Texas 2017 - 85th Regular

Texas House Bill HB3040 Latest Draft

Bill / House Committee Report Version Filed 02/02/2025

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                            85R21497 BEE-D
 By: Burkett, Thompson of Harris, Flynn, H.B. No. 3040
 Raymond
 Substitute the following for H.B. No. 3040:
 By:  Price C.S.H.B. No. 3040


 A BILL TO BE ENTITLED
 AN ACT
 relating to the continuation and functions of the Texas Medical
 Board; authorizing a fee.
 BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF TEXAS:
 SECTION 1.  Section 151.004, Occupations Code, is amended to
 read as follows:
 Sec. 151.004.  APPLICATION OF SUNSET ACT.  The Texas Medical
 Board is subject to Chapter 325, Government Code (Texas Sunset
 Act).  Unless continued in existence as provided by that chapter,
 the board is abolished and this subtitle and Chapters 204, 205, 206,
 601, 602, 603, and 604 expire September 1, 2029 [2017].
 SECTION 2.  Section 152.010, Occupations Code, is amended by
 amending Subsection (b) and adding Subsection (d) to read as
 follows:
 (b)  The training program must provide the person with
 information regarding:
 (1)  the law governing board operations [this
 subtitle];
 (2)  the programs, functions, rules, and budget of
 [operated by] the board;
 (3)  the scope of and limitations on the rulemaking
 authority [role and functions] of the board;
 (4)  [the rules of the board, with an emphasis on the
 rules that relate to disciplinary and investigatory authority;
 [(5)  the current budget for the board;
 [(6)]  the results of the most recent formal audit of
 the board;
 (5) [(7)]  the requirements of:
 (A)  laws relating to open meetings, public
 information, administrative procedure, and disclosing conflicts of
 interest; and
 (B)  other laws applicable to members of the board
 in performing their duties; and
 (6) [(8)]  any applicable ethics policies adopted by
 the board or the Texas Ethics Commission.
 (d)  The executive director of the board shall create a
 training manual that includes the information required by
 Subsection (b). The executive director shall distribute a copy of
 the training manual annually to each board member. On receipt of
 the training manual, each board member shall sign and submit to the
 executive director a statement acknowledging receipt of the
 training manual.
 SECTION 3.  The heading to Section 153.007, Occupations
 Code, is amended to read as follows:
 Sec. 153.007.  AUTHORITY TO ISSUE SUBPOENA OR ADMINISTER
 OATH; SUBPOENA ENFORCEMENT.
 SECTION 4.  Section 153.007, Occupations Code, is amended by
 adding Subsections (e) and (f) to read as follows:
 (e)  If a person fails to comply with a subpoena issued under
 this section, the board, acting through the attorney general, may
 file suit to enforce the subpoena in a district court in Travis
 County or in a county in which a hearing conducted by the board may
 be held.
 (f)  On finding that good cause exists for issuing the
 subpoena, the court shall order the person to comply with the
 subpoena.
 SECTION 5.  Section 153.058(a), Occupations Code, is amended
 to read as follows:
 (a)  The board shall develop and implement a policy to
 encourage the use of:
 (1)  negotiated rulemaking procedures under Chapter
 2008, Government Code, for the adoption of any rules by the board
 [rules]; and
 (2)  appropriate alternative dispute resolution
 procedures under Chapter 2009, Government Code, to assist in the
 resolution of internal and external disputes under the board's
 jurisdiction.
 SECTION 6.  Section 155.056, Occupations Code, is amended by
 amending Subsection (a) and adding Subsection (a-1) to read as
 follows:
 (a)  Except as provided by Subsection (a-1), an [An]
 applicant must pass each part of an examination within three
 attempts.
 (a-1)  The limit on the number of examination attempts under
 Subsection (a) does not apply to the Texas medical jurisprudence
 examination.
 SECTION 7.  Subchapter A, Chapter 156, Occupations Code, is
 amended by adding Section 156.010 to read as follows:
 Sec. 156.010.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 board may refuse to renew a registration permit issued under this
 chapter if the license holder is in violation of a board order.
 SECTION 8.  Section 162.106, Occupations Code, is amended to
 read as follows:
 Sec. 162.106.  INSPECTIONS. (a) The board may conduct
 inspections [to enforce this subchapter, including inspections of
 an office site and of documents] of a physician's equipment and
 office procedures [practice] that relate to the provision of
 anesthesia in an outpatient setting as necessary to enforce this
 subchapter.
 (b)  The board may establish a risk-based inspection process
 in which the board conducts inspections based on the length of time
 since:
 (1)  the equipment and outpatient setting were last
 inspected; and
 (2)  the physician submitted to inspection.
 (c)  The board may contract with another state agency or
 qualified person to conduct the inspections.
 (d) [(b)]  Unless it would jeopardize an ongoing
 investigation, the board shall provide at least five business days'
 notice before conducting an on-site inspection under this section.
 (e)  The board shall maintain a record of the outpatient
 settings in which physicians provide anesthesia.
 (f)  A physician who provides anesthesia in an outpatient
 setting shall inform the board of any other physician with whom the
 physician shares equipment used to administer anesthesia.
 (g) [(c)]  This section does not require the board to make an
 on-site inspection of a physician's office.
 SECTION 9.  Chapter 162, Occupations Code, is amended by
 adding Subchapter G to read as follows:
 SUBCHAPTER G. GENERAL PRACTICE PROVISIONS
 Sec. 162.301.  DUTIES RELATED TO CERTAIN PRESCRIPTIONS. (a)
 A physician may not prescribe a drug listed in Subsection (b) to a
 patient unless the physician has reviewed the patient's
 prescription history by accessing the prescription information
 submitted to the Texas State Board of Pharmacy as authorized by
 Section 481.076(a)(5), Health and Safety Code.
 (b)  Subsection (a) applies only to the prescribing of:
 (1)  opioids;
 (2)  benzodiazepines;
 (3)  barbiturates; or
 (4)  carisoprodol.
 (c)  A physician is not subject to the requirements of
 Subsection (a) if:
 (1)  the patient has been diagnosed with cancer or the
 patient is receiving hospice care; and
 (2)  the physician clearly notes in the prescription
 record that the patient was diagnosed with cancer or is receiving
 hospice care, as applicable.
 (d)  Failure by a physician to comply with the requirements
 of this section is grounds for disciplinary action under Section
 164.051.
 SECTION 10.  Section 164.0015(d), Occupations Code, is
 amended to read as follows:
 (d)  The board may not issue a remedial plan to resolve a
 complaint against a license holder if the license holder has
 [previously] entered into a remedial plan with the board in the
 preceding five years [for the resolution of a different complaint
 relating to this subtitle].
 SECTION 11.  Section 164.003, Occupations Code, is amended
 by amending Subsections (b) and (f) and adding Subsection (f-1) to
 read as follows:
 (b)  Rules adopted under this section must require that:
 (1)  an informal meeting in compliance with Section
 2001.054, Government Code, be scheduled not later than the 180th
 day after the date the board's official investigation of the
 complaint is commenced as provided by Section 154.057(b), unless
 good cause is shown by the board for scheduling the informal meeting
 after that date;
 (2)  the board give notice to the license holder of the
 time and place of the meeting not later than the 45th day before the
 date the meeting is held;
 (3)  the complainant and the license holder be provided
 an opportunity to be heard;
 (4)  at least one of the board members or district
 review committee members participating in the informal meeting as a
 panelist be a member who represents the public;
 (5)  the board's legal counsel or a representative of
 the attorney general be present to advise the board or the board's
 staff; [and]
 (6)  a member of the board's staff be at the meeting to
 present to the board's representative the facts the staff
 reasonably believes it could prove by competent evidence or
 qualified witnesses at a hearing; and
 (7)  if the complaint includes an allegation that the
 license holder has violated the standard of care, the panel
 conducting the informal proceeding consider whether the physician
 was practicing complementary and alternative medicine.
 (f)  The notice required by Subsection (b)(2) must be
 accompanied by a written statement of the nature of the allegations
 and the information the board intends to use at the meeting.  If the
 board does not provide the statement or information at that time,
 the license holder may use that failure as grounds for rescheduling
 the informal meeting.  If the complaint includes an allegation that
 the license holder has violated the standard of care, the notice
 must include a copy of each [the] report prepared by an [the] expert
 physician reviewer under Section 154.0561.  The license holder must
 provide to the board the license holder's rebuttal at least 15
 business days before the date of the meeting in order for the
 information to be considered at the meeting.
 (f-1)  Before providing a report to a license holder under
 Subsection (f), the board must redact any identifying information
 of an expert physician reviewer other than the specialty of the
 expert physician reviewer.
 SECTION 12.  Sections 164.005(a) and (c), Occupations Code,
 are amended to read as follows:
 (a)  In this section, "formal complaint" means a written
 statement made by a credible person [under oath] that is filed and
 presented by a board representative charging a person with having
 committed an act that, if proven, could affect the legal rights or
 privileges of a license holder or other person under the board's
 jurisdiction.
 (c)  A charge must [be in the form of a written affidavit
 that]:
 (1)  be [is] filed with the board's records custodian or
 assistant records custodian; and
 (2)  detail [details] the nature of the charge as
 required by this subtitle or other applicable law.
