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Healthcare Compliance Program: Auditing and Monitoring

4713
Duration : 60 Minutes

Marina Malikova, Executive Director, Boston University School of Medic

Dr. Malikova has over twenty years of experience in the clinical research field. She has managed Phase I – IV studies involving investigational drugs, devices and biologics. She has worked on Industry-sponsored and Investigator-initiated trials in the fields of Surgery, Cancer Diagnostics an Read more


This webinar will discuss the best practices of implementing auditing and monitoring as a part of your compliance program. The U.S. Department of Health and Human Services (HHS) Office of Inspector General (OIG) calls for auditing and monitoring as “an ongoing evaluation process (that) is critical to a successful compliance program” but does not define the differences. This webinar will teach the differences, roles and responsibilities and how to find compliance gaps and make sure that the compliance program is effective.

Why Should You Attend:

The Department of Health and Human Services (HHS) Office of Inspector General (OIG) and other regulatory bodies have made it clear that a compliance program must be demonstrated as being “fully effective.” Between January 1 and June 30, 2017, the DOJ announced $817 million in FCA (False Claims Act) recoveries from health care providers, putting it on pace to exceed the approximately $1.1 billion recovered from FCA settlements with providers in all of 2016.

The OIG has noted that organizations should incorporate independent reviews and compliance program effectiveness evaluations to identify compliance gaps and evince that the compliance program is effective. Compliance Officers are expected to demonstrate that the compliance program covers all seven elements outlined by the OIG and that key metrics are tracked to prove compliance effectiveness.

Attend this webinar to understand the differences between auditing and monitoring, roles and responsibilities, OIG work workplan risk areas and learn how to implement best practices through live case studies.

Course Outline:

• Tips on how to create a culture of compliance
• Top OIG Work plan areas of risk
• Discuss strategies to avoid fraud/abuse violations
• Unique differences between “auditing” and “monitoring”
• Roles and responsibilities of Compliance Officer
• Benefits of independent monitoring operations
• Review live case studies, risks, penalties
• Discover how “best practices” are implementing auditing and monitoring

What You Get:

• Training Materials
• Live Q&A Session with our Expert
• Participation Certificate
• Access to Signup Community (Optional)
• Reward Points

Who Will Benefit:

• Compliance Officers
• CEO
• CFO
• Medical Practice Managers/Administrators
• Physicians
• Compliance Committees
• Revenue Cycle Management Professionals
• Billing and Coding Personnel

Please reach us at 1-888-844-8963 for any further assistance or if you wish to register

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