COURT OF APPEALS OF VIRGINIA
Present: Judges McCullough, Chafin and Russell
UNPUBLISHED
Argued at Richmond, Virginia
BON SECOURS ST. MARY’S HOSPITAL
MEMORANDUM OPINION* BY
v. Record No. 0839-15-2 JUDGE TERESA M. CHAFIN
JANUARY 19, 2016
CYNTHIA B. JONES, DIRECTOR, AND
DEPARTMENT OF MEDICAL ASSISTANCE
SERVICES
FROM THE CIRCUIT COURT OF THE CITY OF RICHMOND
Melvin R. Hughes, Jr., Judge
Kathryn E. Kasper (Eileen R. Geller; Hancock, Daniel, Johnson &
Nagle, P.C., on briefs), for appellant.
Elizabeth M. Guggenheim, Assistant Attorney General (Mark R.
Herring, Attorney General; Cynthia V. Bailey, Deputy Attorney
General; Kim Piner, Senior Assistant Attorney General, on brief),
for appellee.
The Director of the Department of Medical Assistance Services (“DMAS” or the
“Department”) issued a final agency decision (“FAD”) requiring Bon Secours St. Mary’s
(“St. Mary’s” or “Provider”) to reimburse the Department $424,718.50 based on a failure to
maintain adequate documentation. St. Mary’s appealed the FAD to the Circuit Court for the City of
Richmond, which affirmed the Department’s decision. St. Mary’s now appeals to this Court.
Background
St. Mary’s is a participating provider in the Medicaid program. DMAS is the agency
charged with administering the Medicaid program in Virginia. According to the Provider
Participation Agreement between St. Mary’s and DMAS, St. Mary’s must “comply with all
*
Pursuant to Code § 17.1-413, this opinion is not designated for publication.
applicable state and federal laws, as well as administrative policies and procedures of [DMAS]
as from time to time amended.”
DMAS issues a Hospital Manual (“Manual”) that contains applicable policies and
procedures. The Manual specifies that “[p]roviders will be required to refund payments made by
Medicaid if they are found to have . . . failed to maintain any record or adequate documentation
to support their claims.” Hosp. Manual, Chapter VI, p. 2 (June 12, 2006).1
On December 29, 2011, DMAS informed St. Mary’s that an audit identified deficiencies
in the St. Mary’s documentation. Based upon the auditor’s findings, DMAS claimed it was
entitled to recover $424,718.50 in Medicaid payments it made to St. Mary’s. According to the
auditor’s findings, the retraction was due to the absence of certifications and/or recertifications
that complied with federal regulations and DMAS policies for eleven Medicaid recipients. The
auditor identified two types of documentation deficiencies, represented by Error Codes 102 and
103. Error Code 102 was assigned to recipients MHG, GMG, JD, LD, GW, BLH, SAN, KSC,
and MWC, because the recipients’ records lacked the initial certification that inpatient services
were needed. Error Code 103 was assigned to recipients MHG, GMG, OD, LD, CNR, JD, and
GW, because the recipients’ records lacked the necessary recertification within 60 days of the
initial certification.
St. Mary’s appealed the overpayment determination and requested an informal fact
finding conference (“IFFC”) pursuant to Code § 2.2-4019 and 12 Va. Admin. Code. 30-20-540
(2015). An IFFC decision affirming the determination of overpayment was issued on July 10,
2012.
1
The Manual was revised in 2009. The only relevant difference between the 2006 and
2009 Manual is that the 2009 Manual provides that the physician may complete certification
within twenty-four hours of admission rather than at the time of admission. That change is not at
issue on appeal.
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Appellant appealed the IFFC decision pursuant to Code § 2.2-4020 and 12 Va. Admin.
Code 30-20-560 (2015). Following a de novo evidentiary hearing, Hearing Officer Roger L.
Chaffe issued his recommended decision (“RD”) on January 9, 2013. The RD recommended
that the Director uphold the overpayment determination in its entirety, reasoning that St. Mary’s
violated clear federal regulatory requirements as implemented by
the Medicaid state plan and the Hospital Manual. For that reason
alone, retraction of payment is appropriate. Moreover, if contract
law analysis is used, these violations constitute a material breach
of the Provider’s agreement with DMAS, thereby disqualifying
Provider from a contractual recovery as a matter of law.
