Medical Regulations (N.S. Reg. 37/2006) (just regulations regs vetmed.htm)

N.S. Reg. 37/2006

Nova Scotia — Regulations

Medical Regulations (N.S. Reg. 37/2006) (just regulations regs vetmed.htm)

N.S. Reg. 37/2006

Nova Scotia — Regulations

This consolidation is unofficial and is for reference only.

For the official version of the regulations, consult the original documents on file with the Registry of Regulations , or refer to the Royal Gazette

Part II .

Regulations are amended frequently.

Please check the list of Regulations by Act to see if there are any recent amendments to these regulations filed with our office that are not yet included in this consolidation.

Although every effort has been made to ensure the accuracy of this electronic version, the Registry of Regulations assumes no responsibility for any discrepancies that may have resulted from reformatting.

This electronic version is copyright © 2017, Province of Nova Scotia , all rights reserved. It is for your personal use and may not be copied for the purposes of resale in this or any other form.

Veterinary Medical Regulations

made under

Section 6 of the

Veterinary Medical Act

S.N.S. 2001, c. 13

O.I.C. 2006-104 (February 17, 2006, effective March 1, 2006), N.S. Reg. 37/2006

as amended to O.I.C. 2017-54 (March 14, 2017), N.S. Reg. 35/2017

Table of Contents

Please note: this table of contents is provided for convenience of reference and does not form part of the regulations.

Click here to go to the text of the regulations .

Interpretation

Citation

Definitions

Registration and Licensing

Continuation of membership and licences

Membership and licence categories

Entry on Register as member

General practice licence application

General practice licence term and renewal

General practice licence entitlements

Non-practising licence application

Non-practising licence term and renewal

Non-practising membership entitlements

Life membership

Life membership entitlements

Non-active members

Temporary licence application

Temporary licence term and renewal

Temporary licence restrictions

Honorary status

Information on registration or licensing status

Removal of name from Register and revocation of licence

Corporate Permits

Corporate permit application

Corporate permit term and renewal

Suspension, revocation or refusal to renew corporate permit

Permit displayed at premises

Registrar notified of changes to corporation

Records of corporate permit holder

Notice to and from corporate permit holder

Professional-Conduct Process

Complaint

Preservation of evidence in complaint that is not dismissed

Panel of Complaints Committee

Investigation of complaint

Decision of panel of Complaints Committee

Caution or counsel

Reprimand

Matter referred directly to Professional Conduct Committee

Preparation of settlement proposal

Amendment of settlement proposal by Complaints Committee

Acceptance of settlement proposal by Professional Conduct Committee

Breach of accepted settlement proposal

Panel of the Professional Conduct Committee

Notice of hearing

Amendment of notice of hearing

Conducting Professional Conduct Committee hearing

Failure to attend Professional Conduct Committee hearing

Witness fees for Professional Conduct Committee hearing

Recording of evidence at Professional Conduct Committee hearing

Disposition by Professional Conduct Committee

Written decision of Professional Conduct Committee

Costs of Professional Conduct Committee

Reinstatement application

Investigation respecting reinstatement application

Date, time and place of reinstatement hearing

Conducting reinstatement hearing

Decision of Reinstatement Committee

Costs of Reinstatement Committee

Code of Ethics and Standards of Practice

Accreditation and Categories of Facilities

Application for interim accreditation certificate

Term of interim accreditation certificate

Notification of interim accreditation certificate to Accreditation Committee

Denial of interim accreditation certificate

Issue of accreditation certificate

Term of accreditation certificate

Renewal of accreditation certificate

Notification of accreditation certificate to Accreditation Committee

Denial of accreditation certificate

Appeal from denial of renewal of accreditation certificate

Change in ownership of facility

Re-inspection of facility suspected of non-compliance

Revocation of accreditation certificate

Categories of facilities

Small animal hospital

Small animal clinic

Small animal mobile clinic

Small animal remote service

Small animal house call service

Large animal hospital

Large animal clinic

Large animal mobile service

Emergency clinic

Aquatic animal facility

Aquatic animal ambulatory service

Accreditation Committee may waive requirements

Interpretation

Citation

1 These regulations may be cited as the Veterinary Medical Regulations .

Definitions

(1) In these regulations,

“accredited facility” means a facility that holds a current accreditation certificate or

an interim accreditation certificate;

“aquaculture” has the same meaning as “aquaculture” as defined in the Fisheries and

Coastal Resources Act ;

Definition of “aquaculture” added: O.I.C. 2017-54, N.S. Reg. 35/2017.

“aquatic animal” means an animal that is grown at an aquaculture site and has water

as its natural habitat during all stages of its development or life cycle;

Definition of “aquatic animal” added: O.I.C. 2017-54, N.S. Reg. 35/2017.

“Act” means the Veterinary Medical Act ;

“corporate permit” means a permit issued by the Registrar or Council under the Act

and these regulations that allows a corporation to carry on the practice of veterinary

medicine in the Province;

“emergency” means a situation in which an illness or injury occurs to an animal that

requires immediate veterinary attention;

“large animal” means

(

i) an animal that is of a species that typically resides in a farm environment

as an agricultural animal, and includes horses, cattle, sheep, goats,

poultry and other food and fibre-producing animals,

(ii) a zoo or circus animal, or

(iii) a wild animal;

“major surgery” means surgery in which viscera, bones or extensive areas of tissue

are exposed, and includes surgery that is required when an otherwise minor surgical

procedure fails and endangers the life or organ function of an animal;

“National Examining Board” means the National Examining Board of the Canadian

Veterinary Medical Association;

“non-practising licence” means a non-practising licence issued under clause 11(

b) of

the Act;

“nursing care” means assistance with or provision of diagnostic procedures in the

surgical, medical and custodial care of animals;

“prescribed fee” means an applicable fee fixed by the method established in the by-laws under the Act;

“Register” means the Register established and maintained under

Section 10 of the

Act;

“small animal” means an animal that is of a species that typically resides as a pet in a

home environment, and includes dogs, cats, small rodents and reptiles;

“temporary licence” means a licence issued under clause 11(

d) of the Act.

Subsection 2(1), clause letters removed: O.I.C. 2017-54, N.S. Reg. 35/2017.

(2) The

definitions set out in the Act apply to these regulations.

Registration and Licensing

Continuation of membership and licences

(1) On the coming into force of the Act, the name of every person who is a member of

the Association under the former Act must be entered in the Register.

(2) A general licence issued to a person under the former Act continues in effect as a

general practice licence until the earliest of

(

a) December 31 of the year the Act comes into force;

(

b) the date that a general practice licence is issued to replace it; and

(

c) the date that the licence is suspended or revoked.

