6.—(1) Schedule 6 (other contractual terms) to the GMS Contracts Regulations is amended as follows.
(2) For paragraph 17(2) (refusal of applications for inclusion in the list of patients or for acceptance as a temporary resident), substitute—
“(2) The reasonable grounds referred to in paragraph (1) may, in the case of an application made under paragraph 15, include the ground that the applicant—
(a)does not live in the contractor’s practice area; or
(b)lives in the outer boundary area (the area referred to in regulation 18(1A)).”.
(3) Omit paragraph 29 (closure of lists of patients) and insert after paragraph 28 (termination of responsibility for patients not registered with the contractor)—
29A.—(1) A contractor which wishes to close its list of patients must send a written application (“the Application”) to close its list to the Primary Care Trust and the Application must include the following details—
(a)the options which the contractor has considered, rejected or implemented in an attempt to relieve the difficulties which the contractor has encountered in respect of its open list and, if any of the options were implemented, the level of success in reducing or extinguishing such difficulties;
(b)any discussions between the contractor and its patients and a summary of those discussions including whether in the opinion of those patients the list of patients should or should not be closed;
(c)any discussions between the contractor and other contractors in the practice area and a summary of the opinion of the other contractors as to whether the list of patients should or should not be closed;
(d)the period of time during which the contractor wishes its list of patients to be closed and that period must not be less than 3 months and not more than 12 months;
(e)any reasonable support from the Primary Care Trust which the contractor considers would enable its list of patients to remain open or would enable the period of proposed closure to be minimised;
(f)any plans the contractor may have to alleviate the difficulties mentioned in that Application during the period the list of patients may be closed in order for that list to reopen at the end of the proposed closure period without the existence of those difficulties; and
(g)any other information which the contractor considers ought to be drawn to the attention of the Primary Care Trust.
(2) The Primary Care Trust must acknowledge receipt of the Application within a period of 7 days starting on the date the Application was received by the Primary Care Trust.
(3) The Primary Care Trust must consider the Application and may request such other information from the contractor which it requires to enable it to consider the Application.
(4) The Primary Care Trust must enter into discussions with the contractor concerning—
(a)the support which the Primary Care Trust may give the contractor; or
(b)changes which the Primary Care Trust or contractor may make,
to enable the contractor to keep its list of patients open.
(5) The Primary Care Trust and contractor must, throughout the discussions referred to in sub-paragraph (4), use its reasonable endeavours to achieve the aim of keeping the contractor’s list of patients open.
(6) The Primary Care Trust or the contractor may, at any stage during the discussions, invite the Local Medical Committee for its area (if any) to attend any meetings arranged between the Primary Care Trust and contractor to discuss the Application.
(7) The Primary Care Trust may consult such persons as it appears to the Primary Care Trust may be affected by the closure of the contractor’s list of patients, and if it does so, the Primary Care Trust must provide to the contractor a summary of the views expressed by those consulted in respect of the Application.
(8) The Primary Care Trust must enable the contractor to consider and comment on all the information before the Primary Care Trust makes a decision in respect of the Application.
(9) A contractor may withdraw its Application at any time before the Primary Care Trust makes a decision in respect of that Application.
(10) Within a period of 21 days starting on the date of receipt of the Application (or within such longer period as the parties may agree), the Primary Care Trust must make a decision—
(a)to approve the Application and determine the date the closure is to take effect and the date the list of patients is to reopen; or
(b)to reject the Application.
(11) The Primary Care Trust must notify the contractor of its decision to approve the Application in accordance with paragraph 29B, or in the case where the Application is rejected, in accordance with paragraph 29C.
(12) A contractor must not submit more than one application to close its list of patients in any period of 12 months starting on the date on which the Primary Care Trust makes its decision on the Application unless—
(a)paragraph 29C applies; or
(b)there has been a change in the circumstances of the contractor which affects its ability to deliver services under the contract.
29B.—(1) Where the Primary Care Trust approves an application to close a list of patients, it must—
(a)notify the contractor of its decision in writing as soon as possible and the notification (“the closure notice”) must include the details referred to in sub-paragraph (2); and
(b)at the same time as it notifies the contractor, send a copy of the closure notice to the Local Medical Committee for its area (if any) and to any person it consulted in accordance with paragraph 29A(7).
(2) The closure notice must include—
(a)the period of time for which the contractor’s list of patients will be closed which must be—
(i)the period specified in the application to close the list of patients; or
(ii)in the case where the Primary Care Trust and contractor have agreed in writing a different period, that different period,
and in either case, the period must be not less than 3 months and not more than 12 months;
(b)the date from which the closure of the list of patients is to take effect; and
(c)the date from which the list of patients is to re-open.
(3) Subject to paragraph 29E, a contractor must close its list of patients with effect from the date the closure of the list of patients is to take effect and the list of patients must remain closed for the duration of the closure period as specified in the closure notice.
29C.—(1) Where a Primary Care Trust rejects an application to close a list of patients it must—
(a)notify the contractor of its decision in writing as soon as possible and the notification must include the reasons for the rejection of the application; and
(b)at the same time as it notifies the contractor, send a copy of the notification to the Local Medical Committee for its area (if any) and to any person it consulted in accordance with paragraph 29A(7).
