MISSISSIPPI LEGISLATURE
2007 Regular Session
To: Public Health and Welfare
By: Senator(s) Dearing
AN ACT TO CREATE THE "MISSISSIPPI PATIENT SAFETY ACT"; TO REQUIRE THE DEVELOPMENT OF A PATIENT SAFETY PROGRAM FOR HOSPITALS, AMBULATORY SURGICAL CENTERS AND MENTAL HOSPITALS; TO REQUIRE HOSPITALS, AMBULATORY SURGICAL CENTERS AND MENTAL HOSPITALS TO ANNUALLY REPORT TO THE STATE HEALTH OFFICER A LISTING OF CERTAIN ERRORS OR OCCURRENCES; TO PROVIDE WHISTLE-BLOWER PROTECTION TO CERTAIN EMPLOYEES; TO REQUIRE HOSPITALS TO MAINTAIN A PROGRAM CAPABLE OF IDENTIFYING AND TRACKING HOSPITAL-ACQUIRED INFECTIONS; TO PRESCRIBE PENALTIES FOR VIOLATIONS OF THE ACT; TO AMEND SECTIONS 41-9-15, 41-75-11 AND 41-9-63, MISSISSIPPI CODE OF 1972, IN CONFORMITY THERETO; AND FOR RELATED PURPOSES.
BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF MISSISSIPPI:
SECTION 1. This act shall be known and may be cited as the "Mississippi Patient Safety Act."
SECTION 2. (1) The department shall develop a patient safety program for hospitals. The program must:
(a) Be administered by the hospital licensing program within the department; and
(b) Serve as an information clearinghouse for hospitals concerning best practices and quality improvement strategies.(2) The department shall group hospitals by size for the reports required by this act as follows:
(a) Less than fifty (50) beds;
(b) Fifty (50) to ninety-nine (99) beds;
(c) One hundred (100) to one hundred ninety-nine (199) beds;
(d) Two hundred (200) to three hundred ninety-nine (399) beds; and
(e) Four hundred (400) beds or more.
(3) The department shall combine two (2) or more categories described by subsection (2) if the number of hospitals in any category falls below forty (40).
(4) On renewal of a license under this act, a hospital shall submit to the department an annual report that lists the number of occurrences at the hospital or at an outpatient facility owned or operated by the hospital of each of the following events during the preceding year:
(a) A medication error resulting in a patient's unanticipated death or major permanent loss of bodily function in circumstances unrelated to the natural course of the illness or underlying condition of the patient;
(b) A perinatal death unrelated to a congenital condition in an infant with a birth weight greater than two thousand five hundred (2,500) grams;
(c) The suicide of a patient in a setting in which the patient received care twenty-four (24) hours a day;
(d) The abduction of a newborn infant patient from the hospital or the discharge of a newborn infant patient from the hospital into the custody of an individual in circumstances in which the hospital knew, or in the exercise of ordinary care should have known, that the individual did not have legal custody of the infant;
(e) The sexual assault of a patient during treatment or while the patient was on the premises of the hospital or facility;
(f) A hemolytic transfusion reaction in a patient resulting from the administration of blood or blood products with major blood group incompatibilities;
(g) A surgical procedure on the wrong patient or on the wrong body part of a patient;
(h) A foreign object accidentally left in a patient during a procedure; and
(i) A patient's death or serious disability associated with the use or function of a device designed for patient care that is used or functions other than as intended.
(5) The department may not require the annual report to include any information other than the number of occurrences of each event listed in subsection (4) of this section.
SECTION 3. (1) The department shall develop a patient safety program for ambulatory surgical centers. The program must:
(a) Be administered by the ambulatory surgical center licensing program within the department; and
(b) Serve as an information clearinghouse for ambulatory surgical centers concerning best practices and quality improvement strategies.
