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22. Solicitation of information and recommendations for developing OIG compliance program guidance for certain Medicare+Choice organizations--OIG, HHS. Notice. Fed Regist; 1998 Sep 22; 63(183):50577-8. PubMed ID: 10185802 [Abstract] [Full Text] [Related]
23. OIG issues guidance to hospitals seeking to reduce fraud and abuse risks. Hirsch WR. J Oncol Manag; 1998 Sep 22; 7(3):14-5. PubMed ID: 10181575 [No Abstract] [Full Text] [Related]
24. Compliance plans: how optional, really? Pretzer M. Med Econ; 2001 Jan 22; 78(2):36-8, 41-2, 44. PubMed ID: 11219036 [No Abstract] [Full Text] [Related]
25. The new hospice compliance plan: defining and addressing risk areas. Jones DH, Woods K. Caring; 2000 May 22; 19(5):30-2, 34-5. PubMed ID: 11009798 [Abstract] [Full Text] [Related]
26. Cost-effective compliance for the small provider. Fedor FP. Healthc Financ Manage; 2000 Jul 22; 54(7):56-60. PubMed ID: 11009826 [Abstract] [Full Text] [Related]
28. Compliance programs: serious business for health care providers. Chananie SJ, Gulick SL. J Am Coll Radiol; 2007 Apr 22; 4(4):214-6. PubMed ID: 17412270 [No Abstract] [Full Text] [Related]
29. Socioeconomic tips of the month. Complying with anti-fraud and abuse requirements. Bull Am Coll Surg; 1999 Dec 22; 84(12):47, 60. PubMed ID: 11349557 [No Abstract] [Full Text] [Related]
30. The new hospice compliance plan: defining and addressing risk areas. Part 2. Jones DH, Woods K. Caring; 2000 Jun 22; 19(6):34-7. PubMed ID: 11010140 [Abstract] [Full Text] [Related]
31. A physician office billing compliance program. Eisenhauer S. J AHIMA; 1997 Oct 22; 68(9):62, 64-6. PubMed ID: 10173205 [No Abstract] [Full Text] [Related]
32. How to avoid fraud and abuse by following compliance guidelines. Honsinger RW. Allergy Asthma Proc; 2001 Oct 22; 22(4):221-4. PubMed ID: 11552672 [Abstract] [Full Text] [Related]
33. Building on program parallels. A facility's corporate compliance structure may well provide the nucleus for a strong risk management program. Burgess KL. Provider; 2002 Dec 22; 28(12):43-4, 47. PubMed ID: 12491864 [No Abstract] [Full Text] [Related]
34. New guidelines in place. Wachler AB, Avery PA. Mich Health Hosp; 1999 Dec 22; 35(2):22-3. PubMed ID: 10350806 [Abstract] [Full Text] [Related]
35. FCA compliance plan can help protect practice. Kern SL. Med Econ; 2010 Apr 09; 87(7):31. PubMed ID: 20476628 [No Abstract] [Full Text] [Related]
36. Design a compliance plan for the medical office. Bloink JN. J Med Pract Manage; 2013 Apr 09; 29(3):157-9. PubMed ID: 24765731 [Abstract] [Full Text] [Related]
37. Getting ready for identity theft rules: creating a prevention program for your medical practice. Cascardo D. J Med Pract Manage; 2009 Apr 09; 25(2):131-3. PubMed ID: 19911551 [Abstract] [Full Text] [Related]
38. Audit your hospice program to identify compliance weakness. Use past OIG reports while waiting for guidance. Caring; 1999 Oct 09; 18(10):58-9. PubMed ID: 10623088 [No Abstract] [Full Text] [Related]
39. Publication of OIG compliance program guidance for clinical laboratories--HHS. Notice. Fed Regist; 1998 Aug 24; 63(163):45076-87. PubMed ID: 10182693 [Abstract] [Full Text] [Related]
40. What you need to know about the 2004 OIG work plan. Siegel S. Health Care Law Mon; 2003 Dec 24; ():3-12. PubMed ID: 14712524 [No Abstract] [Full Text] [Related] Page: [Previous] [Next] [New Search]