Suspension, revocation or any other sanction against a license currently or previously held by the applicant or any of its owners for violations of State or Federal laws;
- d. Any finding that the applicant or any of its owners are guilty of or pleaded guilty or nolo contendere to violating Federal, State, or local criminal laws;
- e. The furnishing by the applicant of false or fraudulent material in any application;
- f. Failure to maintain and/or make available to the Board or to Federal, State, or local law enforcement officials those records required to be maintained by wholesale distributers;
- g. Any licensee who has no record of wholesaler distributions, or of redistributions in programs established under R.I. Gen. Laws § 23-25.6-1, during routine inspection may have its subsequent renewal application referred to the Board for review and possible approval or disapproval, and such review may require the licensee to appear before the Board; and
- h. Any other factors or qualifications that the Board considers relevant to and consistent with the public health and safety.
D. Manufacturer Licensure
1. The Board requires the following from each manufacturer as part of the initial licensing procedure, and as part of any renewal of such license:
- a. The applicant’s full name, full business address, and telephone number;
- b. All trade or business names used by the applicant;
- c. The type of ownership (e.g., individual, partnership, limited liability company or corporation);
d. Name(s) of the owner(s) of the applicant including:
- (1) If a person; the name, address, Social Security Number and date of birth;
- (2) If other than a person; the name, address, and Social Security Number and date of birth of each partner, limited liability company member, or corporate officer and corporate director, and the Federal Employer Identification Number [FEIN];
- (3) If a corporation, the State of incorporation; and
- (4) If a publicly traded corporation, the information in § 1.15.1(D)(1)(d) is not required for corporate officers and corporate directors.
- e. Names of designated representatives and facility managers of the applicant, their Social Security Numbers and date of birth;
- f. Proof of licensure by the U.S. Secretary of Health and Human Services, Food and Drug Administration and, if applicable, by the State where the applicant is located (home State);
- g. Upon the Board’s written request, a list of all manufacturers, wholesale distributors and dispensers for whom the manufacturer provides services at such facility;
- h. Any other information the Board deems necessary to protect the public health and safety; and
- i. The initial or renewal licensure fee as set forth in the Fee Structure for Licensing, Laboratory and Administrative Services Provided by the Department of Health (Part 10-05-2 of this Title).
E. Criteria for Renewal of Licensure for Manufacturers
1. The Board shall consider, at a minimum, the following factors in determining the eligibility for, and renewal of, licensure of manufacturers:
- a. Engaging in any unprofessional conduct as defined in § 1.19 of this Part;
- b. Any finding by a law enforcement agency or regulatory agency that the applicant or any of its owners have violated any Federal, State, or local laws or foreign laws;
- c. Suspension, revocation or any other sanction against a license currently or previously held by the applicant or any of its owners for violations of State or Federal laws;
- d. Any finding that the applicant or any of its owners are guilty of or pleaded guilty or nolo contendere to violating Federal, State, or local criminal laws;
- e. The furnishing by the applicant of false or fraudulent material in any application;
- f. Failure to maintain and/or make available to the Board or to Federal, State, or local law enforcement officials those records required to be maintained by manufacturers;
- g. Any licensee who has no record of manufacturing during routine inspection may have its subsequent renewal application referred to the Board for review and possible approval or disapproval, and such review may require the licensee to appear before the Board; and
h. Any other factors or qualifications that the Board considers relevant to and consistent with the public health and safety.
1.15.2 Operational Procedures
- A. Diversion Detection and Prevention Plan. Each wholesale distributor or manufacturer shall have and follow a diversion detection and prevention plan that includes all prescription drugs.
B. Written Policies and Procedures. Each wholesale drug distributor or manufacturer shall establish, maintain and adhere to written policies and procedures, which shall be followed for the receipt, security, storage, inventory, and distribution of prescription drugs, including policies and procedures for identifying, recording, and reporting losses or thefts, and for correcting all errors and inaccuracies in inventories. Each wholesale distributor or manufacturer shall include, as a minimum, the following items in their written policies and procedures:
- 1. A procedure whereby the oldest approved stock of a prescription drug product is distributed first. The procedure may permit deviation from this requirement if such deviation is temporary and appropriate.