(2) On renewal of a license under this chapter, an ambulatory surgical center shall submit to the department an annual report that lists the number of occurrences at the center or at an outpatient facility owned or operated by the center of each of the following events during the preceding year:
(a) A medication error resulting in a patient's unanticipated death or major permanent loss of bodily function in circumstances unrelated to the natural course of the illness or underlying condition of the patient;
(b) The suicide of a patient;
(c) The sexual assault of a patient during treatment or while the patient was on the premises of the center or facility;
(d) A hemolytic transfusion reaction in a patient resulting from the administration of blood or blood products with major blood group incompatibilities;
(e) A surgical procedure on the wrong patient or on the wrong body part of a patient;
(f) A foreign object accidentally left in a patient during a procedure; and
(g) A patient's death or serious disability associated with the use or function of a device designed for patient care that is used or functions other than as intended.
(3) The department may not require the annual report to include any information other than the number of occurrences of each event listed in subsection (2).
SECTION 4. (1) The department shall develop a patient safety program for mental hospitals licensed by the department. The program must:
(a) Be administered by the licensing program within the department; and
(b) Serve as an information clearinghouse for hospitals concerning best practices and quality improvement strategies.
(2) On renewal of a license under this chapter, a mental hospital shall submit to the department an annual report that lists the number of occurrences at the hospital or at an outpatient facility owned or operated by the hospital of each of the following events during the preceding year:
(a) A medication error resulting in a patient's unanticipated death or major permanent loss of bodily function in circumstances unrelated to the natural course of the illness or underlying condition of the patient;
(b) The suicide of a patient in a setting in which the patient received care twenty-four (24) hours a day;
(c) The sexual assault of a patient during treatment or while the patient was on the premises of the hospital or facility;
(d) A hemolytic transfusion reaction in a patient; resulting from the administration of blood or blood products with major blood group incompatibilities; and
(e) A patient's death or serious disability associated with the use or function of a device designed for patient care that is used or functions other than as intended.
(3) The department may not require the annual report to include any information other than the number of occurrences of each event listed in subsection (2) of this section.
SECTION 5. (1) In this section, "root-cause analysis" means the process that identifies basic or causal factors underlying a variation in performance leading to an event listed in subsection (2) of Section 2, 3 or 4 of this act and that:
(a) Focuses primarily on systems and processes;
(b) Progresses from special causes in clinical processes to common causes in organizational processes; and
(c) Identifies potential improvements in processes or systems.
(2) Not later than the forty-fifth day after the date a hospital, ambulatory surgical center or mental hospital becomes aware of an event listed in subsection (2) of Section 2, 3 or 4 of this act, the facility shall:
(a) Conduct a root-cause analysis of the event; and
(b) Develop an action plan that identifies strategies to reduce the risk of a similar event occurring in the future.
(3) The department may review a root-cause analysis or action plan related to an event listed in subsection (2) of Section 2, 3 or 4 of this act during a survey, inspection or investigation of a hospital, ambulatory surgical center or
mental hospital.
(4) The department may not require a root-cause analysis or action plan to be submitted to the department.
(5) The department, or an employee or agent of the department, may not in any form, format or manner remove, copy, reproduce, redact or dictate from all or any part of a root-cause analysis or action plan.
SECTION 6. The department annually shall compile and make available to the public a summary of the events reported by mental hospitals as required by subsection (2) of Section 2, 3 or 4 of this act. The summary shall identify events by specific hospital, ambulatory surgical center or mental hospital but shall not directly or indirectly identify:
(a) An individual, or
(b) A specific reported event or the circumstances or individuals surrounding the event.
SECTION 7. (1) A hospital, ambulatory surgical center or mental hospital shall provide to the department at least one (1) report of best practices and safety measures related to a reported event.
(2) A hospital, ambulatory surgical center or mental hospital may provide to the department a report of other best practices and the safety measures that are effective in improving patient safety.
(3) The department by rule may prescribe the form and format of a best practices report. The department may not require a best practices report to exceed one (1) page in length. The department shall accept, in lieu of a report in the form and format prescribed by the department, a copy of a report submitted by a hospital, ambulatory surgical center or mental hospital to a
patient safety organization.
