Monday, April 14, 2008 - Industry Immersions & Afternoon Sessions
1:30–2:30 pm Sessions
201 Sailing Through Your Professional Course Towards New Horizons In Your Compliance Career | Sheryl Vacca, SVP/Chief Compliance Officer and Audit Officer, University of California, Office of the President • Odell Guyton, Senior Corporate Attorney, Director of Compliance, Microsoft Corporation, U.S. Legal-Finance & Operations, Microsoft
No document available at this time
please check www.compliance-institute.org for the latest information
202 ASC: The Combination for a Comprehensive ASC Compliance Program | Sheryl Tatar Dasco, Partner, Brown McCarroll, LLP • Catherine Nichol, VP, Professional Services/Corporate Compliance Officer, Titan Health Corporation
Document 1
203 Report on the Government/Industry Roundtable: Driving for Quality in Long-Term Care: A Board of Directors Dashboard | Katie Arnholt, Senior Counsel, Administrative and Civil Remedies Branch of the Office of Counsel to the Inspector General, Office of Inspector General (OIG), U.S. Department of Health and Human Services • Jenny O’Brien, Shareholder, Director of Corporate Compliance Legal and Consulting Services, Halleland Lewis Nilan & Johnson, PA
Document 1, Document 2, Document 3
204 It’s Official: Government Auditing of Security Rule Compliance | Cathy Boerner, President, Boerner Consulting, LLC • Nancy Davis, Director of Privacy, Ministry Health Care
Document 1, Document 2, Document 3, Document 4, Document 5
205 Risk Factors in Documentation and Other Things that Will Get You in Trouble | John Falcetano, Chief Audit/Compliance Officer, University Health Systems of Eastern Carolina • Rita Scichilone, Director, Practice Leadership, AHIMA
Document 1
206 Federal and State Administrative Sanctions | Heidi A. Sorensen, Foley & Lardner LLP • Robert DeConti, Office of Counsel to the Inspector General
Document 1
207 Auditing Financial Relationships Between Physicians, Hospitals and Providers | Michael Holper, Sr. Vice President, Organizational Integrity and Audit Services, Trinity Health • Cynthia Wisner, Assistant General Counsel, Trinity Health
Document 1, Document 2, Document 3, Document 4, Document 5, Document 6, Document 7, Document 8
208 Cultural Competency and Compliance | Jacqueline Voigt-Dieball, Cultural Competency Manager, University of Michigan Health System
Document 1
209 Conflicts of Interest in Research, Education & Healthcare | Stuart Horowitz, Director, Huron Consulting Group • Leah Guidry, Director, Huron Consulting Group
Document 1
210 The Board’s Role in Compliance: Quality, Patient Safety and Other Emerging Trends | Keith Halleland, Shareholder, Halleland Lewis Nilan & Johnson, PA
Document 1
211 Who’s Lying? How to Identify and Document Untruthfulness in Internal Investigative Interviews | Michael Johnson, Co-President, Global Compliance, Brightline Learning Division
Document 1
3:00–4:00 pm Sessions
301 Outside the Box Compliance Initiatives | Jeffrey Fitzgerald, Faegre & Benson
Document 1
302 What Every Compliance Officer Needs to Know About Hospice Services | Joan Taylor, Trinity Home Health Services
Document 1, Document 2
303 Raising the Stakes: New York State’s MANDATORY Compliance Program | Robert Hussar, First Deputy Medical Inspector General, New York State Office of the Medicaid Inspector General
Document 1
304 Update on Enforcement of the HIPAA Privacy and Security Rules | Marilou King, Acting Senior Advisor, HIPAA Privacy Compliance and Enforcement, Office for Civil Rights, U.S. Department of Health and Human Services, Washington, DC
Document 1