2. A procedure to be followed for handling recalls and withdrawals of prescription drugs. Such procedure shall be adequate to deal with recalls and withdrawals due to:
- a. Any action initiated at the request of the Food and Drug Administration or other Federal, State or local law enforcement or other government agency, including the Board;
- b. Any voluntary action by the manufacturer to remove defective or potentially defective drugs from the market, or
- c. Any action undertaken to promote public health and safety by replacing of existing merchandise with an improved product or new package design.
- 3. A procedure to ensure that each wholesale distributor or manufacturer prepares for, protects against, and handles any crisis that affects security for operation of any facility in the event of strike, fire, flood, or other natural disaster, or other situations of local, State, or national emergency.
- 4. A procedure to ensure that any outdated prescription drugs shall be segregated from other drugs and either returned to the manufacturer or destroyed. This procedure shall provide for written documentation of the disposition of outdated prescription drugs. This documentation shall be maintained for two (2) years after disposition of the outdated drugs.
C. Personnel. A wholesale distributor or manufacturer shall:
- 1. Establish and maintain for Board inspection a list of each partner, limited liability company member or corporate officer and corporate director, as well as designated representatives and facility managers, including a description of their duties and a summary of their qualifications;
- 2. Designate, in writing, a person to serve as the designated facility manager of the wholesale distributor or manufacturer (as appropriate) for each location licensed;
3. Not have as an owner, designated representative, facility manager, or supervising pharmacist anyone:
- a. Convicted of any felony for conduct relating to compounding prescription drugs, any felony for violation of 21 U.S.C. §§ 331(i) or (k) or any felony for violation of 18 U.S.C. § 1365 relating to product tampering; or
- b. Who has violated Federal or State requirements for licensure that presents a threat of serious adverse health consequences or death to humans.
- 4. Employ adequate personnel with the education and experience necessary to safely and lawfully engage in acting as a wholesale distributor or manufacturer as applicable.
D. Facilities. Each wholesale distributor or manufacturer at which prescription drugs are stored, warehoused, handled, held, offered, marketed, or displayed shall:
- 1. Be of suitable size and construction to facilitate cleaning, maintenance, and proper operations;
- 2. Have storage areas designed to provide adequate lighting, ventilation, temperature, sanitation, humidity, space, equipment, and security conditions;
- 3. Have a quarantine area for storage of prescription drugs that are outdated, damaged, deteriorated, misbranded, or adulterated, or that are in immediate or sealed, secondary containers that have been opened;
- 4. Be maintained in a clean and orderly condition; and
- 5. Be free from infestation by insects, rodents, birds, or vermin of any kind.
E. Security
1. Each wholesale distributor or manufacturer shall be secure from unauthorized entry:
- a. Access from outside the premises shall be kept to a minimum and be well-controlled;
- b. The outside perimeter of the premises shall be well-lighted;
- c. Entry into areas where prescription drugs are held shall be limited to authorized personnel.
- 2. Each wholesale distributor or manufacturer shall be equipped with an alarm system to detect entry after hours.
- 3. Each wholesale distributor or manufacturer shall be equipped with a security system that will provide suitable protection against theft and diversion. When appropriate, the security system shall provide protection against theft or diversion that is facilitated or hidden by tampering with computers or electronic records.
F. Storage. All prescription drugs shall be stored at appropriate temperatures and under appropriate conditions in accordance with requirements, if any, in the labeling of such drugs or with the requirements in the current edition of an official compendium, such as the United States Pharmacopeia, and National Formulary, or their successor agency.
- 1. If no storage requirements are established for a prescription drug, the drug may be held at "controlled" room temperature, as defined in an official compendium, to help ensure that its identity, strength, quality, and purity are not adversely affected;
- 2. Appropriate manual, electro-mechanical, or electronic temperature and humidity recording equipment, devices and/or logs shall be utilized to document proper storage or prescription drugs;
- 3. The record keeping requirements in § 1.15.2(I) of this Part shall be followed for all stored drugs; and
- 4. Storage shall not include temporary or incidental possession for the purpose of delivery and/or shipment of prescription drugs.
