Bismark Marie M, Mathews Ben, Morris Jennifer M, Thomas Laura A, Studdert David M
Centre for Health Policy, Melbourne School of Population and Global Health, University of Melbourne. Melbourne, Victoria, Australia.
School of Law, Queensland University of Technology, Brisbane, Queensland, Australia.
BMJ Open. 2016 Dec 19;6(12):e011988. doi: 10.1136/bmjopen-2016-011988.
To explore the views and experiences of health sector professionals in Australia regarding a new national law requiring treating practitioners to report impaired health practitioners whose impairments came to their attention in the course of providing treatment.
We conducted a thematic analysis of in-depth, semistructured interviews with 18 health practitioners and 4 medicolegal advisors from Australia's 6 states, each of whom had experience with applying the new mandatory reporting law in practice.
Interviewees perceived the introduction of a mandatory reporting law as a response to failures of the profession to adequately protect the public from impaired practitioners. Mandatory reporting of impaired practitioners was reported to have several benefits: it provides treating practitioners with a 'lever' to influence behaviour, offers protections to those who make reports and underscores the duty to protect the public from harm. However, many viewed it as a blunt instrument that did not sufficiently take account of the realities of clinical practice. In deciding whether or not to make a report, interviewees reported exercising clinical discretion, and being influenced by three competing considerations: protection of the public, confidentiality of patient information and loyalty to their profession.
Competing ethical considerations limit the willingness of Australian health practitioners to report impaired practitioner-patients under a mandatory reporting law. Improved understanding and implementation of the law may bolster the public protection offered by mandatory reports, reduce the need to breach practitioner-patient confidentiality and help align the law with the loyalty that practitioners feel to support, rather than punish, their impaired colleagues.
探讨澳大利亚卫生部门专业人员对于一项新的国家法律的看法和经验,该法律要求治疗从业者报告在提供治疗过程中发现的健康受损从业者。
我们对来自澳大利亚6个州的18名健康从业者和4名法医学顾问进行了深入的半结构化访谈,并进行了主题分析,他们每个人都有在实践中应用新的强制报告法律的经验。
受访者认为引入强制报告法律是对该行业未能充分保护公众免受受损从业者侵害的回应。据报告,对受损从业者进行强制报告有几个好处:它为治疗从业者提供了一个影响行为的“杠杆”,为举报人提供了保护,并强调了保护公众免受伤害的责任。然而,许多人认为这是一种生硬的手段,没有充分考虑临床实践的现实情况。在决定是否进行报告时,受访者表示会行使临床酌处权,并受到三个相互竞争的考虑因素的影响:保护公众、患者信息的保密性以及对其职业的忠诚。
相互竞争的伦理考量限制了澳大利亚健康从业者根据强制报告法律报告受损从业者患者的意愿。对该法律的更好理解和实施可能会加强强制报告所提供的公众保护,减少违反从业者-患者保密规定的必要性,并有助于使法律与从业者支持而非惩罚受损同事的忠诚感保持一致。