Recommended Decision of Hearing Officer (Jan. 9, 2013), at 17-18. The Director’s FAD
accepted the hearing officer’s recommendations and upheld the overpayment determination.
St. Mary’s appealed the FAD to the Circuit Court for the City of Richmond, which upheld the
Director’s decision. This appeal followed.
Analysis
This Court reviews an agency’s determinations of law de novo, while taking “due account
of the presumption of official regularity, the experience and specialized competence of the
agency, and the purposes of the basic law under which the agency has acted.” Code § 2.2-4027.
See 1st Stop Health Servs. v. Dep’t of Med. Assistance Servs., 63 Va. App. 266, 276-77, 756
S.E.2d 183, 188-89 (2014).
“Federal regulations require a physician to ‘certify for each applicant or beneficiary that
inpatient services in a hospital are or were needed.’” Culpeper Reg’l Hosp. v. Jones, 64
Va. App. 207, 211, 767 S.E.2d 236, 238 (2015) (quoting 42 C.F.R. § 456.60(a)(1)).
Recertifications “must be made at least every 60 days after certification.” 42 C.F.R.
§ 456.60(b)(2). The Manual provides that “Medicaid requires that payment for certain covered
services may be made to a provider of services only if there is a physician’s certification
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concerning the necessity of the services furnished and, in certain instances, only if there is a
physician’s recertification as to the continued need for the covered services.” Hosp. Manual,
Chapter VI, p. 2.
“A physician must certify the need for inpatient care at the time of admission.” Id. at 3.
“The certification must be dated at the time it is signed.” Id. Furthermore, “[t]he certification
must be in writing and signed by an individual clearly identified as a physician (M.D.), doctor of
osteopathy (D.O.), or dentist (D.D.S.).” Id. “A physician, physician assistant or nurse
practitioner acting within the scope of practice as defined by state law and under the supervision
of a physician must recertify for each patient that inpatient services in a hospital are needed.
Recertification must be made at least every 60 days after certification.” Id. at 5.
According to the Manual, it is at the discretion of each provider to determine the method
by which the required physician certification and recertification statements are to be obtained.
Id. at 2.
There is no requirement that a specific procedure or specific forms
be used, so long as the approach adopted by the provider permits
verification that the requirement of physician certification and
recertification . . . is met. Certification and recertification
statements may be entered on or included in forms, notes, or other
records a physician normally signs in caring for a patient, or a
separate form may be used. Each certification and recertification
statement is to be separately signed by a physician, except as
otherwise specified . . . .
The requirements for recertification . . . specify certain information
that is to be included in the physician’s statement. It should be
noted that this required information need not be repeated in a
separate statement if, for example, it is contained in the physician’s
progress notes. The physician’s statement may merely indicate
where the required information is contained in the patient’s
medical record.
Id. at 2-3.
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The Manual also states that
The certification may be either a separate form to be included with
the patient’s records or a stamp stating “Certified for Necessary
Hospital Admission” which must be made an identifiable part of
the physician orders, history, and physical or other patient records.
This certification must be signed and dated by the physician at the
time of admission or, if an individual applies for assistance while
in the hospital, before payment is to be made by DMAS.
Id. at 3.
A. INITIAL CERTIFICATION
St. Mary’s first contends that the circuit court erred in upholding the Director’s FAD
affirming the overpayment determination. St. Mary’s claims that “a simple comparison of the
minimal certification requirements against the forms maintained by St. Mary’s demonstrates that
there is not substantial support for the circuit court’s decision . . . and that a reasonable person
looking at the evidence in this case would necessarily come to an opposite conclusion.”
In this case, St. Mary’s primarily relies on a form entitled “NICU ADMISSION
ORDERS” for its certifications. As testified to by one of its physicians, Bonita J. Makdad, M.D.,
this form was created by St. Mary’s in order to comply with legal requirements, including the
certification requirement. The NICU ADMISSION ORDERS forms contain a block at the top
(the “certification block”) with the phrase “Hospitalization certified for the following reasons:”
followed by a blank space. At the top of the certification block is the word “Date:” followed by
a blank space and the phrase “Estimated Length of Stay:” again followed by a blank space. At
the bottom of the certification block are the words “Physician Signature:” followed by a blank
space. In addition to the certification block, the form contains two lower blocks entitled
“ORDERS” and “MEDICATIONS & I.V. FLUID ORDERS.” Below these two blocks, there is
a blank line under which the words “Physician Signature” and “Date/Time” are preprinted.