(3) A general non-practising licence issued to a person under the former Act continues

in effect as a non-practising licence until the earliest of

(

a) December 31 of the year the Act comes into force;

(

b) the date that a non-practising licence is issued to replace it; and

(

c) the date that the licence is suspended or revoked.

(4) Every life membership or honorary status in the Association granted under the

former Act continues as a life membership or honorary status under the Act and

these regulations.

Membership and licence categories

(1) The categories of membership are as follows:

(

a) general practising;

(

b) non-practising;

(

c) life; and

(

d) non-active.

(2) The categories of licence are as follows:

(

a) general practice;

(

b) non-practising; and

(

c) temporary.

Entry on Register as member

5 An applicant is qualified to become a member of the Association and to have their name

entered on the Register under subsection 10(2) of the Act, if the applicant submits a

completed registration application to the Registrar on the form approved by the Registrar

together with all of the following:

(

a) the prescribed fee;

(

b) such information as the Registrar requires to establish that the applicant

(

i) is a graduate in veterinary medicine from a university, college or school

recognized by the Canadian Veterinary Medical Association and meets

one of the following qualifications:

(

A) holds a Certificate of Qualification from the National Examining

Board of the Canadian Veterinary Medical Association,

(

B) is a member in good standing of a veterinary medical association of

another jurisdiction with comparable registration criteria as

determined by Council, and is licensed or entitled to practise

veterinary medicine under the law of that jurisdiction,

(

C) is a member in good standing of a veterinary medical association of

another province or territory that is a signatory to any agreement

under the Agreement on Internal Trade that is signed by the

Association and that mandates registration of the applicant in Nova

Scotia,

(ii) is not subject to a disciplinary finding that prohibits the applicant from

engaging in the practice of veterinary medicine,

(iii) has completed the examinations approved by Council, including an

examination demonstrating knowledge of the Act, regulations and by-laws,

(iv) is competent and of such character to safely and ethically engage in the

practice of veterinary medicine, and

with a score determined by Council.

General practice licence application

(1) A member who has not held a general practice licence in the immediately preceding

calendar year may apply to the Registrar for a general practice licence by submitting

a completed licence application to the Registrar on the form approved by the

Registrar together with all of the following:

(

a) the prescribed fee;

(

b) such information as the Registrar requires to establish that the member

(

i) has done one of the following:

(

A) graduated in veterinary medicine in the 5 years immediately before

the application from a university, college or school recognized by

the Canadian Veterinary Medical Association,

(

B) obtained a Certificate of Qualification from the National

Examining Board in the 5 years immediately before the application,

(

C) engaged in the practice of veterinary medicine for at least 1000

hours in the 5 years immediately before the application,

(

D) engaged in the practice of veterinary medicine for at least 300

hours in the 12 months immediately before the application,

(ii) is not subject to a disciplinary finding that prohibits the applicant from

engaging in the practice of veterinary medicine,

(iii) is competent and of such character to safely and ethically engage in the

practice of veterinary medicine,

Subclause 6(1)(b)(iii) amended: O.I.C. 2014-437, N.S. Reg. 159/2014.

(iv) undertakes to engage in the practice of veterinary medicine in a

professional and becoming manner and in accordance with the provisions

of the Act, regulations, by-laws and any code of ethics adopted by the

Association,

(

v) has liability insurance in at least the minimum amount required by

Council;

Subclause 6(1)(b)(

v) added: O.I.C. 2014-437, N.S. Reg. 159/2014.

(

c) such information as the Registrar requires to establish that the facility or

facilities in or from which the member intends to practise are accredited

facilities.

(2) A member who holds a general practice licence from another jurisdiction and who

seeks to obtain a general practice licence must meet the requirements of clauses

(1)(

a) and (b).

General practice licence term and renewal

(1) A general practice licence is valid for the calendar year in which it is issued, unless

otherwise suspended or revoked.

(2) A member may renew their general practice licence on or before the expiry date by

submitting a completed renewal application to the Registrar on the form approved by

the Registrar together with all of the following:

(

a) the prescribed fee;

(

b) such information as the Registrar requires to establish that the member has met

the professional development requirements approved by resolution of Council;

(

c) the information required by clause 6(1)(

b) and clause 6(1)(c).

Clause 7(2)(

c) amended: O.I.C. 2014-437, N.S. Reg. 159/2014.

General practice licence entitlements

8 A member who holds a general practice licence is

(

a) entitled to practise veterinary medicine in or from an accredited facility;

(

b) eligible for election to Council;

(

c) eligible to hold a position on a Committee appointed by Council and to vote at

any meeting of a Committee on which they hold a position; and

(

d) eligible to vote at any meeting of the Association.

Non-practising licence application

9 A member may apply to the Registrar for a non-practising licence or renewal of a non-practising licence by submitting a completed licence application to the Registrar on the

form approved by the Registrar together with all of the following:

(

a) the prescribed fee;

(

b) such information as the Registrar requires to establish that the applicant

undertakes not to engage in the practice of veterinary medicine.

Non-practising licence term and renewal

(1) A non-practising licence is valid for the calendar year in which it is issued, unless

otherwise suspended or revoked.

(2) A member may renew a non-practising licence on or before the expiry date in

accordance with

Section 9.

Non-practising membership entitlements

11 A member who holds a non-practising licence has all of the privileges and obligations of a

member who holds a general practice licence, except that a non-practising member is not

entitled to engage in the practice of veterinary medicine.

Life membership

(1) A member becomes a life member if

(

a) the member is 65 years or older;

(

b) the member has been a member for 10 or more consecutive years;

(

c) Council determines the member has taken an active interest in the affairs of the

Association;

(

d) the member is nominated for life membership by 3 members and Council

approves the nomination; and

(

e) a vote is passed at an Annual General Meeting approving the entry of the

member into the life membership category.

(2) A life member is not required to pay a fee to maintain the status of life member, but

must pay other prescribed fees as applicable.

Life membership entitlements

13 A life member has all of the privileges and obligations of a member who holds a general

practice licence, except that a life member is not permitted to engage in the practice of

veterinary medicine unless the life member also holds a general practice licence.

Non-active members

(1) A member who is not licensed in any category must be listed on the Register as a

non-active member.

(2) A non-active member is

(

a) not entitled to engage in the practice of veterinary medicine;

(

b) not eligible for election to Council;

(

c) not eligible to hold a position on a Committee approved by Council, nor to

vote at a meeting of a Committee; and

(

d) not eligible to vote at a meeting of the Association.

