Showing posts with label privacy. Show all posts
Showing posts with label privacy. Show all posts

11 June 2020

HPARB Notice of Intention Not to Proceed with Review


2020 June 11 re Dr D                                                                         Susan McPherson
In Response to Notice of Intention not to Proceed with Review by HPARB

Following is the Response I submitted on June 11 to the Notice I received from HPARB  (Health Professions Appeal and Review Boardthat they were planning not to proceed with the Review of the CPSO complaint that I had asked them to do.  I was required to submit responses to HPARB within 30 days, which I did. the case is complex, and I could see that they hadn't really understood what I had said, so I tried again to explain.  In the following document, I have omitted the names of the parties involved and other extraneous information, such as titles of attachments and their job titles, etc.

This is one of two responses I made about two doctors I had laid the complaint about to the CPSO, originally. The CPSO (College of Physicians and Surgeons), had decided not to go forward with the investigation, having saying that my complaint looked as though it was “frivolous, vexatious, made in bad faith, moot or otherwise an abuse of process.” They didn't say which. HPARB followed suit, the reason being that they do not conduct an investigation of the original complaint, only looking at the CPSO ICRC (the Committee) to see if they would have reached the same conclusion. They did, by making the same mistakes and relying on staff at LHSC to be able to explain this situation to them.

If viewers have questions, you are welcome to ask, or leave a comment. Please excuse the spelling errors. 

HPARB Notice of Intention Not to Proceed with Review
by Susan McPherson, Complainant
Dr D, Respondent
Case File: Dr D  HPARB   (CPSO, Complaint June 28, 2019)
Date:   June 11, 2020                                                
Sent by email to    
   

1.  The respondent, Dr D, was and possibly still is one of the health care custodians of reports and other documents about me that are related to this case; in fact, he was one of the main ones, being the person in authority, as submitter and receiver, responsible for the sending and receiving of documents from the lab he worked in at LHSC, and possibly providing authorization for some of them.

2.  I understand what HPARB is saying, that it was simply HIS name and hospital address that appeared on documents coming and going and that to him and the hospital it meant nothing. It wasn’t as though anyone was taking responsibility for what went out or was accepted in. I can see that. I already knew that. But I would like to know Dr D’s part in that, and whether he could have done better, and whether he should have been doing that job, and whether he did it to other patients, and more. Shouldn’t the hospital, and the College of Physicians and Surgeons, be accountable for their mistakes?   

3.  In the response I received from M, formerly of P   O LHSC, on May 31, 2019, she sent an explanation about the various documents that was not accurate.

4.  In the email bundle I received from HPARB on May 13, pages from M were listed under p 2, - -  that they used in determining the Decision on this case.   They are attached here.

5.  First of all (re Item 2 of the ROI) it wasn’t me who said that EMERG was involved in my path from Bronchoscopy to being TB Suspect. That information was on the Suspect form filled out by B, as well as other forms, such as the requisition form, and was an error. I don’t know how, except that almost everything she wrote on the form was incorrect. I didn’t have symptoms not able to be explained by emphysema, for instance. She just picked things up from my medical record and plopped them into the TB SUSPECT form. I state this because HPARB has accused me of being frivolous, and I don’t want them to think I just made things up out of the blue and asked M to find out about something that didn’t exist.

6.  M, P O, LHSC, thought that an “automatic notification” was “triggered” due to the “nature” of my visit to Dr M, and presumably did not involve any human action to be taken. Somebody has to put the piece of paper into the FAX machine, or lift up the telephone, or copy an email to God knows who. It doesn’t happen automatically, unless these people at LHSC are AI robots or in a daze and things get forwarded “automatically.”  Likewise with the requisition that was said not to have been sent by anyone. It simply exists, presumably and D was not responsible, you claim.  

7. Farther down on page 2 of her letter, M tried to tell me – and I am copying again for you - that “bacteria in the TB family was found during the exam.”  Actually, bacteria cannot be seen while the bronchoscopy is being carried out. It has to be discovered at the lab – presumably at the LHSC lab if possible, or if not at the Public Health lab locally or in Toronto.  Sounds like circular reasoning on her part – using the “find” as a reason to conduct tests on the sample to try to discover what it was, if anything, no matter how many labs they had to send it to.