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On its face, the form prompts the physician who is completing it to sign in two separate
and distinct places – first, in the certification block, and second, in the bottom right corner of the
form under the “ORDERS” and “MEDICATIONS & I.V. FLUID ORDERS” blocks. The
evidence clearly shows that St. Mary’s failed to properly complete the form for six of the nine
recipients included in the audit.
1. JD: the form is signed by a non-physician, then
countersigned by a physician, but does not appear to be
dated by the countersigning physician.
2. LD: the form is not signed or dated by a physician.
3. GW: the form is signed by a physician but not dated.
4. MWC: the certification block is signed by a physician but
not dated.
For recipients SAN and KSC, St. Mary’s relies on a different form. For SAN, the form is
signed but the signature is not dated. The form contains certification language but the
certification is unclear. The form states: “Hospital admission is certified for the following
reason(s).” Following that statement are two statements, each preceded by a blank line. No
mark or other notation on the lines indicates which, if any, of those statements applies. For KSC,
the form is similarly deficient. The form is signed but the signature is not dated. The form also
contains certification language followed by two statements, each preceded by a blank line.
Again, there is no mark or other notation on the lines to indicate which, if any, of those
statements applies.
Although the regulation and the Manual do not define the term
“certification,” it has a plain meaning. “Certification is simply
“the act of certifying,” Webster’s Third New International
Dictionary 367 (1981), and to “certify” means “to attest . . .
authoritatively or formally.” Id. Whatever form it takes, the
certification is an additional step beyond simply admitting the
patient. Merely admitting a patient does not constitute a formal act
declaring that “inpatient services in a hospital are or were needed.”
42 C.F.R. § 456.60(a)(1).
Culpeper Reg’l Hosp., 64 Va. App. at 212, 767 S.E.2d at 239.
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While there is no prescribed manner in which the initial certification must be executed, it
is the burden of St. Mary’s to ensure that initial certifications are made in accordance with
federal and Virginia Medicaid requirements. St. Mary’s created its own forms, and the forms
contain the necessary elements for compliance. However, it is clear from the record that
St. Mary’s failed to use the forms in the manner that they were designed for six of the nine
recipients at issue in this case. Thus, the circuit court did not err in affirming the FAD as to
initial certifications for JD, LD, GW, MWC, SAN, and KSC.
However, we must reverse the circuit court’s decision to affirm the FAD as to initial
certification for MHG, GMG, and BLH. The forms used for initial certification for these
recipients are clearly dated and signed by a physician. Thus, they are compliant under the
federal regulations and state requirements.
Code § 2.2-4029 states in relevant part that when a court has determined an agency has
committed an error of law, that court:
may compel agency action unlawfully withheld . . . except that the
court shall not itself undertake to supply agency action committed
by the basic law to the agency. Where . . . a case decision is found
by the court not to be in accordance with law under § 2.2-4027, the
court shall suspend or set it aside and remand the matter to the
agency for further proceedings, if any, as the court may permit or
direct in accordance with law.
Here, the circuit court upheld the DMAS decision as to initial certification for MHG, GMG, and
BLH. This decision constituted error.
As this Court stated in Virginia Imports v. Kirin Brewery of America, 41 Va. App. 806,
831, 589 S.E.2d 470, 482 (2003):
If a court finds that an agency has failed to comply with statutory
authority, “the court shall suspend or set the decision aside and
remand the matter to the agency.” Virginia Bd. of Medicine v.
Fetta, 244 Va. 276, 280, 421 S.E.2d 410, 412 (1992); Code
§ 2.2-4029. Hence, having found in this case that the ABC Board
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had “failed to address and rule upon all the issues raised by Kirin
with respect to its grounds for termination of the agreement,” the
circuit court, rather than imposing its own judgment on the matter,
should have suspended the ABC Board’s decision and remanded
the matter back to the ABC Board with instructions to make the
additional required factual determinations.
See also Fetta, 244 Va. at 280, 421 S.E.2d at 413 (“The court itself may not undertake the agency
action directly.”).
