Gross v. New York State Department of Health

277 A.D.2d 825, 716 N.Y.S.2d 780, 2000 N.Y. App. Div. LEXIS 12387
CourtAppellate Division of the Supreme Court of the State of New York
DecidedNovember 28, 2000
StatusPublished
Cited by4 cases

This text of 277 A.D.2d 825 (Gross v. New York State Department of Health) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gross v. New York State Department of Health, 277 A.D.2d 825, 716 N.Y.S.2d 780, 2000 N.Y. App. Div. LEXIS 12387 (N.Y. Ct. App. 2000).

Opinion

Peters, J.

Proceeding pursuant to CPLR article 78 (initi[826]*826ated in this Court pursuant to Public Health Law § 230-c [5]) to review a determination of the Hearing Committee of the State Board for Professional Medical Conduct which revoked petitioner’s license to practice medicine in New York.

In November 1998, the Bureau of Professional Medical Conduct (hereinafter BPMC) served petitioner, a psychiatrist, with a notice of hearing and a statement of charges which detailed six specifications each of gross negligence, gross incompetence and failure to maintain records. It also included charges alleging that she had practiced medicine negligently and incompetently on more than one occasion. These charges arose from petitioner’s treatment of six patients (hereinafter referred to as patients A, B, C, D, E and F) for whom, it was alleged, she had failed to, inter alia, conduct adequate diagnostic assessments and formulate treatment plans. Moreover, she was charged with repeatedly overprescribing large doses of potentially addictive medications despite her knowledge that her patients had substance abuse histories.

At the hearing before the Hearing Committee of the State Board for Professional Medical Conduct (hereinafter the Committee), the BPMC presented the testimony of Sigurd Ackerman, a physician specializing in the fields of psychiatry and neurology, who had extensive experience in the areas of substance abuse and mood and/or personality disorders. Upon a review of petitioner’s medical records, Ackerman opined, with respect to each and every patient, that such records failed to detail a formulated treatment plan as well as a diagnosis and later justification for the overprescription of medication. Notwithstanding such recordkeeping, he opined that the pharmacologic aspects of these patients’ management posed a serious risk, without proper justification, since petitioner repeatedly failed to integrate their previous histories.

Petitioner, licensed to practice medicine for over 35 years, testified in support of her treatment of these patients. Fully acknowledging the deficiencies in her recordkeeping, she explained that she failed to recognize that their purpose was to inform other professionals of the nature of a patient’s condition or of the care that she provided. Believing that they were solely for her professional use, she explained that she would only make note of those details that would not be remembered on either a short or long-term basis. As to each patient under • review, petitioner described her preliminary testing which assisted in the formulation of her treatment plan. This included, in numerous instances, varied therapeutic approaches including, inter alia, psychotherapy and hypnosis. As to the pharma[827]*827cologic aspects of care, she described how the medications were incorporated with her therapeutic care and how, with respect to some of these patients, her prescribing patterns were based upon a desire for stabilization; these were patients who presented with multiple psychiatric diagnoses and severe personality disorders, having experienced a history of failure with other treating physicians. She further described her efforts to seek opinions and strategies from other physicians specializing in pharmacology when formulating her management and approach to these patients. At all times, she noted her continued failure to include the details of these consults in the patients’ records.

Petitioner also proffered the expert testimony of Sanford Herman, a psychiatrist, who wholly acknowledged the inadequacy of her recordkeeping. For this reason, he interviewed petitioner to fully understand the treatment plan derived for each patient, the means by which the initial and follow-up diagnoses were formulated and the basis upon which she justified her pharmacologic practices. With the information gleaned from petitioner, along with his review of petitioner’s patient files, Herman testified extensively with respect to each patient and opined, in general, that petitioner had medically valid reasons to support her diagnosis and prescribing patterns; she simply failed to make note of these facts in her files. Herman also testified that with respect to patients D and E, he personally interviewed such patients and reviewed their medical records in preparation for the hearing. Finding that such patient interviews occurred significantly after the rendition of treatment, the Administrative Law Judge precluded any testimony based thereon.

The Committee ultimately concluded that petitioner had prescribed large quantities of medications to alleviate her patients’ symptoms without taking into account their histories of drug abuse and addiction which resulted in an exacerbation of their substance abuse problems and exposure to unnecessary risks. The Committee also faulted petitioner for maintaining inadequate records that lacked patient diagnoses and treatment plans justifying the medications prescribed. Finding petitioner guilty of all 20 specifications of misconduct, it imposed the penalty of license revocation. This CPLR article 78 proceeding ensued.

We reject the contention that the Committee deprived petitioner of a fair hearing when it found, in its decision and order, that Herman’s testimony was “not valid.” Herman, whose expert status was accepted by the Committee, testified [828]*828extensively while acceding to the Committee’s request that he limit his testimony to a review of the record and/or to his interview with petitioner when forming his opinions as to patient care. Although we recognize that hearsay evidence is admissible and may constitute substantial evidence if believable, relevant and probative (see, Matter of Gray v Adduci, 73 NY2d 741; Matter of Tsakonas v Dowling, 227 AD2d 729, lv denied 88 NY2d 812), we perceive no error in precluding petitioner’s expert from rendering an opinion based upon his interviews with patients D and E since the basis for such opinion was not subject to cross-examination by the Committee (see, Matter of Gross v DeBuono, 223 AD2d 789, 791). Hence, the Committee’s determination that Herman’s testimony was “not valid” was based upon its resolution of credibility issues and the weight it accorded to his testimony — issues solely within its administrative province (see, Matter of Saldanha v DeBuono, 256 AD2d 935, 936; Matter of Enu v Sobol, 171 AD2d 302, 305). As such determination constituted “an appropriate exercise of its factfinding authority” (Matter of Saldanha v DeBuono, supra, at 936), we find no error.

Addressing next whether the evidence presented was sufficient to support the specifications of misconduct, we find that Ackerman’s undisputed testimony that petitioner failed to maintain adequate medical records for each of these patients warrants no further review. In the case of patient A, an alcoholic, Ackerman opined that petitioner prescribed large quantities of Valium even after the patient had been involved in two one-car accidents and had similarly prescribed excessive quantities of Xanax to patient B even after she had been hospitalized for a drug overdose. As to patients C, E and F, Ackerman opined that petitioner continued to prescribe potentially addictive medication even after she received information that they were drug abusers. With patient D, Ackerman testified that petitioner continued to prescribe narcotic pain relievers to treat pain from a fall that had taken place over two years earlier without ever having examined the patient.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Heisler v. Scappaticci
81 A.D.3d 954 (Appellate Division of the Supreme Court of New York, 2011)
Cohen v. New York State Department of Health
65 A.D.3d 791 (Appellate Division of the Supreme Court of New York, 2009)
Maglione v. New York State Department of Health
9 A.D.3d 522 (Appellate Division of the Supreme Court of New York, 2004)
Yoonessi v. State Board for Professional Medical Conduct
2 A.D.3d 1070 (Appellate Division of the Supreme Court of New York, 2003)

Cite This Page — Counsel Stack

Bluebook (online)
277 A.D.2d 825, 716 N.Y.S.2d 780, 2000 N.Y. App. Div. LEXIS 12387, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gross-v-new-york-state-department-of-health-nyappdiv-2000.