 SECTION 13.  Subchapter A, Chapter 164, Occupations Code, is
 amended by adding Section 164.0105 to read as follows:
 Sec. 164.0105.  MONITORING HARMFUL PRESCRIBING PATTERNS.
 (a) The board shall periodically check the prescribing information
 submitted to the Texas State Board of Pharmacy as authorized by
 Section 481.076(a)(1), Health and Safety Code, to determine whether
 a physician is engaging in potentially harmful prescribing patterns
 or practices.
 (b)  The board, in coordination with the Texas State Board of
 Pharmacy, shall determine the conduct that constitutes a
 potentially harmful prescribing pattern or practice for purposes of
 Subsection (a). In determining the conduct that constitutes a
 potentially harmful prescribing pattern or practice, the board
 shall consider:
 (1)  the number of times a physician prescribes a drug
 listed in Section 162.301(b); and
 (2)  for prescriptions described by Subdivision (1),
 patterns of prescribing combinations of those drugs and other
 dangerous combinations of drugs identified by the board.
 (c)  If the board suspects that a physician may be engaging
 in potentially harmful prescribing patterns or practices, the board
 may notify the physician of the potentially harmful prescribing
 pattern or practice.
 (d)  The board may initiate a complaint against a physician
 based on information obtained under this section.
 SECTION 14.  Chapter 167, Occupations Code, is amended by
 adding Sections 167.012 and 167.013 to read as follows:
 Sec. 167.012.  MEMORANDUM OF UNDERSTANDING WITH BOARD. The
 governing board and the board shall enter into a memorandum of
 understanding to better coordinate services and operations of the
 program.  The memorandum of understanding must be adopted by rule
 and:
 (1)  establish performance measures for the program,
 including the number of participants who successfully complete the
 program;
 (2)  include a list of services the board will provide
 for the program; and
 (3)  require that an internal audit of the program be
 conducted at least once every three years to ensure the program is
 properly documenting and referring all noncompliance to the board.
 Sec. 167.013.  GIFTS, GRANTS, AND DONATIONS. In addition to
 any fees paid to the board or money appropriated to the board for
 the program, the governing board may receive and accept a gift,
 grant, donation, or other thing of value from any source, including
 the United States or a private source, for the program.
 SECTION 15.  Subchapter A, Chapter 168, Occupations Code, is
 amended by adding Section 168.003 to read as follows:
 Sec. 168.003.  LEGISLATIVE FINDING. The legislature finds
 that deaths resulting from the use of opioids and other controlled
 substances constitute a public health crisis and that there is a
 compelling state interest in the board closely regulating the
 prescribing of opioids and other controlled substances by
 physicians and their delegates. Accordingly, the legislature finds
 that inspections and investigations conducted by the board,
 including the board's use of subpoenas for immediate production,
 inspection, and copying of medical and billing records, are
 necessary to adequately regulate the prescribing of opioids and
 other controlled substances in order to protect the public health
 and welfare.
 SECTION 16.  Section 168.052, Occupations Code, is amended
 to read as follows:
 Sec. 168.052.  INSPECTIONS. (a) The board may inspect a
 pain management clinic certified under this chapter, including the
 documents of a physician practicing at the clinic, as necessary to
 ensure compliance with this chapter.
 (b)  The board may inspect a clinic or facility that is not
 certified under this chapter to determine whether the clinic or
 facility is required to be certified under Section 168.101.  The
 board by rule shall establish the grounds for conducting an
 inspection under this subsection, including grounds based on:
 (1)  the population of patients served by the clinic or
 facility;
 (2)  the volume or combination of drugs prescribed to
 patients served by the clinic or facility; and
 (3)  any other criteria the board considers sufficient
 to require an inspection of the clinic or facility.
 SECTION 17.  Section 168.201, Occupations Code, is amended
 by adding Subsection (a-1) to read as follows:
 (a-1)  For the purposes of this section, inappropriate
 prescribing includes nontherapeutic prescribing or other conduct
 as specified by board rule.
 SECTION 18.  Subtitle B, Title 3, Occupations Code, is
 amended by adding Chapter 170 to read as follows:
 CHAPTER 170. INTERSTATE MEDICAL LICENSURE COMPACT
 Sec. 170.001.  INTERSTATE MEDICAL LICENSURE COMPACT. The
 Interstate Medical Licensure Compact is enacted and entered into
 with all other jurisdictions that legally join in the compact,
 which reads as follows:
 INTERSTATE MEDICAL LICENSURE COMPACT
 SECTION 1.  PURPOSE
 In order to strengthen access to health care, and in
 recognition of the advances in the delivery of health care, the
 member states of the Interstate Medical Licensure Compact have
 allied in common purpose to develop a comprehensive process that
 complements the existing licensing and regulatory authority of
 state medical boards, and provides a streamlined process that
 allows physicians to become licensed in multiple states, thereby
 enhancing the portability of a medical license and ensuring the
 safety of patients. The Compact creates another pathway for
 licensure and does not otherwise change a state's existing Medical
 Practice Act. The Compact also adopts the prevailing standard for
 licensure and affirms that the practice of medicine occurs where
 the patient is located at the time of the physician-patient
 encounter, and therefore, requires the physician to be under the
 jurisdiction of the state medical board where the patient is
 located. State medical boards that participate in the Compact
 retain the jurisdiction to impose an adverse action against a
 license to practice medicine in that state issued to a physician
 through the procedures in the Compact.
 SECTION 2.  DEFINITIONS
 In this compact:
 (a)  "Bylaws" means those bylaws established by the
 Interstate Commission pursuant to Section 11 for its governance, or
 for directing and controlling its actions and conduct.
 (b)  "Commissioner" means the voting representative
 appointed by each member board pursuant to Section 11.
 (c)  "Conviction" means a finding by a court that an
 individual is guilty of a criminal offense through adjudication, or
 entry of a plea of guilt or no contest to the charge by the offender.
 Evidence of an entry of a conviction of a criminal offense by the
 court shall be considered final for purposes of disciplinary action
 by a member board.
 (d)  "Expedited License" means a full and unrestricted
 medical license granted by a member state to an eligible physician
 through the process set forth in the Compact.
 (e)  "Interstate Commission" means the interstate commission
 created pursuant to Section 11.
 (f)  "License" means authorization by a state for a physician
 to engage in the practice of medicine, which would be unlawful
 without the authorization.
 (g)  "Medical Practice Act" means laws and regulations
 governing the practice of allopathic and osteopathic medicine
 within a member state.
 (h)  "Member Board" means a state agency in a member state
 that acts in the sovereign interests of the state by protecting the
 public through licensure, regulation, and education of physicians
 as directed by the state government.
 (i)  "Member State" means a state that has enacted the
 Compact.
 (j)  "Practice of Medicine" means the clinical prevention,
 diagnosis, or treatment of human disease, injury, or condition
 requiring a physician to obtain and maintain a license in
 compliance with the Medical Practice Act of a member state.
 (k)  "Physician" means any person who:
 (1)  Is a graduate of a medical school accredited by the
 Liaison Committee on Medical Education, the Commission on
 Osteopathic College Accreditation, or a medical school listed in
 the International Medical Education Directory or its equivalent;
 (2)  Passed each component of the United States Medical
 Licensing Examination (USMLE) or the Comprehensive Osteopathic
 Medical Licensing Examination (COMLEX-USA) within three attempts,
 or any of its predecessor examinations accepted by a state medical
 board as an equivalent examination for licensure purposes;
 (3)  Successfully completed graduate medical education
 approved by the Accreditation Council for Graduate Medical
 Education or the American Osteopathic Association;
 (4)  Holds specialty certification or a time-unlimited
 specialty certificate recognized by the American Board of Medical
 Specialties or the American Osteopathic Association's Bureau of
 Osteopathic Specialists;
 (5)  Possesses a full and unrestricted license to
 engage in the practice of medicine issued by a member board;
 (6)  Has never been convicted, received adjudication,
 deferred adjudication, community supervision, or deferred
 disposition for any offense by a court of appropriate jurisdiction;
 (7)  Has never held a license authorizing the practice
 of medicine subjected to discipline by a licensing agency in any
 state, federal, or foreign jurisdiction, excluding any action
 related to non-payment of fees related to a license;
 (8)  Has never had a controlled substance license or
 permit suspended or revoked by a state or the United States Drug
 Enforcement Administration; and
 (9)  Is not under active investigation by a licensing
 agency or law enforcement authority in any state, federal, or
 foreign jurisdiction.
 (l)  "Offense" means a felony, gross misdemeanor, or crime of
 moral turpitude.
 (m)  "Rule" means a written statement by the Interstate
 Commission promulgated pursuant to Section 12 of the Compact that
 is of general applicability, implements, interprets, or prescribes
 a policy or provision of the Compact, or an organizational,
 procedural, or practice requirement of the Interstate Commission,
 and has the force and effect of statutory law in a member state, and
 includes the amendment, repeal, or suspension of an existing rule.
 (n)  "State" means any state, commonwealth, district, or
 territory of the United States.
