Avoiding Liability Bulletin – April 2021

EMOTIONAL ABUSE OF CHILDREN

I am aware that there is a belief by some who have examined this issue that there is an underreporting of emotional abuse of children and that this form of child abuse is a somewhat neglected topic when child abuse issues are discussed. One study found that “emotional abuse is sometimes hard to detect or determine and somewhat difficult to document, but it can affect children emotionally, behaviorally and intellectually.” Some states may have laws that permit, but do not require, a child abuse report for what may be called or referred to as “emotional abuse.” The legal definition of “emotional abuse” and the fact that the reporting of emotional abuse may “only” be permissible (depending, of course, upon state law) and not mandatory, may contribute to the underreporting of emotional abuse – if in fact there is such underreporting.

In most state child abuse reporting laws, and separate and apart from emotional abuse, there are provisions that mandate the reporting of certain forms of mental harm or mental suffering inflicted upon a child. Additionally, most, if not all, states have some kind of a child endangerment statute that requires a report under specified circumstances. In one state, for example, the statute describes a situation in which any person willfully causes or permits any child to suffer, or inflicts thereon, unjustifiable physical pain or mental suffering, or having the care or custody of any child, willfully causes or permits the person or health of the child to be placed in a situation in which his or her person or health is endangered.  The word “health” would seemingly include mental as well as physical health.

One state’s definition of “emotional abuse” (which may be reported) previously included situations where the mental health practitioner reasonably suspected that mental suffering had been inflicted upon the child or that his or her emotional well-being was endangered in any other way.  Interestingly, that broad definition of “emotional abuse” has since been amended. The law in that state now requires that the health practitioner have a reasonable suspicion that the child is suffering serious emotional damage or is at a substantial risk of suffering serious emotional damage. Even in such circumstances, a child abuse report is permitted or authorized – but not required (in that particular state). I must remind readers that each state law and state practice will likely treat this subject matter somewhat differently.

Terms like “mental suffering,” ” emotional harm,”   “emotional abuse”,  “endangerment of health (would seemingly include mental health), “neglect” and “endangerment” are often defined in state statutes and may either require or permit reporting if the child’s mental health is negatively affected in a material way.  When a report is not mandated, but rather, is “merely” permitted, a licensed mental health professional may be reluctant to make a child abuse report.  As many practitioners are aware, sometimes reports are made (whether mandated or permitted) and the ensuing harm to the child and the family may be more severe than if the matter were not reported – but rather, dealt with clinically. Of course, if a report is mandated, there is little choice for the practitioner.

I have spoken with some mental health practitioners who feared that they might be sued for breach of confidentiality and that a persuasive argument might be made that since a report of emotional abuse was not mandatory, the practitioner negligently compromised the patient’s privacy and confidentiality. On the other hand, I have spoken with practitioners who have relied upon the often broad language of emotional abuse statutes to make reports where neglect or physical abuse, although suspected, is not yet clear enough to trigger a report. Practitioners have also raised concerns about the difference between “bad parenting” and reportable emotional abuse.

Some statutes or information published by the state may describe indicators of emotional abuse as, for example, a parent’s belittling, screaming, threatening, blaming or otherwise verbally assaulting a child. Emotional abuse may be suspected if a child is withdrawn, depressed, or is considered a behavioral problem. Thus, the determination of emotional abuse vs. so-called bad parenting is not always easy. It is important to examine each state’s law with respect to the immunity granted to mandated reporters of child abuse in order to see the degree of protection provided by the statute. More particularly, it is important to see whether permissible or authorized reports (as in some states) of emotional abuse receive the same degree of immunity from liability as do mandated reports of physical abuse.

 

The following article was first published on the CPH Insurance’s website in January 2013 and appears below with minor and non-substantial changes.

CHILD ABUSE REPORT BY SUPERVISOR

Each state has a child abuse reporting law where licensed mental health practitioners and others are required to report known or reasonably suspected child abuse. These laws vary from state to state, sometimes in fine nuance. One aspect of the reporting law involves the time frame for making reports, which is usually rather short. Suppose that a pre-licensed person (the supervisee) comes to a supervision session and describes information that was received from a patient three days earlier. Suppose further that the supervisee has described something that constitutes reportable child abuse, but either missed identifying it as such, or delayed reporting beyond the required time frame in order to discuss the issue in supervision.

Failure to make a required report within the time frame specified usually constitutes a crime and/or unprofessional conduct. Once the supervisor discovers that a report should have been made, the question arises as to whether or not the supervisor must (or should) file a report or whether the supervisor should encourage the supervisee to make the report forthwith. It has been my view (at least in California) that the supervisor would be required to make the report, since the supervisor is a mandated reporter who found out about the suspected abuse in the reporter’s professional capacity or within the scope of the reporter’s employment.