(4) The department periodically shall:
(a) Review the best practices reports;
(b) Compile a summary of the best practices reports determined by the department to be effective and recommended as best practices; and
(c) Make the summary available to the public by postingit on the department's Web site and distributing its availability to interested parties as widely as practical.
(5) The summary shall identify best practices by specific hospital, ambulatory surgical center or mental hospital but shall not directly or indirectly identify:
(a) An individual; or
(b) A specific reported event or the circumstances or individuals surrounding the event.
SECTION 8. (1) Not later than January 1, 2008, the State Health Officer shall:
(a) Evaluate the patient safety program established under this act;and
(b) Report the results of the evaluation and make recommendations to the Legislature.
(2) The State Health Officer shall conduct the evaluation in consultation with licensed hospitals, ambulatory surgical centers or mental hospitals.
(3) The evaluation must address:
(a) The degree to which the department was able to detect statewide trends in errors based on the types and numbers of events reported;
(b) The degree to which the statewide summaries of events compiled by the department were accessed by the public;
(c) The effectiveness of the department's best practices summary in improving patient care; and
(d) The impact of national studies on the effectiveness of state or federal systems of reporting medical errors.
(4) The department shall publicize the report and its availability as widely as practical to interested parties, including, but not limited to, hospitals, providers, media organizations, health insurers, health maintenance organizations, purchasers of health insurance, organized labor, consumer or patient advocacy groups and individual consumers. The annual report shall be made available to any person upon request.
SECTION 9. The department may accept and administer a gift, grant or donation from any source to carry out the purposes of this act.
SECTION 10. (1) An employer shall not take retaliatory action against an employee because the employee does any of the following:
(a) Discloses or threatens to disclose to any person or entity any activity, policy, practice, procedure, action or failure to act of the employer or agent of the employer that the employee reasonably believes is a violation of any law or that the employee reasonably believes constitutes improper quality of patient care;
(b) Provides information to, or testifies before, any public body conducting an investigation, a hearing or an inquiry that involves allegations that the employer has violated any law or has engaged in behavior constituting improper quality of patient care; and
(c) Objects to or refuses to participate in any activity, policy or practice of the employer or agent that the employee reasonably believes is in violation of a law or constitutes improper quality of patient care.
(2) Subsection (1)(a) and (c) of this section shall not apply unless an employee first reports the alleged violation of law or improper quality of patient care to the employer, supervisor or other person designated by the employer to address reports by employees of improper quality of patient care, and the employer has had a reasonable opportunity to address the violation. The employer shall address the violation under its
compliance plan, if one exists. The employee shall not be required to make a report under this subsection if the employee reasonably believes that doing so would be futile because making the report would not result in appropriate action to address the violation.
SECTION 11. (1) The department may assess an administrative penalty against a person who violates this act or a rule adopted under this act.
(2) The penalty may not exceed One Thousand Dollars ($1,000.00) for each violation. Each day of a continuing violation constitutes a separate violation.
(3) In determining the amount of an administrative penalty assessed under this section, the department shall consider:
(a) The seriousness of the violation;
(b) The history of previous violations;
(c) The amount necessary to deter future violations;
(d) Efforts made to correct the violation;
(e) Any hazard posed to the public health and safety by the violation; and
(f) Any other matters that justice may require.
(4) All proceedings for the assessment of an administrative penalty under this section are considered to be contested cases under the Administrative Procedures Act.
SECTION 12. (1) If, after investigation of a possible violation and the facts surrounding that possible violation, the department determines that a violation has occurred, the department shall give written notice of the violation to the person alleged to have committed the violation. The notice shall include:
(a) A brief summary of the alleged violation;
(b) A statement of the amount of the proposed penalty based on the factors set forth in Section 8(3) of this act; and
(c) A statement of the person's right to a hearing on the occurrence of the violation, the amount of the penalty, or both the occurrence of the violation and the amount of the penalty.