305 The Crossroads of Physician Practice and Compliance | Deann Baker, Compliance and Privacy Officer, Alaska Native Tribal Health Consortium • Dawn Carman, Chief Risk and Compliance Officer, Alaska Native Tribal Health Consortium
Document 1
306 Legal and Compliance Issues for Joint Venture Arrangements | Christine Bachrach, Chief Compliance Officer, HealthSouth • Robert Wade, Partner, Baker & Daniels LLP
Document 1
307 Interventional Radiology and Cardiovascular Services Revenue Cycle Landmines | David Zielske, President/CEO, Zhealth Publishing
Document 1
308 The CMS “Hospital-Acquired Conditions” Rule and Quality Improvement Education | Bill Sacks, VP, HCCS • Diana Fourney, Sr. Adm Director, Quality/Risk/Compliance, Salinas Valley Memorial Hospital
Document 1
309 Research Compliance Involving Human Subjects | Karen Larson, Professional Associate II, Office of Research Integrity, University of Kentucky
Document 1
310 How to Keep Your Mature Program Alive and Kicking | Joseph Murphy, Joseph E. Murphy PC
No document available at this time
please check www.compliance-institute.org for the latest information
311 Get Control of your Conflict of Interest Disclosure Statements | Scott R. Jeffery, President/Chief Operating Officer, MediTract, Inc.
Document 1, Document 2, Document 3
4:30–5:30 pm Sessions
401 Managing and Sustaining Healthcare IT Security, Confidentiality and Compliance | John Curin, Managing Consultant, Burwood Group, Inc.
Document 1
402 Imaging Centers: Avoiding Problems in Joint Ventures and Other Arrangements | Thomas Jeffry, Jr., Partner, Davis Wright Tremaine LLP
Document 1, Document 2
403 Behavioral Health: Managing the Increased Scrutiny of Medicaid Fraud, Abuse and Waste | Terry Haru, Chief Compliance Officer, Heritage Behavioral Health Ctr • Dean True, Compliance Officer, Butte County Dept of Behavioral Health
Document 1, Document 2
404 Privacy Breaches that You Never Dreamed Could Happen: The Unusual, the Funny (Well, Sort of) and the Dysfunctional Marketing Ploy | Debi Hinson, Corporate Director, Compliance & Privacy Officer, Piedmont Healthcare Inc.
Document 1, Document 2, Document 3, Document 4
405 Compliance Workplan for Physician Practices | Ronda Tews, Corporate Compliance Project Manager-Education, St. John’s Health System
Document 1
406 New Trends in Voluntary Disclosure | John Joseph, Partner Post & Schell, P.C., Lew Morris, Chief Counsel, Office of Counsel to the Inspector General
Document 1
407 Auditing an EMR | Terry Reeves, Compliance Officer, University of Texas Medical Branch • Debra Patterson, Medicare Medical Director, TrailBlazer Health Enterprises, LLC
Document 1
408 Skilled Nursing Facility Compliance Driven by Quality Initiatives | Rhonda DePaul, Sr. Nurse, Consultant, Polaris Group
Document 1
409 Combining Research Quality & Compliance in a Hospital Setting | Nancy Moser, System Director, Compliance, Quality and Risk Management, Community Healthcare System • Jana Lacera, Director, IRB/Bio-Ethics, Community Healthcare System
Document 1, Document 2, Document 3, Document 4
410 Providers and Industry: Working Through and With Conflicts of Interest | Carole Klove, Chief Compliance and Privacy Officer, UCLA
Document 1, Document 2, Document 3, Document 4, Document 5
411 Looking Beyond the Hotline: Making a Business Case for Managing a Broader Set of Issues and Events in a Healthcare Environment | Tom Twinem, Director, Corporate Compliance, Children’s Hospital & Health System • Gary Chiodo, Chief Compliance Officer, Oregon Health & Science University • Judy Ireland, Vice President, Ethics and Compliance Services, Chief Ethics and Compliance Officer, Assistant General Counsel, Sutter Health
Document 1
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