If the supervisor had not made a report, the supervisor would arguably have violated the reporting law and be subjected to the applicable penalties and consequences. Moreover, if the supervisor merely encouraged the supervisee to make the report, albeit late, the supervisor would essentially be encouraging the supervisee to admit to the commission of a crime. Something about that bothers me, especially when I believe there is a better alternative. When the supervisor makes a report, the supervisor can explain the fact that the supervisee was new or inexperienced, or that the need to report was not readily apparent and that it was arguable as to whether or not a report was required under the circumstances. Assuming that the child has suffered no injury during the period of time that the report was delayed, it is unlikely that the supervisee would be prosecuted for a failure to report. Of course, each case is different and there can be no guarantees.

The following reminder was first published on the CPH Insurance’s website in December 2015 and appears here with minor changes.

REFERRALS

Because the need to refer a patient or a prospective patient is a common occurrence, it is important to know how your state regulates referrals by licensed health professionals, if at all. For example, state law may make it unlawful for a licensed health professional to pay or receive any money or other consideration as compensation or inducement for the referral of patients, clients, or customers. Such conduct may be considered to be unethical, unprofessional conduct, and/or a crime. While such arrangements may be lawful in other industries, it is typically unlawful when it involves a licensed health professional.

Referrals should be made based solely upon the needs of the patient and not pursuant to some prior arrangement, contractual or informal, between the licensed mental health practitioner and the other person. I have consulted with practitioners about referrals between spouses with the same or related licensures and with mutual referrals between “office mates.” Such arrangements must be carefully examined to ensure that they do not run afoul of state law or applicable ethical standards. One of the questions presented when examining such a scenario involves the kind and extent of disclosures that should (or must) be made to the patient regarding the reasons for the referral to that particular practitioner.

Download PDF

About the Author

Avatar photo

Richard Leslie

Richard S. Leslie is an attorney and acknowledged expert on the interrelationship between law and the practice of marriage and family therapy and psychotherapy. Most recently, he was a consultant to the American Association for Marriage and Family Therapy (AAMFT) and has written articles regarding legal and ethical issues for their Family Therapy Magazine. Prior to his work with AAMFT, Richard was Legal Counsel to the California Association of Marriage and Family Therapists (CAMFT) for approximately twenty-two years. While there, he also served as their director of Government Relations and tirelessly advocated for due process and fairness for licensees and applicants.

Learn more about Richard Leslie

Avoiding Liability Bulletin – March 2021

The article appearing below was originally published on the CPH Insurance’s website in April 2010 and appears below with minor and non-substantive changes.

ADVERTISING AS “DOCTOR/Dr.”

As I have previously written, probably on more than one occasion, the general rule for advertising by licensed health professionals is that advertising is permissible so long as it is not false, fraudulent, misleading or deceptive. Some or all of these four words describing unlawful advertising by health professionals may be defined in state law or regulation. Each state may treat this subject somewhat differently, so reference to the particular state’s law is necessary. With respect to the word “doctor” or the letters or prefix “Dr.,” state law (the Medical Practice Act) in California makes it a crime (misdemeanor) for any person(s) to advertise by using the word “doctor” or the letters or prefix “Dr.” when referring to themselves in advertising (e.g., on the Internet, a business card, sign, letterhead) unless the person is licensed as a physician and surgeon.

Some licensed mental health practitioners that have a PhD or other related doctoral degree that qualifies them for licensure refer to themselves in advertising as “doctor” (or as “Dr.”) without using the PhD after their name and without disclosing their actual license title. Some may do this by mistake, while others may do it intentionally. Also, some practitioners refer to themselves in advertisements by a title that doesn’t exist as a state-issued license (e.g., “licensed psychotherapist“) and neglect to disclose in the advertisement the actual license that they hold.  Such advertisements are problematic at best. Depending upon state law or regulation, such advertisements may constitute unprofessional conduct, may subject the practitioner to criminal charges, and may result in civil liability.

In any criminal prosecution or licensing board disciplinary action involving wrongful advertising by a licensed health professional, the entire advertisement is relevant. The courts and licensing boards will typically look at the “four corners of the advertisement.” Even if the law is not violated by a particular advertisement, proper ethical behavior and transparency would seem to dictate that the consumer is entitled to know the exact kind of license that is held by the practitioner.