 (o)  "State of Principal License" means a member state where
 a physician holds a license to practice medicine and which has been
 designated as such by the physician for purposes of registration
 and participation in the Compact.
 SECTION 3.  ELIGIBILITY
 (a)  A physician must meet the eligibility requirements as
 defined in Section 2(k) to receive an expedited license under the
 terms and provisions of the Compact.
 (b)  A physician who does not meet the requirements of
 Section 2(k) may obtain a license to practice medicine in a member
 state if the individual complies with all laws and requirements,
 other than the Compact, relating to the issuance of a license to
 practice medicine in that state.
 SECTION 4.  DESIGNATION OF STATE OF PRINCIPAL LICENSE
 (a)  A physician shall designate a member state as the state
 of principal license for purposes of registration for expedited
 licensure through the Compact if the physician possesses a full and
 unrestricted license to practice medicine in that state, and the
 state is:
 (1)  the state of primary residence for the physician,
 or
 (2)  the state where at least 25 percent of the practice
 of medicine occurs, or
 (3)  the location of the physician's employer, or
 (4)  if no state qualifies under subsection (1),
 subsection (2), or subsection (3), the state designated as state of
 residence for purpose of federal income tax.
 (b)  A physician may redesignate a member state as state of
 principal license at any time, as long as the state meets the
 requirements in subsection (a).
 (c)  The Interstate Commission is authorized to develop
 rules to facilitate redesignation of another member state as the
 state of principal license.
 SECTION 5.  APPLICATION AND ISSUANCE OF EXPEDITED LICENSURE
 (a)  A physician seeking licensure through the Compact shall
 file an application for an expedited license with the member board
 of the state selected by the physician as the state of principal
 license.
 (b)  Upon receipt of an application for an expedited license,
 the member board within the state selected as the state of principal
 license shall evaluate whether the physician is eligible for
 expedited licensure and issue a letter of qualification, verifying
 or denying the physician's eligibility, to the Interstate
 Commission.
 (i)  Static qualifications, which include verification
 of medical education, graduate medical education, results of any
 medical or licensing examination, and other qualifications as
 determined by the Interstate Commission through rule, shall not be
 subject to additional primary source verification where already
 primary source verified by the state of principal license.
 (ii)  The member board within the state selected as the
 state of principal license shall, in the course of verifying
 eligibility, perform a criminal  background check of an applicant,
 including the use of the results of fingerprint or other biometric
 data checks compliant with the requirements of the Federal Bureau
 of Investigation, with the exception of federal employees who have
 suitability determination in accordance with U.S. C.F.R. Section
 731.202.
 (iii)  Appeal on the determination of eligibility shall
 be made to the member state where the application was filed and
 shall be subject to the law of that state.
 (c)  Upon verification in subsection (b), physicians
 eligible for an expedited license shall complete the registration
 process established by the Interstate Commission to receive a
 license in a member state selected pursuant to subsection (a),
 including the payment of any applicable fees.
 (d)  After receiving verification of eligibility under
 subsection (b) and any fees under subsection (c), a member board
 shall issue an expedited license to the physician. This license
 shall authorize the physician to practice medicine in the issuing
 state consistent with the Medical Practice Act and all applicable
 laws and regulations of the issuing member board and member state.
 (e)  An expedited license shall be valid for a period
 consistent with the licensure period in the member state and in the
 same manner as required for other physicians holding a full and
 unrestricted license within the member state.
 (f)  An expedited license obtained though the Compact shall
 be terminated if a physician fails to maintain a license in the
 state of principal licensure for a non-disciplinary reason, without
 redesignation of a new state of principal licensure.
 (g)  The Interstate Commission is authorized to develop
 rules regarding the application process, including payment of any
 applicable fees, and the issuance of an expedited license.
 SECTION 6.  FEES FOR EXPEDITED LICENSURE
 (a)  A member state issuing an expedited license authorizing
 the practice of medicine in that state may impose a fee for a
 license issued or renewed through the Compact.
 (b)  The Interstate Commission is authorized to develop
 rules regarding fees for expedited licenses.
 SECTION 7.  RENEWAL AND CONTINUED PARTICIPATION
 (a)  A physician seeking to renew an expedited license
 granted in a member state shall complete a renewal process with the
 Interstate Commission if the physician:
 (1)  Maintains a full and unrestricted license in a
 state of principal license;
 (2)  Has not been convicted, received adjudication,
 deferred adjudication, community supervision, or deferred
 disposition for any offense by a court of appropriate jurisdiction;
 (3)  Has not had a license authorizing the practice of
 medicine subject to discipline by a licensing agency in any state,
 federal, or foreign jurisdiction, excluding any action related to
 non-payment of fees related to a license; and
 (4)  Has not had a controlled substance license or
 permit suspended or revoked by a state or the United States Drug
 Enforcement Administration.
 (b)  Physicians shall comply with all continuing
 professional development or continuing medical education
 requirements for renewal of a license issued by a member state.
 (c)  The Interstate Commission shall collect any renewal
 fees charged for the renewal of a license and distribute the fees to
 the applicable member board.
 (d)  Upon receipt of any renewal fees collected in subsection
 (c), a member board shall renew the physician's license.
 (e)  Physician information collected by the Interstate
 Commission during the renewal process will be distributed to all
 member boards.
 (f)  The Interstate Commission is authorized to develop
 rules to address renewal of licenses obtained through the Compact.
 SECTION 8.  COORDINATED INFORMATION SYSTEM
 (a)  The Interstate Commission shall establish a database of
 all physicians licensed, or who have applied for licensure, under
 Section 5.
 (b)  Notwithstanding any other provision of law, member
 boards shall report to the Interstate Commission any public action
 or complaints against a licensed physician who has applied or
 received an expedited license through the Compact.
 (c)  Member boards shall report disciplinary or
 investigatory information determined as necessary and proper by
 rule of the Interstate Commission.
 (d)  Member boards may report any non-public complaint,
 disciplinary, or investigatory information not required by
 subsection (c) to the Interstate Commission.
 (e)  Member boards shall share complaint or disciplinary
 information about a physician upon request of another member board.
 (f)  All information provided to the Interstate Commission
 or distributed by member boards shall be confidential, filed under
 seal, and used only for investigatory or disciplinary matters.
 (g)  The Interstate Commission is authorized to develop
 rules for mandated or discretionary sharing of information by
 member boards.
 SECTION 9.  JOINT INVESTIGATIONS
 (a)  Licensure and disciplinary records of physicians are
 deemed investigative.
 (b)  In addition to the authority granted to a member board
 by its respective Medical Practice Act or other applicable state
 law, a member board may participate with other member boards in
 joint investigations of physicians licensed by the member boards.
 (c)  A subpoena issued by a member state shall be enforceable
 in other member states.
 (d)  Member boards may share any investigative, litigation,
 or compliance materials in furtherance of any joint or individual
 investigation initiated under the Compact.
 (e)  Any member state may investigate actual or alleged
 violations of the statutes authorizing the practice of medicine in
 any other member state in which a physician holds a license to
 practice medicine.
 SECTION 10.  DISCIPLINARY ACTIONS
 (a)  Any disciplinary action taken by any member board
 against a physician licensed through the Compact shall be deemed
 unprofessional conduct which may be subject to discipline by other
 member boards, in addition to any violation of the Medical Practice
 Act or regulations in that state.
 (b)  If a license granted to a physician by the member board
 in the state of principal license is revoked, surrendered or
 relinquished in lieu of discipline, or suspended, then all licenses
 issued to the physician by member boards shall automatically be
 placed, without further action necessary by any member board, on
 the same status. If the member board in the state of principal
 license subsequently reinstates the physician's license, a license
 issued to the physician by any other member board shall remain
 encumbered until that respective member board takes action to
 reinstate the license in a manner consistent with the Medical
 Practice Act of that state.
 (c)  If disciplinary action is taken against a physician by a
 member board not in the state of principal license, any other member
 board may deem the action conclusive as to matter of law and fact
 decided, and:
 (i)  impose the same or lesser sanction(s) against the
 physician so long as such sanctions are consistent with the Medical
 Practice Act of that state;
 (ii)  or pursue separate disciplinary action against
 the physician under its respective Medical Practice Act, regardless
 of the action taken in other member states.
 (d)  If a license granted to a physician by a member board is
 revoked, surrendered or relinquished in lieu of discipline, or
 suspended, then any license(s) issued to the physician by any other
 member board(s) shall be suspended, automatically and immediately
 without further action necessary by the other member board(s), for
 ninety (90) days upon entry of the order by the disciplining board,
 to permit the member board(s) to investigate the basis for the
 action under the Medical Practice Act of that state. A member board
 may terminate the automatic suspension of the license it issued
 prior to the completion of the ninety (90) day suspension period in
 a manner consistent with the Medical Practice Act of that state.
 SECTION 11.  INTERSTATE MEDICAL LICENSURE COMPACT
 COMMISSION
 (a)  The member states hereby create the "Interstate Medical
 Licensure Compact Commission".
 (b)  The purpose of the Interstate Commission is the
 administration of the Interstate Medical Licensure Compact, which
 is a discretionary state function.
