Standards for Integrity and Independence in Accredited Continuing Education Sample Clauses

Standards for Integrity and Independence in Accredited Continuing Education. Name of Accredited Provider
AutoNDA by SimpleDocs
Standards for Integrity and Independence in Accredited Continuing Education. Assemble a Planning Committee reflective of the target audience of the educational activity Planning committee members who are employees or owners of an ACCME‐defined ineligible company will be excluded from participating in the activity. An ineligible company is any entity whose primary business is producing, marketing, selling, re‐selling, or distributing healthcare products used by or on patients. Identify professional practice gaps and educational need(s) of the healthcare team and/or members of the team and obtain appropriate evidence to justify the need Complete the “Request a CME Activity Form” Complete the CME Activity Form (provided by the CME team) and update annually (Annual Activity Review), or as needed Oversee mitigation of identified Conflicts of Interest (COI) and protection of Protected Health Information (PHI) Resource: ACCME Key Steps for the Identification, Mitigation, and Disclosure of Relevant Financial Relationships Secure qualified faculty who will effectively deliver content that addresses the learning objectives identified in the CME Activity Form, with the assistance of the Planning Committee Ensure that adult learning principles that promote active learning are incorporated into the educational design of the activity to promote learning by, for, and with the healthcare team Provide content that presents a fair and balanced view of diagnostic and therapeutic options (see ACCME Standard 1), by ensuring: All recommendations for patient care are based on current science, evidence, and clinical reasoning. All scientific research referred to, reported, or used in support or justification of a patient care recommendation must conform to the generally accepted standards of experimental design, data collection, analysis, and interpretation. New and evolving topics for which there is a lower (or absent) evidence base, are clearly identified as such within the education and individual presentations. The content avoids advocating for, or promoting, practices that are not, or not yet adequately based on current science, evidence, and clinical reasoning. The content excludes any advocacy for, or promotion of, unscientific approaches to diagnosis or therapy, or recommendations, treatment or manners of practicing healthcare that are determined to have risks or dangers that outweigh the benefits or are known to be ineffective in the treatment of patients. Review learning content prior to session to affirm alignment with ACCME Standards for Integ...
Standards for Integrity and Independence in Accredited Continuing Education and the Harvard Medical School (HMS) Policy on Commercial Support, as well as the FDA Policy Statement on Industry Supported Scientific and Educational Activities and all applicable federal and state laws, regulations and policies. For activities taking place in Massachusetts, the Company also agrees to abide by applicable Massachusetts Regulations. The Company must meet the written standards of the “Code on Interactions with Healthcare Professionals,” Pharmaceutical Research and Manufacturers of America, January 1, 2009, and/or the “Code of Ethics on Interactions with Health Care Professionals,” Advanced Medical Technology Association, July 1, 2009. Without limiting the foregoing, Company expressly agrees to comply with the following ACCME Standard:
Standards for Integrity and Independence in Accredited Continuing Education. The ANCC has adopted the ACCME Standards for Integrity and Independence in Accredited Continuing Education. Name of Accredited / Approved CE Provider Suburban Health Organization Contact Person Xxxxx Xxxxxxxxxxx Telephone Number 000-000-0000 E-mail Address xxxxxx@xxxxxxxxxxxxxx.xxx Fax Number 000-000-0000 Contact Person Telephone Number E-mail Address Fax Number Contact Person Telephone Number E-mail Address Fax Number XXX xxxxxx authorizes the SHO member hospital or Joint Provider, if applicable, to collect exhibitor fees and place in a general fund to pay the speaker honoraria and out-of-pocket expenses, or other identified meeting expenses, and to track revenue and expenses related to the educational activity.
Standards for Integrity and Independence in Accredited Continuing Education. As per University policy, for all conferences hosted by the University of Rochester you are expected to observe the ACCME’s Standards for Integrity and Independence in Accredited Continuing Education. Standards 2 and 5 specifically address Preventing Commercial Bias and Marketing in Accredited Continuing Education and Ancillary Activities Offered in Conjunction with Accredited Continuing Education: STANDARD 2: PREVENT COMMERCIAL BIAS AND MARKETING IN ACCREDITED CONTINUING EDUCATION
Standards for Integrity and Independence in Accredited Continuing Education. In connection with your participation, please sign and return a copy of this agreement to acknowledge that you agree to the following terms and conditions. I agree to pay the exhibit fee of . I understand that this includes two complimentary registrations (no CME), a 6’ exhibit table, breakfast, lunch and mention in program materials.

Related to Standards for Integrity and Independence in Accredited Continuing Education

  • Money Market Fund Compliance Testing and Reporting Services Subject to the authorization and direction of the Trust and, in each case where appropriate, the review and comment by the Trust’s independent accountants and legal counsel, and in accordance with procedures that may be established from time to time between the Trust and the Administrator, the Administrator will:

  • Human and Financial Resources to Implement Safeguards Requirements The Borrower shall make available necessary budgetary and human resources to fully implement the EMP and the RP.

  • Audit Requirements for Recipients of State Financial Assistance For purposes of this paragraph, the word "Contractor" shall be deemed to mean "nonstate entity," as that term is defined in section 4-230 of the Connecticut General Statutes. The Contractor shall provide for an annual financial audit acceptable to the Client Agency for any expenditure of State awarded funds made by the Contractor. Such audit shall include management letters and audit recommendations. The State Auditors of Public Accounts shall have access to all records and accounts for the fiscal year(s) in which the award was made. The Contractor shall comply with federal and State single audit standards as applicable.