8. HPARB and thus, CPSO, chose to refer to P O M’s response to me, received by me on May 31, 2019.  See pages 1 and 2 of her letter attached.   HPARB wrote in Section II,    of the Notice of Intention not to Proceed with Review (May 13, 20) how they understood the process, that “possible bacteria” of the TB family was present. However, it wasn’t possible for TB to be found until some reason was found for pursuing it – as with COVID-19 - such as having symptoms, or being in contact with someone who had it. In one assessment tool at MLHU that was written on, too, for no reason, the word “contact” was added.  It was thought I might have had an infection previously, but that could have been pneumonia or bronchitis. TB wasn’t suspected at the time of the bronchoscopy. If it was, no one told me, at least, not in a way that indicated what I might be up against, which was a lot more than most immigrants are. The doctor might have wondered to himself, but there was NO INDICATION that I had TB. Sure, you can say it was “possibly TB,” or possibly anything on the list of infectious diseases, or anything not infectious. It could have been - anything. But I didn’t fit the profile for TB and had no symptoms and I didn’t have close contacts so there was no reason to pursue that avenue.  

9.  It wasn’t until B filled out the form that anyone could seriously consider that I had TB, contradicting what you claim happened, that TB was suspected from the beginning. If she had filled out the form accurately, with more care, it would have been realized right away that I probably didn’t have TB and didn’t need to be tested. It is possible that once a test was done that indicated by the AFB test that TB was possible, B would have made out the inaccurate SUSPECT form, but it would take Dr D or someone to say how that test happened, and where, and when. And I don’t mean M saying she asked someone and they said this or that was a reasonable explanation. She was not a spokesperson for the LHSC and ought not be giving her word on how things happen there (and nor is Patient Relations, if that idea comes up). We are supposed to be able to put our trust in doctors, but how can people do that when things like this happen?

10. What I mean is that someone, such as Dr D, or whoever conducted the AFB test and signed the test result as being authentic and authorized by a requisition,  and received the lab report back, should be investigated by HPARB as the person being investigated should be. If CPSO did not do this, then it can be said that in this matter, the investigation they conducted was not adequate.

11. I realize that the inadequacy of the CPSO investigation of my complaint is one of the reasons I was able to request a review.  The other part was whether or not the Decision of the Investigating Committee of the CPSO was reasonable. And it was not. I cannot state what their final conclusion was because they don’t exactly say – either I was being “frivolous” or I was “abusing the process”. What was it? HPARB says the same thing, which isn’t really anything unless it was something.

12. Still looking at Item 4 of the HPARB Notice, it is stated that TB is a mycobacterium. Tuberculosis most certainly is a contagious disease on the list of reportable diseases to Public Health. However, non-TB Mycobacterium, the query that someone had in order to have sent up a sample culture to Toronto to be identified as such, is not reportable - meaning, it is not reportable to Public Health as a public health concern and need not be investigated in samples submitted by any patient, or immigrant from countries where it is most likely to occur in large numbers. Most often, the two diseases are separated, into TB and non-TB mycobacterium. The kind that was presumably found in a test culture in (date), 2018, in a sample that was taken from me during the bronchoscopy in August, ened up being non-TB mycobacterium.  It was an unusual investigation, as most immigrants do not even have the test done upon arrival in this country.  They just have a regular TB test, perhaps a sputum test, which I did not have in the first place. I was sent straith through to having the full TB mycobacterium and non-TB mycobacterium investigated.

13. Speaking of TB mycobacterium and non-TB mycobacterium as though they are in the same family – as the HPARB Notice does - may or may not be correct, legally, but they are not talked about – nor investigated – nor in the same risk category  -  in medicine.  And it distorts the issue to write about it in that manner. Where in the Notice it is written “That testing revealed the bacteria was not one that causes tuberculosis,” (Item 4, Notice . . Dr D) that is another error. It was already known by that time that the bacteria I had, if I really did have any worth mentioning, or a conclusive test result, was not TB. The sample culture was sent to Toronto to discover whether is was a non-TB mycobacterium,  not to check whether it was not one that causes TB. And I don’t even know whether proper submitting protocols for the sample were carried out.  Based on the looks of the requisition I managed to get and the lab test result that came back with no clear dates or results, nor names of authorizing doctor, and B’s methods, one would have to question whether the lab even followed proper travel protocols of the sample. 

14. And of course, as I have said, the test result of that single test was positive, and remains unconfirmed because Dr M didn’t follow standard guidelines for the testing for TB. If it was Dr M who authorized the requisition for further testing, or Dr D2, or Dr D, I would like to know. So far, it is only Dr D’s name on the requisition, as Submitter, And he was the receiver of the finished lab result. At least, for this investigation, I would like to hear from Dr D himself, what his job description is and did he not think he was supposed to check important documents like requisitions from his department before they were sent out, with the sample culture?