Temporary licence application

(1) The following people may apply for a temporary licence:

(

a) a member who meets all of the criteria for renewal of a general practice licence

in subsection 7(2), except for the professional development requirements under

clause 7(2)(b);

(

b) a member who holds a general practice licence on behalf of a non-member

who is a veterinarian registered in another jurisdiction and is recognized as a

specialist in accordance with criteria established by resolution of Council, for

purposes of examining and treating animals only at an accredited facility and

within the scope of their specialty;

(

c) a person intending to practise veterinary medicine for a period no longer than

60 days at a time, if the person meets all the criteria for a general practice

licence in subsection 6(1) except for the requirement to be a member of the

Association.

(2) A person may apply for a temporary licence by submitting a completed licence

application to the Registrar on the form approved by the Registrar together with the

prescribed fee and such information as the Registrar requires to establish that the

applicant meets the requirements of subsection (1).

Temporary licence term and renewal

16 A temporary licence is valid for a term determined by the Registrar that is no longer than

60 days, unless renewed by the Registrar.

Temporary licence restrictions

17 A person who holds a temporary licence may engage in the practice of veterinary medicine

only in or from an accredited facility.

Honorary status

(1) Honorary status may be granted by resolution of Council to a veterinarian or non-veterinarian who has rendered distinguished or valuable service to the profession of

veterinary medicine.

(2) A person who is granted honorary status is entitled to such rights and privileges as

granted by Council.

Information on registration or licensing status

19 Anyone may request verification of a member’s registration or licensing status from the

Registrar.

Removal of name from Register and revocation of licence

(1) The Registrar must remove the name of a member from the Register if

(

a) the member requests it and surrenders their membership card and any licence;

(

b) the member’s name is incorrectly entered on the Register;

(

c) the Registrar is notified of the member’s death;

(

d) the member fails to pay fees levied under the Act or these regulations;

(

e) the member is suspended, for the term of the suspension; or

(

f) the registration of the member is revoked.

(2) The Registrar must revoke a member’s licence if

(

a) the member has made a request under clause (1)(a);

(

b) the member’s name is incorrectly entered on their licence;

(

c) the Registrar is notified of the member’s death;

(

d) the member fails to pay fees levied under the Act or these regulations; or

(

e) the registration of the member is revoked.

(3) The Registrar may restore a person’s name to the Register and re-issue an applicable

licence to the person on

(

a) application by the person;

(

b) payment of the prescribed fee; and

(

c) satisfaction of the applicable requirements for registration and licensing.

Corporate Permits

Corporate permit application

(1) A corporation may apply for a corporate permit by submitting a completed permit

application to the Registrar on the form approved by the Registrar together with all

of the following:

(

a) the prescribed fee;

(

b) such information as the Registrar requires to establish that

(

i) the corporation is in good standing,

(ii) the name of the corporation and any business name or names used by the

corporation are fit and proper names for a corporation engaged in the

practice of veterinary medicine,

(iii) the corporation meets the shareholding requirements of the Act,

(iv) a majority of the directors and officers of the corporation hold general

practice licences, and

(

v) each person who will engage in the practice of veterinary medicine for

and on behalf of the corporation holds a general practice licence.

(2) The Registrar must issue a corporate permit to a corporation that meets the

requirements of subsection (1).

(3) The Registrar must maintain a Register of Corporate Permits, showing the name and

business address of the corporation, together with all of the following:

(

a) a list of the directors and officers of the corporation;

(

b) the names of the persons who hold general practice licences;

(

c) the names of the persons who will engage in the practice of veterinary

medicine for and on behalf of the corporation;

(

d) any additional information determined by the Registrar.

Corporate permit term and renewal

(1) A corporate permit is valid for the calendar year in which it is issued.

(2) A corporation may renew its corporate permit on or before the expiry date by

submitting a completed permit application to the Registrar on the form approved by

the Registrar together with all of the following:

(

a) the prescribed fee;

(

b) such information as the Registrar requires to establish that the corporation

continues to meet the requirements of subclauses 21(1)(b)(

i) to (v).

Suspension, revocation or refusal to renew corporate permit

23 If it appears to the Council that a corporation that holds a corporate permit fails to meet

any of the requirements of subclauses 21(1)(b)(

i) to (v), the Council must

(

a) notify the corporation in writing of the specific requirements that the

corporation failed to meet; and

(

b) suspend, revoke or refuse to renew the corporate permit.

Permit displayed at premises

24 A corporation must display its current corporate permit, or a copy of it, in a conspicuous

place at its premises at all times.

Registrar notified of changes to corporation

25 Within 15 days of the change, a corporation must notify the Registrar in writing with the

specifics of any changes to its

(

a) voting shareholders;

(

b) officers;

(

c) directors; or

(

d) persons who engage in the practice of veterinary medicine for and on behalf of

the corporation.

Records of corporate permit holder

26 A corporation that holds a corporate permit must, in accordance with generally accepted

accounting principles and business standards,

(

a) have financial statements prepared at the end of each fiscal year;

(

b) maintain current financial records;

(

c) maintain current patient records in accordance with the standards set out in the

by-laws; and

(

d) maintain records about its employees.

Notice to and from corporate permit holder

(1) A notice required to be given to a corporation under the Act or these regulations may

be sent by pre-paid registered mail to the address recorded on the Register of

Corporate Permits and is deemed to have been received on the 3rd day after the

notice is sent.

(2) Notice of any act or thing that is required to be given to the Registrar or the Council

by a corporation under the Act or these regulations must be in writing and sent by

pre-paid registered mail and is deemed to have been received on the 3rd day after the

notice is sent.

Professional-Conduct Process

Complaint

(1) A complaint must be either originated by or sent to the Registrar.

(2) The Registrar must forward a copy of a complaint to each of

(

a) the respondent; and

(

b) the Chair of the Complaints Committee.

(3) Despite subsections (1) and (2), if the Registrar is the subject of a complaint or may

otherwise be involved in the substance of a complaint, the complaint must be sent

directly to the Chair of the Complaints Committee, and the Chair must request that

Council appoint an Acting Registrar for the purposes of the professional-conduct

process concerning the complaint.

(4) The parties to a complaint are the Association and the respondent.

Preservation of evidence in complaint that is not dismissed

29 Evidence obtained by a panel of the Professional Conduct Committee and information

obtained by a panel of the Complaints Committee and an investigator in a complaint that is

not dismissed by the Complaints Committee, must be preserved for at least 5 years from

the date the evidence or information was obtained.

Panel of Complaints Committee

(1) A panel of the Complaints Committee must consist of at least 5 persons, one of

whom must be a non-member, and one of whom may be the Chair of the

Complaints Committee.

(2) If the Chair of the Complaints Committee is

(

a) appointed to a panel of the Complaints Committee, the Chair of the

Complaints Committee must act as chair of the panel; or

(

b) not appointed to a panel of the Complaints Committee, the Chair of the

Complaints Committee must appoint a chair for the panel.

(3) Any 3 persons of a panel of the Complaints Committee, regardless of whether they

are members or non-members, constitutes a quorum of the panel.

