Preventive compliance intelligence and regulatory defense architecture for hospice and post-acute organizations. We eliminate audit exposure before it materializes.
Most hospice and post-acute organizations operate in a perpetual state of reactive compliance. ADR notices arrive without warning. Documentation gaps surface during audits. QAPI programs exist on paper but lack operational rigor.
The result: defensive postures, extrapolated overpayments, and executive teams managing crises instead of strategy.
Traditional compliance consulting focuses on remediation after exposure. This approach is structurally insufficient in an environment where TPE contractors and UPIC auditors operate with algorithmic precision.
What is required is not reactive defense, but preventive compliance architecture.
NewEra 360™ designs and implements preventive compliance infrastructure. We do not respond to audits—we engineer systems that prevent audit exposure from occurring in the first place.
Our methodology combines documentation integrity engineering, regulatory risk modeling, and executive compliance intelligence. We build frameworks that withstand scrutiny, not narratives that justify deficiencies.
Proactive defense architecture for audit requests. We prepare documentation packets that withstand extrapolation methodology.
Clinical documentation systems designed for regulatory scrutiny. We eliminate ambiguity and ensure defensibility.
Quantitative risk assessment frameworks. We identify exposure vectors before they become audit findings.
Performance improvement programs with operational rigor. We transform QAPI from compliance checkbox to strategic asset.
Strategic guidance for leadership teams. We provide clarity in complex regulatory environments.
Advisory systems that surface risk patterns and regulatory changes. We keep you ahead of enforcement trends.
Our advisory platform provides executive teams with real-time visibility into compliance risk infrastructure. The system surfaces documentation gaps, regulatory changes, and audit exposure patterns through structured intelligence layers.
This is not automation of compliance decisions. The platform serves as an advisory tool—synthesizing regulatory data, identifying risk vectors, and providing decision support. Final compliance determinations remain with qualified professionals.
Real-time risk visibility across documentation integrity, regulatory compliance status, and audit preparedness metrics. Designed for executive decision-making, not operational micromanagement.
Common concerns answered directly
No. It strengthens them.
No. All decisions remain human-governed.
No. Participation is provider-controlled.
It strengthens documentation defensibility and eligibility alignment—key drivers of enforcement exposure.
A Strategic Compliance Review.
Ongoing compliance architecture partnership. We serve as your regulatory defense infrastructure, providing continuous risk monitoring, documentation review, and executive advisory.
Comprehensive evaluation of current compliance posture. We identify documentation gaps, assess audit exposure, and deliver structured remediation roadmap.
ADR, TPE, and UPIC response architecture. We prepare defense packets, coordinate with legal counsel, and manage regulatory communication strategy.
Complete compliance infrastructure redesign. For organizations requiring systematic overhaul of documentation systems, QAPI programs, and risk management frameworks.
Complete the form below to schedule a confidential consultation. We'll assess your organization's compliance landscape and discuss how preventive compliance architecture can reduce regulatory exposure.