Olufemi Okonuren, M.D., DAB No. 1319 (1992)

Department of Health and Human Services

DEPARTMENTAL APPEALS BOARD

Appellate Division

In the Case of:       
Olufemi Okonuren, M.D.,   
Petitioner,     
- v. -  
The Inspector General.   

DATE: March 31, 1992
Docket No. C-340
Decision No. 1319


               FINAL DECISION ON REVIEW OF ADMINISTRATIVE LAW JUDGE
            DECISION


Olufemi Okonuren, M.D. (Petitioner) requested review of an August 23,
1991 decision of Administrative Law Judge (ALJ) Steven T. Kessel
upholding the determination of the Inspector General (I.G.) to exclude
Petitioner from participation in the Medicare and state health care
programs until his reinstatement by the Mississippi Medicaid program.
Olufemi Okonuren, M.D., DAB CR150 (1991) (ALJ Decision).

Petitioner's exclusion was based on section 1128(b)(5)(B) of the Social
Security Act (Act), 42 U.S.C. . 1320a-7(b)(5)(B), which permits the
exclusion of:

     Any individual or entity which has been suspended or excluded from
     participation, or otherwise sanctioned, under--

                                 *  *  *

               (B) a State health care program, for reasons bearing on
     the individual's or entity's professional competence, professional
performance, or financial integrity.

On appeal, Petitioner argued that the ALJ erred in concluding that
Petitioner was suspended for reasons bearing on professional
performance; that the ALJ incorrectly considered evidence of a 1982
investigation; that there was no evidence to support the ALJ's finding
that Petitioner committed improper acts over a lengthy period of time;
that the ALJ's conclusion that Petitioner was untrustworthy was not
supported by the evidence; and that the period of exclusion was
excessive.

For the reasons discussed below, we uphold the ALJ Decision.  In doing
so, we affirm each of the ALJ's findings of fact and conclusions of law.

Background

On November 30, 1990, the I.G. notified Petitioner that he was being
excluded from participation in the Medicare and state health care
programs 1/ as a result of his exclusion or suspension by the State of
Mississippi Division of Medicaid (Mississippi Medicaid).  Petitioner
timely requested a hearing before the ALJ, which was held June 4, 1991.
In his decision, the ALJ made the following findings of fact and
conclusions of law (FFCLs):

1.  Petitioner is a physician who practiced medicine as a general
practitioner in Mississippi from 1977 until December 1990.

2.  Petitioner was a Medicaid provider in Mississippi from 1978 until
May 1, 1990.

3.  In a letter to Petitioner of April 10, 1990, Mississippi Medicaid
suspended Petitioner as a Medicaid provider for three years, effective
May 1, 1990.

4.  Mississippi Medicaid suspended Petitioner pursuant to a
recommendation from the Mississippi Foundation for Medical Care, Inc.
(MFMC) that Petitioner be suspended for three years and be required to
make monetary restitution for unnecessary lab tests he performed.

5.  MFMC is the Peer Review Organization (PRO) for the State of
Mississippi.  MFMC has a contract with the State of Mississippi to
review services rendered by Medicaid providers in Mississippi, and to
make recommendations concerning provider sanctions.

6.  A MFMC review of Petitioner had found that Petitioner had:  1)
poorly documented his reasons for ordering laboratory work; 2) ordered
unnecessary laboratory work; 3) performed inadequate and very poor
quality EKG's [electrocardiograms]; 4) performed incomplete urine tests;
5) maintained inadequate records from which to ascertain his treatment
of his patients; and 6) demonstrated a risk to patients by giving
"inappropriate diagnosis" of patients' illnesses, thereby placing his
patients at risk.

7.  Mississippi Medicaid is a State health care program within the
meaning of sections 1128(h) and 1128(b)(5)(B) of the Act.

8.  Petitioner was suspended from participation in a State health care
program for reasons bearing on his professional performance.

9.  Pursuant to section 1128(b)(5)(B) of the Act, the Secretary of the
Department of Health and Human Services (Secretary) has authority to
impose and direct an exclusion against Petitioner from participating in
Medicare and Medicaid.

