Colorado Code § 12-245-224

Prohibited activities - related provisions - definition
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(1) A person
licensed, registered, or certified under this article 245 violates this article 245 if the person:
(a) Has been convicted of or pled guilty or nolo contendere to a felony or to any crime
related to the person's practice, or received a deferred sentence to a felony charge. A certified
copy of the judgment of a court of competent jurisdiction of the conviction or plea is conclusive
evidence of the conviction or plea. In considering the disciplinary action, each board is governed
by sections 12-20-202 (5) and 24-5-101.
(b) Has violated or attempted to violate, directly or indirectly, or assisted or abetted the
violation of, or conspired to violate any provision or term of this article 245, an applicable
provision of article 20 or 30 of this title 12, a rule promulgated pursuant to this article 245, or
any order of a board established pursuant to this article 245;
(c) Has used advertising that is misleading, deceptive, or false;
(d) (I) Has committed abuse of health insurance pursuant to section 18-13-119;
(II) Has advertised through newspapers, magazines, circulars, direct mail, directories,
radio, television, or otherwise that the person will perform any act prohibited by section 18-13-
119;
(e) Habitually or excessively uses or abuses alcohol, a habit-forming drug, or a
controlled substance, as defined in section 18-18-102 (5);
(f) (I) Fails to notify the board that regulates the person's profession of a physical illness,
physical condition, or behavioral, mental health, or substance use disorder that affects the
person's ability to treat clients with reasonable skill and safety or that may endanger the health or
safety of persons under his or her care;
(II) Fails to act within the limitations created by a physical illness, physical condition, or
behavioral, mental health, or substance use disorder that renders the person unable to treat clients
with reasonable skill and safety or that may endanger the health or safety of persons under his or
her care; or
(III) Fails to comply with the limitations agreed to under a confidential agreement
entered into pursuant to sections 12-30-108 and 12-245-223;
(g) (I) Has acted or failed to act in a manner that does not meet the generally accepted
standards of the professional discipline under which the person practices. Generally accepted
standards may include, at the board's discretion, the standards of practice generally recognized
by state and national associations of practitioners in the field of the person's professional
discipline.
(II) A certified copy of a malpractice judgment of a court of competent jurisdiction is
conclusive evidence that the act or omission does not meet generally accepted standards of the
professional discipline, but evidence of the act or omission is not limited to a malpractice
judgment.
(h) Has performed services outside of the person's area of training, experience, or
competence;
(i) Has maintained relationships with clients that are likely to impair the person's
professional judgment or increase the risk of client exploitation, such as treating employees,
supervisees, close colleagues, or relatives;
(j) Has exercised undue influence on the client, including the promotion of the sale of
services, goods, property, or drugs in such a manner as to exploit the client for the financial gain
of the practitioner or a third party;
(k) Has failed to terminate a relationship with a client when it was reasonably clear that
the client was not benefitting from the relationship and is not likely to gain such benefit in the
future;
(l) Has failed to refer a client to an appropriate practitioner when the problem of the
client is beyond the person's training, experience, or competence;
(m) Has failed to obtain a consultation or perform a referral when the failure is not
consistent with generally accepted standards of care;
(n) Has failed to render adequate professional supervision of persons practicing pursuant
to this article 245 under the person's supervision according to generally accepted standards of
practice;
(o) Has accepted commissions or rebates or other forms of remuneration for referring
clients to other professional persons;
(p) Has failed to comply with any of the requirements pertaining to mandatory
disclosure of information to clients pursuant to section 12-245-216;
(q) Has offered or given commissions, rebates, or other forms of remuneration for the
referral of clients unless the offer or remuneration was for services provided, including
marketing, office space, administrative, consultative, and clinical services, and not for the
referral itself. A licensee, registrant, or certificate holder may pay an independent advertising or
marketing agent compensation for advertising or marketing services rendered on the person's
behalf by the agent, including compensation that is paid for the results of performance of the
services on a per-patient basis.
(r) Has engaged in sexual contact, sexual intrusion, or sexual penetration, as defined in
section 18-3-401, with a client during the period of time in which a therapeutic relationship
exists or for up to two years after the period in which a therapeutic relationship exists;
(s) Has resorted to fraud, misrepresentation, or deception in applying for or in securing
licensure or taking any examination provided for in this article 245;
(t) Has engaged in any of the following activities and practices:
(I) Repeated ordering or performing demonstrably unnecessary laboratory tests or
studies without clinical justification for the tests or studies;
(II) The administration, without clinical justification, of treatment that is demonstrably
unnecessary;
(III) Ordering or performing any service or treatment that is contrary to the generally
accepted standards of the person's practice and is without clinical justification;
(IV) Using or recommending rebirthing or any therapy technique that may be considered
similar to rebirthing as a therapeutic treatment. "Rebirthing" means the reenactment of the
birthing process through therapy techniques that involve any restraint that creates a situation in
which a patient may suffer physical injury or death. For the purposes of this subsection
(1)(t)(IV), a parent or legal guardian may not consent to physical, chemical, or mechanical
restraint on behalf of a child or ward.
(V) Conversion therapy with a client who is under eighteen years of age;
(u) Has falsified or repeatedly made incorrect essential entries or repeatedly failed to
make essential entries on patient records;
(v) Has committed a fraudulent insurance act, as set forth in section 10-1-128;
(w) Has sold or fraudulently obtained or furnished a license, registration, or certification
to practice as a psychologist, social worker, marriage and family therapist, licensed professional
counselor, psychotherapist, or addiction counselor or has aided or abetted in those activities; or
(x) Has failed to respond, in the manner required by the board, to a complaint filed with
or by the board against the licensee, registrant, or certificate holder.
(1.5) Any contract entered into by a licensee, certificate holder, or registrant for the
purpose of marketing, office space, administrative support, or any other overhead expense shall
not provide remuneration for referrals of clients or patients or otherwise create a financial benefit
or incentive to the contractor that is tied to or conditioned on the number of clients or patients
that the licensee, certificate holder, or registrant sees, the value of the services that the licensee,
certificate holder, or registrant provides, or any financial recovery to which the licensee,
certificate holder, or registrant is entitled.
(2) A disciplinary action relating to a license, registration, or certification to practice a
profession licensed, registered, or certified under this article 245 or any related occupation in any
other state, territory, or country for disciplinary reasons constitutes prima facie evidence of
grounds for disciplinary action, including denial of licensure, registration, or certification, by a
board. This subsection (2) applies only to disciplinary actions based upon acts or omissions in
the other state, territory, or country substantially similar to those acts or omissions set out as
grounds for disciplinary action pursuant to subsection (1) of this section.
(3) (a) The board shall design and send a questionnaire to all licensed psychologists with
prescriptive authority who apply for license renewal. Each applicant for license renewal shall
complete the board-designed questionnaire. The purpose of the questionnaire is to determine
whether a licensee has acted in violation of this part 2 or has been disciplined for any action that
might be considered a violation of this part 2 or that might make the licensee unfit to practice
psychology with reasonable care and safety. The board shall include on the questionnaire a
question regarding whether the licensee has complied with section 12-30-111 and is in
compliance with section 12-280-403 (2)(a). If an applicant fails to answer the questionnaire
accurately, the failure constitutes grounds for discipline under this section. The board may
include the cost of developing and reviewing the questionnaire in the fee paid pursuant to section
12-245-205. The board may deny an application for license renewal that does not accompany an
accurately completed questionnaire.
(b) On and after July 1, 2024, as a condition of renewal of a license, each licensee shall
attest that the licensee is in compliance with section 12-280-403 (2)(a) and that the licensee is
aware of the penalties for noncompliance with that section.

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