§ 9-28-407 - Licenses required and issued.
               	 		
9-28-407.    Licenses required and issued.
    (a)    (1)  It  shall be unlawful for any person, partnership, group, corporation,  association, or other entity or identifiable group of entities having a  coordinated ownership of controlling interest to operate or assist in  the operation of a child welfare agency that has not been licensed by  the Child Welfare Agency Review Board from licensing pursuant to this  subchapter.
      (2)  This license  shall be required in addition to any other license required by law for  all entities that fit the definition of a child welfare agency and are  not specifically exempted, except that no nonpsychiatric residential  treatment facility or agency licensed or exempted pursuant to this  subchapter shall be deemed to fall within the meaning of    20-10-101 for  any purpose.
      (3)  Any child  welfare agency capacity licensed or permitted by the board as of March  1, 2003, whether held by the original licensee or by a successor in  interest to the original licensee, is exempted from:
            (A)  Obtaining  any license or permit from the Office of Long-Term Care of the Division  of Medical Services of the Department of Human Services;
            (B)  Obtaining  any permit from the Health Services Permit Agency or the Health  Services Permit Commission to operate at the capacity licensed by the  board as of March 1, 2003; and
            (C)  Obtaining  any permit from the agency or the commission to operate at any future  expanded capacity serving only non-Arkansas residents unless a permit is  required by federal law or regulation.
      (4)  Any  further expansion of capacity by a licensee of the board shall require a  license or permit from the Office of Long-Term Care and the agency  unless the bed expansion is exempted under subdivisions (a)(3)(A) -- (C)  of this section.
      (5)    (A)  Subdivisions  (a)(3) and (4) of this section shall be construed to include a child  welfare agency that is licensed or permitted by the board as a  residential facility as of March 1, 2003, if the licensee then met and  continues to meet the following criteria:
                  (i)  The  licensee is a nonhospital-based residential facility that specializes  in providing treatment and care for seriously emotionally disturbed  children under eighteen (18) years of age who have co-occurring  substance abuse and psychiatric disorders;
                  (ii)  The licensee possesses accreditation from at least one (1) of the following national accreditation entities:
                        (a)  The Commission on Accreditation of Rehabilitation Facilities;
                        (b)  The Council on Accreditation of Services for Families and Children; or
                        (c)  The Joint Commission;
                  (iii)  The licensee is licensed by the Office of Alcohol and Drug Abuse Prevention or its successor; and
                  (iv)  The licensee is operating a nontraditional program that is approved by the Department of Education.
            (B)    (i)  Licensees  described in subdivision (a)(5)(A) of this section shall be eligible  for reimbursement by the Arkansas Medicaid Program under the same  methodology and at the same reimbursement rates as residential treatment  facilities that do not specialize in treating children with  co-occurring substance abuse and psychiatric disorders.
                  (ii)  However,  Medicaid payments shall be reduced by payments received from other  payors in connection with Medicaid-covered care and treatment furnished  to Medicaid recipients.
(b)    (1)  It  shall be unlawful for any person to falsify an application for  licensure, to knowingly circumvent the authority of this subchapter, to  knowingly violate the orders issued by the board, or to advertise the  provision of child care or child placement when not licensed under this  subchapter to provide those services, unless determined by the board to  be exempt from licensure under this subchapter.
      (2)  Any violation of this section shall constitute a Class D felony.
(c)    (1)  Any  person, partnership, group, corporation, organization, association, or  other entity or identifiable group of entities having a coordinated  ownership of controlling interest, desiring to operate a child welfare  agency shall first make application for a license or a church-operated  exemption for the facility to the board on the application forms  furnished for this purpose by the board.
      (2)    (A)  The  division shall also furnish the applicant with a copy of this  subchapter and the policies and procedures of the board at the time the  person requests an application form.   (B)  The child welfare  agency shall submit a separate application for license for each separate  physical location of a child welfare agency.
(d)    (1)  The  division shall review, inspect, and investigate each applicant to  operate a child welfare agency and shall present a recommendation to the  board whether the board should issue a license and what the terms and  conditions of the license should be.