G. Examination of Materials
- 1. Upon receipt, each outside shipping container shall be visually examined for identity and to prevent the acceptance of contaminated prescription drugs, or prescription drugs that are otherwise unfit for distribution. This examination shall be adequate to reveal container damage that would suggest possible contamination or other damage to the contents.
- 2. The contents of each outgoing shipment shall be carefully inspected for identity of the prescription drug products, and to ensure that there is no delivery of prescription drugs that have been damaged in storage or held under improper conditions.
- 3. The record keeping requirements in § 1.15.2(I) of this Part shall be followed for all incoming and outgoing prescription drugs.
H. Salvaging, Reprocessing, Returned, Damaged and Outdated Prescription Drugs
- 1. Prescription drugs that are outdated, damaged, deteriorated, misbranded, or adulterated shall be quarantined and physically separated from other prescription drugs until they are destroyed or returned to their supplier.
- 2. Any prescription drugs whose immediate or sealed outer or sealed secondary containers have been opened or used, shall be identified as such, and shall be quarantined and physically separated from other prescription drugs until they are either destroyed or returned to the supplier.
- 3. If the conditions under which a prescription drug has been returned cast doubt on the drug's safety, identity, strength, quality, or purity, then the drug shall be destroyed, or returned to the supplier, unless examination, testing or other investigation proves that the drug meets appropriate standards of safety, identity, strength, quality, and purity. In determining whether the conditions under which a drug has been returned cast doubt on the drug's safety, identity, strength, quality, or purity, the wholesale drug distributor shall consider, among other things, the conditions under which the drug has been held, stored, or shipped before or during its return, and the condition of the drug and its container, carton, or labeling, as a result of storage or shipping.
- 4. The record keeping requirements in § 1.15.2(I) of this Part shall be followed for all outdated, damaged, deteriorated, misbranded, or adulterated prescription drugs.
- 5. Salvaging and Reprocessing. Each wholesale distributor or manufacturer shall be subject to the provisions of any applicable Federal, State, or local laws or Regulations that relate to prescription drug product salvaging or reprocessing, including 21 C.F.R. Parts 207, 210(d), and 211.
I. Record keeping
1. Each wholesale distributor or manufacturer shall establish and maintain inventories and records of all transactions regarding the receipt and distribution of prescription drugs. These records shall include the following information:
- a. The source of the drugs, including the name and principal address of the seller or transferor, and the address of the location from which the drugs were shipped;
- b. The identity and quantity of the drugs received and distributed or disposed of, and
- c. The dates of receipt and distribution or other disposition of the drugs.
- 2. Inventories and records shall be made available for inspection and photocopying by any authorized official of any governmental agency charged with enforcement of this Part for a period of two (2) years following disposition of the drugs.
3. Records described in § 1.15.2(I) of this Part that are kept at the inspection site, or that can be immediately retrieved by computer or other electronic means, shall be readily available for authorized inspection during the retention period. Records kept at a central location apart from the inspection site and not electronically retrievable shall be made available for inspection within two (2) working days of a request by an authorized official of any governmental agency charged with enforcement of this Part.
1.15.3 Drug Redistribution Program
A. Drug Donation Conditions
- 1. All participation in the donation program shall be voluntary pursuant to R.I. Gen. Laws § 23-25.6-4(a).
- 2. All prescription drugs, excluding controlled substances, that have been approved for medical use in the United States, that are listed in the United States Pharmacopoeia (USP) or National Formulary (USP/NF) and that meet the criteria for donation established in this Part may be accepted for donation under the pharmaceutical redistribution program.
- 3. Any person who is eighteen (18) years of age or older may donate legally obtained prescription drugs to a redistributor if the drugs meet the requirements of this Part, as determined by a pharmacist who is employed by or under contract with a drug redistributor.
4. For the donation of a prescription drug to occur, the conditions stated in R.I. Gen. Laws § 23-25.6-4(b) must be met. In addition to the conditions stated in R.I. Gen. Laws § 23-25.6-4(b), the following conditions must also be met:
- a. The donor’s name, address, and phone contact must be provided to the redistribution program and verified as accurate by the redistribution program prior to accepting donated drug(s).