 (c)  The Interstate Commission shall be a body corporate and
 joint agency of the member states and shall have all the
 responsibilities, powers, and duties set forth in the Compact, and
 such additional powers as may be conferred upon it by a subsequent
 concurrent action of the respective legislatures of the member
 states in accordance with the terms of the Compact.
 (d)  The Interstate Commission shall consist of two voting
 representatives appointed by each member state who shall serve as
 Commissioners.  In states where allopathic and osteopathic
 physicians are regulated by separate member boards, or if the
 licensing and disciplinary authority is split between multiple
 member boards within a member state, the member state shall appoint
 one representative from each member board. A Commissioner shall be
 a(n):
 (1)  Allopathic or osteopathic physician appointed to a
 member board;
 (2)  Executive director, executive secretary, or
 similar executive of a member board; or
 (3)  Member of the public appointed to a member board.
 (e)  The Interstate Commission shall meet at least once each
 calendar year.  A portion of this meeting shall be a business
 meeting to address such matters as may properly come before the
 Commission, including the election of officers.  The chairperson
 may call additional meetings and shall call for a meeting upon the
 request of a majority of the member states.
 (f)  The bylaws may provide for meetings of the Interstate
 Commission to be conducted by telecommunication or electronic
 communication.
 (g)  Each Commissioner participating at a meeting of the
 Interstate Commission is entitled to one vote.  A majority of
 Commissioners shall constitute a quorum for the transaction of
 business, unless a larger quorum is required by the bylaws of the
 Interstate Commission.  A Commissioner shall not delegate a vote to
 another Commissioner.  In the absence of its Commissioner, a member
 state may delegate voting authority for a specified meeting to
 another person from that state who shall meet the requirements of
 subsection (d).
 (h)  The Interstate Commission shall provide public notice
 of all meetings and all meetings shall be open to the public.  The
 Interstate Commission may close a meeting, in full or in portion,
 where it determines by a two-thirds vote of the Commissioners
 present that an open meeting would be likely to:
 (1)  Relate solely to the internal personnel practices
 and procedures of the Interstate Commission;
 (2)  Discuss matters specifically exempted from
 disclosure by federal statute;
 (3)  Discuss trade secrets, commercial, or financial
 information that is privileged or confidential;
 (4)  Involve accusing a person of a crime, or formally
 censuring a person;
 (5)  Discuss information of a personal nature where
 disclosure would constitute a clearly unwarranted invasion of
 personal privacy;
 (6)  Discuss investigative records compiled for law
 enforcement purposes; or
 (7)  Specifically relate to the participation in a
 civil action or other legal proceeding.
 (i)  The Interstate Commission shall keep minutes which
 shall fully describe all matters discussed in a meeting and shall
 provide a full and accurate summary of actions taken, including
 record of any roll call votes.
 (j)  The Interstate Commission shall make its information
 and official records, to the extent not otherwise designated in the
 Compact or by its rules, available to the public for inspection.
 (k)  The Interstate Commission shall establish an executive
 committee, which shall include officers, members, and others as
 determined by the bylaws.  The executive committee shall have the
 power to act on behalf of the Interstate Commission, with the
 exception of rulemaking, during periods when the Interstate
 Commission is not in session.  When acting on behalf of the
 Interstate Commission, the executive committee shall oversee the
 administration of the Compact including enforcement and compliance
 with the provisions of the Compact, its bylaws and rules, and other
 such duties as necessary.
 (l)  The Interstate Commission may establish other
 committees for governance and administration of the Compact.
 SECTION 12.  POWERS AND DUTIES OF THE INTERSTATE COMMISSION
 The Interstate Commission shall have the duty and power to:
 (a)  Oversee and maintain the administration of the Compact;
 (b)  Promulgate rules which shall be binding to the extent
 and in the manner provided for in the Compact;
 (c)  Issue, upon the request of a member state or member
 board, advisory opinions concerning the meaning or interpretation
 of the Compact, its bylaws, rules, and actions;
 (d)  Enforce compliance with Compact provisions, the rules
 promulgated by the Interstate Commission, and the bylaws, using all
 necessary and proper means, including but not limited to the use of
 judicial process;
 (e)  Establish and appoint committees including, but not
 limited to, an executive committee as required by Section 11, which
 shall have the power to act on behalf of the Interstate Commission
 in carrying out its powers and duties;
 (f)  Pay, or provide for the payment of the expenses related
 to the establishment, organization, and ongoing activities of the
 Interstate Commission;
 (g)  Establish and maintain one or more offices;
 (h)  Borrow, accept, hire, or contract for services of
 personnel;
 (i)  Purchase and maintain insurance and bonds;
 (j)  Employ an executive director who shall have such powers
 to employ, select or appoint employees, agents, or consultants, and
 to determine their qualifications, define their duties, and fix
 their compensation;
 (k)  Establish personnel policies and programs relating to
 conflicts of interest, rates of compensation, and qualifications of
 personnel;
 (l)  Accept donations and grants of money, equipment,
 supplies, materials and services, and to receive, utilize, and
 dispose of it in a manner consistent with the conflict of interest
 policies established by the Interstate Commission;
 (m)  Lease, purchase, accept contributions or donations of,
 or otherwise to own, hold, improve or use, any property, real,
 personal, or mixed;
 (n)  Sell, convey, mortgage, pledge, lease, exchange,
 abandon, or otherwise dispose of any property, real, personal, or
 mixed;
 (o)  Establish a budget and make expenditures;
 (p)  Adopt a seal and bylaws governing the management and
 operation of the Interstate Commission;
 (q)  Report annually to the legislatures and governors of the
 member states concerning the activities of the Interstate
 Commission during the preceding year. Such reports shall also
 include reports of financial audits and any recommendations that
 may have been adopted by the Interstate Commission;
 (r)  Coordinate education, training, and public awareness
 regarding the Compact, its implementation, and its operation;
 (s)  Maintain records in accordance with the bylaws;
 (t)  Seek and obtain trademarks, copyrights, and patents;
 and
 (u)  Perform such functions as may be necessary or
 appropriate to achieve the purposes of the Compact.
 SECTION 13.  FINANCE POWERS
 (a)  The Interstate Commission may levy on and collect an
 annual assessment from each member state to cover the cost of the
 operations and activities of the Interstate Commission and its
 staff.  The total assessment must be sufficient to cover the annual
 budget approved each year for which revenue is not provided by other
 sources.  The aggregate annual assessment amount shall be allocated
 upon a formula to be determined by the Interstate Commission, which
 shall promulgate a rule binding upon all member states.
 (b)  The Interstate Commission shall not incur obligations
 of any kind prior to securing the funds adequate to meet the same.
 (c)  The Interstate Commission shall not pledge the credit of
 any of the member states, except by, and with the authority of, the
 member state.
 (d)  The Interstate Commission shall be subject to a yearly
 financial audit conducted by a certified or licensed public
 accountant and the report of the audit shall be included in the
 annual report of the Interstate Commission.
 SECTION 14.  ORGANIZATION AND OPERATION OF THE INTERSTATE
 COMMISSION
 (a)  The Interstate Commission shall, by a majority of
 Commissioners present and voting, adopt bylaws to govern its
 conduct as may be necessary or appropriate to carry out the purposes
 of the Compact within twelve (12) months of the first Interstate
 Commission meeting.
 (b)  The Interstate Commission shall elect or appoint
 annually from among its Commissioners a chairperson, a
 vice-chairperson, and a treasurer, each of whom shall have such
 authority and duties as may be specified in the bylaws.  The
 chairperson, or in the chairperson's absence or disability, the
 vice-chairperson, shall preside at all meetings of the Interstate
 Commission.
 (c)  Officers selected in subsection (b) shall serve without
 remuneration from the Interstate Commission.
 (d)  The officers and employees of the Interstate Commission
 shall be immune from suit and liability, either personally or in
 their official capacity, for a claim for damage to or loss of
 property or personal injury or other civil liability caused or
 arising out of, or relating to, an actual or alleged act, error, or
 omission that occurred, or that such person had a reasonable basis
 for believing occurred, within the scope of Interstate Commission
 employment, duties, or responsibilities; provided that such person
 shall not be protected from suit or liability for damage, loss,
 injury, or liability caused by the intentional or willful and
 wanton misconduct of such person.
 (1)  The liability of the executive director and
 employees of the Interstate Commission or representatives of the
 Interstate Commission, acting within the scope of such person's
 employment or duties for acts, errors, or omissions occurring
 within such person's state, may not exceed the limits of liability
 set forth under the constitution and laws of that state for state
 officials, employees, and agents.  The Interstate Commission is
 considered to be an instrumentality of the states for the purposes
 of any such action.  Nothing in this subsection shall be construed
 to protect such person from suit or liability for damage, loss,
 injury, or liability caused by the intentional or willful and
 wanton misconduct of such person.
 (2)  The Interstate Commission shall defend the
 executive director, its employees, and subject to the approval of
 the attorney general or other appropriate legal counsel of the
 member state represented by an Interstate Commission
 representative, shall defend such Interstate Commission
 representative in any civil action seeking to impose liability
 arising out of an actual or alleged act, error or omission that
 occurred within the scope of Interstate Commission employment,
 duties or responsibilities, or that the defendant had a reasonable
 basis for believing occurred within the scope of Interstate
 Commission employment, duties, or responsibilities, provided that
 the actual or alleged act, error, or omission did not result from
 intentional or willful and wanton misconduct on the part of such
 person.