15. I have included the original handwritten Dr D Requisition form here so it can be compared with the typed-up data on the lab information forms located in the bundle of documents sent to me. Both those are OLIS data, with information jumbled together not making much sense unless one already had a good grasp on the details of the lab testing, etc. But both had Dr D’s name on them, one even stating that Dr D was the “Ordering physician”. The other one refers to him as the “Provider,” while the original requisition uses the term “Submitter.”   The original requisition was not obtained through M at LHSC, although one would have thought they would have saved a copy, since it was proof that the testing done in Toronto was legitimately authorized and not simply pushed through.   There is no clinician named on that original requisition order, nor a Doctor’s name to forward the results to. It all went from Dr D back to Dr D after being carried out.  The two lab reports are attached here.

16. But I do know that the requisition with Dr D’s name on it was scribbled on, after striking out the words Final AFB (a different test, done locally) and inserting the word mycobacterium, whereas if it were going to be tested for TB, then it would say TB – the title given on the back of the form to identify the test required. I imagine TB had already been cancelled out, because I didn’t have it. And so, someone came along and put  “mycobacterium” on it, so it could be sent to Toronto, without a new requisition having to be made out and having to have someone take responsibility for adding on this extra testing, which I was not informed was going to happen, nor why, preventing me from knowing what was going on. So it wasn’t meant as this being a test for TB and “mycobacterium.” It was a meant to be for a non-TB mycobacterium. so in those Item numbers where this is discussed, eg Item 4 and Item 9 in the HPARB Notice.

17. I have attached a blank general test requisition, of the kind Dr D permitted to leave his department unchecked by him, including the back of it. If you look, you can see where TB is listed, as being mycobacterium. There is no category for non-TB mycobacterium, whether because there is a different requisition form for it, or I don’t know why. I am not a doctor and it is difficult for me to get answers from OLIS or any lab on these matters because they only answer questions from doctors, they say, about procedures. Or perhaps lawyers.

18. To be accurate, the term non-TB mycobacterium probably should have been put on the requisition at that point, and someone should have signed it, or initialed it, instead of leaving it such a difficult-to-understand document.  It makes it difficult, too, because people who access it and change it, etc, don’t put dates on it, or initial it, so no one knows for sure where it was nor when, nor who.

19. I understand the CPSO does not deal with administration, but it does deal with rules about how doctors should act if they have custody of a patient’s medical record or other important documents, and this is one of them – and Dr D had the document in his office, for it to have been stamped with his name. And it deals with ethical issues – issues of accountability. That’s why I am asking.

20. If Dr D was the only person who had access to that requisition, and if he did not instruct his staff on how to deal with them (eg, read the document and if there is anything unusual about it, such as if it is an unsigned requisition, hold it for me, he could have said). Who signed the original requisition? So whose responsibility is it if his staff did not know how to deal with it?

21. The report referred to in Item 4 was the SUSPECT form, by B. I don’t know how it got to MLHU. It got there, whether by Dr D or someone else. That should have been caught, too. The name Mrs N,  B’s boss, was on the list of witnesses to interview, in the Application, but CPSO did not bother.

22. TB WAS ruled out, by the way (Item 4 of your Notice says it was NOT ruled out). This is the problem I have been telling you about, and CPSO. I did not have TB. And then someone decided to send a requisition up to Toronto so they could look into non-TB mycobacterium. I don’t think people who have TB have to have their samples checked by LHSC lab, and MLHU lab and then by Toronto’s genome lab. Someone went out of their way to have my culture sample sent up to Toronto. But non-TB Mycobacterium is not on the Reportable Diseases list of Public Health.

23. The information you give in Item 9 has fragments of truth bu in it essence is inaccurate. Non-TB Mycobacterium is not a reportable disease. I can give you lists, but it’s not on them, because there are only lists of reportable diseases, like TB, not of non-reportable ones. I gave that information to the CPSO.

24. A sample was taken from the bronchial lavage I had (and signed a consent form that enabled them to do whatever research they wanted on it.). I asked Dr D2 if I could sign the consent form and he said wait until you are in the Procedure room. By the time I got there I was lying flat on my back with my reading glasses safely tucked away. I signed under pressure! Uniformed consent. I had not realized I would be tested in ways no other patient would ordinarily be tested, not even recent immigrants who, according to their profiles, probably came came from the major continents where their ancestors were raised in mud huts and ate off the ground and thus were more susceptible to the kind of diseases these doctors and staff were investigating me for, I allege, so that they had a guinea pig they could test these poisonous drugs on.