10.  The Secretary delegated to the I.G. the duty to impose and direct
exclusions pursuant to section 1128 of the Act.  48 Fed. Reg. 21662 (May
13, 1983).

11.  On November 30, 1990, the I.G. excluded Petitioner from
participation in the Medicare and Medicaid programs.

12.  A remedial objective of section 1128(b)(5)(B) is to  protect
beneficiaries and program funds by excluding individuals or entities who
have been found unfit to participate in a federally-funded State health
care program.  S. Rep. No. 109, 100th Cong. 1st Sess., reprinted in 1987
U. S. Code Cong. & Admin. News 682, 689.

13.  On October 8, 1982, Petitioner was informed that Mississippi
Medicaid had investigated and found that:  1) Petitioner had charged
Medicaid for services which did not have the results documented in the
medical records; and 2) Petitioner charged Medicaid for services
recipients denied receiving.

14.  In settlement of the above-mentioned investigation, Petitioner
agreed to:  1) make restitution to Mississippi Medicaid for monies
received; 2) one year's probation; 3) maintenance of medical records on
all Medicaid eligible patients; and 4) make the medical records
available to Mississippi Medicaid representatives.

15.  On November 20, 1986, Petitioner was informed by Mississippi
Medicaid that a review of the medical necessity of services rendered and
procedures performed by Mississippi Medicaid providers had found that
Petitioner's pattern of practice with regard to laboratory procedures
fell significantly outside of his peer group.

16.  In 1986, Mississippi Medicaid medical consultants, using a random
sample from Petitioner's paid claims, had reviewed Petitioner's
laboratory procedures in conjunction with each patient's diagnosis.
Their review indicated that, in many instances, the necessity of the
specific laboratory procedures was questionable for the specific
diagnosis.

17.  Following this review, Mississippi Medicaid informed Petitioner
that:

          To reiterate our policy, it is not the intention of the
          Medicaid Program to pay for services performed on a routine
basis, but rather, to pay for those procedures which are specifically,
medically indicated.

18.  There is a pattern, established by specific treatment records in
evidence, of Petitioner routinely ordering certain tests of some
patients, specifically hemoglobins, hematocrits, urinalyses, and blood
sugars, virtually every time those patients visited him.

19.  There is nothing in the patient records that are in evidence in
this case to show that Petitioner actually evaluated the tests that he
ordered or that he systematically recorded the results of these tests in
any way meaningful to the treatment of those patients.

20.  There is no documented medical necessity for most of the laboratory
tests ordered by Petitioner in these treatment records.

21.  By claiming Medicaid reimbursement for those tests, Petitioner
sought reimbursement for unauthorized and unnecessary items or services.

22.  Petitioner knew or should have known that the Mississippi Medicaid
program did not authorize reimbursement for the tests ordered by
Petitioner.

23.  Petitioner should have known that the tests systematically ordered
by him were not medically justified.

24.  Petitioner's explanation for ordering the tests in question -- that
they were a form of preventive medicine for his impoverished black
patients -- is not credible.

25.  Over a lengthy period of time, Petitioner has systematically
ordered unnecessary laboratory tests of Mississippi Medicaid recipients
and persisted in claiming reimbursement for those tests in violation of
Mississippi Medicaid payment criteria.

26.  Petitioner's persistent ordering of unnecessary laboratory tests of
Mississippi Medicaid recipients and his presentation of reimbursement
claims for such unnecessary tests constitutes a deliberate attempt by
Petitioner to obtain program funds to which he was not entitled.  Such
efforts, to the extent they may have succeeded, were a waste of scarce
program funds.

27.  Petitioner's assertion that his systematic ordering of laboratory
tests of Mississippi Medicaid recipients and claiming reimbursement from
Mississippi Medicaid for such tests was a legitimate practice of
preventive medicine is not a defense to his acts, because Petitioner
knew or should have known that Mississippi Medicaid had determined that
such tests were not reimbursable.

28.  Petitioner's pattern of ordering tests which were not medically
justified and claiming reimbursement from Mississippi Medicaid for those
tests when he knew or should have known that they were not reimbursable
items or services establishes that Petitioner is not a trustworthy
provider of care.

