Podiatry Board


Board Policies

Board Policies are adopted by the Board as guidelines to be used in the regulation of podiatrists and the practice of podiatry. Policies are unlike statutes or rules in that they are not law. There is no requirement that the Board hold hearings before approving a proposed policy. Generally, policies are approved for use by Podiatry Board staff to facilitate the day-to-day running of the Board office and to provide guidance to licensees regarding the Board's position on various subjects.

Policies of the Podiatry Board are divided into two sections:

The disciplinary process || The licensing process

Section 10 - Disciplinary Process

10-1  Protocol 30-Day Letters

10-2  Release of Investigatory Information to Other State Licensing Boards

10-3  Retention of Letters of Concern

10-4  Release of Active Complaint Information to Other State Boards

10-5  Disciplinary Actions Taken by Other State Licensing Boards or Governmental Agencies Against a Lapsed or Inactive Colorado Podiatrist

10-6  Anonymous Complaints

10-7  Investigative Subpoena Enforcement

10-8  Delegation of Authority to Enforcement Program Manager and Program Director

10-9  Eligibility to Serve as a Practice Monitor

10-10  Process for Handling Complaints Involving Board Members Scope of Investigation

10-11  Scope of Investigation

10-12 Public Disciplinary Documents

10-13 Practice Monitoring Compliance Policy

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Section 20 - Licensing Process

20-1  Release of Information from Application Files

20-2  Licenses Issued Within 4 Months of Renewal/Expiration Date

20-3  Deleted 7/01/2010

20-4  Administrative Approval of Applications

20-5  Purging Incomplete Applications

20-6 Deleted 2/27/09

20-7  Deleted 7/01/2010

20-8  Deleted 7/01/2010

20-9  Deleted 12/5/2003

Section 30 - Miscellaneous

30-1  Sale of Products in Podiatrists' Offices

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