(4) A decision of a panel of the Complaints Committee requires the vote of a majority of

the quorum of the panel that is reviewing the matter.

(5) A panel of the Complaints Committee retains jurisdiction over a complaint until the

commencement of a hearing before the Professional Conduct Committee or the

acceptance of a settlement proposal by the Professional Conduct Committee.

Investigation of complaint

(1) During an investigation, an investigator may

(

a) request additional written or oral explanations from the complainant, the

respondent or a third party;

(

b) request an interview with the complainant, the respondent or a third party; and

(

c) investigate any additional matter that arises in the course of the investigation

relating to the respondent and that may constitute professional misconduct,

conduct unbecoming the profession, incompetence or incapacity.

(2) A respondent may submit both medical information and other information relevant

to the complaint to the investigator investigating the complaint.

(3) If an investigator recommends in their written report to a panel that the panel

exercise a power under subsection 32(2), the investigator must also send a statement

to the respondent, advising them of the recommendation.

(4) The failure of an investigator to send a statement under subsection (3) does not affect

the jurisdiction of the Complaints Committee to exercise its power under subsection

32(2).

Decision of panel of Complaints Committee

(1) A panel of the Complaints Committee must

(

a) if it determines that it is in the interest of the respondent, the complainant, the

public and the Association to do so, consider an informal resolution to the

complaint;

(

b) if it determines that a complaint is not within the jurisdiction of the Association

or is incapable of substantiation, frivolous or vexatious, dismiss the complaint

and advise the complainant and respondent of their decision; or

(

c) if it determines that clauses (

a) and (

b) do not apply, provide the complainant,

the respondent or other person the opportunity to appear before the panel and

to submit representations or explanations, and then

(

i) dismiss the complaint,

(ii) counsel the respondent,

(iii) caution the respondent,

(iv) counsel and caution the respondent,

(

v) with the consent of the respondent, reprimand the respondent and order

that the reprimand be communicated to the respondent, the complainant

and such other person as the panel considers appropriate,

(vi) informally resolve the complaint, or

(vii) if the panel determines that the matter or matters before it warrant a

hearing, refer the matter or matters to the Professional Conduct

Committee.

(2) Before making a decision under clause (1)(c), a panel of the Complaints Committee

may require the respondent to do one or both of the following:

(

a) submit to a review of the respondent’s practice by a person or persons whom

the panel considers qualified to perform the review, and authorize the provision

of a copy of the review to the panel;

(

b) produce any records kept with respect to the respondent’s practice as

considered appropriate by the panel.

(3) If a respondent fails to comply with an action required under subsection (2), a panel

of the Complaints Committee may direct the Registrar to suspend the respondent

under

Section 25 of the Act.

(4) The cost of complying with a requirement under subsection (2) must be initially

borne by the Association, but may be awarded as costs against the respondent under

Section 49.

Caution or counsel

33 A counsel or a caution issued under subclause 32(1)(c)(ii), (iii) or (iv) is not considered a

disciplinary finding against the respondent and must not be published or disclosed to the

public, but must be disclosed to

(

a) the respondent;

(

b) the complainant;

(

c) any additional person the panel of the Complaints Committee considers

appropriate; and

(

d) the Complaints Committee in any subsequent complaints filed against the

respondent.

Reprimand

34 A reprimand issued under subclause 32(1)(c)(

v) is considered a disciplinary finding

against the respondent.

Matter referred directly to Professional Conduct Committee

(1) A respondent who has been suspended under

Section 25 of the Act may request that

a panel of the Complaints Committee refer their matter directly to the Professional

Conduct Committee.

(2) Despite

Section 32, after receiving a request under subsection (1), a panel must refer

the matter to the Professional Conduct Committee.

Preparation of settlement proposal

(1) A settlement proposal tendered in writing to the other party must include an

admission or admissions by the respondent to one or more of the allegations set out

in the notice of hearing and the respondent’s consent to a specified disposition,

conditional upon the acceptance of the settlement proposal by the Professional

Conduct Committee.

(2) A settlement proposal may include any disposition that could be ordered by a panel

of the Professional Conduct Committee under

Section 47.

(3) If all parties agree, they may use a mediator to help prepare a settlement proposal,

and the costs of the mediator must be divided equally between the Association and

the respondent, unless otherwise agreed by the parties.

(4) To enter into a settlement proposal under

Section 28 of the Act, a panel of the

Complaints Committee must be satisfied that

(

a) the public is protected;

(

b) the conduct of the respondent or its causes can be, or has been, successfully

remedied or treated, and if appropriate, the respondent is likely to successfully

pursue remediation or treatment; and

(

c) settlement is in the best interests of the public and the veterinary medical

profession.

Amendment of settlement proposal by Complaints Committee

(1) A Complaints Committee may suggest amendments to a settlement proposal and

return it to the Association and the respondent for review.

(2) If either the respondent or the Association does not accept amendments suggested

under subsection (1), the matter must continue to a Professional Conduct Committee

for hearing.

Acceptance of settlement proposal by Professional Conduct Committee

(1) A panel of the Complaints Committee must refer a settlement proposal that it has

entered into to a panel of the Professional Conduct Committee for acceptance.

(2) If the panel of the Professional Conduct Committee accepts the settlement proposal,

(

a) the settlement proposal forms part of the order of the Professional Conduct

Committee disposing of the matter; and

(

b) unless the settlement proposal is breached, there is no hearing before the

Professional Conduct Committee.

(3) If the panel of the Professional Conduct Committee does not accept a settlement

proposal, the Professional Conduct Committee may

(

a) suggest amendments to the settlement proposal and return it to the parties for

review, and

(

i) if both parties do not agree with the Professional Conduct Committee’s

amendments, the settlement proposal is deemed to be rejected and the

matter must be referred to another panel of the Professional Conduct

Committee for a hearing, or

(ii) if both parties agree with the Professional Conduct Committee’s

amendments, the settlement proposal is sent back to the panel of the

Complaints Committee, who may

(

A) accept the settlement proposal, or

(

B) reject the settlement proposal and refer the matter to another panel

of the Professional Conduct Committee for a hearing; or

(

b) reject the settlement proposal, in which case the matter must be forwarded to

another panel of the Professional Conduct Committee for a hearing.

Breach of accepted settlement proposal

39 An alleged breach by a respondent of an undertaking or a condition set out in a settlement

proposal that is accepted by the Professional Conduct Committee must be referred to the

Professional Conduct Committee and may form the subject of a hearing before a panel of

the Professional Conduct Committee.

Panel of the Professional Conduct Committee

(1) A panel of the Professional Conduct Committee must consist of at least 5 persons

from the Professional Conduct Committee, one of whom must be a non-member,

and one of whom may be the Chair of the Professional Conduct Committee.