(2) Not later than the twentieth day after the date on which the notice is received, the person notified may accept the determination of the department made under this section, including the proposed penalty, or make a written request for a hearing on that determination.
(3) If the person notified of the violation accepts the determination of the department, the State Health Officer or his designee shall issue an order approving the determination and ordering that the person pay the proposed penalty.
SECTION 13. (1) If the person notified fails to respond in a timely manner to the notice under Section 12(2) of this act, or if the person requests a hearing, the department shall:
(a) Set a hearing;
(b) Give written notice of the hearing to the person; and
(c) Designate a hearings examiner to conduct the hearing.
(2) The hearings examiner shall make findings of fact and conclusions of law and shall promptly issue to the State Health Officer a proposal for a decision as to the occurrence of the violation and a recommendation as to the amount of the proposed penalty if a penalty is determined to be warranted.
(3) Based on the findings of fact and conclusions of law and the recommendations of the hearings examiner, the State Health Officer or his designee, by order, may find that a violation has occurred and may assess a penalty or may find that no violation has occurred.
SECTION 14. (1) The department shall give notice of the order under Section 12 of this act to the person notified. The notice must include:
(a) Separate statements of the findings of fact and conclusions of law;
(b) The amount of any penalty assessed; and
(c) A statement of the right of the person to judicial review of the order.
(2) Not later than the thirtieth day after the date on which the decision is final, the person shall either:
(a) Pay the penalty;
(b) Pay the penalty and file a petition for judicial review contesting the occurrence of the violation, the amount of the penalty, or both the occurrence of the violation and the amount of the penalty; or
(c) Without paying the penalty, file a petition for judicial review contesting the occurrence of the violation, the amount of the penalty, or both the occurrence of the violation and the amount of the penalty.
(3) Within the thirty-day period, a person who acts under subsection (2)(c) of this section may:
(a) Stay the enforcement of the penalty by:
(i) Paying the penalty to the court for placement in an escrow account; or
(ii) Giving to the court a supersedeas bond that is approved by the court for the amount of the penalty and that is effective until all judicial review of the order is final; or
(b) Request the court to stay the enforcement of the penalty by:
(i) Filing with the court a sworn affidavit of the person stating that the person is financially unable to pay the amount of the penalty and is financially unable to give the supersedeas bond; and
(ii) Giving a copy of the affidavit to the department by certified mail.
(4) If the department receives a copy of an affidavit under subsection (3)(b) of this section, the department may file with the court, within five (5) days after the date the copy is received, a contest to the affidavit. The court shall hold a hearing on the facts alleged in the affidavit as soon as practicable and shall stay the enforcement of the penalty on finding that the alleged facts are true. The person who files an affidavit has the burden of proving that the person is financially unable to pay the penalty and to give a supersedeas bond.
(5) If the person does not pay the penalty and the enforcement of the penalty is not stayed, the department may refer the matter to the Attorney General for collection of the penalty.
(6) Upon judicial review, if the court sustains the occurrence of the violation, the court may uphold or reduce the amount of the penalty and order the person to pay the full or reduced amount of the penalty. If the court does not sustain the occurrence of the violation, the court shall order that no penalty is owed.
(7) When the judgment of the court becomes final, the court shall proceed under this subsection. If the person paid the amount of the penalty under subsection (2)(b) and if that amount is reduced or is not upheld by the court, the court shall order that the department pay the appropriate amount plus accrued interest to the person. The rate of the interest is the rate charged on loans to depository institutions by the New York Federal Reserve Bank, and the interest shall be paid for the period beginning on the date the penalty was paid and ending on the date the penalty is remitted. If the person paid the penalty under subsection (3)(a)(i) or gave a supersedeas bond under subsection (3)(a)(ii) and if the amount of the penalty is not upheld by the court, the court shall order the release of the escrow account or bond. If the person paid the penalty under subsection (3)(a)(i) and the amount of the penalty is reduced, the court shall order that the amount of the penalty be paid to the department from the escrow account and that the remainder of the account be released. If the person gave a supersedeas bond and if the amount of the penalty is reduced, the court shall order the release of the bond after the person pays the amount.
