10 things to know about Stark law compliance for group practices
Day Pitney Partner Mindy S. Tompkins and Health Care Attorney Phoebe Roth's article on Stark Law compliance was featured in Becker's ASC Review.
Evolving regulatory and market conditions have placed unique and complex demands on healthcare providers, hospitals, physicians and insurers. From delivery system changes resulting from the Affordable Care Act (ACA) and other initiatives to improve care while reducing costs, to regulatory scrutiny over data security and privacy, to the challenges of integrating clinical provider networks, Day Pitney’s Healthcare lawyers have the critical skills to respond quickly to all of our clients' legal and regulatory obstacles.
Our clients trust us to identify, assess and address their legal and regulatory compliance risks in connection with Medicare and Medicaid regulations, the Stark Law, state anti-self-referral rules, federal and state anti-kickback laws, HIPAA and other federal and state privacy laws, and other regulatory situations. Upon detecting risks, we conduct internal investigations and work closely with our clients to evaluate and improve their compliance programs and internal controls.
Our team is proactive and practical in helping clients to develop strategies to deal with rapidly changing regulatory and market forces, increased competition, expanding medical technologies and managed care utilization controls. To assist clients formulate these strategies, we have an interdisciplinary team of healthcare lawyers with extensive background and experience in mergers and acquisitions, joint ventures, the formation of accountable care organizations (ACOs), business law, federal and state regulatory compliance, tax, labor, intellectual property and litigation.
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