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Sen. David Koehler
Filed: 3/21/2023
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1 | | AMENDMENT TO SENATE BILL 757
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2 | | AMENDMENT NO. ______. Amend Senate Bill 757 by replacing |
3 | | everything after the enacting clause with the following:
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4 | | "Section 5. The Illinois Insurance Code is amended by |
5 | | changing Section 424 and by adding Section 513b7 as follows:
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6 | | (215 ILCS 5/424) (from Ch. 73, par. 1031)
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7 | | Sec. 424. Unfair methods of competition and unfair or |
8 | | deceptive acts or
practices defined. The following are hereby |
9 | | defined as unfair methods of
competition and unfair and |
10 | | deceptive acts or practices in the business of
insurance:
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11 | | (1) The commission by any person of any one or more of |
12 | | the acts
defined or prohibited by Sections 134, 143.24c, |
13 | | 147, 148, 149, 151, 155.22,
155.22a, 155.42,
236, 237, |
14 | | 364, 469, and 513b1 , and 513b7 of this Code.
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15 | | (2) Entering into any agreement to commit, or by any |
16 | | concerted
action committing, any act of boycott, coercion |
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1 | | or intimidation
resulting in or tending to result in |
2 | | unreasonable restraint of, or
monopoly in, the business of |
3 | | insurance.
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4 | | (3) Making or permitting, in the case of insurance of |
5 | | the types
enumerated in Classes 1, 2, and 3 of Section 4, |
6 | | any unfair discrimination
between individuals or risks of |
7 | | the same class or of essentially the same
hazard and |
8 | | expense element because of the race, color, religion, or |
9 | | national
origin of such insurance risks or applicants. The |
10 | | application of this Article
to the types of insurance |
11 | | enumerated in Class 1 of Section 4 shall in no way
limit, |
12 | | reduce, or impair the protections and remedies already |
13 | | provided for by
Sections 236 and 364 of this Code or any |
14 | | other provision of this Code.
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15 | | (4) Engaging in any of the acts or practices defined |
16 | | in or prohibited by
Sections 154.5 through 154.8 of this |
17 | | Code.
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18 | | (5) Making or charging any rate for insurance against |
19 | | losses arising
from the use or ownership of a motor |
20 | | vehicle which requires a higher
premium of any person by |
21 | | reason of his physical disability, race, color,
religion, |
22 | | or national origin.
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23 | | (6) Failing to meet any requirement of the Unclaimed |
24 | | Life Insurance Benefits Act with such frequency as to |
25 | | constitute a general business practice. |
26 | | (Source: P.A. 102-778, eff. 7-1-22.)
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1 | | (215 ILCS 5/513b7 new) |
2 | | Sec. 513b7. Pharmacy audits. |
3 | | (a) As used in this Section: |
4 | | "Audit" means any physical on-site, remote electronic, or |
5 | | concurrent review of a pharmacist service submitted to the |
6 | | pharmacy benefit manager or pharmacy benefit manager affiliate |
7 | | by a pharmacist or pharmacy for payment. |
8 | | "Auditing entity" means a person or company that performs |
9 | | a pharmacy audit. |
10 | | "Extrapolation" means the practice of inferring a |
11 | | frequency of dollar amount of overpayments, underpayments, |
12 | | nonvalid claims, or other errors on any portion of claims |
13 | | submitted, based on the frequency of dollar amount of |
14 | | overpayments, underpayments, nonvalid claims, or other errors |
15 | | actually measured in a sample of claims. |
16 | | "Misfill" means a prescription that was not dispensed; a |
17 | | prescription that was dispensed but was an incorrect dose, |
18 | | amount, or type of medication; a prescription that was |
19 | | dispensed to the wrong person; a prescription in which the |
20 | | prescriber denied the authorization request; or a prescription |
21 | | in which an additional dispensing fee was charged. |
22 | | "Pharmacy audit" means an audit conducted of any records |
23 | | of a pharmacy for prescriptions dispensed or nonproprietary |
24 | | drugs or pharmacist services provided by a pharmacy or |
25 | | pharmacist to a covered person. |
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1 | | "Pharmacy record" means any record stored electronically |
2 | | or as a hard copy by a pharmacy that relates to the provision |
3 | | of a prescription or pharmacy services or other component of |
4 | | pharmacist care that is included in the practice of pharmacy. |
5 | | (b) Notwithstanding any other law, when conducting a |
6 | | pharmacy audit, an auditing entity shall: |
7 | | (1) not conduct an on-site audit of a pharmacy at any |
8 | | time during the first 3 business days of a month or the |
9 | | first 2 weeks and final 2 weeks of the calendar year or |
10 | | during a declared State or federal public health |
11 | | emergency; |
12 | | (2) notify the pharmacy or its contracting agent no |
13 | | later than 30 days before the date of initial on-site |
14 | | audit; the notification to the pharmacy or its contracting |
15 | | agent shall be in writing and delivered either: |
16 | | (A) by mail or common carrier, return receipt |
17 | | requested; or |
18 | | (B) electronically with electronic receipt |
19 | | confirmation, addressed to the supervising pharmacist |
20 | | of record and pharmacy corporate office, if |
21 | | applicable, at least 30 days before the date of an |
22 | | initial on-site audit; |
23 | | (3) limit the audit period to 24 months after the date |
24 | | a claim is submitted to or adjudicated by the pharmacy |
25 | | benefit manager; |
26 | | (4) include in the written advance notice of an |
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1 | | on-site audit the list of specific prescription numbers to |