      (2)  The  division shall complete its recommendation within ninety (90) days  after receiving a complete application from the applicant. A complete  application shall consist of:
            (A)  A completed application form prepared and furnished by the board;
            (B)  A  copy of the articles of incorporation, bylaws, and current board  roster, if applicable, including names and addresses of the officers;
            (C)  A complete personnel list with verifications of qualifications and experience;
            (D)  Substantiation of the financial soundness of the agency's operation; and
            (E)  A  written description of the agency's program of care, including intake  policies, types of services offered, and a written plan for providing  health care services to children in care.
(e)    (1)  The  board shall issue a regular license that shall be effective until  adverse action is taken on the license if the board finds that:
            (A)  The applicant for a child welfare agency license meets all licensing requirements; or
            (B)  The  applicant for a child welfare agency license meets all essential  standards, has a favorable compliance history, and has the ability and  willingness to comply with all standards within a reasonable time.
      (2)    (A)  The  board may issue a provisional license that shall be effective for up to  one (1) year if the board finds that the applicant meets all essential  standards but the applicant requires more frequent monitoring because  the applicant's ability or willingness to meet all standards within a  reasonable time has not been favorably determined.
            (B)  The  board shall at no time issue a regular or provisional license to any  agency or facility that does not meet all essential standards.
(f)    (1)  A  license to operate a child welfare agency shall apply only to the  address and location stated on the application and license issued, and  it shall be transferable from one (1) holder of the license to another  or from one (1) place to another.
      (2)  Whenever  ownership of a controlling interest in the operation of a child welfare  agency is sold, the following procedures must be followed:
            (A)  The seller shall notify the division of the sale at least thirty (30) days prior to the completed sale;
            (B)  The  seller shall remain responsible for the operation of the child welfare  agency until such time as the agency is closed or a license is issued to  the buyer;
            (C)  The seller  shall remain liable for all penalties assessed against the child welfare  agency that are imposed for violations or deficiencies occurring before  the transfer of a license to the buyer;
            (D)  The buyer shall be subject to any corrective action notices to which the seller was subject; and
            (E)  The  provisions of subsection (a) of this section, including those  provisions regarding obtaining licenses or permits from the office and  regarding obtaining any permits from the Health Services Permit Agency  or the Health Services Permit Commission, shall apply in their entirety  to the new owner of the child welfare agency.
(g)  If  the board votes to issue a license to operate a child welfare agency,  the license must be posted in a conspicuous place in the child welfare  agency and must state at a minimum:
      (1)  The full legal name of the entity holding the license, including the business name, if different;
      (2)  The address of the child welfare agency;
      (3)  The effective date and expiration date of the license;
      (4)  The type of child welfare agency the licensee is authorized to operate;
      (5)  The  maximum number and ages of children that may receive services from the  agency, if the agency is not a child placement agency;
      (6)  The status of the license, whether regular, provisional, or probationary; and
      (7)  Any special conditions or limitations of the license.
(h)    (1)  Reports,  correspondence, memoranda, case histories, or other materials,  including protected health information, compiled or received by a  licensee or a state agency engaged in placing a child, including both  foster care and protective services records, shall be confidential and  shall not be released or otherwise made available except to the extent  permitted by federal law and only:
            (A)  To the director as required by regulation;
            (B)  For adoptive placements as provided by the Revised Uniform Adoption Act,    9-9-201 et seq.;
            (C)  To multidisciplinary teams under    12-18-106(a);
            (D)    (i)  To the child's parent, guardian, or custodian.
                  (ii)  However,  the licensee or state agency may redact information from the record  such as the name or address of foster parents or providers when it is in  the best interest of the child.
                  (iii)  The  licensee or state agency may redact counseling records, psychological  or psychiatric evaluations, examinations, or records, drug screens or  drug evaluations, or similar information concerning a parent if the  other parent is requesting a copy of a record;
            (E)  To the child;
            (F)    (i)  To  health care providers to assist in the care and treatment of the child  at the discretion of the licensee or state agency and if deemed to be in  the best interest of the child.
                  (ii)  "Health  care providers" includes doctors, nurses, emergency medical  technicians, counselors, therapists, mental health professionals, and  dentists;
            (G)  To school  personnel and day care centers caring for the child at the discretion of  the licensee or state agency and if deemed to be in the best interest  of the child;
            (H)    (i)  To foster parents, the foster care record for foster children currently placed in their home.
