Fla. Stat. 651.034
Financial and operating requirements for providers


(1)(a)

If a regulatory action level event occurs, the office must:
Require the provider to prepare and submit a corrective action plan or, if applicable, a revised corrective action plan;
Perform an examination pursuant to s. 651.105 or an analysis, as the office considers necessary, of the assets, liabilities, and operations of the provider, including a review of the corrective action plan or the revised corrective action plan; and
After the examination or analysis, issue a corrective order, if necessary, specifying any corrective actions that the office determines are required.
In determining corrective actions, the office shall consider any factor relevant to the provider based upon the office’s examination or analysis of the assets, liabilities, and operations of the provider. The provider must submit the corrective action plan or the revised corrective action plan within 30 days after the occurrence of the regulatory action level event. The office shall review and approve or disapprove the corrective action plan within 45 business days.The office may use members of the Continuing Care Advisory Council, individually or as a group, or may retain actuaries, investment experts, and other consultants to review a provider’s corrective action plan or revised corrective action plan; examine or analyze the assets, liabilities, and operations of a provider; and formulate the corrective order with respect to the provider. The costs and expenses relating to consultants must be borne by the affected provider.

(1)(a)

If a regulatory action level event occurs, the office must:Require the provider to prepare and submit a corrective action plan or, if applicable, a revised corrective action plan;Perform an examination pursuant to s. 651.105 or an analysis, as the office considers necessary, of the assets, liabilities, and operations of the provider, including a review of the corrective action plan or the revised corrective action plan; andAfter the examination or analysis, issue a corrective order, if necessary, specifying any corrective actions that the office determines are required.
1. Require the provider to prepare and submit a corrective action plan or, if applicable, a revised corrective action plan;
2. Perform an examination pursuant to s. 651.105 or an analysis, as the office considers necessary, of the assets, liabilities, and operations of the provider, including a review of the corrective action plan or the revised corrective action plan; and
3. After the examination or analysis, issue a corrective order, if necessary, specifying any corrective actions that the office determines are required.

(b)

In determining corrective actions, the office shall consider any factor relevant to the provider based upon the office’s examination or analysis of the assets, liabilities, and operations of the provider. The provider must submit the corrective action plan or the revised corrective action plan within 30 days after the occurrence of the regulatory action level event. The office shall review and approve or disapprove the corrective action plan within 45 business days.

(c)

The office may use members of the Continuing Care Advisory Council, individually or as a group, or may retain actuaries, investment experts, and other consultants to review a provider’s corrective action plan or revised corrective action plan; examine or analyze the assets, liabilities, and operations of a provider; and formulate the corrective order with respect to the provider. The costs and expenses relating to consultants must be borne by the affected provider.

(2)

Except when the office’s remedial rights are suspended pursuant to s. 651.114(11)(a), the office must take action necessary to place an impaired provider under regulatory control, including any remedy available under part I of chapter 631. An impairment is sufficient grounds for the department to be appointed as receiver as provided in chapter 631, except when the office’s remedial rights are suspended pursuant to s. 651.114(11)(a). If the office’s remedial rights are suspended pursuant to s. 651.114(11)(a), the impaired provider must make available to the office copies of any corrective action plan approved by the third-party lender or trustee to cure the impairment and any related required report. For purposes of s. 631.051, impairment of a provider is defined according to the term “impaired” under s. 651.011. The office may forego taking action for up to 180 days after the impairment if the office finds there is a reasonable expectation that the impairment may be eliminated within the 180-day period.

(3)

There is no liability on the part of, and a cause of action may not arise against, the commission, department, or office, or their employees or agents, for any action they take in the performance of their powers and duties under this section.

(4)

The office shall transmit any notice that may result in regulatory action by registered mail, certified mail, or any other method of transmission which includes documentation of receipt by the provider. Notice is effective when the provider receives it.

(5)

This section is supplemental to the other laws of this state and does not preclude or limit any power or duty of the department or office under those laws or under the rules adopted pursuant to those laws.

(6)

The office may exempt a provider from subsection (1) or subsection (2) until stabilized occupancy is reached or until the time projected to achieve stabilized occupancy as reported in the last feasibility study required by the office as part of an application filing under s. 651.0215, s. 651.023, s. 651.024, or s. 651.0246 has elapsed, but for no longer than 5 years following the end of the provider’s fiscal year in which the certificate of occupancy was issued.

(7)

The commission may adopt rules to administer this section, including, but not limited to, rules regarding corrective action plans, revised corrective action plans, corrective orders, and procedures to be followed in the event of a regulatory action level event or an impairment.

Source: Section 651.034 — Financial and operating requirements for providers, https://www.­flsenate.­gov/Laws/Statutes/2024/0651.­034 (accessed Aug. 7, 2025).

651.011
Definitions
651.012
Exempted facility
651.13
Civil action
651.013
Chapter exclusive
651.014
Insurance business not authorized
651.015
Administration
651.018
Administrative supervision
651.019
New financing, additional financing, or refinancing
651.021
Certificate of authority required
651.022
Provisional certificate of authority
651.023
Certificate of authority
651.024
Acquisition
651.026
Annual reports
651.028
Accredited facilities
651.033
Escrow accounts
651.034
Financial and operating requirements for providers
651.035
Minimum liquid reserve requirements
651.043
Approval of change in management
651.051
Maintenance of assets and records in state
651.055
Continuing care contracts
651.057
Continuing care at-home contracts
651.061
Dismissal or discharge of resident
651.065
Waiver of statutory protection
651.071
Contracts as preferred claims on liquidation or receivership
651.081
Residents’ council
651.083
Residents’ rights
651.085
Quarterly meetings between residents and the governing body of the provider
651.091
Availability, distribution, and posting of reports and records
651.095
Advertisements
651.105
Examination
651.106
Grounds for discretionary refusal, suspension, or revocation of certificate of authority
651.107
Duration of suspension
651.108
Administrative fines
651.111
Requests for inspections
651.114
Delinquency proceedings
651.116
Delinquency proceedings
651.117
Order of liquidation
651.118
Agency for Health Care Administration
651.119
Assistance to persons affected by closure due to liquidation or pending liquidation
651.121
Continuing Care Advisory Council
651.123
Alternative dispute resolution
651.125
Criminal penalties
651.131
Actions under prior law
651.132
Amendment or renewal of existing contracts
651.134
Investigatory records
651.0215
Consolidated application for a provisional certificate of authority and a certificate of authority
651.0235
Validity of provisional certificates of authority and certificates of authority
651.0245
Application for the simultaneous acquisition of a facility and issuance of a certificate of authority
651.0246
Expansions
651.0261
Quarterly and monthly statements
651.1065
Soliciting or accepting new continuing care contracts by impaired or insolvent facilities or providers
651.1081
Remedies available in cases of unlawful sale
651.1141
Immediate final orders
651.1151
Administrative, vendor, and management contracts

Current through Fall 2025

§ 651.034. Fin. & operating requirements for providers's source at flsenate​.gov