(2) If the Chair of the Professional Conduct Committee is

(

a) appointed to a panel of the Professional Conduct Committee, the Chair of the

Professional Conduct Committee must act as chair of the panel; or

(

b) not appointed to a panel of the Professional Conduct Committee, the Chair of

the Professional Conduct Committee must appoint a chair for the panel.

(3) Any 3 persons from a panel of the Professional Conduct Committee, regardless of

whether they are members or non-members, constitutes a quorum of the panel.

(4) A decision of a panel of the Professional Conduct Committee requires the vote of a

majority of the quorum of the panel that is reviewing the matter.

(5) A person who sat on a panel of the Professional Conduct Committee that reviewed a

rejected settlement proposal must not sit on the panel that conducts the hearing with

respect to the same matter.

Notice of hearing

(1) Service of a notice of hearing required by subsection 27(3) of the Act must be either

by personal service or by pre-paid registered mail to the respondent’s or the

complainant’s last known address.

(2) A notice of hearing that is sent by mail is deemed to have been received on the 3rd

day after it was sent.

(3) A notice of hearing must state the details of the complaint and must specify the time

and place of the hearing and state that the respondent may be represented by counsel.

Amendment of notice of hearing

(1) At any time before or during a hearing, a panel of the Professional Conduct

Committee may amend or alter the notice of hearing to correct an alleged defect in

substance or form, or to make the notice conform to the evidence if there appears to

be a discrepancy between the evidence and the notice, or if the evidence discloses

potential professional misconduct, conduct unbecoming the profession, incapacity or

incompetence that is not alleged in the notice.

(2) If an amendment or alteration is made by a panel of the Professional Conduct

Committee under subsection (1), a respondent must be given sufficient opportunity

to prepare an answer to the amendment or alteration.

(3) If a panel of the Professional Conduct Committee determines that an amendment or

alteration sought by a party to the notice of hearing is not appropriate, the

Professional Conduct Committee may refuse to make the amendment, and if

considered appropriate, may refer any new allegations to the Registrar as a new

complaint.

Conducting Professional Conduct Committee hearing

(1) A complainant is not entitled to participate as a party at a hearing before a panel of

the Professional Conduct Committee.

(2) A complainant or other persons wishing to attend a hearing of the Professional

Conduct Committee may do so, but a panel of the Professional Conduct Committee

may at any time exclude a non-party from a hearing, or determine conditions for a

person to remain at a hearing.

(3) The Professional Conduct Committee may impose a publication ban on such

information arising from a hearing of the Professional Conduct Committee as it

considers appropriate.

(4) A respondent is responsible for all expenses incurred in the respondent’s defence.

(5) Subject to the Act and these regulations, the Professional Conduct Committee may

determine its own rules of procedure for a hearing, which must, at a minimum,

provide for the direct examination and cross-examination of witnesses called by the

Association and the respondent as required by subsection 30(2) of the Act.

(6) The testimony of a witness at a hearing of the Professional Conduct Committee must

be taken under oath or affirmation, administered by a member of the panel of the

Professional Conduct Committee or other person in attendance authorized by law to

administer oaths or affirmations.

(7) A hearing must proceed without reference to any rejected settlement proposal or any

admission contained in a rejected settlement proposal until such time as the

Professional Conduct Committee has determined whether professional misconduct,

conduct unbecoming the profession, incompetence or incapacity have been proven.

Failure to attend Professional Conduct Committee hearing

44 If a respondent does not attend a hearing of the Professional Conduct Committee, a panel

of the Professional Conduct Committee, upon proof of service of the notice of hearing,

may proceed with the hearing in the respondent’s absence and, without further notice to

the respondent, take such action as it is authorized to take under the Act or these

regulations.

Witness fees for Professional Conduct Committee hearing

45 A witness present under subpoena at a hearing is entitled to the same allowances as a

witness attending a trial of an action in the Supreme Court of Nova Scotia.

Recording of evidence at Professional Conduct Committee hearing

(1) All evidence submitted to a panel of the Professional Conduct Committee must be

reduced to writing, taken down in shorthand or mechanically recorded by a person

authorized by the Association.

(2) Subject to subsections 30(2) and (3) of the Act, evidence may be given before a

panel of the Professional Conduct Committee in any manner that the panel considers

appropriate, and the panel is not bound by the rules of law respecting evidence

applicable to judicial proceedings.

Disposition by Professional Conduct Committee

(1) If a panel of the Professional Conduct Committee finds professional misconduct,

conduct unbecoming the profession, incompetence or incapacity on the part of a

respondent, the panel may

(

a) revoke the registration and licence of the respondent and order that the

respondent’s name be removed from the Register;

(

b) suspend the licence of the respondent for a specific period of time, during

which the respondent loses all privileges pertaining to the licence;

(

c) suspend the respondent from the practice of veterinary medicine pending the

satisfaction and completion of any conditions that are ordered by the

Professional Conduct Committee;

(

d) impose restrictions and conditions on the respondent for a period designated by

the committee and record the restrictions and conditions on the licence if the

Committee considers it necessary;

(

e) reprimand the member and, if the Committee considers it warranted, direct that

the fact of the reprimand be recorded;

(

f) direct that the respondent must pass a particular course of study or satisfy the

Professional Conduct Committee or any other committee established under this

Act as to the respondent’s competence generally or in a field of practice;

(

g) direct the respondent to obtain medical treatment;

(

h) direct the respondent to obtain counselling that, in the opinion of the

Professional Conduct Committee, is appropriate;

(

i) publish its findings in a manner it considers appropriate;

(

j) inform such persons as it considers appropriate of its findings; or

(

k) carry out any combination of the above.

(2) Before making a decision under subsection (1), a panel of the Professional Conduct

Committee may require the respondent to do one or both of the following:

(

a) submit to a review of the respondent’s practice by a person or persons whom

the panel considers qualified to perform the review, and authorize the provision

of a copy of the review to the panel;

(

b) produce any records kept with respect to the respondent’s practice as

considered appropriate by the panel.

(3) If a respondent fails to comply with an action required under subsection (2), a panel

of the Professional Conduct Committee may resolve that the respondent be

suspended until the respondent complies.

(4) The costs of complying with a requirement under subsection (2) must be borne

initially by the Association, but may be awarded as costs against a respondent under

Section 49.

Written decision of Professional Conduct Committee

48 A panel of the Professional Conduct Committee must prepare a written report of its

decision and the reasons for the decision and send a copy of the report within a reasonable

time frame by pre-paid registered mail or personal service to each of

(

a) the respondent;

(

b) the complainant; and

(

c) any additional persons considered appropriate by the Professional Conduct

Committee.