SECTION 15. For purposes of this act:
(a) "Department" means the State Department of Health.
(b) "Hospital" means an acute care health care facility licensed under Sections 41-9-1 through 41-9-35.
(c) "Hospital-acquired infection" means a localized or systemic condition (i) that results from adverse reaction to the presence of an infectious agent(s) or its toxin(s) as determined by clinical examination,and (ii) that was not present or incubating at the time of admission to the hospital unless the infection was related to a previous admission to the same facility.
SECTION 16. (1) Each hospital shall maintain a program capable of identifying and tracking hospital-acquired infections for the purpose of public reporting under this section and quality improvement. Such programs shall have the capacity to identify the following elements: the specific infectious agents or toxins and site of each infection; the clinical department or unit within the facility where the patient first became infected; and the patient's diagnoses and any relevant specific surgical, medical or diagnostic procedure performed during the current admission. The department shall establish guidelines, definitions, criteria, standards and coding for hospital identification, tracking and reporting of hospital-acquired infections that shall be consistent with the recommendations of recognized centers of expertise in the identification and prevention of hospital-acquired infections, including, but not limited to, the National Health Care Safety Network of the Centers for Disease Control and Prevention or its successor. The department shall solicit and consider public comment prior to such establishment. Hospitals initially shall be required to identify, track and report hospital-acquired infections that occur in critical care units to include surgical wound infections, central line-related bloodstream infections, and ventilator associated pneumonia. Subsequent to the initial requirements, the department may, from time to time, require the tracking and reporting of other types of hospital-acquired infections that occur in hospitals in consultation with technical advisors who are regionally or nationally recognized experts in the prevention, identification and control of hospital-acquired infection and the public reporting of performance data.
(2) Each hospital shall regularly report to the department the hospital-acquired infection data it has collected. The department shall establish data collection and analytical methodologies that meet accepted standards for validity and reliability. In no case shall the frequency of reporting be required to be more frequently than once every six (6) months, and reports shall be submitted not more than sixty (60) days after the close of the reporting period.
(3) The State Health Officer shall establish a statewide database of all reported hospital-acquired infection information for the purpose of supporting quality improvement and infection control activities in hospitals. The database shall be organized so that consumers, hospitals, health care professionals, purchasers and payers may compare individual hospital experience with that of other individual hospitals as well as regional and statewide averages and, where available, national data.
(4) (a) Subject to paragraph (c) of this subsection, on or before January 1of each year the State Health Officer shall submit a report to the Governor and the Legislature, which shall simultaneously be published in its entirety on the department's Web site, that includes, but is not limited to, hospital-acquired infection rates adjusted for the potential differences in risk factors for each reporting hospital, an analysis of trends in the prevention and control of hospital-acquired infection rates in hospitals across the state, regional and, if available, national comparisons for the purpose of comparing individual hospital performance, and a narrative describing lessons for safety and quality improvement that can be learned from leadership hospitals and programs.
(b) The State Health Officer shall consult with technical advisors who have regionally or nationally acknowledged expertise in the prevention and control of hospital-acquired infection and infectious disease in order to develop the adjustment for potential differences in risk factors to be used for public reporting.
(c) (i) No later than one (1) year subsequent to the effective date of this act, the department shall establish a hospital-acquired infection reporting system capable of receiving electronically transmitted reports from hospitals. Hospitals shall begin to submit such reports as directed by the State Health Officer but in no case later than six (6) months subsequent to the establishment of such reporting system.
(ii) The first year of data submission under this section shall be considered the "pilot phase" of the statewide hospital-acquired infection reporting system. The purpose of the pilot phase is to ensure, by various means, including any audit process referred to in subsection (6) of this section, the completeness and accuracy of hospital-acquired infection reporting by hospitals. For data reported during the pilot phase, hospital identifiers shall be encrypted by the department in any and all public databases and reports. The department shall provide each hospital with an encryption key for that hospital only to
permit access to its own performance data for internal quality improvement purposes.