25.  M makes it up as she goes along, in her letter of response. She couldn’t find the requisition, she didn’t know how things got from one place to another, and she says in Item 3, p 2, that the “culturing process has to be referred out  by LHSC.”  By L H S C – by the *hospital,* by magic, because no one fills out the form and no one signs it. It is all automatic!

26. Generally, people start off this process that I went through by having symptoms they go to a doctor for. I didn’t have symptoms that could [not] be explained away. I already was short of breath due to emphysema, and had a cough that went with it. Yet B of LHSC wrote on the form that I had clinical symptoms of TB.  People at LHSC say different things about the process. M says, “the reportable disease notification was sent automatically to the Middlesex Health Unit as part of our standard protocol (which adheres to legislation).”  I am explaining again because I think it takes hearing it more than once to sink in. She knew only a small part of what this was about and the most important parts she got wrong anyway. Someone was responsible. It didn’t happen “automatically.” 

27. The College didn’t conduct an investigation prior to making a Decision. In their first paragraph in their Analysis they quoted from the CPSO’s rules on reporting and left it at that, stopping at the point of the supposedly necessary TB SUSPECT report. Non-TB Mycobacterium is not a reportable disease. I can give you lists, but it’s not on them, because there are only lists of reportable diseases, like TB, not of non-reportable ones. I gave that information to the CPSO but they must have presented it to you incorrectly.  That’s why this situation was so unjust – I was subjected to this testing, which so many others do not have to have done, even though from foreign countries where it is more known. I was subjected to it, and people hid it from me, and hid the part they played in allowing it to happen.

28. The second paragraph of the CPSO Analysis  focused on lab protocols, incomplete forms, and health policies, for the most part irrelevant. The third and final paragraph was completely false. Dr D was meant to be working under the supervision of Dr C at the time this situation took place, and only to be given tasks to do that he was capable of doing satisfactorily – or complaints would be made, which I did, while he was still uder restrictions.  

29. The CPSO’s final Decision was that they would take no action with respect to the complaint. Instead, they decided that my complaint looked as though it was “frivolous, vexatious, made in bad faith, moot or otherwise an abuse of process.” They don’t say which.

30. My presence (in writing) and complaints, may leave you feeling vexatious, or show how I was feeling, but they are relevant in today’s health care system, and as far as I know, were not an abuse of process, but if they were, were made in good faith.  I put much work into this, provided extra material for the ICRC, and kept the Board up to date on the lack of attention by the CPSO to what is going on in hospital settings.

31. Doctors or not, we all know from the coronavirus pandemic that there is always some concern over patients who have symptoms and who test negative, or those who test positive and yet are asymptomatic. I only had one test and the doctor started talking about it as though I had bee diagnosed with this non-TB mycobacterium. And then other residents would mention it, as though I actually “had” it and had not simply had one unconfirmed test result. No symptoms, did not fit the profile, no contacts. Nothing! Just one test, and we don’t know whether protocols were carried out in sending it to Toronto.

32. I would like to get this matter dealt with, as it is part of a larger whole. Each piece is complex enough, so doing them all together would be impossible. I still have other people I believe need to be questioned about this. It may seem frivolous to you now, or an abuse of process, but these questions need to be asked of Dr D and others mentioned in the application, so that when I file a complaint about another doctor, you will know what has been covered. If D doesn’t respond to questions about his part in this – such as about his job description – then no one will know whether he is the one (along with Dr C) who should take responsibility and how the LHSC can become more accountable in its hiring and supervision, with the cooperation of the CPSO.

33. I am attaching what appears to be the original requisition *submitted* to PHO labs by Dr D, it states, complete with one part crossed (AFB Final) out and the word Mycobacterium written in, with no signature nor date to indicate whether it was Dr D who made the change or someone else.   No reason for the test is given. Under clinical symptoms, “respiratory symptoms” has again been listed, falsely. The patient setting was given as ER – not true. Dr D is clearly listed as the Submitter, although apparently, M may be right, No one person needs to be identified as requesting the test, or authorizing it, as a health care provider or custodian, it being a mysterious process at the best of times.

34. And who does that leave as health care custodian in this situation of documents coming to the lab and going out, if not Dr D, the one who “submitted “ the requisition to have the test in Toronto, the test that didn’t need to be done and that I was not informed about in advance! I have attached the requisition, and a copy of a blank requisition,  as well as a copy of the Fact sheet on Health care providers, since this last item, the status of Dr D, as provider, was mentioned in the responses of CPSO and HPARB to my complaint.  

