10. a description of the Ineligible Persons screening and removal process required by Section III.G;
11. a copy of Apria’s policies and procedures regarding the identification, quantification and repayment of Overpayments required by Section III.I;
12. a description of Apria’s corporate structure, including identification of any individual owners, parent and sister companies, subsidiaries, and their respective lines of business;
13. a list of all of Apria’s locations (including locations and mailing addresses), the corresponding name under which each location is doing business, and the location’s Medicare and state Medicaid program provider number and/or supplier number(s); and
14. the certifications required by Section V.C.
B. Annual Reports
Apria shall submit to OIG a written report on its compliance with the CIA requirements for each of the five Reporting Periods (Annual Report). Each Annual Report shall include, at a minimum, the following information:
1. any change in the identity, position description, or other noncompliance job responsibilities of the Compliance Officer; a current list of the Compliance Committee members, a current list of the Board members who are responsible for satisfying the Board compliance obligations, and a current list of the Certifying Employees, along with the identification of any changes made during the Reporting Period to the Compliance Committee, Board, and Certifying Employees;
2. a description of any changes to the written process for Certifying Employees to follow in order to complete the certification required by Section III.A.4;
3. the dates of each report made by the Compliance Officer to the Board (written documentation of such reports shall be made available to OIG upon request);
4. the Board resolution required by Section III.A.3 and a description of the documents and other materials reviewed by the Board, as well as any additional steps taken, in its oversight of the compliance program and in support of making the resolution;
Apria - Corporate Integrity Agreement
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