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1 | AN ACT concerning insurance.
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2 | Be it enacted by the People of the State of Illinois,
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3 | represented in the General Assembly:
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4 | Section 5. The Illinois Insurance Code is amended by | |||||||||||||||||||||
5 | changing Sections 512-3 and 512-7 as follows:
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6 | (215 ILCS 5/512-3) (from Ch. 73, par. 1065.59-3)
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7 | Sec. 512-3. Definitions. For the purposes of this Article, | |||||||||||||||||||||
8 | unless the
context otherwise requires, the terms defined in | |||||||||||||||||||||
9 | this Article have the meanings
ascribed
to them herein:
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10 | (a) "Third party prescription program" or "program" means | |||||||||||||||||||||
11 | any system of
providing for the reimbursement of pharmaceutical | |||||||||||||||||||||
12 | services and prescription
drug products offered or operated in | |||||||||||||||||||||
13 | this State under a contractual arrangement
or agreement between | |||||||||||||||||||||
14 | a provider of such services and another party who is
not the | |||||||||||||||||||||
15 | consumer of those services and products. Such programs may | |||||||||||||||||||||
16 | include, but need not be limited to, employee benefit
plans | |||||||||||||||||||||
17 | whereby a consumer receives prescription drugs or other | |||||||||||||||||||||
18 | pharmaceutical
services and those services are paid for by
an | |||||||||||||||||||||
19 | agent of the employer or others.
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20 | (b) "Third party program administrator" or "administrator" | |||||||||||||||||||||
21 | or "entity" means any pharmacy benefits manager or person, | |||||||||||||||||||||
22 | business, or other entity that performs pharmacy benefits | |||||||||||||||||||||
23 | management. The terms include a person or auditing entity |
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1 | acting for a pharmacy benefits manager in a contractual or | ||||||
2 | employment relationship in the performance of pharmacy | ||||||
3 | benefits management for a managed care company or nonprofit | ||||||
4 | hospital or the services of a pharmacy benefits administrator, | ||||||
5 | medical service organization, insurance company, third-party | ||||||
6 | payor, person,
partnership or corporation who issues or causes | ||||||
7 | to be issued any payment
or reimbursement to a provider for | ||||||
8 | services rendered pursuant to a third
party prescription | ||||||
9 | program, but does not include the Director of Healthcare and | ||||||
10 | Family Services or any agent authorized by
the Director to | ||||||
11 | reimburse a provider of services rendered pursuant to a
program | ||||||
12 | of which the Department of Healthcare and Family Services is | ||||||
13 | the third party.
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14 | (Source: P.A. 95-331, eff. 8-21-07.)
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15 | (215 ILCS 5/512-7) (from Ch. 73, par. 1065.59-7)
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16 | Sec. 512-7. Contractual provisions.
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17 | (a) Any agreement or contract entered into in this State | ||||||
18 | between the
administrator of a program and a pharmacy shall | ||||||
19 | include a statement of the
method and amount of reimbursement | ||||||
20 | to the pharmacy for services rendered to
persons enrolled in | ||||||
21 | the program, the frequency of payment by the program
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22 | administrator to the pharmacy for those services, and a method | ||||||
23 | for the
adjudication of complaints and the settlement of | ||||||
24 | disputes between the
contracting parties.
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25 | (b)(1) A program shall provide an annual period of at least |
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1 | 30 days
during which any pharmacy licensed under the | ||||||
2 | Pharmacy Practice Act
may elect to participate in the | ||||||
3 | program under the program terms for at
least one year.
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4 | (2) If compliance with the requirements of this | ||||||
5 | subsection (b) would
impair any provision of a contract | ||||||
6 | between a program and any other person,
and if the contract | ||||||
7 | provision was in existence before January 1, 1990,
then | ||||||
8 | immediately after the expiration of those contract | ||||||
9 | provisions the
program shall comply with the requirements | ||||||
10 | of this subsection (b).
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11 | (3) This subsection (b) does not apply if:
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12 | (A) the program administrator is a licensed health | ||||||
13 | maintenance
organization that owns or controls a | ||||||
14 | pharmacy and that enters into an
agreement or contract | ||||||
15 | with that pharmacy in accordance with subsection (a); | ||||||
16 | or
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17 | (B) the program administrator is a licensed health | ||||||
18 | maintenance
organization that is owned or controlled | ||||||
19 | by another entity that also owns
or controls a | ||||||
20 | pharmacy, and the administrator enters into an | ||||||
21 | agreement or
contract with that pharmacy in accordance | ||||||
22 | with subsection (a).
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23 | (4) This subsection (b) shall be inoperative after | ||||||
24 | October 31,
1992.