35. In responding to HPARB’s decision, I would first say that there were several errors and distortions in the CPSO’s investigation, repeated in your response, to address each one in detail. I have already made this case once to the CPSO, and your making a case against me, based on what they claim I said and what they choose to believe, doesn’t do justice to my request for a review. I realize this is how a Review by the Board is undertaken, but it still doesn’t make sense. If PHARB is not analyzing the original documents from my Complaint and seeing if they come up with the same conclusion, instead of looking at CPSO’s interpretation of the Complaint, and seeing what’s wrong with it, to what purpose is having a Review?

36. An excerpt taken from my request for review, in Item 13 of the Notice, is what the HPARB has decided to hold against me, as the essence of what I am asking them to do and the reason for not proceeding with the Review. However, going back to the original Complaint I made, which presumably is what the CPSO used to base their investigation on, would be more appropriate. See attachments.  Here you will find my concerns, the start of a description, and the names of two persons who could offer more information. My concerns are not as you describe in Item 13, but this, from p 3 of my CPSO Complaint about Dr D and Dr C, which surely the CPSO used as the basis for their interpretation of my Complaint? :

37.      1. Dr D was involved in submitting information about me to MLHU in September or October 2018, that resulted in the Health Unit screening me for Tuberculosis.  After it was discovered I did not have TB, the lung sample  was sent to Toronto for further testing. I question, first, the basis on which I was deemed to be suspect for having TB, and the process by which the report was approved and sent to MLHU. Secondly, did Dr D also approve the requisition for the lungsample sent to Toronto?
             2.  My concern is that Dr D wasn’t doing his job well, and that errors were made in having my information submitted to MLHU. CPSO public information about Dr D indicates that he may practise medicine only in a setting that is approved by the Chair.  Dr C  is the Chair. I question whether he, too, was not doing his job effectively.
              3. It was the responsibility of Dr D, and thus indirectly of Dr C, to ensure that the documents sent (and received) to and from MLHU and other labs were valid and completed with accuracy. This didn’t happen with the form that was submitted by LHSC to MLHU, nor with other documents related to this situation.  If Dr D's work was not to be trusted, why was my health care entrusted to him, with no one overseeing it?

38.  As I said above, on its own, this case is not the entire story of what happened to me. This entire situation, of Drs D and C, is connected to others including Dr M, LHSC, who I have alleged mistreated me and manipulated me, with the compliance of staff and doctors including Dr D2, LHSC) employee B, Drs D and C, Ms B MLHU, and others; that said, if the participation of the various employees and physicians wasn’t done out of compliance, then it had to be out of ignorance.

39. On its own, one might see D’s actions as trivial, but connected as they are to the wider issue, of the supposed chance occurance of a patient being lied to, misrepresented, and dragged through the system to a conclusion not out of her (my) informed consent, one can see that what they did was essential to this effort by Dr M and colleagues to inveigle me into being their research subject.

40. In Item 15 of the HPARB’s Decision May /20, Dr D’s role is referred to, that HPARB is saying means he was not involved in this situation. But that is his title and address as it appears on his documents. He does do clinical work, and practical research. He has Hospital privileges at all the hosptals under LHSC. He may even have had something to do with speaking with the referring doctor (Dr M) or Dr D2, about what lab testing did they want done.

41. No, there was no doctor/patient relationship between Dr D and myself, as you suggest in Item 15 of the Notice.  I am saying he was a hac – a health care custodian. He had personal data on me (some of it incorrect) and he was the person in that environment, of the clinical lab, not as academic, who sent and received reports including requisitions, and perhaps even consulted on what kinds of lab tests could be done. He wasn’t an administrator per se. \

42.  Many professionals in hospitals have numerous titles, sometimes, as heads of Committees, and so on. Regardless of his title, whichever one it is, look at the form, reports, lab requisitions and so on. All the ones to do with me have his name on them. And the question is, regardless of whether he was away that day (see Item 15 again) should he had been a little more careful of what was happening with patients’ requisitions and lab results that had inaccurate medical information on them. It surely was his job. And of course, it was Dr C that was also at fault. I have included D’s CPSO profile as it was before it was updated.

43. Re Item 16. I am not talking about protocols in this case. I gave the CPSO the background information to my complaint. How otherwise would they have been able to comprehend what the issues were with Dr D. It wasn’t just about him. Somebody or some persons were involved in manipulating me from start to finish. If not that, then the professionals at LHSC are incompetent. And yes, again, I have given you the information on the limitations requested on Dr D on his file, before July 1. So while you are correct in what you say, “there is no persuasive information that the Respondent’s licence is restricted due to competency issues,” what you say is not correct as far as this complaint is concerned. He has a different profile now. The restrictions I was referring to were lifted.

