Maryland Code § IN-31-119

Section IN-31-119
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(a) The Exchange shall be administered in a manner designed to:
(1) prevent discrimination on the basis of race, color, national origin,
disability, age, sex, gender identity, or sexual orientation;
(2) streamline enrollment and other processes to minimize expenses
and achieve maximum efficiency;
(3) prevent waste, fraud, and abuse; and
(4) promote financial integrity.
(b) (1) The Exchange shall establish a full-scale fraud, waste, and abuse
detection and prevention program designed to:
(i) ensure the Exchange's compliance with federal and State
laws for the detection and prevention of fraud, waste, and abuse, including
whistleblower and confidentiality protections and federal anti-kickback prohibitions;
and
(ii) promote transparency, credibility, and trust on the part of
the public in the integrity of its operations.
(2) The fraud, waste, and abuse detection and prevention program
shall:
(i) establish a framework for internal controls;
(ii) identify control cycles;
(iii) conduct risk assessments;
(iv) document processes; and

(v) implement controls.
(3) The Exchange:
(i) shall, in accordance with § 2-1257 of the State Government
Article, submit its plan for the fraud, waste, and abuse detection and prevention
program to the Senate Finance Committee and the House Health and Government
Operations Committee; and
(ii) shall allow the committees 60 days for review and comment
before establishing the program.
(c) The Exchange shall keep an accurate accounting of all its activities,
expenditures, and receipts.
(d) (1) On or before December 1 of each year, the Board shall forward to
the Secretary, the Governor, and, in accordance with § 2-1257 of the State
Government Article, the General Assembly, a report on the activities, expenditures,
and receipts of the Exchange.
(2) The report shall:
(i) be in the standardized format required by the Secretary;
(ii) include data regarding:
1. health plan participation, ratings, coverage, price,
quality improvement measures, and benefits;
2. consumer choice, participation, and satisfaction
information to the extent the information is available;
3. financial integrity, fee assessments, and status of
the Fund; and
4. any other appropriate metrics related to the
operation of the Exchange that may be used to evaluate Exchange performance,
assure transparency, and facilitate research and analysis;
(iii) assess and, to the extent feasible and permitted by law,
include data to identify disparities related to gender, race, ethnicity, geographic
location, language, disability, gender identity, sexual orientation, or other attributes
of special populations; and

(iv) include information on its fraud, waste, and abuse
detection and prevention program.
(e) (1) The Board shall cooperate fully with any investigation into the
affairs of the Exchange, including making available for examination the records of
the Exchange, conducted by:
(i) the Secretary under the Secretary's authority under the
Affordable Care Act; and
(ii) the Commissioner under the Commissioner's authority
under this article.
(2) The Commissioner may adopt regulations establishing the
minimum length of time for which, and the manner in which, the Exchange is
required to maintain records of insurance transactions conducted by the Exchange.

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