- b. If the donor is a facility such as a pharmacy, institution, manufacturer, wholesale distributor or any other authorized donor it must provide their resident state and applicable Rhode Island and federal registrations to the redistribution program in order for donated drug(s) to be accepted.
- c. The donor must sign and date a form provided by the redistribution program which attests that the donated drug(s) have been stored in temperature-controlled environments, as applicable.
- d. Drugs that require storage temperatures other than normal room temperature as specified by the manufacturer or the USP must not be donated or accepted as part of the drug redistribution program;
- e. The donated drug(s) has been stored according to manufacturer or USP storage requirements;
- f. The packaging contains the lot number and expiration date of the donated drug(s);
- g. The drug does not have any signs of tampering, misbranding, deterioration, compromised integrity, or adulteration.
- 5. All drugs must be inventoried at the redistribution facility. The inventory must include the name, strength, and quantity of the drug, and the date of donation if the drug has been continually under the control of a healthcare professional. If the drug has not been continually under the control of a healthcare professional, the redistributor must collect a donation form that is signed by the person making the donation.
- 6. Drugs must be donated on the premises of the redistributor. A drop box must not be used to deliver or accept donated drugs.
- 7. A drug that is the subject of a U.S. Food and Drug Administration (FDA) managed risk evaluation and mitigation strategy pursuant to 21 U.S.C. § 355-1 must not be donated if the inventory transfer is prohibited by that strategy, or if the inventory transfer requires prior authorization from the drug manufacturer.
8. The following drugs:
| May be Donated | May NOT be Donated |
| Cancer drugs | Controlled substances |
| Creams | Drugs that are only approved for use in other countries or are from foreign non-FDA approved sources |
| Drugs donated by a manufacturer | Drugs that the pharmacist deems may not be donated |
| Drugs from out-of-state | Empty bottles |
| Eye drops | Insulin syringes |
| Drugs that have a clear expiration date | Medical supplies and devices |
| Drugs that have lot numbers displayed | Non-FDA-approved drugs |
| Drugs within three (3) months of expiration | Open vials, bottles, or packages |
| Inhalers (in packaging) | Over-the-counter drugs (“OTCs”) |
| FDA-approved drugs from FDA-approved sources | Temperature sensitive drugs (cannot be stored at normal room temperature) |
| Non-controlled substance prescription drugs | Veterinary drugs |
| Patches | Compounded drugs |
| Samples | |
| Sealed liquids | |
| Sealed mail order pharmacy bottles | |
| Sealed manufacturer bottles | |
| Drugs stored in accordance with USP guidelines | |
| Surplus products | |
| Tamper-proof products (e.g., blister packs) | |
| Unopened stock bottles | |
B. Handling of Drugs to be Redistributed
- 1. A pharmacist must adhere to standard pharmacy practices, as required by State and Federal law, when dispensing all drugs.
- 2. A licensed pharmacist employed by or under contract with the redistributor must inspect donated prescription drugs to determine, to the extent reasonably possible in the judgment of the pharmacist, that the drugs are not adulterated or misbranded, are safe and suitable for dispensing, and are not ineligible drugs. The pharmacist who inspects the drugs must sign an inspection record stating this inspection has been completed and attach it to the copy of the inventory or donor record provided with the drugs.
- 3. The redistributor must be responsible for drug recalls and must have an established mechanism to notify recipients in the event of a drug recall.
- 4. Donated drugs may be dispensed only if the drugs are prescribed by a healthcare prescriber for use by an eligible person and are dispensed by a pharmacist or other person permitted to dispense.
- 5. Donated drugs shall not be stored with non-donated inventory.
- 6. The drug redistribution facility must have a quarantine area for drugs that are expired, adulterated, recalled, misbranded, or deteriorated such that these drugs are separated from drugs to be dispensed or redistributed.
- 7. If any one of the conditions contained in § 1.15.3(A) of this Part is not satisfied, the donated drugs shall not be distributed pursuant to R.I. Gen. Laws § 23-25.6-4(c).
- 8. The redistributor must remove the original donor’s identification and the name of the dispensing pharmacy from the package prior to dispensing the drugs.