(iii) No later than one hundred eighty (180) days after the conclusion of the pilot phase, the department shall issue a report to hospitals assessing the overall accuracy of the data submitted in the pilot phase and provide guidance for improving the accuracy of hospital-acquired infection reporting. The department shall issue a report to the Governor and the Legislature assessing the overall completeness and accuracy of the data submitted by hospitals during the pilot phase and make recommendations for the improvement or modification of hospital-acquired infection data reporting based on the pilot phase, as well as share lessons learned in prevention of hospital-acquired infections. No hospital-identifiable data shall be included in the pilot phase report, but aggregate or otherwise de-identified data may be included.
(iv) After the pilot phase is completed, all data submitted under this section and compiled in the statewide hospital-acquired infection database established herein and all public reports derived therefrom shall include hospital identifiers.
(5) Subject to subsection (4) of this section, a summary table, in a format designed to be easily understood by lay consumers, that includes individual facility hospital-acquired infection rates adjusted for potential differences in risk factors and comparisons with regional and/or state averages shall be developed and posted on the department's Web site. The State Health Officer shall consult with consumer and patient advocates and representatives of reporting facilities for the purpose of ensuring that such summary table report format is easily understandable by the public, and clearly and accurately portrays comparative hospital performance in the prevention and control of hospital-acquired infections.
(6) To assure the accuracy of the self-reported hospital-acquired infection data and to assure that public reporting fairly reflects what actually is occurring in each hospital, the department shall develop and implement an audit process.
(7) For the purpose of ensuring that hospitals have the resources needed for ongoing staff education and training in hospital-acquired infection prevention and control, the department may make such grants to hospitals within amounts appropriated therefor.
SECTION 17. (1) The provisions of this section regarding the confidentiality of information or materials compiled or reported by a hospital in compliance with or as authorized under this act do not restrict access, to the extent authorized by law, by the patient or the patient's legally authorized representative to records of the patient's medical diagnosis or treatment or to other primary health records.
(2) It is the expressed intent of the Legislature that a patient's right of confidentiality shall not be violated in any manner. Patient social security numbers and any other information that could be used to identify an individual patient shall not be released notwithstanding any other provision of law.
SECTION 18. (1) No employer shall take retaliatory action against any employee because the employee does any of the following:
(a) Discloses or threatens to disclose to any person or entity any activity, policy, practice, procedure, action or failure to act of the employer or agent of the employer that the employee reasonably believes is a violation of any law or that the employee reasonably believes constitutes improper quality of patient care.
(b) Provides information to, or testifies before, any public body conducting an investigation, a hearing, or an inquiry that involves allegations that the employer has violated any law or has engaged in behavior constituting improper quality of patient care.
(c) Objects to or refuses to participate in any activity, policy, or practice of the employer or agent that the employee reasonably believes is in violation of a law or constitutes improper quality of patient care.
(2) Subsection (1)(a) and (c) of this section shall not apply unless an employee first reports the alleged violation of law or improper quality of patient care to the employer, supervisor or other person designated by the employer to address reports by employees of improper quality of patient care, and the employer has had a reasonable opportunity to address the violation. The employer shall address the violation under its compliance plan, if one exists. The employee shall not be required to make a report under this subsection if the employee reasonably believes that doing so would be futile because making the report would not result in appropriate action to address the violation.
SECTION 19. A determination that a hospital has violated the provisions of this act may result in any of the following:
(a) Termination of licensure or other sanctions relating to licensure under Sections 41-9-1 through 41-9-35.
(b) A civil penalty of up to One Thousand Dollars ($1,000.00) per day per violation for each day the hospital is in violation of this act.
SECTION 20. The department shall be responsible for ensuring compliance with this act as a condition of licensure under Sections 41-9-1 through 41-9-35 and shall enforce such compliance according to the provisions under Sections 41-9-1 through 41-9-35.