44. On June 28, 2019, I emailed my Complaint to CPSO about Dr D and Dr C.  It was not acknowledged until Tuesday July 2, due to the long weekend.  I submitted the application before I knew what changes would be made to the restrictions on Dr D’s CPSO file but I had wanted it to be there before the file was altered and so that the CPSO and others at LHSC knew that this had happened while Dr C was supposed to be supervising him and that my Complaint was submitted before that restriction came to an end. I submitted my complaint before the restrcition was lifted. It is up to HPARB when they decide to follow up on it.

45. The damage had been done while Dr D was still under supervision, despite what HPARB believe about there not being restrictions due to his ability. He may have been competent within himself, but the question is, was he capable of overseeing incoming and outgoing documents (or even authorizing requisitions) whose existence and careless use might well have dire consequences for someone caught up in the incompetence or manipulative behaviour of others. Lacking experience, he might have been a risk being in that position.  

Thank you for taking the time to examine my response to your Notice Not to Proceed with Review. The Decision made by the board about my case against Dr D was inadequate, and was also unreasonable.


Susan McPherson    

17 Attachments follow


20 September 2015

Human Rights Tribunals: privacy and transparency

Added Nov 15, 2015: An Interim Decision was made on October 8, 2015.  See more in the note below, at the end.

The purpose of this is to explain part of the process of the Human Rights Tribunal, using one aspect of my own experience and how that relates to privacy laws in health care, and accountability of physicians and other health care workers, and the accountability and transparency of those organizations meant to resolve problems that occur. The example I am using is of my own Application to the Human Rights Tribunal, April 14, 2015, of discrimination on the grounds of my sex, family and marital status, and age (for more details, see Health care among single, older women – a case of discrimination for OHRT).

On Aug 26, 2015, I made a Disclosure to the lawyer of the Respondent. The Disclosure was required according to the Rules of Procedure, providing him with copies of the documents I would be relying on at the hearing, as “arguably relevant” documents.

I received nothing from the other side by the deadline (September 1, 2015) given by the HRT, in the Rules as being three weeks after they notified us (on August 11) of the dates of the hearing (February 10 & 11, 2016). September 1st  was the date by which both sides were to have sent to the other a list and copies of documents they thought may be relevant to the issues raised in the case.

Backing up for a moment, I must say here that only one item had been listed in the Important Documents section of the Respondent’s Response to my Application (received July 27, 2015).  That one item was my Medical Chart, for all the time I was with the doctor in question, from September 2012 until spring of 2014. I submitted my Form 3 reply to the new points raised in the Response on Aug 12 (having had an extension, due to the original due date, August 7, being less than 2 weeks away from when I received the Response) though not responding to the idea of having his entire Medical Chart about me being available for him to pick and choose from at the hearing, or for it to possibly influence the adjudicator. Since no items – appointment dates, specialist reports, etc – were listed, I had no idea whether what was included was a complete set, or whether what would be sent to me, finally, was complete. And at the same time, more or less, received the notice from the HRT about the dates of the hearing, requiring me to then send a Disclosure to the Respondent by Sept 1, which I did, as noted in the previous paragraph.

But now, having not received a Disclosure of arguably relevant documents from the Respondent by September 1, and not agreeing anyway with the idea of my privacy into my medical records being made available in that manner, I discovered that I could complete a request for an Order on a Form 10 and submit it to the HRT, using the Production of Documents part to request a copy of the document - my Medical Chart. To me, the chart wasn’t “arguably relevant,” at least not in its entirety, but I decided to submit Form 10 anyway, requesting that the Dr itemize the Medical Chart and send only those items he was planning on using at the hearing in February. Also, I requested under ‘Other’ that for privacy reasons, the entire chart not be produced at the hearing, thus, not sent to the HRT’s adjudicator (see excerpt from PHIPA, Personal Health Information Protection Act, 2004). Formally, these were the requests I made in writing, and sent to the lawyer for the Respondent and to the HRT:

Request for an Order for the Production of Documents
I am requesting, first, with conditions, that the Respondent, the Dr, produce relevant sections of the document he named in his Response (July, 2015).  I also request that he particularize those sections of the Medical Chart that he plans to use at the hearing.  

Other Request: that the Medical Chart of Ms McPherson not be used in its entirety
I am requesting that the Respondent not rely on the Medical Chart of Ms McPherson in its entirety, for this Application at the hearing, as that would be an invasion of privacy under the law, such as under PHIPA, the Personal Health Information Protection Act, 2004. I request that he selects only those items he plans to use, explains why each is important, and provides a copy of them for the Applicant. (Question 3, Form 10, September 9, 2015)

I wrote out a detailed explanation of my reasons for making these requests in Form 10, Question 4, and sent a copy of the Form 10 to both the Respondent’s lawyer and to the Human Rights Tribunal Registrar/caseworker.