29.  Petitioner's lack of trustworthiness is further established by his
refusal to admit that his conduct was improper.

30.  Given Petitioner's lack of trustworthiness, a substantial exclusion
from participating in Medicare and Medicaid is reasonable.

31.  An exclusion of Petitioner from Medicare and Medicaid until May 1,
1993 is neither extreme or excessive.

ALJ Decision at 2-6 (citations omitted).


Standard of Board review

The standard which the Board employs in reviewing a disputed issue of
fact is whether the ALJ decision is supported by substantial evidence in
the record.  The standard of review regarding a disputed issue of law is
whether the ALJ decision is erroneous. Carlos E. Zamora, M.D., DAB 1104
(1989); Lakshmi N. Murty Achalla, M.D., DAB 1231 (1991).

Analysis

We first address whether the I.G. was authorized to exclude Petitioner
under section 1128(b)(5)(B) of the Act, and whether Petitioner's
suspension from Mississippi Medicaid was for reasons bearing on his
professional performance.  Next, we address whether the period of
exclusion imposed on Petitioner was excessive.

1.   I.G.'s authority to exclude Petitioner

While not challenging specific FFCLs, Petitioner offered several
arguments relating to the ALJ's finding that he was suspended from the
Mississippi Medicaid program for reasons bearing on professional
performance.  Petitioner asserted that Mississippi Medicaid did not
suspend him for reasons based on his professional performance, or find
that his appeal of the suspension lacked merit.  Rather, he maintained,
the appeal of his suspension was rejected on the grounds that it was not
procedurally proper. 2/ Petitioner argued that the ALJ violated
Petitioner's due process rights by not examining the fairness of the
State suspension.

The ALJ did not err in concluding that Petitioner could not collaterally
attack the process whereby he was suspended from Mississippi Medicaid.
The fairness of the State suspension is irrelevant in determining
whether section 1128(b)(5)(B) applies.  Under the language of that
section, it is the fact of the State suspension which gives the I.G. the
authority to exclude Petitioner.  In related appeals under section
1128(b)(4) of the Act, which permits exclusion of a practitioner whose
state license to practice has been suspended by a state licensing
authority for reasons bearing on professional competence, professional
performance, or financial integrity, the Board has held that petitioners
may not collaterally attack the state licensing actions underlying the
exclusions.  The statute clearly intended that the I.G. was to rely on
the state actions, and did not intend that the I.G. examine the fairness
or propriety of the process which led to the state action.  John W.
Foderick, M.D., DAB 1125 (1990).  This analysis applies equally to
exclusions brought under section 1128(b)(5)(B).

In an appeal involving suspension of a state license to practice, we
noted that precluding collateral attacks on the actions of state
licensing authorities did not infringe on constitutional rights, as
state proceedings are subject to the due process and equal protection
clauses of the Fourteenth Amendment.  Leonard R. Friedman, M.D., DAB
1281, at 7 (1991), decision on request to reopen, March 9, 1992.  The
Petitioner here did not allege that he was unable to attack his
suspension from Mississippi Medicaid on due process grounds at the State
level.  Where practitioners can directly attack state proceedings at the
state level, constitutional rights are adequately and more appropriately
protected by direct appeal from state decisions.  Allowing collateral
attacks would unnecessarily encumber the exclusion process by granting
practitioners a remedy that duplicates a pre-existing remedy.  Friedman,
at 7-8.

2.   Applicability of section 1128(b)(5)

The only question properly before us regarding Petitioner's suspension
from Mississippi Medicaid is whether the ALJ erred in concluding that it
was for reasons concerning Petitioner's professional competence,
professional performance, or financial integrity, as required by section
1128(b)(5) of the Act.  Petitioner argued that Mississippi Medicaid did
not suspend him for reasons based on his professional performance; he
asserted that no such finding was made by the State authorities, nor can
any such inference be made based upon the record.  He asserted that the
State action was based essentially on allegations of overtesting of
patients as compared with the "average" family practitioner, and that
this is an "overutilization" case which does not concern his
professional performance.  He argued that this comparison with the
average family practitioner was inappropriate, as his practice was
geared primarily towards impoverished black patients who are subject to
a high incidence of hypertension and diabetes.  Since these patients
rarely seek medical attention, he asserted, it was appropriate to
conduct routine diagnostic tests as part of his practice of preventive
medicine.

