LD 1622
pg. 22
Page 21 of 35 PUBLIC Law Chapter 397 Page 23 of 35
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LR 1
Item 1

 
rule adopted by the Department of Finance Health and Human
Services.

 
Sec. C-12. 20-A MRSA §11415, sub-§1, as amended by PL 1999, c. 443,
§6, is further amended to read:

 
1. Composition. There are 7 voting members of the authority,
5 6 of whom must be appointed by the Governor, subject to review
by the joint standing committee of the Legislature having
jurisdiction over economic development matters and confirmation
by the Legislature.

 
Sec. C-13. 22 MRSA §3741-M, as enacted by PL 1997, c. 284, §1, is
repealed.

 
Sec. C-14. 22 MRSA §3762, sub-§2, ¶G, as enacted by PL 1997, c. 530,
Pt. A, §16, is amended to read:

 
G. Statewide organizations that work with women on self-
sufficiency and employment opportunities, including a
statewide nonprofit corporation that provides training and
placement in trade and technical occupations that are not
traditional for the persons served;

 
Sec. C-15. 24 MRSA §2506, first ¶, as amended by PL 2005, c. 221, §1,
is further amended to read:

 
A health care provider or health care entity shall, within 60
days, report in writing to the disciplined practitioner's board
or authority the name of any licensed, certified or registered
employee or person privileged by the provider or entity whose
employment or privileges have been revoked, suspended, limited or
terminated or who resigned while under investigation or to avoid
investigation for reasons related to clinical competence or
unprofessional conduct, together with pertinent information
relating to that action. Pertinent information includes: a
description of the adverse action; the name of the practitioner
involved; the date, the location and a description of the event
or events giving rise to the adverse action; and identification
of the complainant involved in giving rise to the adverse action.
Upon written request, the following information must be released
to the board or authority within 20 days of receipt of the
request: the names of the patients whose care by the disciplined
practitioner gave rise to the adverse action; medical records
relating to the event or events giving rise to the adverse
action; written statements signed or prepared by any witness or
complainant to the event; and related correspondence between the
practitioner and the provider or entity. The report must include
situations in which employment or privileges have been revoked,
suspended, limited or
otherwise


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