64B4-6.008. Audit of Continuing Education Providers  


Effective on Tuesday, March 24, 2009
  • 1(1) The Board retains the right and authority to audit and/or monitor programs and review records and course materials given by any provider approved pursuant to Rule Chapter 64B4-6, F.A.C.

    31(2) During each license renewal biennium a random sample of the current continuing education providers will be selected for audit.

    51(3) Each provider selected for audit is required to respond within 21 days and provide the Board with the original records maintained pursuant to subsection 7664B4-6.004(3), 77F.A.C., for 79one 80continuing education program the provider offered during that biennium, 89that was no less than three (3) and no more than sixteen (16) hours in duration105.

    106(4) The Board shall review the audited materials to ascertain compliance with the standards required by Rule Chapter 64B4-6, F.A.C.

    126(5) The Board shall notify those providers who are not in compliance with the standards required by Rule Chapter 64B4-6, F.A.C.

    147(6) Failure of a provider to show evidence to the Board within 30 days of such notification that appropriate action to be in compliance with these standards has been taken, will result in loss of provider status.

    184(7) Failure of a provider to respond to the audit request by the Board will result in the loss of provider status.

    206(8) Program presentations audited or monitored by a Board member shall be with or without advance notice.

    223Specific Authority 225491.004(5), 226491.0085 FS. 228Law Implemented 230491.0085(1) FS. 232History–New 10-2-94, Formerly 59P-6.008, 236Amended 3-24-09238.

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