Costs of Professional Conduct Committee

(1) For the purposes of this Section, “costs of the Professional Conduct Committee”

include

(

a) expenses incurred by the Association, the Council, the investigator, the

Complaints Committee and the Professional Conduct Committee; and

(

b) solicitor and client costs, disbursements and HST of the Association, the

Council, the investigator, the Complaints Committee and the Professional

Conduct Committee, relating to the investigation, hearing and adjudication of

the complaint.

(2) If a panel of the Professional Conduct Committee decides against a respondent, it

may order that the respondent pay the costs of the Professional Conduct Committee

in whole or in part.

(3) A panel of the Professional Conduct Committee may consider any rejected

settlement proposal exchanged between the parties when awarding costs of the

Professional Conduct Committee.

(4) If a respondent is ordered to pay the costs of the Professional Conduct Committee

under subsection (2), a panel of the Professional Conduct Committee may make it a

condition of the registration or licence of the respondent that the costs be paid

immediately, or at the time and on the terms that the panel fixes, and direct that if a

respondent fails to pay the costs of the Professional Conduct Committee within the

time ordered, the Registrar may suspend the respondent’s licence until payment is

made or satisfactory arrangements for payment have been established.

Reinstatement application

50 An application for reinstatement under

Section 32 of the Act must be on the prescribed

form and must include all of the following:

(

a) the prescribed fee;

(

b) such information as required by the Reinstatement Committee to establish that

the objects of the professional-conduct process will be met if reinstatement is

granted.

Investigation respecting reinstatement application

(1) If the Registrar receives an application for reinstatement, the Reinstatement

Committee may order that an investigation be conducted to gather relevant and

appropriate information concerning the application.

(2) If an investigation is ordered under subsection (1), an investigator must give the

Reinstatement Committee and the applicant a written report that includes all material

relevant to the application, including the original decision of the panel of the

Professional Conduct Committee and any relevant information gathered during the

investigation.

Date, time and place of reinstatement hearing

52 After an investigation under

Section 51 is completed, the Reinstatement Committee must

set a date, time and place for the hearing of an application for reinstatement and must

advise the applicant of the date, time and place.

Conducting reinstatement hearing

(1) An applicant and a representative of the Association may appear before the

Reinstatement Committee at a hearing with or without legal counsel.

(2) Subject to the Act and these regulations, the Reinstatement Committee may

determine its own rules of procedure, which must, at a minimum, provide for the

direct examination and cross-examination of witnesses called by the Association and

the applicant.

(3) All evidence submitted to the Reinstatement Committee must be reduced to writing,

taken down in shorthand or mechanically recorded by a person authorized by the

Association.

(4) For purposes of a reinstatement hearing, each person on the Reinstatement

Committee has all of the rights, powers and privileges of a commissioner appointed

under the Public Inquiries Act .

Decision of Reinstatement Committee

(1) A decision of the Reinstatement Committee must be communicated in writing to the

applicant and to the Registrar.

(2) If an application for reinstatement is accepted, the Reinstatement Committee may

reinstatement and the applicant must satisfy all criteria required for the issuing of a

new licence under these regulations.

(3) A decision of the Reinstatement Committee concerning an application for

reinstatement is final.

(4) Despite subsection (3), if an application is rejected, the applicant may resubmit an

application for reinstatement after a year has elapsed following the date of the

decision of the Reinstatement Committee, or at a later date set out in its decision.

Costs of Reinstatement Committee

55 The Reinstatement Committee may recover costs from an applicant, including any of the

following:

(

a) expenses incurred by the Association and the Reinstatement Committee in

investigating the application for reinstatement;

(

b) expenses incurred by the Association and the Reinstatement Committee for the

role of the Association or the Reinstatement Committee in the reinstatement

application process;

(

c) solicitor and client costs, disbursements and HST of the Association and the

Reinstatement Committee relating to the investigation and hearing and

adjudication of the application for reinstatement, including the solicitor and

client costs, disbursements and HST of the Association’s counsel;

(

d) fees for obtaining an expert’s report or for preparing any necessary transcripts

of the proceedings;

(

e) travel costs and reasonable expenses of any witnesses required to appear before

the Reinstatement Committee.

Code of Ethics and Standards of Practice

56 Council must by resolution approve the Code of Ethics and the Standards of Practice that

apply to all members.

Accreditation and Categories of Facilities

Application for interim accreditation certificate

(1) A member seeking to engage in the practice of veterinary medicine in a facility that

does not hold a current accreditation certificate must apply to the Accreditation

Committee for an interim accreditation certificate by submitting a completed

application to the Registrar on a form approved by the Registrar, indicating the

category or categories of facility, together with the prescribed fee.

(2) On receiving an application under subsection (1), the Accreditation Committee must

appoint an inspector to inspect the facility.

(3) If an inspector is satisfied that a facility meets the standards for the applicable

category or categories of facility as set out in the by-laws, with the exception of those

standards that can only be met once the facility is in operation, the inspector must

issue an interim accreditation certificate to the facility in the applicable category or

categories.

Term of interim accreditation certificate

58 An interim accreditation certificate must be issued for a term of no longer than 60 days.

Notification of interim accreditation certificate to Accreditation Committee

59 An inspector must notify the Registrar and the Chair of the Accreditation Committee when

they issue an interim accreditation certificate.

Denial of interim accreditation certificate

(1) If an inspector does not issue an interim accreditation certificate to an applicant, the

inspector must give the Accreditation Committee a written recommendation for

denial, including the reasons for the recommendation.

(2) On receiving a recommendation for denial from an inspector, the Accreditation

Committee must notify the applicant of the recommendation and invite the applicant

to present any further relevant information to the Accreditation Committee either

orally or in writing, as determined by the Accreditation Committee.

(3) On receiving information from an applicant under subsection (2), and after reviewing

the information with the inspector if the Accreditation Committee considers it

necessary, the Accreditation Committee must issue or deny an interim accreditation

certificate.

Issue of accreditation certificate

(1) Before an interim accreditation certificate expires, an inspector must revisit a facility

to conduct a further inspection of the facility and determine whether all of the

standards set out in the by-laws for the applicable category of facility are met.

(2) On reinspecting a facility, if an inspector is satisfied that the facility meets the

standards for the applicable category or categories of facility as set out in the by-laws, the inspector must issue an accreditation certificate for the applicable category

or categories of the facility.

Term of accreditation certificate

(1) An accreditation certificate must be issued for a term of no longer than 3 years.

(2) An accreditation certificate expires on the earliest of

(

a) the expiration date of the accreditation certificate;

(b) 30 days from the date of a change in the majority of the owners of a facility,

unless the member or members operating in or from the facility have given

notification of the change in ownership under

Section 67;

(

c) the date that the accreditation certificate is revoked under

Section 69; and

(

d) the date that a member refuses to comply with an inspection required under

these regulations.