SECTION 21. Section 41-9-15, Mississippi Code of 1972, is amended as follows:
41-9-15. The licensing agency, after notice and opportunity for hearing to the applicant or licensee, is authorized to deny, suspend or revoke a license in any case in which it finds that there has been a substantial failure to comply with the requirements established under Sections 41-9-1 through 41-9-35, which shall specifically include the provisions of the Mississippi Patient Safety Act, being Sections 1 through 20 of Senate Bill No. 2078, 2007 Regular Session.
Such notice shall be effected by registered mail, or by personal service, setting forth the particular reasons for the proposed action and a fixing date not less than thirty (30) days from the date of such mailing or service, at which the applicant or licensee shall be given an opportunity for a prompt and fair hearing. On the basis of any such hearing, or upon default of the applicant or licensee, the licensing agency shall make a determination specifying its findings of fact and conclusions of law. A copy of such determination shall be sent by registered mail or served personally upon the applicant or licensee. The decision revoking, suspending or denying the license or application shall become final thirty (30) days after it is so mailed or served, unless the applicant or licensee, within such thirty-day period, appeals the decision, pursuant to Section 41-9-31.
The procedure governing hearings authorized by this section shall be in accordance with rules promulgated by the licensing agency. A full and complete record shall be kept of all proceedings, and all testimony shall be reported but need not be transcribed unless the decision is appealed pursuant to Section 41-9-31. Witnesses may be subpoenaed by either party. Compensation shall be allowed to witnesses as in cases in the chancery court. Each party shall pay the expense of his own witnesses. The cost of the record shall be paid by the licensing agency. Any other party desiring a copy of the transcript shall pay therefor the reasonable cost of preparing the same.
SECTION 22. Section 41-75-11, Mississippi Code of 1972, is amended as follows:
41-75-11. The licensing agency after notice and opportunity for a hearing to the applicant or licensee is authorized to deny, suspend or revoke a license in any case in which it finds that there has been a substantial failure to comply with the requirements established under this chapter, specifically including the provisions of the Mississippi Patient Safety Act, Sections 1 through 20 of Senate Bill No. 2078, 2007 Regular Session. Such notice shall be effected by registered mail, or by personal service setting forth the particular reasons for the proposed action and fixing a date not less than thirty (30) days from the date of such mailing or such service, at which time the applicant or licensee shall be given an opportunity for a prompt and fair hearing. On the basis of any such hearing, or upon default of the applicant or licensee, the licensing agency shall make a determination specifying its findings of fact and conclusions of law. A copy of such determination shall be sent by registered mail or served personally upon the applicant or licensee. The decision revoking, suspending or denying the license or application shall become final thirty (30) days after it is so mailed or served, unless the applicant or licensee, within such thirty (30) day period, appeals the decision to the chancery court in the county in which such facility is located in the manner prescribed in Section 43-11-23, Mississippi Code of 1972. The procedure governing hearings authorized by this section shall be in accordance with rules promulgated by the licensing agency. A full and complete record shall be kept of all proceedings, and all testimony shall be recorded but need not be transcribed unless the decision is appealed pursuant to Section 43-11-23, Mississippi Code of 1972. Witnesses may be subpoenaed by either party. Compensation shall be allowed to witnesses as in cases in the chancery court. Each party shall pay the expense of his own witnesses. The cost of the record shall be paid by the licensing agency provided any other party desiring a copy of the transcript shall pay therefor the reasonable cost of preparing the same.
SECTION 23. Section 41-9-63, Mississippi Code of 1972, is amended as follows:
41-9-63. All hospitals, their officers or employees and medical and nursing personnel practicing therein, shall with reasonable promptness prepare, make and maintain true and accurate hospital records complying with such methods and minimum standards as may be prescribed from time to time by rules and regulations adopted by the licensing agency, which shall specifically include the requirements of the Mississippi Patient Safety Act, Sections 1 through 20 of Senate Bill No. 2078, 2007 Regular Session.
SECTION 24. This act shall take effect and be in force from and after July 1, 2007.