 (3)  To the extent not covered by the state involved,
 member state, or the Interstate Commission, the representatives or
 employees of the Interstate Commission shall be held harmless in
 the amount of a settlement or judgment, including attorney's fees
 and costs, obtained against such persons arising out of an actual or
 alleged act, error, or omission that occurred within the scope of
 Interstate Commission employment, duties, or responsibilities, or
 that such persons had a reasonable basis for believing occurred
 within the scope of Interstate Commission employment, duties, or
 responsibilities, provided that the actual or alleged act, error,
 or omission did not result from intentional or willful and wanton
 misconduct on the part of such persons.
 SECTION 15.  RULEMAKING FUNCTIONS OF THE INTERSTATE
 COMMISSION
 (a)  The Interstate Commission shall promulgate reasonable
 rules in order to effectively and efficiently achieve the purposes
 of the Compact. Notwithstanding the foregoing, in the event the
 Interstate Commission exercises its rulemaking authority in a
 manner that is beyond the scope of the purposes of the Compact, or
 the powers granted hereunder, then such an action by the Interstate
 Commission shall be invalid and have no force or effect.
 (b)  Rules deemed appropriate for the operations of the
 Interstate Commission shall be made pursuant to a rulemaking
 process that substantially conforms to the "Model State
 Administrative Procedure Act" of 2010, and subsequent amendments
 thereto.
 (c)  Not later than thirty (30) days after a rule is
 promulgated, any person may file a petition for judicial review of
 the rule in the United States District Court for the District of
 Columbia or the federal district where the Interstate Commission
 has its principal offices, provided that the filing of such a
 petition shall not stay or otherwise prevent the rule from becoming
 effective unless the court finds that the petitioner has a
 substantial likelihood of success. The court shall give deference
 to the actions of the Interstate Commission consistent with
 applicable law and shall not find the rule to be unlawful if the
 rule represents a reasonable exercise of the authority granted to
 the Interstate Commission.
 SECTION 16.  OVERSIGHT OF INTERSTATE COMPACT
 (a)  The executive, legislative, and judicial branches of
 state government in each member state shall enforce the Compact and
 shall take all actions necessary and appropriate to effectuate the
 Compact's purposes and intent. The provisions of the Compact and
 the rules promulgated hereunder shall have standing as statutory
 law but shall not override existing state authority to regulate the
 practice of medicine.
 (b)  All courts shall take judicial notice of the Compact and
 the rules in any judicial or administrative proceeding in a member
 state pertaining to the subject matter of the Compact which may
 affect the powers, responsibilities or actions of the Interstate
 Commission.
 (c)  The Interstate Commission shall be entitled to receive
 all service of process in any such proceeding, and shall have
 standing to intervene in the proceeding for all purposes.  Failure
 to provide service of process to the Interstate Commission shall
 render a judgment or order void as to the Interstate Commission, the
 Compact, or promulgated rules.
 SECTION 17.  ENFORCEMENT OF INTERSTATE COMPACT
 (a)  The Interstate Commission, in the reasonable exercise
 of its discretion, shall enforce the provisions and rules of the
 Compact.
 (b)  The Interstate Commission may, by majority vote of the
 Commissioners, initiate legal action in the United States District
 Court for the District of Columbia, or, at the discretion of the
 Interstate Commission, in the federal district where the Interstate
 Commission has its principal offices, to enforce compliance with
 the provisions of the Compact, and its promulgated rules and
 bylaws, against a member state in default.  The relief sought may
 include both injunctive relief and damages.  In the event judicial
 enforcement is necessary, the prevailing party shall be awarded all
 costs of such litigation including reasonable attorney's fees.
 (c)  The remedies herein shall not be the exclusive remedies
 of the Interstate Commission. The Interstate Commission may avail
 itself of any other remedies available under state law or the
 regulation of a profession.
 SECTION 18.  DEFAULT PROCEDURES
 (a)  The grounds for default include, but are not limited to,
 failure of a member state to perform such obligations or
 responsibilities imposed upon it by the Compact, or the rules and
 bylaws of the Interstate Commission promulgated under the Compact.
 (b)  If the Interstate Commission determines that a member
 state has defaulted in the performance of its obligations or
 responsibilities under the Compact, or the bylaws or promulgated
 rules, the Interstate Commission shall:
 (1)  Provide written notice to the defaulting state and
 other member states, of the nature of the default, the means of
 curing the default, and any action taken by the Interstate
 Commission.  The Interstate Commission shall specify the conditions
 by which the defaulting state must cure its default; and
 (2)  Provide remedial training and specific technical
 assistance regarding the default.
 (c)  If the defaulting state fails to cure the default, the
 defaulting state shall be terminated from the Compact upon an
 affirmative vote of a majority of the Commissioners and all rights,
 privileges, and benefits conferred by the Compact shall terminate
 on the effective date of termination. A cure of the default does not
 relieve the offending state of obligations or liabilities incurred
 during the period of the default.
 (d)  Termination of membership in the Compact shall be
 imposed only after all other means of securing compliance have been
 exhausted. Notice of intent to terminate shall be given by the
 Interstate Commission to the governor, the majority and minority
 leaders of the defaulting state's legislature, and each of the
 member states.
 (e)  The Interstate Commission shall establish rules and
 procedures to address licenses and physicians that are materially
 impacted by the termination of a member state, or the withdrawal of
 a member state.
 (f)  The member state which has been terminated is
 responsible for all dues, obligations, and liabilities incurred
 through the effective date of termination including obligations,
 the performance of which extends beyond the effective date of
 termination.
 (g)  The Interstate Commission shall not bear any costs
 relating to any state that has been found to be in default or which
 has been terminated from the Compact, unless otherwise mutually
 agreed upon in writing between the Interstate Commission and the
 defaulting state.
 (h)  The defaulting state may appeal the action of the
 Interstate Commission by petitioning the United States District
 Court for the District of Columbia or the federal district where the
 Interstate Commission has its principal offices. The prevailing
 party shall be awarded all costs of such litigation including
 reasonable attorney's fees.
 SECTION 19.  DISPUTE RESOLUTION
 (a)  The Interstate Commission shall attempt, upon the
 request of a member state, to resolve disputes which are subject to
 the Compact and which may arise among member states or member
 boards.
 (b)  The Interstate Commission shall promulgate rules
 providing for both mediation and binding dispute resolution as
 appropriate.
 SECTION 20.  MEMBER STATES, EFFECTIVE DATE AND AMENDMENT
 (a)  Any state is eligible to become a member state of the
 Compact.
 (b)  The Compact shall become effective and binding upon
 legislative enactment of the Compact into law by no less than seven
 (7) states. Thereafter, it shall become effective and binding on a
 state upon enactment of the Compact into law by that state.
 (c)  The governors of non-member states, or their designees,
 shall be invited to participate in the activities of the Interstate
 Commission on a non-voting basis prior to adoption of the Compact by
 all states.
 (d)  The Interstate Commission may propose amendments to the
 Compact for enactment by the member states. No amendment shall
 become effective and binding upon the Interstate Commission and the
 member states unless and until it is enacted into law by unanimous
 consent of the member states.
 SECTION 21.  WITHDRAWAL
 (a)  Once effective, the Compact shall continue in force and
 remain binding upon each and every member state; provided that a
 member state may withdraw from the Compact by specifically
 repealing the statute which enacted the Compact into law.
 (b)  Withdrawal from the Compact shall be by the enactment of
 a statute repealing the same, but shall not take effect until one
 (1) year after the effective date of such statute and until written
 notice of the withdrawal has been given by the withdrawing state to
 the governor of each other member state.
 (c)  The withdrawing state shall immediately notify the
 chairperson of the Interstate Commission in writing upon the
 introduction of legislation repealing the Compact in the
 withdrawing state.
 (d)  The Interstate Commission shall notify the other member
 states of the withdrawing state's intent to withdraw within sixty
 (60) days of its receipt of notice provided under subsection (c).
 (e)  The withdrawing state is responsible for all dues,
 obligations and liabilities incurred through the effective date of
 withdrawal, including obligations, the performance of which extend
 beyond the effective date of withdrawal.
 (f)  Reinstatement following withdrawal of a member state
 shall occur upon the withdrawing state reenacting the Compact or
 upon such later date as determined by the Interstate Commission.
 (g)  The Interstate Commission is authorized to develop
 rules to address the impact of the withdrawal of a member state on
 licenses granted in other member states to physicians who
 designated the withdrawing member state as the state of principal
 license.
 SECTION 22.  DISSOLUTION
 (a)  The Compact shall dissolve effective upon the date of
 the withdrawal or default of the member state which reduces the
 membership in the Compact to one (1) member state.
 (b)  Upon the dissolution of the Compact, the Compact becomes
 null and void and shall be of no further force or effect, and the
 business and affairs of the Interstate Commission shall be
 concluded and surplus funds shall be distributed in accordance with
 the bylaws.