Renewal of accreditation certificate

(1) At least 90 days before the expiry date of a facility’s current accreditation certificate,

a member engaged in the practice of veterinary medicine in the facility must be

(

a) sent a renewal application form approved by the Registrar; and

(

b) notified by the Accreditation Committee that the member must apply for

renewal of the facility’s accreditation certificate.

(2) A member may apply for renewal of an accreditation certificate by submitting a

completed renewal application to the Accreditation Committee on a form approved

by the Registrar together with the prescribed fee at least 60 days before the expiry

date of the current accreditation certificate.

(3) On receiving an application under subsection (2), the Accreditation Committee must

appoint an inspector to conduct an inspection of a facility and the inspector must

conduct the inspection before the expiry of the facility’s current accreditation

certificate.

(4) If an inspector is satisfied that a facility inspected under subsection (3) meets the

standards for the applicable category or categories of facility as set out in the by-laws, the inspector must issue a new accreditation certificate to the facility in the

applicable category or categories.

Notification of accreditation certificate to Accreditation Committee

64 An inspector must notify the Registrar and the Chair of the Accreditation Committee when

they grant or renew an accreditation certificate.

Denial of accreditation certificate

(1) If an inspector does not issue an accreditation certificate under subsection 61(2) or

63(4), the inspector must give the Accreditation Committee a written

recommendation for denial, including reasons for the recommendation.

(2) On receiving a recommendation for denial from an inspector, the Accreditation

Committee must notify the applicant of the recommendation, and invite the applicant

to present any further relevant information to the Accreditation Committee either

orally or in writing, as determined by the Accreditation Committee.

(3) On receiving information from an applicant under subsection (2), and after reviewing

the information with the inspector, if the Accreditation Committee considers it

necessary, the Accreditation Committee must issue or deny an accreditation

certificate.

Appeal from denial of renewal of accreditation certificate

66 A member or members who have been denied renewal of an accreditation certificate under

Section 65 may appeal the decision of the Accreditation Committee to the Accreditation

Appeal Committee in the same manner as an appeal from a denial of an accreditation

certificate under

Section 41 of the Act.

Change in ownership of facility

(1) If the majority of the owners of a facility changes during the term of an accreditation

certificate, or if the majority of the voting shareholders of a corporate owner of a

facility changes during the term of an accreditation certificate, the member or

members who intend to practise in the facility following the change in ownership

must notify the Registrar of the change in majority ownership and reapply for an

interim accreditation certificate in accordance with

Section 57 within 30 days of the

change.

(2) An accreditation certificate of a facility in effect before a change in the majority of

owners remains in effect until an interim accreditation certificate is issued or denied.

Re-inspection of facility suspected of non-compliance

(1) If the Accreditation Committee has reasonable and probable grounds to believe that a

facility that holds a current accreditation certificate is no longer in compliance with

the standards required for that category of facility as set out in the by-laws, the

Accreditation Committee must direct an inspector to conduct an immediate re-inspection of the facility.

(2) If an inspector determines that a facility suspected of non-compliance complies with

the standards required for that category of facility as set out in the by-laws, the

inspector must notify the Registrar and the Chair of the Accreditation Committee of

the facility’s compliance, and no further action is required.

Revocation of accreditation certificate

(1) If an inspector determines that a facility suspected of non-compliance does not meet

the standards required for that category of facility as set out in the by-laws, the

inspector must give the Accreditation Committee a report of the inspection,

including details of the non-compliance.

(2) On receiving an inspector’s report under subsection (1), the Accreditation Committee

must notify the member or members engaged in the practice of veterinary medicine

in the facility of the inspector’s report, and invite the member or members to present

any further relevant information to the Accreditation Committee either orally or in

writing, as determined by the Accreditation Committee.

(3) On receiving information from a member or members under subsection (2), and after

reviewing the information with the inspector, if the Accreditation Committee

considers it necessary, the Accreditation Committee must revoke or uphold the

accreditation certificate of the facility.

(4) A member or members engaged in the practice of veterinary medicine in a facility

for which the accreditation certificate is revoked may appeal the decision of the

Accreditation Committee to the Accreditation Appeal Committee in the same

manner as an appeal from a denial of an accreditation certificate under

Section 41 of

the Act.

Categories of facilities

70 The categories of facilities are as follows:

(

a) small animal hospital;

(

b) small animal clinic;

(ba) small animal mobile clinic;

Clause 70(ba) added: O.I.C. 2014-437, N.S. Reg. 159/2014.

(

c) small animal remote service;

Clause 70(

c) amended: O.I.C. 2014-437, N.S. Reg. 159/2014.

(

d) small animal house call service;

(

e) large animal hospital;

(

f) large animal clinic;

(

g) large animal mobile service;

(

h) emergency clinic;

(

i) aquatic animal facility; and

Clause 70(

i) added: O.I.C. 2017-54, N.S. Reg. 35/2017.

(

j) aquatic animal ambulatory service.

Clause 70(

j) added: O.I.C. 2017-54, N.S. Reg. 35/2017.

Small animal hospital

(1) The scope of practice for a small animal hospital is limited to examination,

diagnostic and prophylactic services and medical and surgical treatment for small

animals, including major surgery.

(2) A small animal hospital must meet the standards set out in the by-laws.

Subsection 71(2) replaced: O.I.C. 2014-437, N.S. Reg. 159/2014.

Small animal clinic

(1) The scope of practice for a small animal clinic is limited to examination, diagnostic

and prophylactic services and medical and surgical treatment for small animals, and

does not include major surgery.

(2) Despite subsection (1), ovariohysterectomies may be performed in a small animal

clinic if anaesthetic services, overnight compartments and an area for major surgical

procedures, as required by the standards for a small animal hospital set out in the by-laws, are provided within the small animal clinic.

(3) A small animal clinic must be owned by or associated with a currently accredited

small animal hospital for purposes of providing hospitalization, surgery, emergency

and other services not provided by the small animal clinic.

Subsection 72(3) replaced: O.I.C. 2014-437, N.S. Reg. 159/2014.

(4) If a small animal clinic is not owned by the small animal hospital with which it is

associated, there must be a written agreement between the small animal clinic and

the small animal hospital that sets out the terms of their association.

Subsection 72(4) added: O.I.C. 2014-437, N.S. Reg. 159/2014.

(5) If a written agreement between a small animal clinic and an associated small animal

hospital is no longer in effect, the accreditation of the small animal clinic is deemed

withdrawn.

Subsection 72(5) added: O.I.C. 2014-437, N.S. Reg. 159/2014.

(6) A small animal clinic must meet the standards set out in the by-laws.

Subsection 72(6) added: O.I.C. 2014-437, N.S. Reg. 159/2014.