2 | | be included in the audit that may or may not include the |
3 | | final 2 digits of the prescription numbers; |
4 | | (5) use the written and verifiable records of a |
5 | | hospital, physician, or other authorized practitioner that |
6 | | are transmitted by any means of communication to validate |
7 | | the pharmacy records in accordance with State and federal |
8 | | law; |
9 | | (6) limit the number of prescriptions audited to no |
10 | | more than 100 randomly selected in a 12-month period and |
11 | | no more than one on-site audit per quarter of the calendar |
12 | | year, except in cases of fraud; |
13 | | (7) provide the pharmacy or its contracting agent with |
14 | | a copy of the preliminary audit report within 45 days |
15 | | after the conclusion of the audit; |
16 | | (8) be allowed to conduct a follow-up audit on site if |
17 | | a remote or desk audit reveals the necessity for a review |
18 | | of additional claims; |
19 | | (9) accept invoice audits as validation invoices from |
20 | | any wholesaler registered with the Department of Financial |
21 | | and Professional Regulation from which the pharmacy has |
22 | | purchased prescription drugs or, in the case of durable |
23 | | medical equipment or sickroom supplies, invoices from an |
24 | | authorized distributor other than a wholesaler; |
25 | | (10) provide the pharmacy or its contracting agent |
26 | | with the ability to provide documentation to address a |
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1 | | discrepancy or audit finding if the documentation is |
2 | | received by the pharmacy benefit manager no later than the |
3 | | 45th day after the preliminary audit report was provided |
4 | | to the pharmacy or its contracting agent; the pharmacy |
5 | | benefit manager shall consider a reasonable request from |
6 | | the pharmacy for an extension of time to submit |
7 | | documentation to address or correct any findings in the |
8 | | report; |
9 | | (11) be required to provide the pharmacy or its |
10 | | contracting agent with the final audit report no later |
11 | | than 60 days after the initial audit report was provided |
12 | | to the pharmacy or its contracting agent; |
13 | | (12) conduct the audit in consultation with a |
14 | | pharmacist if the audit involves clinical or professional |
15 | | judgment; |
16 | | (13) not chargeback, recoup, or collect penalties from |
17 | | a pharmacy until the time period to file an appeal of the |
18 | | final pharmacy audit report has passed or the appeals |
19 | | process has been exhausted, whichever is later, unless the |
20 | | identified discrepancy is expected to exceed $25,000, in |
21 | | which case the auditing entity may withhold future |
22 | | payments in excess of that amount until the final |
23 | | resolution of the audit; |
24 | | (14) not compensate the employee or contractor |
25 | | conducting the audit based on a percentage of the amount |
26 | | claimed or recouped pursuant to the audit; |
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1 | | (15) not use extrapolation to calculate penalties or |
2 | | amounts to be charged back or recouped unless otherwise |
3 | | required by federal law or regulation; any amount to be |
4 | | charged back or recouped due to overpayment may not exceed |
5 | | the amount the pharmacy was overpaid; |
6 | | (16) not include dispensing fees in the calculation of |
7 | | overpayments unless a prescription is considered a |
8 | | misfill; and |
9 | | (17) conduct a pharmacy audit under the same standards |
10 | | and parameters as conducted for other similarly situated |
11 | | pharmacies audited by the auditing entity. |
12 | | (c) Except as otherwise provided by State or federal law, |
13 | | an auditing entity conducting a pharmacy audit may have access |
14 | | to a pharmacy's previous audit report only if the report was |
15 | | prepared by that auditing entity. |
16 | | (d) Information collected during a pharmacy audit shall be |
17 | | confidential by law, except that the auditing entity |
18 | | conducting the pharmacy audit may share the information with |
19 | | the health benefit plan for which a pharmacy audit is being |
20 | | conducted and with any regulatory agencies and law enforcement |
21 | | agencies as required by law. |
22 | | (e) A pharmacy may not be subject to a chargeback or |
23 | | recoupment for a clerical or recordkeeping error in a required |
24 | | document or record, including a typographical error or |
25 | | computer error, unless the pharmacy benefit manager can |
26 | | provide proof of intent to commit fraud or such error results |
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1 | | in actual financial harm to the pharmacy benefit manager, a |
2 | | health plan managed by the pharmacy benefit manager, or a |
3 | | consumer. |
4 | | (f) A pharmacy shall have the right to file a written |
5 | | appeal of a preliminary and final pharmacy audit report in |
6 | | accordance with the procedures established by the entity |
7 | | conducting the pharmacy audit. |
8 | | (g) No interest shall accrue for any party during the |
9 | | audit period, beginning with the notice of the pharmacy audit |
10 | | and ending with the conclusion of the appeals process. |
11 | | (h) A contract between a pharmacy or pharmacist and a |
12 | | pharmacy benefit manager must contain a provision allowing, |
13 | | during the course of a pharmacy audit conducted by or on behalf |
14 | | of a pharmacy benefit manager, a pharmacy or pharmacist to |
15 | | withdraw and resubmit a claim within 30 days after: |
16 | | (1) the preliminary written audit report is delivered |
17 | | if the pharmacy or pharmacist does not request an internal |
18 | | appeal; or |
19 | | (2) the conclusion of the internal audit appeals |
20 | | process if the pharmacy or pharmacist requests an internal |
21 | | audit appeal. |
22 | | (i) This Section shall not apply to: |
23 | | (1) audits in which suspected fraudulent activity or |
24 | | other intentional or willful misrepresentation is |
25 | | evidenced by a physical review, review of claims data or |
26 | | statements, or other investigative methods; |