The state authority is not required to use the words "professional
competence, professional performance or financial integrity" in
effecting the suspension in order for the I.G. to have authority to
exclude an individual under section 1128(b)(5)(B) of the Act.  The
statute requires only that the state suspension be for reasons bearing
on professional competence, performance, or financial integrity.  Thus,
the appropriate inquiry is what were the reasons for the state action in
suspending Petitioner, and whether those reasons bear on his
professional competence, professional performance, or financial
integrity.

Our review of the record reveals substantial evidence supporting the
ALJ's determination that Petitioner was suspended from Mississippi
Medicaid for reasons bearing on his professional performance.  The
action of Mississippi Medicaid was based on a recommendation of the
Mississippi Foundation for Medical Care, Inc., the State's Peer Review
Organization (PRO).  The "Initial Sanction Notice of Substantial
Violation in a Substantial Number of Cases" sent to Petitioner from the
PRO and dated August 2, 1989, informed him that the PRO had concluded
that there was a reasonable basis for determining that he had violated
his obligation under section 1156(a) of the Act to assure that the
services provided to Medicaid beneficiaries were:

     (1) provided economically and only when, and to the extent they are
     medically necessary; (2) of a quality that meets professionally
recognized standards of health care; AND/OR (3) supported by the
appropriate evidence of medical necessity and quality of the services in
a form and fashion as may be required.

I.G. Hearing Exhibit (Ex.) 20.  The same language was included in the
second and final sanction notices of substantial violation in a
substantial number of cases, dated October 27, 1989 and February 1,
1990, respectively.  I.G. Hearing Exs. 15 and 2.  As the ALJ noted,
these determinations were based on charges that Petitioner poorly
documented his laboratory work, ordered unnecessary laboratory tests,
performed inadequate and incomplete testing, provided incomplete
documentation regarding his treatment of Medicaid recipients, and
inappropriately diagnosed his patients' conditions.  ALJ Decision at 8.
All three notices contained references to 80 specific instances of
treatment concerning 30 different patients, which the PRO concluded were
in violation of the standard noted above; the final notice also detailed
the history of the treatments received by each of the 30 patients.  This
information was included with the PRO's recommendation to the Director
of the Division of Medicaid for the State of Mississippi, dated February
2, 1990, stating that it had concluded that Petitioner had violated his
obligations in providing care to beneficiaries and recommending a
three-year suspension from the Medicaid program.  I.G. Hearing Ex. 3.
Additionally, at the hearing before the ALJ, the I.G. presented the
testimony of a physician witness, a member of the PRO Board of
Directors, who testified concerning the PRO's findings and the specifics
of the treatment received by two of the patients whose records were
reviewed by the PRO.  He indicated that such tests were not necessary
for the purpose claimed as justification by Petitioner, routine
screening for the presence of hidden diseases.  ALJ Decision at 13.

"Professional performance" must be interpreted in a way that will
effectuate the exclusion's purpose of protecting the programs.  Here,
that purpose is served by protecting patients from potentially invasive
tests that are not medically indicated and which unnecessarily raise
program costs.  That the charges may also relate to the concept of
overutilization does not mean that they are not also fairly
characterized as professional performance.  Moreover, there were other
findings in addition to those relating to overtesting which formed the
basis for the State suspension, including poorly documented laboratory
work, inadequate and incomplete testing, incomplete documentation
regarding treatment, and inappropriate diagnoses.

Given the description of the violations and the supporting documentation
concerning the treatment rendered by Petitioner that was contained in
the PRO notices to him and in its recommendation to Mississippi
Medicaid, as well as the testimony adduced at the hearing regarding the
basis of the State action, the ALJ's finding that the action to suspend
Petitioner from the State Medicaid program was for reasons bearing on
his professional performance is well-supported.  That the resulting
suspension may have come about in part as a result of Petitioner's
failure to timely answer the charges against him does not alter the
underlying basis of the State's action.