 SECTION 23.  SEVERABILITY AND CONSTRUCTION
 (a)  The provisions of the Compact shall be severable, and if
 any phrase, clause, sentence, or provision is deemed unenforceable,
 the remaining provisions of the Compact shall be enforceable.
 (b)  The provisions of the Compact shall be liberally
 construed to effectuate its purposes.
 (c)  Nothing in the Compact shall be construed to prohibit
 the applicability of other interstate compacts to which the states
 are members.
 SECTION 24.  BINDING EFFECT OF COMPACT AND OTHER LAWS
 (a)  Nothing herein prevents the enforcement of any other law
 of a member state that is not inconsistent with the Compact.
 (b)  All laws in a member state in conflict with the Compact
 are superseded to the extent of the conflict.
 (c)  All lawful actions of the Interstate Commission,
 including all rules and bylaws promulgated by the Commission, are
 binding upon the member states.
 (d)  All agreements between the Interstate Commission and
 the member states are binding in accordance with their terms.
 (e)  In the event any provision of the Compact exceeds the
 constitutional limits imposed on the legislature of any member
 state, such provision shall be ineffective to the extent of the
 conflict with the constitutional provision in question in that
 member state.
 Sec. 170.002.  RULES. The board may adopt rules necessary to
 implement this chapter.
 Sec. 170.003.  COLLECTION OF FINGERPRINTS FOR EXPEDITED
 LICENSE; DISSEMINATION OF INFORMATION. (a) The board may require
 an applicant for an expedited license under the Interstate Medical
 Licensure Compact to submit a set of fingerprints to the board for
 the purpose of performing a criminal history record information
 check to qualify the applicant for the expedited license.
 (b)  The board may not disseminate information obtained from
 a criminal history record information check described by Subsection
 (a) except as authorized by law.
 SECTION 19.  Subchapter B, Chapter 204, Occupations Code, is
 amended by adding Section 204.0585 to read as follows:
 Sec. 204.0585.  EXECUTIVE SESSION. After hearing all
 evidence and arguments in an open meeting, the physician assistant
 board may conduct deliberations relating to a license application
 or disciplinary action in an executive session. The board shall
 vote and announce its decision in open session.
 SECTION 20.  Section 204.059, Occupations Code, is amended
 by amending Subsection (b) and adding Subsection (d) to read as
 follows:
 (b)  The training program must provide the person with
 information regarding:
 (1)  the law governing physician assistant board
 operations;
 (2)  the [this chapter and the physician assistant
 board's] programs, functions, rules, and budget of the physician
 assistant board;
 (3)  the scope of and limitations on the rulemaking
 authority of the physician assistant board;
 (4) [(2)]  the results of the most recent formal audit
 of the physician assistant board;
 (5) [(3)]  the requirements of:
 (A)  laws relating to open meetings, public
 information, administrative procedure, and disclosing conflicts of
 interest; and
 (B)  other laws applicable to members of the
 physician assistant board in performing their duties; and
 (6) [(4)]  any applicable ethics policies adopted by
 the physician assistant board or the Texas Ethics Commission.
 (d)  The executive director of the medical board shall create
 a training manual that includes the information required by
 Subsection (b). The executive director shall distribute a copy of
 the training manual annually to each physician assistant board
 member. On receipt of the training manual, each board member shall
 sign and submit to the executive director a statement acknowledging
 receipt of the training manual.
 SECTION 21.  Subchapter D, Chapter 204, Occupations Code, is
 amended by adding Section 204.1525 to read as follows:
 Sec. 204.1525.  CRIMINAL HISTORY RECORD INFORMATION
 REQUIREMENT FOR LICENSE ISSUANCE. (a) The physician assistant
 board shall require that an applicant for a license submit a
 complete and legible set of fingerprints, on a form prescribed by
 the board, to the board or to the Department of Public Safety for
 the purpose of obtaining criminal history record information from
 the Department of Public Safety and the Federal Bureau of
 Investigation.
 (b)  The physician assistant board may not issue a license to
 a person who does not comply with the requirement of Subsection (a).
 (c)  The physician assistant board shall conduct a criminal
 history record information check of each applicant for a license
 using information:
 (1)  provided by the individual under this section; and
 (2)  made available to the board by the Department of
 Public Safety, the Federal Bureau of Investigation, and any other
 criminal justice agency under Chapter 411, Government Code.
 (d)  The physician assistant board may:
 (1)  enter into an agreement with the Department of
 Public Safety to administer a criminal history record information
 check required under this section; and
 (2)  authorize the Department of Public Safety to
 collect from each applicant the costs incurred by the Department of
 Public Safety in conducting the criminal history record information
 check.
 SECTION 22.  Section 204.153(a), Occupations Code, is
 amended to read as follows:
 (a)  To be eligible for a license under this chapter, an
 applicant must:
 (1)  successfully complete an educational program for
 physician assistants or surgeon assistants accredited by the
 Committee on Allied Health Education and Accreditation or by that
 committee's predecessor or successor entities;
 (2)  pass the Physician Assistant National Certifying
 Examination administered by the National Commission on
 Certification of Physician Assistants;
 (3)  hold a certificate issued by the National
 Commission on Certification of Physician Assistants;
 (4)  [be of good moral character;
 [(5)]  meet any other requirement established by
 physician assistant board rule; and
 (5) [(6)]  pass a jurisprudence examination approved
 by the physician assistant board as provided by Subsection (a-1).
 SECTION 23.  Section 204.156, Occupations Code, is amended
 by amending Subsection (a) and adding Subsection (a-1) to read as
 follows:
 (a)  A license issued under this chapter is valid for a term
 of one or two years, as determined by physician assistant board
 rule.
 (a-1)  On notification from the physician assistant board, a
 person who holds a license under this chapter may renew the license
 by:
 (1)  paying the required renewal fee;
 (2)  submitting the appropriate form; and
 (3)  meeting any other requirement established by board
 rule.
 SECTION 24.  Subchapter D, Chapter 204, Occupations Code, is
 amended by adding Section 204.1561 to read as follows:
 Sec. 204.1561.  CRIMINAL HISTORY RECORD INFORMATION
 REQUIREMENT FOR RENEWAL. (a) An applicant for renewal of a license
 issued under this chapter shall submit a complete and legible set of
 fingerprints for purposes of performing a criminal history record
 information check of the applicant as provided by Section 204.1525.
 (b)  The physician assistant board may administratively
 suspend or refuse to renew the license of a person who does not
 comply with the requirement of Subsection (a).
 (c)  A license holder is not required to submit fingerprints
 under this section for the renewal of the license if the holder has
 previously submitted fingerprints under:
 (1)  Section 204.1525 for the initial issuance of the
 license; or
 (2)  this section as part of a prior renewal of a
 license.
 SECTION 25.  Subchapter D, Chapter 204, Occupations Code, is
 amended by adding Section 204.158 to read as follows:
 Sec. 204.158.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 physician assistant board may refuse to renew a license issued
 under this chapter if the license holder is in violation of a
 physician assistant board order.
 SECTION 26.  Subchapter E, Chapter 204, Occupations Code, is
 amended by adding Section 204.210 to read as follows:
 Sec. 204.210.  DUTIES RELATED TO CERTAIN PRESCRIPTIONS. (a)
 A physician assistant authorized to prescribe a drug may not
 prescribe a drug listed in Subsection (b) to a patient unless the
 physician assistant has reviewed the patient's prescription
 history by accessing the prescription information submitted to the
 Texas State Board of Pharmacy as authorized by Section
 481.076(a)(5), Health and Safety Code.
 (b)  Subsection (a) applies only to the prescribing of:
 (1)  opioids;
 (2)  benzodiazepines;
 (3)  barbiturates; or
 (4)  carisoprodol.
 (c)  A physician assistant is not subject to the requirements
 of Subsection (a) if:
 (1)  the patient has been diagnosed with cancer or the
 patient is receiving hospice care; and
 (2)  the physician assistant clearly notes in the
 prescription record that the patient was diagnosed with cancer or
 is receiving hospice care, as applicable.
 (d)  Failure by a physician assistant to comply with the
 requirements of this section is grounds for disciplinary action
 under Section 204.301.
 SECTION 27.  Subchapter G, Chapter 204, Occupations Code, is
 amended by adding Section 204.305 to read as follows:
 Sec. 204.305.  MONITORING HARMFUL PRESCRIBING PATTERNS. (a)
 The physician assistant board shall periodically check the
 prescribing information submitted to the Texas State Board of
 Pharmacy as authorized by Section 481.076(a)(1), Health and Safety
 Code, to determine whether a physician assistant licensed under
 this chapter is engaging in potentially harmful prescribing
 patterns or practices.
 (b)  The physician assistant board, in coordination with the
 Texas State Board of Pharmacy, shall determine the conduct that
 constitutes a potentially harmful prescribing pattern or practice
 for purposes of Subsection (a). In determining the conduct that
 constitutes a potentially harmful prescribing pattern or practice,
 the physician assistant board shall consider:
 (1)  the number of times a physician assistant
 prescribes a drug listed in Section 204.210(b); and
 (2)  for prescriptions described by Subdivision (1),
 patterns of prescribing combinations of those drugs and other
 dangerous combinations of drugs identified by the physician
 assistant board.