Accordingly, we reverse the decision of the circuit court affirming the FAD as to initial
certification for MHG, GMG, and BLH. We remand to the circuit court with directions to set
aside the decision of the Director as to those specific initial certifications and to remand to
DMAS.
B. RECERTIFICATION
The federal regulation requires that “[a] physician, or physician assistant or nurse
practitioner acting . . . under the supervision of a physician, must recertify for each applicant or
beneficiary that inpatient services in a hospital are needed . . . [and] recertifications must be
made at least every 60 days after certification.” 42 C.F.R. § 456.60(b). The Manual provides
“[e]ach certification and recertification statement is to be separately signed by a physician.”
St. Mary’s relied primarily on progress notes that did not contain a recertification. Dr. Makdad
testified that the purpose of these documents is to determine the overall status of the patient and
that she was unable to locate language in the progress notes that constituted a recertification. See
App. at 507-08. To accept St. Mary’s interpretation would, as this Court stated in Culpeper¸
render the requirements superfluous. Culpeper Reg’l Hosp., 64 Va. App. at 212, 767 S.E.2d at
239.
In Culpeper, the appellant submitted admission orders and claimed that they were
sufficient to meet the requirements of 42 C.F.R. § 456.60 even though there was no certification
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contained within the documents, and the documents were clearly intended to admit the patient
for treatment only. See id. (“Instead, the admission form only admits the patient for treatment.”).
This Court rejected the appellant’s argument. This case presents the same scenario as Culpeper:
attempting to take documents that were clearly intended for one purpose, in this case to
determine the overall status of the patient, and asking the Court to infer that it intended the
document for other purposes, in this case recertification.
While the Manual provides that progress notes may be used for recertification, the
recertification language must be included within the progress notes and the physician must
include a statement indicating where the required information is contained in the patient’s
medical record. In this case, the recertification language was not included in the progress notes
nor is there any indication that the physicians included a statement indicating where the required
information was contained in the medical records. Thus, the circuit court did not err in affirming
the FAD as to recertifications.
C. COMPLIANCE WITH FEDERAL REGULATIONS AND STATE REQUIREMENTS
St. Mary’s acknowledges that the Provider Agreement (the “Agreement”) between
DMAS and St. Mary’s is governed by the law of contracts. Id. at 213, 767 S.E.2d at 239.
However, St. Mary’s contends that the alleged deficiencies at issue in this appeal do not amount
to a material breach of the Agreement. St. Mary’s also argues that by including certification
language in its forms, St. Mary’s has substantially complied with the requirements of the Manual
necessitating a holding different from that reached in Culpeper.
“The law of contracts supplies a number of default rules that govern contract
interpretation. . . . [One] default rule is that of ‘material breach’ and ‘substantial compliance.’”
Id.
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“Generally, a party who . . . breach[es] . . . a contract is not entitled
to enforce the contract. An exception to this rule arises when the
breach did not go to the ‘root of the contract’ but only to a minor
part of the consideration.
If the . . . breaching party committed a material breach, however,
that party cannot enforce the contract. A material breach is a
failure to do something that is so fundamental to the contract that
the failure to perform that obligation defeats an essential purpose
of the contract.”
Id. (quoting Horton v. Horton, 254 Va. 111, 115, 487 S.E.2d 200, 203-04 (1997)). “Substantial
compliance is the inverse of the proposition that a breach of the contract must be ‘material’ or
significant before it will excuse non-performance.” Id. at 214, 767 S.E.2d at 240.
We addressed substantial compliance in the context of [P]rovider
[A]greements in Psychiatric Solutions. In that case, we held that
“contract principles applied to the interpretation of the provider
agreement and that, under settled principles of contract law,
appellant would be entitled to payment if its noncompliance did
not amount to a material breach of the agreement.” Psychiatric
Solutions of Va., Inc. [v. Finnerty], 54 Va. App. [173,] 176, 676
S.E.2d [358,] 359-60 [(2009)]. We concluded that the provider did
not substantially comply because, on those facts, its documentation
deficiencies were material. Id. at 190-91, 676 S.E.2d at 367. We
rejected the argument that the failures to document represented a
“‘trifling’ technical deficiency in the documentation of those
sessions.” See id. at 191-92, 676 S.E.2d at 367. Instead, as a
factual matter, DMAS established that the documentation failure
“significantly impacted” the ability to provide care and, therefore,
was a material breach. See id. at 192, 676 S.E.2d at 367-68.