Petitioner also argued that the action against him should have been
brought under section 1156 of the Act, which he claimed is the
appropriate provision for overutilization cases, and not under section
1128(b)(5)(B) which applies to cases concerning professional
performance.  Petitioner asserted that under section 1156 of the Act he
would have been entitled to notification and education procedures prior
to his exclusion, procedures which were not afforded him under section
1128.  He maintained that section 1128(b)(5) does not contemplate
excluding a provider without an opportunity to correct its methods and
procedures, since section 1128(b)(13) permits exclusion of hospitals
only when they fail to comply with a plan of corrective action.
Petitioner also quoted the wording in a title of a section of what
Petitioner identified as the I.G.'s "OHFI manual" as evidence that
section 1128 and section 1156 actions were to be processed identically
and that he should have been provided the procedures described in
section 1156.

We find no merit in Petitioner's contentions.  Section 1156 of the Act
applies only where a PRO, or other organization with a contract with the
Secretary, recommends to him that a practitioner be suspended.  That is
not the case in this appeal.  The action by the I.G. in suspending
Petitioner was not based on any recommendation made to it by the PRO,
the Mississippi Foundation for Medical Care, Inc.  Rather, the exclusion
is a derivative action based on the fact that Petitioner was suspended
from a State health care program, Mississippi Medicaid, for reasons
bearing on Petitioner's professional performance.  This derivative
action is explicitly permitted by the plain wording of section
1128(b)(5)(B), which clearly gives the I.G. authority to exclude a
provider so excluded from a State health care program. 3/

Petitioner's arguments that he should have been given the same process
as a hospital provider would be given under section 1128(b)(13), and
that he was entitled to corrective action under the OHFI manual are
raised for the first time here and are not properly before us.  An
argument raised for the first time on appeal need not be considered if
it could have been raised before the ALJ.  In Re Zamora, DAB 1104, at 8
(1989); Charles W. Wheeler and Joan K. Todd, DAB 1123, at 5, fn. 5
(1990).  In any event, we would find both arguments unavailing.  Section
1128(b)(13) permits suspension of a hospital which has taken certain
actions under section 1886(f)(2) of the Act to circumvent Medicare
payment methodologies and has failed to complete a corrective action
program.  By its terms, it does not apply here. 4/

Additionally, section 1128(b)(13) is the only one of fourteen
subsections in section 1128(b) that contains the corrective action
language cited by Petitioner.  Rather than conclude as Petitioner did
that the presence of corrective action language in section 1128(b)(13)
evinces an intent that he be afforded the same procedure as a suspended
hospital, it is more reasonable to infer from the absence of such
language anywhere else in that section that it was intended to apply
only to hospitals that fall within the ambit of section 1886(f)(2).
Similarly, the OHFI manual provision, which by its terms does not stand
for the proposition for which it is cited, 5/ must yield to the plain
wording of the statute and the authority it vests in the Secretary's
delegate, the I.G., to suspend Petitioner based on the State action.

3.  Length of the exclusion

Petitioner argued that his exclusion until May 1, 1993 was excessive and
extreme and did not serve a remedial purpose as intended by the statute,
nor comply with the provisions of 42 C.F.R. . 1001.114, applicable to
section 1128 sanctions.  He disputed the ALJ's findings and conclusions
as to Petitioner's trustworthiness, including the finding that
Petitioner committed improper acts over a lengthy period of time.

Prior to January 29, 1992, no final regulation applying specifically to
permissive exclusions had been promulgated.  In the absence of final
regulations, the Board held that an ALJ could properly turn to the
existing regulations governing mandatory exclusions for program-related
crimes for general guidance in determining the length of a permissive
exclusion.  Baratta at 1, n. 7;  Joyce Faye Hughey, DAB 1221, at 6, n. 5
(1991).  Those regulations, at 42 C.F.R. 1001.125(b)(1-7), provide seven
factors to be considered in setting the period of exclusion.  They are:

     (1)  The number and nature of the program violations and other
     related offenses; (2)  The nature and extent of any adverse impact
     the violations have had on beneficiaries; (3)  The amount of the
     damages incurred by the Medicare, Medicaid, and the social services
programs; (4)  Whether there are any mitigating circumstances; (5)  The
     length of the sentence imposed by the court; (6)  Any other facts
     bearing on the nature and seriousness of the program violations;
and (7)  The previous sanction record of the suspended party under the
     Medicare or Medicaid program.