 (c)  If the physician assistant board suspects that a
 physician assistant may be engaging in potentially harmful
 prescribing patterns or practices, the physician assistant board
 may notify the physician assistant of the potentially harmful
 prescribing pattern or practice.
 (d)  The physician assistant board may initiate a complaint
 against a physician assistant based on information obtained under
 this section.
 SECTION 28.  Section 204.313(a), Occupations Code, is
 amended to read as follows:
 (a)  In an informal meeting under Section 204.312, at least
 two panelists shall be appointed to determine whether an informal
 disposition is appropriate. At least one of the panelists must be a
 licensed physician assistant.
 SECTION 29.  Section 205.057, Occupations Code, is amended
 by amending Subsection (b) and adding Subsection (d) to read as
 follows:
 (b)  The training program must provide the person with
 information regarding:
 (1)  the law governing acupuncture board operations
 [this chapter];
 (2)  the programs, [operated by the acupuncture board;
 [(3)  the role and] functions, rules, and budget of the
 acupuncture board;
 (3) [(4)]  the scope of and limitations on the
 rulemaking authority [rules] of the acupuncture board;
 (4) [(5)  the current budget for the acupuncture board;
 [(6)]  the results of the most recent formal audit of
 the acupuncture board;
 (5) [(7)]  the requirements of:
 (A)  laws relating to open meetings, public
 information, administrative procedure, and disclosing conflicts of
 interest; and
 (B)  other laws applicable to members of the
 acupuncture board in performing their duties; and
 (6) [(8)]  any applicable ethics policies adopted by
 the acupuncture board or the Texas Ethics Commission.
 (d)  The executive director shall create a training manual
 that includes the information required by Subsection (b). The
 executive director shall distribute a copy of the training manual
 annually to each acupuncture board member. On receipt of the
 training manual, each board member shall sign and submit to the
 executive director a statement acknowledging receipt of the
 training manual.
 SECTION 30.  Subchapter E, Chapter 205, Occupations Code, is
 amended by adding Section 205.2025 to read as follows:
 Sec. 205.2025.  CRIMINAL HISTORY RECORD INFORMATION
 REQUIREMENT FOR LICENSE ISSUANCE. (a) The acupuncture board shall
 require that an applicant for a license submit a complete and
 legible set of fingerprints, on a form prescribed by the board, to
 the board or to the Department of Public Safety for the purpose of
 obtaining criminal history record information from the Department
 of Public Safety and the Federal Bureau of Investigation.
 (b)  The acupuncture board may not issue a license to a
 person who does not comply with the requirement of Subsection (a).
 (c)  The acupuncture board shall conduct a criminal history
 record information check of each applicant for a license using
 information:
 (1)  provided by the individual under this section; and
 (2)  made available to the board by the Department of
 Public Safety, the Federal Bureau of Investigation, and any other
 criminal justice agency under Chapter 411, Government Code.
 (d)  The acupuncture board may:
 (1)  enter into an agreement with the Department of
 Public Safety to administer a criminal history record information
 check required under this section; and
 (2)  authorize the Department of Public Safety to
 collect from each applicant the costs incurred by the Department of
 Public Safety in conducting the criminal history record information
 check.
 SECTION 31.  The heading to Section 205.251, Occupations
 Code, is amended to read as follows:
 Sec. 205.251.  [ANNUAL] RENEWAL REQUIRED.
 SECTION 32.  Section 205.251(a), Occupations Code, is
 amended to read as follows:
 (a)  The medical board by rule shall provide for the annual
 or biennial renewal of a license to practice acupuncture.
 SECTION 33.  Subchapter F, Chapter 205, Occupations Code, is
 amended by adding Section 205.2515 to read as follows:
 Sec. 205.2515.  CRIMINAL HISTORY RECORD INFORMATION
 REQUIREMENT FOR RENEWAL. (a)  An applicant for renewal of a license
 issued under this chapter shall submit a complete and legible set of
 fingerprints for purposes of performing a criminal history record
 information check of the applicant as provided by Section 205.2025.
 (b)  The acupuncture board may administratively suspend or
 refuse to renew the license of a person who does not comply with the
 requirement of Subsection (a).
 (c)  A license holder is not required to submit fingerprints
 under this section for the renewal of the license if the holder has
 previously submitted fingerprints under:
 (1)  Section 205.2025 for the initial issuance of the
 license; or
 (2)  this section as part of a prior renewal of a
 license.
 SECTION 34.  Subchapter F, Chapter 205, Occupations Code, is
 amended by adding Section 205.256 to read as follows:
 Sec. 205.256.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 acupuncture board may refuse to renew a license issued under this
 chapter if the license holder is in violation of an acupuncture
 board order.
 SECTION 35.  Subchapter E, Chapter 206, Occupations Code, is
 amended by adding Section 206.2025 to read as follows:
 Sec. 206.2025.  CRIMINAL HISTORY RECORD INFORMATION
 REQUIREMENT FOR LICENSE ISSUANCE. (a)  The medical board shall
 require that an applicant for a license submit a complete and
 legible set of fingerprints, on a form prescribed by the board, to
 the board or to the Department of Public Safety for the purpose of
 obtaining criminal history record information from the Department
 of Public Safety and the Federal Bureau of Investigation.
 (b)  The medical board may not issue a license to a person who
 does not comply with the requirement of Subsection (a).
 (c)  The medical board shall conduct a criminal history
 record information check of each applicant for a license using
 information:
 (1)  provided by the individual under this section; and
 (2)  made available to the board by the Department of
 Public Safety, the Federal Bureau of Investigation, and any other
 criminal justice agency under Chapter 411, Government Code.
 (d)  The medical board may:
 (1)  enter into an agreement with the Department of
 Public Safety to administer a criminal history record information
 check required under this section; and
 (2)  authorize the Department of Public Safety to
 collect from each applicant the costs incurred by the Department of
 Public Safety in conducting the criminal history record information
 check.
 SECTION 36.  Section 206.203(a), Occupations Code, is
 amended to read as follows:
 (a)  Except as provided by Section 206.206, to be eligible
 for a license, a person must:
 (1)  [be of good moral character;
 [(2)]  have not been convicted of a felony or a crime
 involving moral turpitude;
 (2) [(3)]  not use drugs or alcohol to an extent that
 affects the applicant's professional competency;
 (3) [(4)]  not have had a license or certification
 revoked by a licensing agency or by a certifying professional
 organization; and
 (4) [(5)]  not have engaged in fraud or deceit in
 applying for a license under this chapter.
 SECTION 37.  Subchapter E, Chapter 206, Occupations Code, is
 amended by adding Section 206.2105 to read as follows:
 Sec. 206.2105.  CRIMINAL HISTORY RECORD INFORMATION
 REQUIREMENT FOR RENEWAL. (a)  An applicant for renewal of a license
 issued under this chapter shall submit a complete and legible set of
 fingerprints for purposes of performing a criminal history record
 information check of the applicant as provided by Section 206.2025.
 (b)  The medical board may administratively suspend or
 refuse to renew the license of a person who does not comply with the
 requirement of Subsection (a).
 (c)  A license holder is not required to submit fingerprints
 under this section for the renewal of the license if the holder has
 previously submitted fingerprints under:
 (1)  Section 206.2025 for the initial issuance of the
 license; or
 (2)  this section as part of a prior renewal of a
 license.
 SECTION 38.  Subchapter E, Chapter 206, Occupations Code, is
 amended by adding Section 206.215 to read as follows:
 Sec. 206.215.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 medical board may refuse to renew a license issued under this
 chapter if the license holder is in violation of a medical board
 order.
 SECTION 39.  Section 601.002, Occupations Code, is amended
 by adding Subdivisions (10-a) and (10-b) to read as follows:
 (10-a)  "Radiologist" means a physician specializing
 in radiology certified by or board-eligible for the American Board
 of Radiology, the American Osteopathic Board of Radiology, the
 Royal College of Radiologists, or the Royal College of Physicians
 and Surgeons of Canada.
 (10-b)  "Radiologist assistant" means an
 advanced-level medical radiologic technologist who is certified
 as:
 (A)  a registered radiologist assistant by the
 American Registry of Radiologic Technologists; or
 (B)  a radiology practitioner assistant by the
 Certification Board for Radiology Practitioner Assistants.
 SECTION 40.  Section 601.030, Occupations Code, is amended
 by amending Subsection (b) and adding Subsection (d) to read as
 follows:
 (b)  The training program must provide the person with
 information regarding:
 (1)  the law governing advisory board operations;
 (2)  [this chapter and] the [advisory board's]
 programs, functions, rules, and budget of the advisory board;
 (3)  the scope of and limitations on the rulemaking
 authority of the advisory board;
 (4) [(2)]  the results of the most recent formal audit
 of the advisory board;
 (5) [(3)]  the requirements of:
 (A)  laws relating to open meetings, public
 information, administrative procedure, and disclosing conflicts of
 interest; and
 (B)  other laws applicable to members of the
 advisory board in performing their duties; and
 (6) [(4)]  any applicable ethics policies adopted by
 the advisory board or the Texas Ethics Commission.
