The Organization shall:

  1. Implement and maintain a compliance system to detect and prevent fraud, waste, and abuse;
  2. Comply with all applicable regulations related to its business and clinical operations;
  3. Respond swiftly when risks and noncompliance are detected, and develop preventative recommendations to share with its leadership; and
  4. Assign staff or hire consultants with the appropriate level of access, experience, and expertise to oversee its compliance programs.