Petitioner referred to the regulation at 42 C.F.R. . 1001.114 as
applicable for determining the length of an exclusion under section 1128
of the Act.  That regulation relates to suspensions, exclusions, and
terminations for fraud and abuse, whereas section 1001.125(b) relates to
suspensions on the basis of a conviction for a program- related offense.
Both call for consideration of essentially the same six factors; the
only difference between the two provisions is section 1001.125(b)(5),
which requires that the length of the sentence imposed by a court for
the program-related violation be considered as well.  In this case, our
review of the ALJ's findings and analysis confirm that he considered
each of the relevant factors in determining that an exclusion until May
1, 1993 was appropriate to effect the remedial aims of the statute.

The ALJ specifically cited 42 C.F.R. . 1001.125(b)(1), (4), (6), and (7)
in his FFCLs and in his analysis.  His discussion also reflects
consideration of the other three factors, although not specifically
cited.  The ALJ determined that Petitioner had in fact committed the
conduct that served as the basis of the State suspension.  He found the
testimony of the I.G.'s physician witness and the record particularly
persuasive in establishing a pattern of conduct by which Petitioner
repeatedly and routinely ordered laboratory tests which were not
indicated, which were repeated far more often than medically reasonable,
for which Petitioner failed to provide the interpretation necessary to
yield useful results, and for which no follow-up treatment was pursued.
FFCLs 6, 18, 19, 20, 25.  The evidence also showed some instances where,
although laboratory test results came back as abnormal, Petitioner did
not pursue the cause of the abnormality. FFCL 19, ALJ Decision at 14.
The supporting documentation detailed 80 questioned treatments involving
30 patients over a period of nearly a year.  I.G. Hearing Exs. 2, 15,
20.  Although Petitioner argued that his use of these tests was
necessary for his practice of preventive medicine, he failed to refute
successfully the testimony that the tests were of questionable benefit
due to the lack of interpretation or follow up treatment.  FFCLs 19, 24,
26, ALJ Decision at 12-14.  Here, we conclude that the evidence cited by
the ALJ in support of these findings constitutes substantial evidence.

Petitioner's failure to acknowledge any culpability for any of the cited
misconduct or to indicate that he would conduct his practice any
differently also supports the ALJ's determination as to Petitioner's
trustworthiness as a Medicaid provider.  To the extent that the ALJ's
determinations depended on Petitioner's credibility and that of the
witness at the hearing, they were particularly within the realm of
determinations best left to the ALJ.  Resolving issues of credibility is
the function of the ALJ, whose findings based on witness demeanor and
credibility are entitled to particular weight since the Board lacks the
opportunity to make observations of testimony.  Hughey, supra; see also
Myers v. Secretary of Health and Human Services, 893 F.2d 840, 846 (6th
Cir. 1990); Kopack v. NLRB, 668 F.2d 946, 953-55 (7th Cir. 1982), cert.
denied, 456 U.S. 994; Butler-Johnson Corp. v. NLRB, 608 F.2d 1303, 1305
(9th Cir. 1979).  During the hearing, the ALJ had the opportunity to
observe the demeanor of Petitioner and the witness and to evaluate their
credibility.  In contrast, the Board's role as the forum for the
administrative appeal of the ALJ Decision is a limited one.  Achalla,
supra.

Petitioner also argued that the ALJ incorrectly considered evidence of a
1982 investigation by Mississippi Medicaid into claims that Petitioner
had charged Medicaid for services which did not have the results
documented, and which recipients denied receiving.  That investigation
concluded with Petitioner agreeing to pay restitution, to maintain and
make available medical records, and to be placed on a year's probation.
The ALJ cited it in support of his finding that Petitioner had a history
of untrustworthy behavior as regards the Medicaid program.

Petitioner argued that he had not been put on notice that evidence of
the 1982 investigation would be considered.  Although documents relating
to the 1982 investigation were included in the I.G.'s list of exhibits
to be used at the hearing, Petitioner asserted that it should have been
included in the text of the I.G.'s notice letter, as due process
requires notice of all charges to be used in arriving at the sanction.

He also asserted that the ALJ stated at the hearing that it would not be
relevant to the proceeding, leading him not to present his side of the
alleged incidents.