                  (ii)  However, information about the parents or guardians and any siblings not in the foster home shall not be released;
            (I)    (i)  To the board.
                  (ii)  However,  at any board meeting no information that identifies by name or address  any protective services recipient or foster care child shall be orally  disclosed or released in written form to the general public;
            (J)  To  the Division of Children and Family Services of the Department of Human  Services, including child welfare agency licensing specialists;
            (K)  For  any audit or similar activity conducted in connection with the  administration of any such plan or program by any governmental agency  that is authorized by law to conduct the audit or activity;
            (L)  Upon presentation of an order of appointment, to a court-appointed special advocate;
            (M)  To the attorney ad litem for the child;
            (N)  For law enforcement or the prosecuting attorney upon request;
            (O)  To circuit courts, as provided for in the Arkansas Juvenile Code of 1989,    9-27-301 et seq.;
            (P)  In a criminal or civil proceeding conducted in connection with the administration of any such plan or program;
            (Q)  For  purposes directly connected with the administration of any of the state  plans as outlined at 42 U.S.C.    671(a)(8), as in effect January 1,  2001;
            (R)  For the  administration of any other federal or federally assisted program that  provides assistance, in cash or in kind, or services, directly to  individuals on the basis of need;
            (S)    (i)  To  individual federal and state representatives and senators in their  official capacity and their staff members with no redisclosure of  information.
                  (ii)  No  disclosure shall be made to any committee or legislative body of any  information that identifies by name or address any recipient of  services;
            (T)  To a grand jury  or court upon a finding that information in the record is necessary for  the determination of an issue before the court or grand jury;
            (U)  To  a person, provider, or government entity identified by the licensee or  the state agency as having services needed by the child or his or her  family; or
            (V)  To volunteers  authorized by the licensee or the state agency to provide support or  services to the child or his or her family at the discretion of the  licensee or the state agency and only to the extent information is  needed to provide the support or services.
      (2)  Foster home and adoptive home records are confidential and shall not be released except:
            (A)  To the foster parents or adoptive parents;
            (B)  For purposes of review or audit, by the appropriate federal or state agency;
            (C)  Upon allegations of child maltreatment in the foster home or adoptive home, to the investigating agency;
            (D)  To the board;
            (E)  To  the Division of Children and Family Services of the Department of Human  Services, including child welfare agency licensing specialists;
            (F)  To law enforcement or the prosecuting attorney upon request;
            (G)  To  a grand jury or court upon a finding that information in the record is  necessary for the determination of an issue before the court or grand  jury;
            (H)    (i)  To  individual federal and state representatives and senators in their  official capacity and their staff members with no redisclosure of  information.
                  (ii)  No  disclosure shall be made to any committee or legislative body of any  information that identifies by name or address any recipient of  services; or
            (I)  To the  attorney ad litem and court-appointed special advocate, the home study  on the adoptive family selected by the Department of Human Services to  adopt the juvenile.
      (3)    (A)  Any  person or agency to whom disclosure is made shall not disclose to any  other person reports or other information obtained pursuant to this  subsection.
            (B)  Any person disclosing information in violation of this subsection shall be guilty of a Class C misdemeanor.
            (C)  Nothing in this subchapter shall be construed to prevent subsequent disclosure by the child or his or her parent or guardian.
(i)  Foster  parents approved by a child placement agency licensed by the Department  of Human Services shall not be liable for damages caused by their  foster children, nor shall they be liable to the foster children nor to  the parents or guardians of the foster children for injuries to the  foster children caused by acts or omissions of the foster parents unless  the acts or omissions constitute malicious, willful, wanton, or grossly  negligent conduct.
(j)  Volunteers  approved by the Department of Human Services who transport foster  children or clients of the Department of Human Services or who supervise  visits at the request of the Department of Human Services shall not be  liable to the foster children or the clients nor to the parents or  guardians of any foster children for injuries to the clients or the  foster children caused by the acts or omissions of the volunteers unless  the acts or omissions constitute malicious, willful, wanton, or grossly  negligent conduct.