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Regulatory Compliance and Government Oversight Questions and Answers Flashcards

6 cards from real CHC practice questions. Tap to flip, then mark Knew It or Still Learning — missed cards come back until you master them.

Read the first 6 Regulatory Compliance and Government Oversight Questions and Answers flashcards as text
  1. Which regulation requires healthcare organizations to screen employees against federal exclusion databases prior to hire?

    Answer: OIG exclusion screening requirements under the Social Security Act

    The Social Security Act prohibits federal healthcare programs from paying for services rendered by excluded individuals, making pre-hire exclusion screening a compliance necessity.

  2. The 'Yates Memo' issued by the DOJ in 2015 primarily focused healthcare compliance on which area?

    Answer: Holding individual employees accountable for corporate misconduct

    The Yates Memo directed DOJ attorneys to focus on individual accountability in corporate misconduct cases, emphasizing that individuals—not just organizations—should be held responsible.

  3. Under the Civil Monetary Penalties Law (CMPL), what is the maximum per-claim penalty for knowingly presenting a false claim to Medicare?

    Answer: $10,000

    The CMPL imposes penalties of up to $10,000 per false or fraudulent claim submitted to Medicare or Medicaid, in addition to three times the amount claimed.

  4. What is the role of the Compliance and Ethics Officer in relation to the governing board of a healthcare organization?

    Answer: To provide regular compliance updates directly to the board to ensure independent oversight

    Effective compliance programs require the Compliance Officer to report directly to the governing board, ensuring independent oversight separate from operational management.

  5. Which federal law created the mandatory exclusion authority for convictions related to Medicare or Medicaid fraud?

    Answer: Social Security Act Section 1128

    Section 1128 of the Social Security Act grants the OIG mandatory and permissive exclusion authority over individuals and entities convicted of healthcare fraud.

  6. A healthcare entity receives a subpoena from the DOJ for billing records. What is the compliance officer's first priority?

    Answer: Notify the CEO and preserve all relevant documents under a litigation hold

    Upon receiving a government subpoena, the compliance officer must issue a litigation hold to preserve all relevant documents and promptly notify senior leadership and legal counsel.