  • Electronic and Information Resources Accessibility and Security Standards a. Applicability: The following Electronic and Information Resources (“EIR”) requirements apply to the Contract because the Grantee performs services that include EIR that the System Agency's employees are required or permitted to access or members of the public are required or permitted to access. This Section does not apply to incidental uses of EIR in the performance of the Agreement, unless the Parties agree that the EIR will become property of the State of Texas or will be used by HHSC’s clients or recipients after completion of the Agreement. Nothing in this section is intended to prescribe the use of particular designs or technologies or to prevent the use of alternative technologies, provided they result in substantially equivalent or greater access to and use of a Product.

  • Please see the current Washtenaw Community College catalog for up-to-date program requirements Conditions & Requirements

  • Child Support Compliance Act If the Contract Amount is $100,000 or more, this section is applicable. Contractor recognizes the importance of child and family support obligations and fully complies with (and will continue to comply with during the Term) all applicable state and federal laws relating to child and family support enforcement, including disclosure of information and compliance with earnings assignment orders, as provided in Family Code section 5200 et seq. Contractor provides the names of all new employees to the New Hire Registry maintained by the California Employment Development Department.

  • CERTIFICATION REGARDING BOYCOTTING CERTAIN ENERGY COMPANIES (Texas law as of September 1, 2021) By submitting a proposal to this Solicitation, you certify that you agree, when it is applicable, to the following required by Texas law as of September 1, 2021: If (a) company is not a sole proprietorship; (b) company has ten (10) or more full-time employees; and (c) this contract has a value of $100,000 or more that is to be paid wholly or partly from public funds, the following certification shall apply; otherwise, this certification is not required. Pursuant to Tex. Gov’t Code Ch. 2274 of SB 13 (87th session), the company hereby certifies and verifies that the company, or any wholly owned subsidiary, majority-owned subsidiary, parent company, or affiliate of these entities or business associations, if any, does not boycott energy companies and will not boycott energy companies during the term of the contract. For purposes of this contract, the term “company” shall mean an organization, association, corporation, partnership, joint venture, limited partnership, limited liability partnership, or limited liability company, that exists to make a profit. The term “boycott energy company” shall mean “without an ordinary business purpose, refusing to deal with, terminating business activities with, or otherwise taking any action intended to penalize, inflict economic harm on, or limit commercial relations with a company because the company (a) engages in the exploration, production, utilization, transportation, sale, or manufacturing of fossil fuel-based energy and does not commit or pledge to meet environmental standards beyond applicable federal and state law, or (b) does business with a company described by paragraph (a).” See Tex. Gov’t Code § 809.001(1).

  • Cooperation on forestry matters and environmental protection 1. The aims of cooperation on forestry matters and environmental protection will be, but not limited to, as follows: (a) establishing bilateral cooperation relations in the forestry sector; (b) developing a training program and studies for sustainable management of forests; (c) improving the rehabilitation and sustainable management of forest with the aim of increasing carbon sinks and reduce the impact of climate change in the Asia-Pacific region; (d) cooperating on the execution of national projects, aimed at: improving the management of forest plantations for its transformation for industrial purposes and environmental protection; (e) elaborating studies on sustainable use of timber; (f) developing new technologies for the transformation and processing of timber and non-timber species; and (g) improving cooperation in agro-forestry technologies. 2. To achieve the objectives of the Article 149 (Objectives), the Parties may focus, as a means of cooperation and negotiations on concluding a bilateral agreement on forestry cooperation between the two Parties. Such collaboration will be as follows: (a) exchanges on science and technology as well as policies and laws relating the sustainable use of forest resources; (b) cooperation in training programs, internships, exchange of experts and projects advisory; (c) advice and technical assistance to public institutions and organizations of the Parties on sustainable use of forest resources and environmental protection; (d) facilitating forest policy dialogue and technical cooperation under the Network of Sustainable Forest Management and Forest Rehabilitation in Asia- Pacific Region, initiated at the 15th Asia Pacific Economic Cooperation (APEC) Meeting; (e) encouraging joint studies, working visits, exchange of experiences, among others; and (f) others activities mutually agreed.

  • Fund Valuation and Financial Reporting Services (1) Account for Fund share purchases, sales, exchanges, transfers, dividend reinvestments, and other Fund share activity as reported by the Fund’s transfer agent on a timely basis. (2) Apply equalization accounting as directed by the Fund. (3) Determine net investment income (earnings) for the Fund as of each valuation date. Account for periodic distributions of earnings to shareholders and maintain undistributed net investment income balances as of each valuation date. (4) Maintain a general ledger and other accounts, books, and financial records for the Fund in the form as agreed upon. (5) Determine the net asset value of the Fund according to the accounting policies and procedures set forth in the Fund’s current prospectus. (6) Calculate per share net asset value, per share net earnings, and other per share amounts reflective of Fund operations at such time as required by the nature and characteristics of the Fund. (7) Communicate to the Fund, at an agreed upon time, the per share net asset value for each valuation date. (8) Prepare monthly reports that document the adequacy of accounting detail to support month-end ledger balances. (9) Prepare monthly security transactions listings.

  • Certification Regarding Prohibition of Boycotting Israel (Tex Gov. Code 2271)

Draft better contracts in just 5 minutes Get the weekly Law Insider newsletter packed with expert videos, webinars, ebooks, and more!