The transcript of the hearing indicates that although the ALJ questioned
the probative value of the documents relating to the 1982 investigation,
as they contained no admission of prior misconduct by Petitioner, he did
find that they were relevant to the issue of trustworthiness.
Transcript at 23-27.  Although they were not referenced in the November
20, 1990 letter of exclusion from the I.G., there is no indication that
they were relied on by the I.G. in selecting the period of exclusion, as
that letter states only that the period of exclusion was arrived at by
taking into consideration the fact that Mississippi Medicaid suspended
him for three years.  The Board has held that the statute, at section
205(b) of the Act, provides for a de novo review by the ALJ.  Baratta.

In conducting this de novo review, the ALJ may consider information and
evidence not considered or relied on by the I.G. in making its
determination.  Therefore, the ALJ was free to consider evidence of the
1982 action even if not considered by the I.G.; regardless of
Petitioner's acknowledgment of guilt, it still represents a previous
sanction record relevant in assessing the length of an exclusion.
Petitioner had notice prior to the hearing that the I.G. intended to
submit evidence on the 1982 investigation but did not seek to rebut that
evidence, even after it was admitted by the ALJ.

Even disregarding the 1982 sanction, however, we would find that the ALJ
did not err in concluding that the exclusion until May 1, 1993 was not
excessive in this case, in light of the evidence discussed above.

Finally, we note that the statute provides no limits to the length of a
permissive exclusion.  Additionally, under recently published
regulations governing permissive exclusions but promulgated subsequent
to Petitioner's appeal, three years would be the mandatory minimum
period of exclusion in this case in the absence of specific mitigating
circumstances, none of which apply here.  42 C.F.R. . 1001.601, 57 Fed.
Reg. 3298 (January 29, 1992).  The three-year period was adopted because
it is the standard period for debarment from federal grants or
contracts.  Thus, Petitioner did not receive the "harshest" sanction, as
he alleged.  Reply Brief at 10.

We thus conclude that the ALJ Decision sustaining Petitioner's exclusion
and modifying it to be effective until he is eligible to apply for
reinstatement to Mississippi Medicaid was supported by substantial
evidence and not erroneous as a matter of law.

Conclusion

Based on the foregoing analysis, we affirm the ALJ Decision.  We affirm
and adopt each of the findings of fact and conclusions of law.

 

 

     Donald F. Garrett

 

 

     Theodore J. Roumel Public Health Service

 

 

     Judith A. Ballard Presiding Panel Member


1.  "State health care program" is defined by section 1128(h) of the
Social Security Act to cover three types of federally-financed health
care programs, including Medicaid.

2.  Petitioner did not indicate to us why his appeal before Mississippi
Medicaid was deemed to be procedurally improper; however, a review of
the record before the ALJ shows that Petitioner was suspended after he
and his counsel failed to timely exercise his right to appeal the State
decision.  I.G. Exs. 3, 5.

3.  Even if this action had been brought under section 1156, the
education procedures Petitioner claimed he was entitled to would still
not apply.  The provision in section 1156(b)(1) that a PRO may recommend
action against a practitioner only after the practitioner has been
given, if appropriate, "a reasonable opportunity to enter into and
complete a corrective action plan (which may include remedial
education). . . and has failed successfully to complete such plan" was
added by Public Law 101-508, and applies to initial determinations by
PROs made on or after November 5, 1990.  Pub. L. 101-508, .
4205(a)(1)(A).  Here, the PRO's initial notice of its determinations was
dated August 2, 1989.  I.G. Hearing Ex. 20.

4.  We also note that section 1128(b)(13) does not itself create a right
to a corrective action program; that right is created by section
1886(f)(2).

5.  Petitioner claimed that since section 5035 of the manual is entitled
"�BASIS FOR EXCLUSION UNDER SECTION 1862 [now 1128] OR SECTION 1156�"
(Petitioner's Reply at 8) there should be no distinction between the
processing of sanctions under the two sections.  However, he then cited
another section of the manual which states that efforts to educate a
physician are not necessary in section 1128 cases.  Petitioner argued,
unconvincingly, that this more specifically applicable provision of the
manual should be