- 9. The drugs must be labeled properly with a serial number or other effective label in accordance with § 1.6.17(A) of this Part.
- 10. Drug diversion and theft prevention measures plan must be in place at the drug redistribution location.
- 11. Security measures, including but not limited to, an alarm system monitored 24/7, security cameras, and motion detectors must be in place at the redistribution location. Entry to areas where drugs are stored must be limited to authorized personnel only.
- 12. Drugs donated under the drug redistribution program must not be transferred by any participating entity more than once, and after it has been transferred, shall be dispensed to an eligible patient, destroyed, or returned to a reverse distributor or waste hauler.
- 13. Drugs donated to a Receiver cannot be re-donated.
14. When donated drugs are destroyed, records of their destruction must be retained by the drug redistribution program and readily retrievable upon request of any state board of pharmacy or federal regulatory agency.
- a. Documentation must include, and not be limited to, a record of the drug(s) destroyed, drug dosage, drug quantity, the name of the person or reverse distributor destroying the drug(s), and the names of donors of the drug(s) destroyed.
- 15. Drug redistributors must maintain compliance with all applicable requirements of the DQSA (Drug Quality & Security Act) and DSCSA (Drug Supply Chain Security Act) 21 U.S.C. § 301.
C. Redistributor Requirements
- 1. Conditions of redistribution of donated medications are pursuant to R.I. Gen. Laws § 23-25.6-5.
- 2. Redistributors must be licensed by the Department as distributors in accordance with the provisions of R.I. Gen. Laws Chapter 21-28, as amended and this Part.
- 3. A separate distributor license is required for each redistribution location.
- 4. A name change of a licensed drug redistributor shall require a new license.
- 5. A pharmacist licensed in Rhode Island must be responsible for ensuring donated drugs meet the criteria for redistribution. If in the licensed pharmacist’s professional judgment, the safety, identity, strength, quality, or purity of the donated drug makes it unsuitable for redistribution, the drug must not be redistributed and may be destroyed.
- 6. A pharmacist licensed in Rhode Island must be responsible for developing a formulary of drugs appropriate for the redistribution program.
- 7. The Board shall have the right to deny an application for a drug redistribution program license if it determines that approving the application would not be consistent with public health and safety. Appeals may be made in accordance with § 1.19.5 of this Part.
- 8. Pursuant to R.I. Gen. Laws § 23-25.6-3(b), the donation and redistribution of drugs is not categorized as wholesale distribution and does not warrant licensing as a drug wholesale distributor.
- 9. A drug redistributor must employ a sufficient number of personnel who are educated and experienced to safely and lawfully engage in the operation of a drug redistribution facility.
- 10. A pharmacy that solely operates a drug redistribution program may repackage a reasonable quantity of donated drugs in anticipation of dispensing the drugs to its patient population. The pharmacy must have repackaging policies and protocols in place for identifying and recalling drugs.
- 11. A pharmaceutical redistribution program must not be operated from a person’s residence.
- 12. The cost to any person for a redistributed drug must not exceed the current established Rhode Island Medicaid dispensing fee that is paid to retail pharmacies for a non-redistributed prescription drug dispensed to a Medicaid recipient; this fee is a separate fee and does not include the usual and customary cost, acquisition cost or any similar industry standard drug acquisition costs that Rhode Island Medicaid would reimburse to a licensed retail pharmacy for a covered prescription.
- 13. A designated facility manager responsible for the operation of the redistribution program must be employed by the redistributor.
14. Written policies and procedures that address no less than the following items must be documented and implemented:
- a. Receipt of drugs;
- b. Security;
- c. Storage;
- d. Inventory management;
- e. Redistribution of drugs;
- f. Reporting of drug loss or theft;
- g. Handling drugs that have been recalled;
- h. Pharmacist methodology for accepting drugs that will be redistributed;
- i. Handling drug recalls;
- j. Emergency/disaster plan for facility; and,
- k. Segregation of outdated drugs from working inventory.
- 15. A drug redistributor must dispense donated prescription drugs in compliance with all applicable federal and state laws and regulations for dispensing prescription drugs, including all requirements related to packaging, labeling, record-keeping, drug utilization review, and patient counseling.