About two weeks later (September 17th) I received a copy of the Medical Chart from the lawyer, obviously not itemized as there was no list, and no explanation of why the Respondent thought each entry in it was important, or arguably relevant, or whether it was complete at all, and of course, reaching me well after the due date for a Disclosure.

This wasn’t what I had hoped for. After all that explaining, the lawyer had simply sent off what appeared to be an unsorted file of my medical records, not particularized, and with no acknowledgement in the cover letter that I had sent to her a completed Form 10 with pages of info and explanations. There was a brief email discussion between the lawyer and myself, which also went to the caseworker.  But in the end, the caseworker said that the Form 10 Orders would go to a ‘decision maker’ to resolve.  Already, I can picture another person getting involved in this situation who knows nothing about the Application, and would have to start from scratch reading up on it, and being pressured to make a fair decision on whether my Medical Chart should be allowed to be taken into consideration and whether it needs to be particularized.  What’s more, the lawyer now has the opportunity to respond to my Form 10 request before the decision maker considers it, and the decision maker gets to see what she says about it, including the fact that she has sent me a copy of the Medical Chart already, by that point.

One might ask, at this point, why did the lawyer quickly send me a copy of the Medical Chart, when it was overdue by practically two weeks, and when it was not what I asked for?

I feel that her sending the ‘document’ to me – the Medical Chart – altered the dynamics of the situation, whereby a ‘decision maker’ might just as easily say, Well, it’s been sent to the Applicant now, so leave it at that. And the Applicant did make out a Form 10 request for Production of Documents . . . . .

The Rules of Procedure say the Respondent must send their ‘arguably relevant’ documents by a certain date, but don’t say what happens if they are not sent by that date, except that I can request them if I choose to, through submitting a Form 10, in this case for Production of Documents.

I don’t want this to end up being a matter later interpreted by the Respondent as me being the one to request the Medical Chart. Details are so easy to skim over, and if the fact is that I submitted a Form 10 for the Production of Documents, which I did, the assumption could well be that I considered them ‘arguably relevant’.

This Application to the Human Rights Tribunal is supposed to be about the actions and behaviour of the Respondent, not about me having to defend myself against false accusations and distortions of the truth made by the Respondent and his colleagues in documents in my Medical Chart. My response to Question 4 of the Form 10 goes into more detail about the idea of truth, and who gets to be believed in this world and who doesn’t. It also brings in the matter of the longer transcript of the April 28, 2014 office appointment, and the accusations made against me by the Respondent in his Response to my Application, that I shouted at his staff after the appointment ended.

I have presented in my Application only 2 examples of discrimination, both of which I believe I have the evidence to uphold. I could write at length, too, about the behaviours of the Respondent, but I have no proof of much of it. But when the Dr says something, and writes it down, it seeme from what I have seen elsewhere that it is taken as truth.

I might not have known about Form 10 and the right to request a production of documents and the right to request privacy of medical information, had not the Respondent failed to make a Disclosure of the ‘document’ named in the Response – the Medical Chart.  I have no access to a lawyer who can foresee such issues arising and be able to advise me. Of course, the other side of that is that no mention of the reason for the importance of the Medical Chart was mentioned in the Response, and its relevance might have been difficult to explain. I have never said the doctor did not provide some good health care towards me. If he hadn’t done something worthwhile, it wouldn’t have taken me so long to acknowledge the unprofessionalism and poor judgement in his treatment of me, and he would have been seen, at least by me, as not worthy of being a physician. Rarely is someone totally one or the other – all bad or all good.

A physician is someone who is subject to certain standards in his profession. Too many errors of judgement, incidents of rudeness, trivializing the patient’s concerns, and judging me on the basis of my sex, and family and marital status, and age is what can lead to the realization that he is discriminating against me. Saying, “The report is back. You’re fine,” isn’t serious on its own, but amongst so many other incidents, it becomes relevant, an indication that he doesn’t care, and isn’t doing his job.  When I go to him about ankle pain, or a swollen knee, and the first question he asks is How does that affect your driving,” one has to wonder. And when medications I have been taking for a number of years are questioned, and changed, for no good reason or without informing me when I go to him to have prescriptions renewed, it made me wonder. And why was I treated like a walk-in patient, having to have my prescriptions renewed by hand, with the risk of mistakes being made, and being denied having access to Tylenol 2 with codeine, 2 per day, as though that was a large amount and I might abuse the privilege of having relief from pain. Read in my blog, Health care among single, older women – a case of discrimination for OHRT, for details about that and the unnecessary pelvic renal ultrasound he sent me for. He wasn’t behaving like a family doctor should.

