Question

1. a, The compliance focus should be on the OIG’s identified risk areas. Which of the...

1. a, The compliance focus should be on the OIG’s identified risk areas. Which of the following is not one of OIG’s four main risk areas?

☐ coding and billing
☐ improper inducements, kickbacks, and self-referrals
☐ reasonable and necessary services
☐ remuneration for referrals

b, The compliance officer should have three attributes: Attention to detail, effective communication and

☐ clinical experience
☐ experience in billing and coding
☐ oversee another part of the practice in addition to being in charge of the compliance plan
☐ be employed by the practice fulltime

c, Practices need to strive for two goals when conducting compliance training: to train all employees how to perform their jobs in compliance with the standards of the practice and any applicable regulations, and to.  

☐ receive a certain amount of baseline training when they start
☐ participate in annual sessions for individuals involved in coding and billing
☐ have separate training sessions for compliance and billing and coding.
☐ make sure every employee understands that compliance is a condition of continued employment.

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Answer #1

Answer 1: Remuneration for referrals.

Answer 2: Be employed by the practice full-time.

( Compliance officer conducts research and business by conducting the international and national laws.)

Answer 3:Make sure every employee understands that compliance is a condition of continued employment.

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