Why would licensees not disclose their actual licensure? Why would licensees be so desirous of being referred to as a “doctor” or as “Dr.” as described above or not disclose their actual license?” The answer, it might be alleged, is that the licensees want to mislead consumers into believing that they have a “greater” or different license than they actually possess. Over the years, and just as one example, I have seen several situations where therapists appearing in various media do not disclose their actual license titles. Patients, consumers, and the public deserve to know what kind of license the practitioner holds.

The article appearing below was originally published on the CPH Insurance’s website in May 2008 and appears below with some additions and non-substantive changes.

 RECORDS – DESTRUCTION AT THE REQUEST OF THE PATIENT?

Mental health records kept by licensed mental health practitioners belong to the practitioner, but patients have rights with respect to accessing the records. These rights are usually defined by state statute, and typically include the right to inspect, the right to obtain copies, and the right to amend or addend the records. State law may also proscribe the length of time that records must be kept. Some states may not have laws that specify the length of time that patient records must be maintained, but may leave it to the discretion of the practitioner and perhaps applicable ethical standards. Many states, however, do have laws that specify the length of time that patient records must be kept by licensed mental health practitioners. Do any of these laws provide for any discretion by the practitioner to comply with the wishes of the patient/consumer for early destruction?

Suppose that a high profile patient shares with his or her therapist information of a highly personal or embarrassing nature. Suppose further that after the passage of three years from the time of termination, the patient asks the practitioner to destroy the records in order to protect the patient’s privacy. If the practitioner agrees to do this, is it permissible (legally or ethically)? What if the practitioner, in order to preserve some record, decides to write a summary and destroy the more revealing full record and the patient agrees in writing? Is this permissible, and if not, why not? If the practitioner agreed to destroy the records (upon the written request of the patient), would the practitioner be vulnerable to disciplinary action by the licensing authority? If the applicable law contains no exception to the required time frame for keeping records, the answer would likely be “yes.”

Should applicable laws be amended to allow for the right of the patient, assuming agreement from the practitioner, to destroy or summarize the records after a period of time and assuming that the records are not being presently sought in litigation? Should the answer to these questions depend upon the circumstances and the nature of the services being rendered or should there be an inflexible rule – despite a patient’s informed request for privacy protection?

The article appearing below was originally published on the CPH insurance’s website in February 2008 and appears below with minor and non-substantive changes.

 FAMILY LAW – “JOINT CUSTODY”

How is the term “joint custody” defined in the statutes governing family law matters (e.g., child custody/visitation) in the state where you practice? Does the term refer to physical custody, legal custody, or both? Why does it matter? In answer to the latter question, it matters because proper parental consent to the treatment of a minor and a valid parental signature (or signatures) on an authorization form may depend upon the meaning of this term, as it is defined in a particular state’s statute. There may also be other related terms that bear on the answer to the latter question – such as legal custody, physical custody, joint or sole legal custody, and joint or sole physical custody.

In one state, the term “joint custody” means joint legal custody and joint physical custody. In that state, “joint legal custody” means that both parents shall share the right and responsibility to make the decisions relating to the health, education, and welfare of a child. This does not mean that both parents must sign an authorization form to release information pertaining to the minor’s treatment, for example, but rather, it means that either parent can sign the authorization form. Likewise, either parent may consent to treatment. Of course, a state law or court order may specify otherwise – such as, that the authorization or consent of both parents shall be required for certain actions or that there be notification of one parent by another.

In that state, the term “joint physical custody” means that each of the parents shall have significant periods of physical custody. The law specifies that joint physical custody shall be shared by the parents in such a way so as to assure a child of having frequent and continuing contact with both parents. Generally, physical custody does not entitle a parent to consent to treatment or to sign an authorization form on behalf of the minor. Those issues are resolved, in the state being discussed, by determining the “legal custody” arrangement. Of course, each state has its own laws with respect to when (at what age) and under what circumstances a minor can consent to mental health treatment without parental knowledge or consent.

Download PDF
CPH Insurance

Protect yourself with CPH Insurance.

Get a quote & apply online.

About the Author

Avatar photo

Richard Leslie

Richard S. Leslie is an attorney and acknowledged expert on the interrelationship between law and the practice of marriage and family therapy and psychotherapy. Most recently, he was a consultant to the American Association for Marriage and Family Therapy (AAMFT) and has written articles regarding legal and ethical issues for their Family Therapy Magazine. Prior to his work with AAMFT, Richard was Legal Counsel to the California Association of Marriage and Family Therapists (CAMFT) for approximately twenty-two years. While there, he also served as their director of Government Relations and tirelessly advocated for due process and fairness for licensees and applicants.

Learn more about Richard Leslie