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25 | (c) The program administrator shall cause to be issued an | ||||||
26 | identification
card to each person enrolled in the program. The |
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1 | identification card
shall include:
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2 | (1) the name of the individual enrolled in the program; | ||||||
3 | and
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4 | (2) an expiration date if required under the | ||||||
5 | contractual arrangement or
agreement between a provider of | ||||||
6 | pharmaceutical services and prescription
drug products and | ||||||
7 | the third party prescription program administrator.
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8 | (d) Notwithstanding any other law, when an on-site audit or | ||||||
9 | a desk audit of the records of a pharmacy is conducted by any | ||||||
10 | entity, the audit shall be conducted in accordance with the | ||||||
11 | following criteria: | ||||||
12 | (1) no entity shall conduct an on-site audit or a desk | ||||||
13 | audit at a particular pharmacy more than once annually; | ||||||
14 | however, this paragraph (1) shall not apply when an entity | ||||||
15 | must return to a pharmacy to complete an audit already in | ||||||
16 | progress, there is suspected or previously identified | ||||||
17 | history of errors, or inappropriate or illegal activity | ||||||
18 | that the entity has brought to the attention of the | ||||||
19 | pharmacy owner or corporate headquarters of the pharmacy; | ||||||
20 | (2) the entity conducting the on-site audit or desk | ||||||
21 | audit must give the pharmacy written notice, delivered by | ||||||
22 | certified mail to the owner of the pharmacy, at least 2 | ||||||
23 | weeks prior to conducting the initial on-site audit for | ||||||
24 | each audit cycle and must describe in exact detail the | ||||||
25 | records to be examined; | ||||||
26 | (3) the entity conducting the on-site audit or desk |
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1 | audit shall not exceed 4 hours in duration and shall not | ||||||
2 | interfere with the delivery of pharmacist services to any | ||||||
3 | patient, and shall utilize every effort to minimize | ||||||
4 | inconvenience and disruption to pharmacy operations during | ||||||
5 | the audit process; on-site audits shall review no more than | ||||||
6 | 100 unique prescription numbers during an initial audit; | ||||||
7 | (4) any audit that involves clinical or professional | ||||||
8 | judgment must be conducted by or in consultation with a | ||||||
9 | pharmacist licensed in this State; | ||||||
10 | (5) any clerical or record-keeping error, such as a | ||||||
11 | typographical error, scrivener's error, or computer error, | ||||||
12 | regarding a required document or record does not constitute | ||||||
13 | fraud; however, such claims may be subject to recoupment; | ||||||
14 | (6) a pharmacy may use the records of a hospital, | ||||||
15 | physician, or other authorized practitioner of the healing | ||||||
16 | arts for drugs or medicinal supplies written or transmitted | ||||||
17 | by any means of communication for purposes of validating | ||||||
18 | the pharmacy record with respect to orders or refills of a | ||||||
19 | legend or narcotic drug; | ||||||
20 | (7) a finding of an overpayment or underpayment must be | ||||||
21 | based on the actual overpayment or underpayment and may not | ||||||
22 | be a projection based on the number of patients served | ||||||
23 | having a similar diagnosis or on the number of similar | ||||||
24 | orders or refills for similar drugs; | ||||||
25 | (8) a finding of overpayment to the pharmacy shall | ||||||
26 | invoke a recoupment of dispensing fees only, such as the |
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1 | medications were legally dispensed and received by a valid | ||||||
2 | patient under order of a valid prescription and previously | ||||||
3 | authorized for payment by the entity; | ||||||
4 | (9) each pharmacy shall be audited under the same | ||||||
5 | standards, parameters, and frequency as other similarly | ||||||
6 | situated pharmacies audited by the entity; | ||||||
7 | (10) the period covered by an audit may not exceed one | ||||||
8 | year from the date the claim was submitted to or | ||||||
9 | adjudicated by a managed care company, nonprofit hospital | ||||||
10 | or medical service organization, insurance company, | ||||||
11 | third-party payor, pharmacy benefit manager, health | ||||||
12 | program administered by a department of the State, or any | ||||||
13 | entity that represents such companies, groups, or | ||||||
14 | departments; | ||||||
15 | (11) no audit may be initiated or scheduled during the | ||||||
16 | first 7 calendar days of any month, or during peak holiday | ||||||
17 | seasons, due to the high volume of prescriptions filled in | ||||||
18 | the pharmacy during that time unless otherwise consented to | ||||||
19 | by the pharmacy; | ||||||
20 | (12) the firm or entity conducting the on-site audit or | ||||||
21 | desk audit on behalf of the plan provider or pharmacy | ||||||
22 | benefits manager may not receive compensation payments | ||||||
23 | based on a formula calculated on the amount recovered; | ||||||
24 | (13) any necessary or legally required information may | ||||||
