This text of Indiana § 22-10-3-11.1 (Practitioner; definition; standards of conduct; sanctions; grounds;
submission to examination) is published on Counsel Stack Legal Research, covering Indiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
1.
(a)As used in this section, "practitioner"
means an individual who holds a certificate issued under this chapter.
(b)A practitioner shall conduct his duties as he is so certified in
accordance with the standards established by the board under section
9(a) of this chapter and is subject to the exercise of the disciplinary
sanctions under subsection (e), if after a hearing, the board finds:
(1)the practitioner has employed or knowingly cooperated in
fraud or material deception in order to obtain a certificate, or has
engaged in fraud or material deception in the course of
professional services or activities, or has advertised services in a
false or misleading manner;
(2)the practitioner has been convicted of a crime which has a
direct bearing on the practitioner's ability to continue
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1. (a) As used in this section, "practitioner"
means an individual who holds a certificate issued under this chapter.
(b) A practitioner shall conduct his duties as he is so certified in
accordance with the standards established by the board under section
9(a) of this chapter and is subject to the exercise of the disciplinary
sanctions under subsection (e), if after a hearing, the board finds:
(1) the practitioner has employed or knowingly cooperated in
fraud or material deception in order to obtain a certificate, or has
engaged in fraud or material deception in the course of
professional services or activities, or has advertised services in a
false or misleading manner;
(2) the practitioner has been convicted of a crime which has a
direct bearing on the practitioner's ability to continue to practice
competently;
(3) a practitioner has knowingly violated section 12 of this
chapter, or any rule adopted by the board under section 9(A)
under this chapter;
(4) a practitioner has continued to practice as certified although
he has become unfit to practice due to:
(A) professional incompetence;
(B) failure to keep abreast of current professional theory or
practice;
(C) physical or mental disability; or
(D) addiction or severe dependency upon alcohol or other drugs
which endangers the public by impairing a practitioner's ability
to practice safely;
(5) a practitioner has engaged in a course of lewd or immoral
conduct in connection with the delivery of services to clients; or
(6) a practitioner has allowed his name or certificate issued to him
under this chapter to be used in connection with any individual
who renders mining services beyond the scope of his training,
experience or competence.
(c) The board may order a practitioner to submit to a reasonable
physical or mental examination if his physical or mental capacity to
practice safely is at issue in a disciplinary proceeding.
(d) Failure to comply with a board order to submit to a physical or
mental examination shall render a practitioner liable to the summary
revocation procedures under subsection (f).
(e) The board may impose any of the following sanctions, singly or
in combination, when it finds that a practitioner is guilty of any offense
under subsection (b):
(1) permanently revoke a practitioner's certificate;
(2) suspend a practitioner's certificate;
(3) censure a practitioner;
(4) issue a letter of reprimand; or
(5) place a practitioner on probation status and require the
practitioner to:
(A) report regularly to the board upon the matters which are the
basis of probation;
(B) limit practice to those areas prescribed by the board; or
(C) continue or renew professional education under a
practitioner approved by the board until satisfactory degree of
skill has been attained in those areas which are the basis of the
probation.
The board may withdraw the probation if it finds that the deficiency
which required disciplinary action has been remedied.
(f) The board may summarily suspend a practitioner's certificate for
a period of ninety (90) days in advance of a final adjudication or during
the appeals process if the board finds that a practitioner represents a
clear and immediate danger to the public health and safety if he is
allowed to continue to practice. The summary suspension may be
renewed upon a hearing before the board, and each renewal may be for
a period of ninety (90) days or less.
(g) A certificate issued under this chapter is automatically
suspended upon the conviction of the practitioner of a felony under 30
U.S.C. 820. A practitioner whose certificate is suspended under this
subsection may apply for reinstatement under subsection (h) if at least
five (5) years have elapsed from the practitioner's date of discharge
from probation, imprisonment, or parole from the felony.
(h) The board may reinstate a certificate which has been suspended
under this chapter if, after a hearing, the board is satisfied that the
applicant is able to practice with reasonable skill and safety. As a
condition for reinstatement, the board may impose disciplinary or
corrective measures authorized under this chapter.
(i) The board shall seek to achieve consistency in the application of
the sanctions authorized in this section, and significant departures from
prior decisions involving similar conduct shall be explained in the
board's findings or orders.
As added by Acts 1981, P.L.222, SEC.21. Amended by
P.L.165-1997, SEC.1.