(2) Subject to sub-paragraph (3), if a Primary Care Trust makes a decision to reject a contractor’s application to close its list of patients, the contractor must not make a further application until—
(a)the end of the period of 3 months, starting on the date of the decision of the Primary Care Trust to reject; or
(b)the end of the period of 3 months, starting on the date of the final determination in respect of a dispute arising from the decision to reject the application made pursuant to the NHS dispute resolution procedure (or any court proceedings),
whichever is the later.
(3) A contractor may make a further application to close its list of patients where there has been a change in the circumstances of the contractor which affects its ability to deliver services under the contract.
29D.—(1) A contractor may apply to extend a closure period by sending a written application to extend the closure period no later than 8 weeks before the date that period is due to expire.
(2) The application to extend the closure period must include—
(a)details of the options the contractor has considered, rejected or implemented in an attempt to relieve the difficulties which have been encountered during the closure period or which may be encountered when the closure period expires;
(b)the period of time during which the contractor wishes its list of patients to remain closed, which extended period of desired closure must not be more than 12 months;
(c)details of any reasonable support from the Primary Care Trust which the contractor considers would enable its list of patients to re-open or would enable the proposed extension of the closure period to be minimised;
(d)details of any plans the contractor may have to alleviate the difficulties mentioned in the application to extend the closure period in order for the list of patients to re-open at the end of the proposed extension of the closure period without the existence of those difficulties; and
(e)any other information which the contractor considers ought to be drawn to the attention of the Primary Care Trust.
(3) The Primary Care Trust must acknowledge receipt of the application for an extension to the closure period within a period of 7 days starting on the date the application was received by the Primary Care Trust.
(4) The Primary Care Trust must consider the application for an extension to the closure period and may request such other information from the contractor which it requires to enable it to consider that application.
(5) The Primary Care Trust may enter into discussions with the contractor concerning—
(a)the support which the Primary Care Trust may give the contractor; or
(b)changes which the Primary Care Trust or contractor may make,
to enable the contractor to re-open its list of patients.
(6) Within a period of 14 days starting on the date of receipt of the application to extend the closure period (or within such longer period as the parties may agree), the Primary Care Trust must make a decision.
(7) The Primary Care Trust must notify the contractor of its decision to approve or reject the application to extend the closure period as soon as possible after making its decision.
(8) Where the Primary Care Trust approves the application to extend the closure period, it must—
(a)notify the contractor of its decision in writing and the notification (“the extended closure notice”) shall include the details referred to in sub-paragraph (9); and
(b)at the same time as it notifies the contractor, send a copy of the extended closure notice to the Local Medical Committee for its area (if any) and to any person it consulted in accordance with paragraph 29A(7).
(9) The extended closure notice must include—
(a)the period of time for which the contractor’s list of patients will remain closed which must be—
(i)the period specified in the application to extend the closure period; or
(ii)in the case where the Primary Care Trust and contractor have agreed in writing a different period to the period specified in the application to extend the closure period, the period which is agreed,
and in either case, the period (“the extended closure period”), must be not less than 3 months and not more than 12 months;
(b)the date from which the extended closure period is to take effect; and
(c)the date on which the list of patients is to re-open.
(10) Where a Primary Care Trust rejects an application to extend the closure period it must—
(a)notify the contractor of its decision in writing and the notification must include the reasons for the rejection of the application; and
(b)at the same time as it notifies the contractor, send a copy of the notification to the Local Medical Committee for its area (if any) .
(11) Where an application for an extension of the closure period is made in accordance with sub-paragraphs (1) and (2), the list of patients will remain closed pending—
(a)the determination by the Primary Care Trust of the application for an extension of the closure period; or
(b)the contractor ceasing to pursue any dispute arising from the application for an extension of the closure period pursuant to the NHS dispute resolution procedure (or any court proceedings),
whichever is the later.
29E. The contractor may re-open its list of patients before the expiry of the closure period if the Primary Care Trust and contractor agree that the contractor should re-open its list of patients.”.
(4) Omit paragraph 30 (approval of closure notice by the Primary Care Trust) and paragraph 31 (rejection of closure notice by the Primary Care Trust).
(5) Paragraph 35 (assignment to closed lists: determinations of the assessment panel) is amended as follows—
(a)in sub-paragraph (3), for “paragraph 31(5)”, substitute “sub-paragraph (3A)”.
(b)after sub-paragraph (3), insert—
“(3A) The members of the assessment panel must be—
(a)the Chief Executive of the Primary Care Trust of which the assessment panel is a committee or sub-committee;
(b)a person representative of patients in an area other than that of the Primary Care Trust which is a party to the contract;
(c)a person representative of a Local Medical Committee which does not represent practitioners in the area of the Primary Care Trust which is a party to the contract.”
(6) In paragraph 73(4) (patient records), for sub-paragraph (c), substitute—
“(c)the contractor is aware of, and has signed an undertaking that it will have regard to the guidelines contained in “The Good Practice Guidelines for GP electronic patient records (Version 4) published on 21st March 2011(1).”.
(7) After paragraph 76 (Practice Leaflet), insert—
76A. In the case where a contractor has a website, the contractor must publish on that website details of the practice area, including the area known as the outer boundary area (within the meaning given in regulation 18(1A)), by reference to a sketch diagram, plan or postcode.”.