How does the board verify continuing education compliance?

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The board verifies continuing education compliance by requiring licensees to attest to their completion of continuing education (CE) activities, along with auditing a percentage of those attestations to ensure accuracy and accountability. This method strikes a balance between maintaining an efficient renewal process and ensuring that licensees are actually engaging in the necessary continuing education to stay informed and competent in their field.

By requiring an attestation, the board can streamline the process for most licensees, while the auditing of a select percentage helps deter fraudulent claims and reinforces the importance of ongoing professional development. This system is common in regulatory practices to promote compliance while managing resources effectively. It ensures that licensees take responsibility for their CE, while also allowing the board to monitor adherence to educational standards.

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