5-Part Compliance Series: Top Compliance Issues Impacting Hospices


Date/Time: 02/04/2016, 10:00 am - 4:30 pm

Provider:

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Thursday, February 4, 2016

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10:00 am – 11:30 am HST
11:00 am – 12:30 pm AKT
12:00 pm – 1:30 pm PT
1:00 pm – 2:30 pm MT
2:00 pm – 3:30 pm CT
3:00 pm – 4:30 pm ET

 

A governmental focus on ferreting out fraud and abuse and CMS’ efforts to protect the integrity of the hospice benefit may seem like issues that only ‘other hospices’ need to deal with. Quite the contrary! Hospices of all sizes, ownership types, and geographic locations need to be concerned with the government’s initiatives. Hospices need to be aware of top compliance issues to be prepared for an environment of compliance. This webinar will prepare participants for increased scrutiny by addressing issues impacting hospices and what types of audits and oversight should be in place to mitigate risk.

HIGHLIGHTS

  • Why the current environment is elevating the importance of compliance
  • Top five compliance areas for hospices and tips for compliance
  • Recent enforcement actions on hospices and hospice responses
  • Forecast of future compliance concerns for hospices
  • Audit and oversight schedules for hospices to identify gaps in their organization
  • Importance of a culture of compliance and how to create one
  • TAKE-AWAY TOOLKIT
    • Compliance audit tool for use in identifying gaps in the top five compliance areas

WHO SHOULD ATTEND?

This informative session is best suited for compliance officers, administrators, clinical managers, regulatory specialists, billing managers, billers, and auditors.

Don’t Miss the Other Compliance Series Webinars!

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Click here to learn more about the Compliance Series.

PLEASE NOTE
Webinar content is subject to copyright and intended for your individual organization’s use only.

MEET THE PRESENTER

Katie Wehri, CHC, CHPCKatie Wehri
Wehri & Associates, LLC

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