Small animal mobile clinic

72A(1) The scope of practice for a small animal mobile clinic is limited to examination,

diagnostic and prophylactic services and medical and surgical treatment for small

animals, and does not include major surgery.

(2) Despite subsection (1), ovariohysterectomies may be performed in a small animal

mobile clinic if anaesthetic services and an area for major surgical procedures, as

required by the standards for a small animal hospital set out in the by-laws, are

provided within the small animal mobile clinic.

(3) A small animal mobile clinic must be operated from a vehicle that meets the

standards set out in the by-laws.

(4) A small animal mobile clinic must be owned by or associated with a currently

accredited small animal hospital for purposes of providing hospitalization, surgery,

emergency and other services not provided by the small animal mobile clinic.

(5) If a small animal mobile clinic is not owned by the small animal hospital with which

it is associated, there must be a written agreement between the small animal mobile

clinic and the small animal hospital that sets out the terms of their association.

(6) If a written agreement between a small animal mobile clinic and an associated small

animal hospital is no longer in effect, the accreditation of the small animal mobile

clinic is deemed withdrawn.

(7) A small animal mobile clinic must receive approval from the Accreditation

Committee for each location where the small animal mobile clinic intends to operate.

(8) A small animal mobile clinic must meet the standards set out in the by-laws.

Section 72A added: O.I.C. 2014-437, N.S. Reg. 159/2014.

Small animal remote service

(1) The scope of practice for a small animal remote service is limited to examination,

diagnostic, euthanasia and prophylactic services and, for purposes of restraint or

euthanasia only, sedation, and does not include general anaesthesia, radiology, and

minor or major surgery.

(2) A small animal remote service must be operated out of a stationary building and

must not be operated from a vehicle.

(3) A small animal remote service must be owned by or associated with a currently

accredited small animal hospital for purposes of providing hospitalization, surgery,

emergency and other services not provided by the small animal remote service.

(4) If a small animal remote service is not owned by the small animal hospital with

which it is associated, there must be a written agreement between the small animal

remote service and the small animal hospital that sets out the terms of their

association.

(5) If a written agreement between a small animal remote service and an associated

small animal hospital is no longer in effect, the accreditation of the small animal

remote service is deemed withdrawn.

(6) A small animal remote service must receive approval from the Accreditation

Committee for each location the small animal remote service intends to operate.

(7) A small animal remote service must meet the standards set out in the by-laws.

Section 73 replaced: O.I.C. 2014-437, N.S. Reg. 159/2014.

Small animal house call service

(1) The scope of practice for a small animal house call service is limited to examination,

diagnostic, euthanasia and prophylactic services and, for purposes of restraint or

euthanasia only, sedation, and does not include general anaesthesia, radiology, and

minor or major surgery.

(2) The services performed by a small animal house call service must be performed at

the client’s residence.

(3) A small animal house call service must be owned by or associated with a currently

accredited small animal hospital for purposes of providing hospitalization, surgery,

emergency and other services not provided by the small animal house call service.

(4) If a small animal house call service is not owned by the small animal hospital with

which it is associated, there must be a written agreement between the small animal

house call service and the small animal hospital that sets out the terms of their

association.

(5) If a written agreement between a small animal house call service and an associated

small animal hospital is no longer in effect, the accreditation of the small animal

house call service is deemed withdrawn.

(6) A small animal house call service must meet the standards set out in the by-laws.

Section 74 replaced: O.I.C. 2014-437, N.S. Reg. 159/2014.

Large animal hospital

(1) The scope of practice for a large animal hospital is limited to examination, diagnostic

and prophylactic services and medical and surgical treatment for large animals,

including major surgery.

(2) A large animal hospital must be equipped to provide housing and nursing care for

large animals during illness, convalescence and major surgery.

Large animal clinic

76 The scope of practice for a large animal clinic is limited to the same services as a large

animal hospital, if the standards for a large animal hospital as set out in the by-laws are

met.

Large animal mobile service

(1) The scope of practice for a large animal mobile service is limited to the same

services as a large animal hospital, if the standards for a large animal hospital as set

out in the by-laws are met.

(2) A large animal mobile service must be conducted from a vehicle and must be

operated from, and under the same ownership as, a large animal hospital or large

animal clinic.

Emergency clinic

(1) The scope of practice for an emergency clinic is limited to examination, diagnostic

and prophylactic services and medical and surgical treatment for small animals,

including major surgery.

(2) An emergency clinic must be open only during hours that are outside the regular

business hours of small animal hospitals or small animal clinics in the vicinity of the

emergency clinic.

(3) An emergency clinic must

(

a) be operated, equipped and staffed to provide emergency services;

(

b) have a member who holds a general practice licence and sufficient staff to

provide timely and appropriate care in attendance at all times during the

operation of the facility;

(

c) specify its hours of operation, which must principally be the hours when most

other categories of facilities are not providing client services;

(

d) transfer patients’ records to the primary care provider of each patient on the

next available business day;

(

e) when the clinic closes, arrange for the transfer of a patient to the patient’s

primary care provider if necessary;

(

f) meet the standards for small animal hospitals as set out in the by-laws; and

(

g) have the equipment required for emergency clinics as specified in the standards

set out in the by-laws.

Aquatic animal facility

78A(1) The scope of the practice for an aquatic animal facility is limited to examination,

diagnostics, euthanasia, prophylactic and medical and surgical treatment for aquatic

animals.

(2) An aquatic animal facility must meet the standards set out in the by-laws.

Section 78A added: O.I.C. 2017-54, N.S. Reg. 35/2017.

Aquatic animal ambulatory service

78B

(1) The scope of practice for an aquatic animal ambulatory service is limited to the same

services as an aquatic animal facility, if the standards for an aquatic animal facility as

set out in the by-laws are met.

(2) An aquatic animal ambulatory service must be conducted from a vehicle that meets

the standards set out in the by-laws.

(3) An aquatic animal ambulatory service must be operated from, and under the same

proprietorship as, an aquatic animal facility.

Section 78B added: O.I.C. 2017-54, N.S. Reg. 35/2017.

Accreditation Committee may waive requirements

79 Despite Sections 57 to 78, the Accreditation Committee, with the approval of Council,

may waive any of the requirements for accreditation if it is satisfied that it is in the public

interest to do so.

Section 79 added: O.I.C. 2014-437, N.S. Reg. 159/2014.

Document details

CollectionNova Scotia — Regulations
CitationN.S. Reg. 37/2006
Date2006-01-01
Typeregulation
Volume / chapterjust regulations regs vetmed.htm
Languageen
Formathtm
SourcePROVINCIAL
Identifier01a9e2fe98edc2b107f608f392644509e0121979

Source file is stored in the law ingest library (htm).