25 | appear on the front or back or affixed to the prescription | ||||||
26 | to be deemed legally valid, along with any accepted |
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1 | electronic records to the extent permitted by law; and | ||||||
2 | (14) when a valid prescription is in force, auditors | ||||||
3 | may not seek recoupment for claims that exceeded face value | ||||||
4 | of prescription or similar claims when a duly authorized | ||||||
5 | prescription is in force and permitted under law. | ||||||
6 | (e) The auditing entity, administrator, or its | ||||||
7 | representative described in subsection (d) of this Section must | ||||||
8 | provide the pharmacy with a written report of the audit and | ||||||
9 | comply with the following requirements: | ||||||
10 | (1) the preliminary audit report must be delivered to | ||||||
11 | the pharmacy within 90 days after conclusion of the audit | ||||||
12 | along with a written copy of the formal appeals process to | ||||||
13 | each pharmacy that is being audited; | ||||||
14 | (2) a pharmacy shall be allowed at least 60 days | ||||||
15 | following receipt of the preliminary audit report in which | ||||||
16 | to produce documentation to address any discrepancy found | ||||||
17 | during the audit; | ||||||
18 | (3) a final audit report shall be delivered to the | ||||||
19 | pharmacy within 120 days after receipt of the preliminary | ||||||
20 | audit report or final appeal, as provided for in Section 6 | ||||||
21 | of this Code, whichever is later; | ||||||
22 | (4) the audit report must be signed and shall include | ||||||
23 | the signature of any pharmacist participating in the audit; | ||||||
24 | (5) any recoupments of disputed funds shall only occur | ||||||
25 | after final internal disposition of the audit, including | ||||||
26 | the appeals process as set forth in Section 6 of this Code; |
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1 | (6) interest shall not accrue during the audit period; | ||||||
2 | (7) each administrator or its representative | ||||||
3 | conducting an audit shall provide a copy of the final audit | ||||||
4 | report, after completion of any review process, to the both | ||||||
5 | the pharmacy and the plan sponsor; and | ||||||
6 | (8) the auditing entity shall conduct an exit interview | ||||||
7 | at the close of the audit, at a time agreed to by the | ||||||
8 | pharmacy, which shall provide the following: (i) response | ||||||
9 | to questions from the auditing entity; (ii) review and | ||||||
10 | comment on the initial finding of the auditing entity; and | ||||||
11 | (iii) additional documentation to clarify the initial | ||||||
12 | findings of the auditing entity. | ||||||
13 | (f) Appeal processes pursuant to this Section shall comport | ||||||
14 | with the following provisions: | ||||||
15 | (1) The National Council for Prescription Drug | ||||||
16 | Programs or any other recognized national industry | ||||||
17 | standard shall be used to evaluate claims submission or | ||||||
18 | product size disputes. | ||||||
19 | (2) Each administrator or its representative | ||||||
20 | conducting an audit shall establish a written appeals | ||||||
21 | process under which a pharmacy may appeal an unfavorable | ||||||
22 | preliminary audit report to the administrator. | ||||||
23 | (3) If, following the appeal, the administrator finds | ||||||
24 | that an unfavorable audit report or any portion thereof is | ||||||
25 | unsubstantiated, then the administrator shall dismiss the | ||||||
26 | audit report or said portion without the necessity of any |
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1 | further action. | ||||||
2 | (g) Notwithstanding any other provision in this Code, the | ||||||
3 | administrator conducting the audit pursuant to subsections (d) | ||||||
4 | and (e) of this Section shall not use the accounting practice | ||||||
5 | of extrapolation in calculating recoupments or penalties for | ||||||
6 | audits. | ||||||
7 | As used in this Section, "accounting practice of | ||||||
8 | extrapolation" means an audit of a sample of prescription drug | ||||||
9 | benefit claims submitted by a pharmacy to the administrator | ||||||
10 | conducting the audit that is then used to estimate audit | ||||||
11 | results for a larger batch or group of claims not reviewed by | ||||||
12 | the auditor. | ||||||
13 | (h) The audit criteria set forth in this Section shall | ||||||
14 | apply only to audits of claims for services provided and claims | ||||||
15 | submitted for payment after the effective date of this | ||||||
16 | amendatory Act of the 97th General Assembly and all criteria of | ||||||
17 | the audit standards must be set forth in law and criteria more | ||||||
18 | restrictive than Illinois law shall not be permitted nor used | ||||||
19 | as principles of audit. | ||||||
20 | (i) This Section shall not apply to any investigative audit | ||||||
21 | conducted by or on behalf of a State agency that involves | ||||||
22 | fraud, willful misrepresentation, or abuse, including, without | ||||||
23 | limitation, investigative audits or any other statutory | ||||||
24 | provision that authorizes investigations relating to insurance | ||||||
25 | fraud. | ||||||
26 | (Source: P.A. 95-689, eff. 10-29-07.)
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