The HRT caseworker had assured me a while back that if the due date were approaching and I hadn’t sent a required document, that he would request it. That was in response to my requesting confirmation when he received documents I sent to him. But he didn’t request from the Respondent the ‘important document’ named by the Respondent in his Response, which surely must have been intended to be sent as an ‘arguably relevant’ document to me as a Disclosure. The caseworker accepted my Form 23, declaring I had sent my own Disclosure to the Respondent, but it didn't jog his memory to ask the Respondent for his list of arguably relevant documents in a Disclosure. And my sending my Disclosure to the Respondent didn’t lead him – or her, the lawyer – to send their own Disclosure to me.

For me to do the requesting of my Medical Chart, through a Form 10, resulting in a conglomeration of largely unexplained and unidentified items quickly being sent to me (although more than two weeks overdue, not the ‘documents’ I asked for, and not mentioning they were in response to my Form 10), would have made it appear that it was me who believed they were ‘arguably relevant,’ unless the decision maker took more time to read what I wrote than the lawyer did. It is possible the lawyer was attempting to cover up a mistake, and was hoping the ‘decision maker’ would overlook it and accept her sending of the documents, though past the deadline, without examining closely what I wrote in Question 4 of Form 10.  But the lawyer wouldn’t have realized her error of omission had I not pointed it out when I sent her the Form 10. And then what?

It’s too easy for the Human Rights Tribunal to take short cuts, to not be transparent in its process, and to simply make important decisions without the Applicant knowing what’s going on, for instance, who the decision maker is in terms of position if not by name, and his expertise, especially in the area of privacy in health care. This situation has now been left in the hands of the Respondent’s lawyer, who gets to write a response to my Form 10, and the decision maker for the HRT, who makes a judgement on the Form 10 I submitted. He could have her send a list of itemized documents from the Medical Chart, and agree with me that the privacy of my medical records is important, or he could just say, Well she has sent it now, so that’s good enough. And then she will send a copy to the HRT in December, the relevance of which the Respondent will not be obliged to explain, even if it gives a false impression of me, while falsely presenting him in a better light.

Note: Added Nov 15, 2015: 


An Interim Decision was made on October 8, 2015, granting the Respondent and lawyer their requests, regarding their Disclosure – my medical chart.  It was declared by Laurie Letheren, an adjudicator with the HRT, that my requests were premature. The material was delivered to me, although not organized properly, some of it not relevant and none of it argued to be relevant, and not itemized, no reason stated for its importance other than it demonstrated the care I received from the doctor, and it was sent a little late. But at least I got them, I think she was saying. 

If the Respondent decides to particularize the documents, s/he may do so when required to send the documents to the Tribunal (deadline December 29th) in preparation for the hearing early in February. But again, s/he may not. There has been no warning given by the adjudicator to the lawyer to itemize the documents. It’s just a collection of undecipherable documents, much of it, with no explanation of why each page of the seemingly random collection is relevant. At least, that much should have been done. Then, by the end of December, s/he would be able to decide, presumably, which documents she is going to use at the hearing. 

Also added to List of Resources, on Nov 15, ‘Health-care system in need of more transparency, report says’ (The Star, Nov 12, 2015).

Resources


Health care among single, older women – a case of discrimination for OHRT
April 12, 2015
http://suemcpherson.blogspot.ca/2015/04/health-care-among-single-older-women.html

Health-care system in need of more transparency, report says [added Nov 15, 2015]
C.D. Howe Institute says there should be more public reporting on patient experience within Canada’s health-care system.
By Theresa Boyle, Health
The Star
Nov 12, 2015
http://www.thestar.com/life/health_wellness/2015/11/12/more-transparency-needed-in-health-system-report.html

New health legislation will improve transparency
By Olivia Carville, Staff Reporter
The Star
Sept 19 2015
http://www.thestar.com/life/health_wellness/2015/09/19/new-health-legislation-will-improve-transparency.html

Personal Health Information Protection Act (PHIPA), 2004, S.O. 2004, c. 3
Government of Ontario
http://www.ontario.ca/laws/statute/04p03#BK1
retr Sept 17, 2015
see excerpt here: http://suemcpherson.blogspot.ca/p/personal-health-information-protection.html