In an overwhelming regulatory environment, having the right partner makes all the difference.

The hospice industry is currently experiencing unprecedented regulatory scrutiny. Federal and state agencies have implemented enrollment moratoriums, payment suspensions, enhanced provider screenings, targeted medical reviews, and expanded audit activities in response to fraud, waste, and abuse concerns throughout the hospice benefit. 

While oversight is necessary, many quality providers are finding themselves navigating increasingly complex regulatory expectations, aggressive audit activity, and evolving compliance requirements. 

The changing hospice climate

That’s where we come in.

Confidence through compliance

At P&P Healthcare Consulting, we believe the solution is not simply reacting to audits after they occur. The solution is to build a culture of compliance, regularly practice defensible documentation, cultivate operational excellence, and promote survey readiness before regulators arrive. 

We understand why regulators have intensified oversight. However, we also recognize that many professional and qualified providers who have invested heavily in compliance, quality assurance, education, and patient care should not be treated the same as fraudulent bad actors

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