16. A drug redistributor licensed in Rhode Island must prioritize the dispensing of redistributed drugs to citizens of Rhode Island (“Rhode Islanders”) in most need and other eligible Rhode Islanders under the following conditions:
- a. Rhode Island patients must receive no less than ninety-five percent (95%) of the redistributed drugs, by value. Licensed drug redistributors must retain readily producible documents demonstrating this prioritization.
- b. Prior to redistributing drugs to any institution, the drug redistributor must prioritize individual Rhode Islanders who are most in need, do not have health insurance, are underinsured, would face enormous financial hardship to pay the full price or co-pay for a non-redistributed prescription drug, or are reliant on public health programs and must retain readily producible documents demonstrating this prioritization.
- 17. A redistributor must notify a patient if the patient is receiving a drug that has been donated. While acceptance of a redistributed drug is voluntary, the patient shall always have the option to refuse this type of medication.
D. Physical Plant
1. The drug redistribution facility must be of suitable size and construction to facilitate operations, cleaning, maintenance, and storage of drugs. Additionally, the drug redistribution program must maintain:
- a. An appropriate HVAC system to control the facility’s temperature and humidity;
b. Appropriate temperature conditions as specified by the USP as follows:
- (1) Room temperature drugs must be stored at a temperature range of sixty-eighty to seventy-seven degrees Fahrenheit (68° to 77° F);
- (2) An automated temperature monitoring system that records temperatures and provides continuous readings 24/7;
- c. Appropriate lighting and adequate space with shelving for drug products so that no products are stored on floors.
- d. The drug redistribution facility must be free of infestation of birds, rodents, insects, and vermin of any kind.
E. Drug Storage
- 1. Storage of donated drugs shall be in accordance with R.I. Gen. Laws § 23-25.6-5(e).
F. Record Keeping
- 1. A paper or electronic log for tracking redistributed drugs must be maintained at the redistribution facility.
- 2. The log must document the transaction date, drug name, strength, and quantity, date the drug left the donor, date the drug was received at the redistribution facility, name and contact information of the donor, location of the drug’s origin, expiration date of the drug, date pharmacist approved the drug to be redistributed, date the drug was released to Receiver, and the pharmacist’s initials.
3. The drug redistributor must retain readily producible records in paper or electronic form for every drug that is redistributed with no less than the following information:
- a. Name of person that received a redistributed drug;
- b. Name, strength, and quantity of redistributed drug;
- c. Name of State where the redistributed drug was dispensed;
- d. Price paid for each drug that was sold by the drug redistributor pursuant to R.I. Gen. Laws § 23-25.6-5(c) and §§ 1.15.3(C)(13) and 1.15.3 (H)(4) of this Part;
- e. Proof of prioritization of need for person who received the redistributed drug;
- f. Readily producible data breakdowns which demonstrate the locations where redistributed drugs were dispensed; and,
- g. Readily producible data breakdowns which demonstrate the persons in need and other populations where redistributed drugs were dispensed.
- h. Patient records that contain Protected Health Information (PHI) must be stored and maintained following all requirements of the Health Insurance Portability and Accountability Act of 1996 (HIPAA).
- 4. All records required pursuant to the provisions of R.I. Gen. Laws Chapter 23-25.6 and this Part must be retained in hard copy or electronic format for a period of no less than two (2) years.
G. Drug Destruction/Disposal
- 1. Donated drugs that cannot be utilized by the redistributor must be destroyed in accordance with the requirements of R.I. Gen. Laws § 23-25.6-5(d).
- 2. A drug disposal log must be maintained in hard-copy or electronic form at the facility that consists of drug name, strength, quantity, date the drug left the donor, date the drug was received at the redistribution facility, the name and contact information of the donor, location of the drug’s origin, expiration date of the drug, reason the drug was disposed and the pharmacist’s initials.
- 3. A hazardous drug disposal service must be in place for the safe disposal of any such drugs.
- H. Patient Eligibility Criteria shall be in accordance with the provisions of R.I. Gen. Laws § 23-25.6-3(a).