 (d)  The executive director of the medical board shall create
 a training manual that includes the information required by
 Subsection (b). The executive director shall distribute a copy of
 the training manual annually to each advisory board member. On
 receipt of the training manual, each board member shall sign and
 submit to the executive director a statement acknowledging receipt
 of the training manual.
 SECTION 41.  Sections 601.102(b) and (c), Occupations Code,
 are amended to read as follows:
 (b)  The advisory board may issue to a person:
 (1)  a general certificate to perform radiologic
 procedures; [or]
 (2)  a limited certificate that authorizes the person
 to perform radiologic procedures only on specific parts of the
 human body; or
 (3)  a radiologist assistant certificate to a person
 who meets the requirements established under Section 601.1021.
 (c)  The advisory board may issue to a person a temporary
 general certificate, [or] a temporary limited certificate, or a
 temporary radiologist assistant certificate that authorizes the
 person to perform radiologic procedures for a period not to exceed
 one year.
 SECTION 42.  Subchapter C, Chapter 601, Occupations Code, is
 amended by adding Section 601.1021 to read as follows:
 Sec. 601.1021.  RADIOLOGIST ASSISTANT CERTIFICATE. (a) The
 advisory board by rule shall establish the education and training
 required for a person to obtain a radiologist assistant
 certificate.
 (b)  A radiologist assistant certificate holder:
 (1)  may perform radiologic procedures only under the
 supervision of a radiologist; and
 (2)  may not interpret images, make diagnoses, or
 prescribe any medication or therapy.
 SECTION 43.  Subchapter C, Chapter 601, Occupations Code, is
 amended by adding Section 601.113 to read as follows:
 Sec. 601.113.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 advisory board may refuse to renew a certificate issued under this
 chapter if the certificate holder is in violation of an advisory
 board order.
 SECTION 44.  Section 601.155, Occupations Code, is amended
 to read as follows:
 Sec. 601.155.  STUDENTS. A person is not required to hold a
 certificate issued under this chapter [or to comply with the
 registration requirements adopted under Section 601.252] if the
 person:
 (1)  is a student enrolled in a training program that
 meets the minimum standards adopted under Section 601.201; and
 (2)  is performing a radiologic procedure in an
 academic or clinical setting as part of the training program.
 SECTION 45.  Section 601.156, Occupations Code, is amended
 to read as follows:
 Sec. 601.156.  PROCEDURE PERFORMED AS PART OF CONTINUING
 EDUCATION PROGRAM.  A person is not required to hold a certificate
 issued under this chapter [or to comply with the registration
 requirements adopted under Section 601.252] if the person is:
 (1)  licensed or otherwise registered as a medical
 radiologic technologist by another state, the American Registry of
 Radiologic Technologists, the American Registry of Clinical
 Radiography Technologists, or a professional organization or
 association recognized by the advisory board;
 (2)  enrolled in a continuing education program that
 meets the requirements adopted under Section 601.108; and
 (3)  performing a radiologic procedure as part of the
 continuing education program for not more than 10 days.
 SECTION 46.  Section 601.203(b), Occupations Code, is
 amended to read as follows:
 (b)  The following conditions are considered to be a hardship
 for the purposes of Subsection (a):
 (1)  that the applicant:
 (A)  reports an inability to attract and retain
 medical radiologic technologists; and
 (B)  is located in a county with a population of
 less than 50,000;
 (2)  that the applicant is located at a great distance
 from a school of medical radiologic technology;
 (3)  that there is a list of qualified persons who have
 applied to a school of medical radiologic technology whose
 admissions are pending because of a lack of faculty or space;
 (4)  that the school of medical radiologic technology
 produces an insufficient number of graduates in medical radiologic
 technology to meet the needs of the applicant; or
 (5)  any other criteria determined by advisory board
 rule.
 SECTION 47.  Sections 601.252(c) and (d), Occupations Code,
 are amended to read as follows:
 (c)  Rules adopted under this section by the State Board of
 Dental Examiners must:
 (1)  require an authorized person who performs
 radiologic procedures under the delegation of a dentist, other than
 a registered nurse, to register with the dental board [agency that
 licenses the practitioner under whom the person performs radiologic
 procedures];
 (2)  establish reasonable and necessary fees to cover
 the administrative costs incurred by the dental board [agency] in
 administering a registration program created under this
 subsection;
 (3)  establish grounds for the suspension, revocation,
 or nonrenewal of a registration issued under this subsection; and
 (4)  establish standards, in addition to those required
 by this chapter, for training and supervising the operators of the
 equipment.
 (d)  In adopting rules under Subsection (c), the State Board
 of Dental Examiners [an agency] may take into account whether the
 radiologic procedure will be performed by a registered nurse.
 SECTION 48.  Subchapter E, Chapter 602, Occupations Code, is
 amended by adding Section 602.214 to read as follows:
 Sec. 602.214.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 medical board may refuse to renew a license issued under this
 chapter if the license holder is in violation of a medical board
 order.
 SECTION 49.  Section 603.252(a), Occupations Code, is
 amended to read as follows:
 (a)  An applicant for a perfusionist license must submit an
 [a sworn] application accompanied by the application fee.
 SECTION 50.  Subchapter G, Chapter 603, Occupations Code, is
 amended by adding Section 603.306 to read as follows:
 Sec. 603.306.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 medical board may refuse to renew a license issued under this
 chapter if the license holder is in violation of a medical board
 order.
 SECTION 51.  Section 604.030, Occupations Code, is amended
 by amending Subsection (b) and adding Subsection (d) to read as
 follows:
 (b)  The training program must provide the person with
 information regarding:
 (1)  the law governing advisory board operations;
 (2)  the [this chapter and the advisory board's]
 programs, functions, rules, and budget of the advisory board;
 (3)  the scope of and limitations on the rulemaking
 authority of the advisory board;
 (4) [(2)]  the results of the most recent formal audit
 of the advisory board;
 (5) [(3)]  the requirements of:
 (A)  laws relating to open meetings, public
 information, administrative procedure, and disclosing conflicts of
 interest; and
 (B)  other laws applicable to members of the
 advisory board in performing their duties; and
 (6) [(4)]  any applicable ethics policies adopted by
 the advisory board or the Texas Ethics Commission.
 (d)  The executive director of the medical board shall create
 a training manual that includes the information required by
 Subsection (b). The executive director shall distribute a copy of
 the training manual annually to each advisory board member. On
 receipt of the training manual, each board member shall sign and
 submit to the executive director a statement acknowledging receipt
 of the training manual.
 SECTION 52.  Subchapter D, Chapter 604, Occupations Code, is
 amended by adding Section 604.158 to read as follows:
 Sec. 604.158.  REFUSAL FOR VIOLATION OF BOARD ORDER. The
 advisory board may refuse to renew a certificate or temporary
 permit issued under this chapter if the certificate or permit
 holder is in violation of an advisory board order.
 SECTION 53.  (a) Except as provided by Subsection (b) of this
 section, Sections 152.010, 204.059, 205.057, 601.030, and 604.030,
 Occupations Code, as amended by this Act, apply to a member of the
 applicable board appointed before, on, or after the effective date
 of this Act.
 (b)  A member of a board who, before the effective date of
 this Act, completed the training program required by Section
 152.010, 204.059, 205.057, 601.030, or 604.030, Occupations Code,
 as the applicable law existed before the effective date of this Act,
 is only required to complete additional training on the subjects
 added by this Act to the training program required by Section
 152.010, 204.059, 205.057, 601.030, or 604.030, Occupations Code,
 as applicable. A board member described by this subsection may not
 vote, deliberate, or be counted as a member in attendance at a
 meeting of the applicable board held on or after December 1, 2017,
 until the member completes the additional training.
 SECTION 54.  Sections 162.301 and 204.210, Occupations Code,
 as added by this Act, apply only to a prescription issued on or
 after September 1, 2018. A prescription issued before September 1,
 2018, is governed by the law in effect immediately before the
 effective date of this Act, and the former law is continued in
 effect for that purpose.
 SECTION 55.  Not later than March 1, 2018, the Texas Medical
 Board shall adopt rules necessary to implement Section 164.003(b),
 Occupations Code, as amended by this Act.
 SECTION 56.  Not later than January 1, 2018, the Texas
 Medical Board and the governing board of the Texas Physician Health
 Program by rule shall adopt the memorandum of understanding
 required by Section 167.012, Occupations Code, as added by this
 Act.
 SECTION 57.  Not later than September 1, 2019, the Texas
 Physician Assistant Board, the Texas State Board of Acupuncture
 Examiners, and the Texas Medical Board shall obtain criminal
 history record information on each person who, on the effective
 date of this Act, holds a license issued under Chapter 204, 205, or
 206, Occupations Code, as applicable, and did not undergo a
 criminal history record information check based on the license
 holder's fingerprints on the initial application for the license.
 A board may suspend the license of a license holder who does not
 provide the criminal history record information as required by the
 board and this section.
 SECTION 58.  Not later than January 1, 2018, the Texas
 Medical Board shall approve the rules required by Section 601.1021,
 Occupations Code, as added by this Act.
 SECTION 59.  This Act takes effect September 1, 2017.