We were called upon to revisit the issue of substantial compliance
in 1st Stop Health Services, Inc. [v. Department of Medical
Assistance Services]. We again concluded that the provider’s
documentation failures were material. 63 Va. App. at 270, 756
S.E.2d at 185. The provider’s documentation in that case was
“‘abysmal’ to the point [that] the auditor [could not] determine that
certain payments were justified.” Id. at 280, 756 S.E.2d at 190.
We also pointed to the language of the Provider Agreement and the
applicable DMAS Manual to hold that the retraction of payment
was a plainly authorized remedy for the provider’s failure to
maintain the required documentation. Id. at 281, 756 S.E.2d at
191.
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Culpeper Reg’l Hosp., 64 Va. App. at 214, 767 S.E.2d at 240. We further noted in 1st Stop that
“any paid provider claim that cannot be verified at the time of review cannot be considered a
valid claim for services provided.” 1st Stop, 63 Va. App. at 278-79, 756 S.E.2d at 189-90
(emphasis in original) (quoting EDCD Manual, Chapter 6, p. 12-13). The documentation
requirements are obligations that are an indispensable part of the agreement between providers
and DMAS.
In this case, as stated above, we find that the language of the agreement controls. The
Agreement requires the hospital to follow the provisions of the Manual. The Manual explicitly
requires providers “to refund payments made by Medicaid if they are found to have . . . failed to
maintain any record or adequate documentation to support their claims.” Hosp. Manual, Chapter
VI, p. 2. St. Mary’s was required to “certify for each applicant or beneficiary that inpatient
services in a hospital are or were needed,” and “recertify for each applicant or beneficiary that
inpatient services in a hospital are needed . . . at least every 60 days after certification.” 42
C.F.R. § 456.60(a)-(b). St. Mary’s failed to make these required certifications and recertification
in a manner that complied with the Manual. Therefore, DMAS could enforce the terms of the
Agreement and require repayment for patients that were admitted without the required
certification and retained without the required recertification. Accordingly, the circuit court did
not err in affirming the FAD requiring St. Mary’s to refund payments.
D. DUE PROCESS
St. Mary’s claims that by imposing a requirement that was not only not clearly stated in
the relevant Manual provisions or regulations, but that was altogether completely absent from the
regulations and Manual, the Director denied St. Mary’s rights to due process. More specifically,
St. Mary’s claims that “DMAS has unabashedly imposed requirements involving specific form,
specific procedure, and specific language that cannot be found anywhere in any statute,
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regulation, Manual provision, or other written guidance document.” We find no merit in this
argument.
Due process requires that a statute “be sufficiently precise and definite to give fair
warning to those who are subject to it what the statute prohibits and what is expected of them by
the state.” Volkswagen of America, Inc. v. Smit, 279 Va. 327, 337, 689 S.E.2d 679, 685 (2010).
The Virginia Supreme Court has extended this holding to ordinances and regulations as well,
noting that “[a] statute, ordinance, or regulation which delegates discretionary authority to an
administrative officer to determine its application does not satisfy due process if it lacks
standards which are sufficiently clear to guide the officer, and inform those subject to his
jurisdiction, of how that discretion is to be exercised.” Id. at 339, 689 S.E.2d at 686.
In this case, the statutes, ordinances, and regulations were sufficiently clear. St. Mary’s
constructed its forms which, if completed properly, would contain the necessary elements for
compliance. Therefore, St. Mary’s cannot claim that it was “blindsided” by the requirements
contained in the regulations or Manual.
E. CONCLUSION
In summary, we find that the circuit court did not err in affirming the DMAS Director’s
FAD as to JD, LD, GW, MWC, SAN, and KSC as to initial certifications and as to all recipients
at issue as to recertifications. However, we find that the circuit court erred in affirming the
DMAS Director’s FAD as to MHG, GMG, and BLH. Accordingly, we find that the circuit court
did not err in affirming the Director’s decision requiring St. Mary’s to refund payments except
those applicable to the initial certifications for MHG, GMG, and BLH. Finally, we find no merit
in St. Mary’s due process argument.
Affimed in part;
reversed and remanded in part.
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