MENTAL HEALTH ACT SECTION 5(4) NURSES HOLDING POWER POLICY



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Transcription:

MENTAL HEALTH ACT SECTION 5(4) NURSES HOLDING POWER POLICY Version: 4 Ratified by: Date ratified: December 2013 Title of originator/author: Senior Managers Operational Group Mental Health Legal Strategies Lead Title of responsible committee/ group: Mental Health Legislation Group Date issued: January 2014 Review date: November 2016 Relevant staff groups All qualified nurses caring for patients on psychiatric wards This document is available in other formats, including easy read summary versions and other languages upon request. Should you require this please contact the Equality and Diversity Lead on 01278 432000 V4-1 - December 2013

DOCUMENT CONTROL Reference Number BJ/Dec13/NHPP Version 4 Status Final Author Mental Health Legal Strategies Lead Amendments: Equality Impact assessment statement amended. Policy now clarifies which patients can be subject to nurses holding powers. Clarifies hospital to include its grounds. No other substantive change to the document, which has been reviewed. Document objectives: To inform nurses what action to take when an informal patient intends to or tries to leave hospital and the nurse thinks the patient would be at risk if they did. Intended recipients: All qualified nurses caring for patients on the wards should be familiar with the procedures detailed in this document. Committee/Group Consulted: Mental Health Legislation Group. IQIS, Operational Managers Group (LD) Monitoring arrangements and indicators: The Trust will audit the use of S.5(4) via the MHL group. Overall monitoring will be by the Regulation Governance Group. Training/resource implications: The Trust will ensure that all necessary staff are appropriately trained in line with the organisation s training needs analysis. Approving body and date Formal Impact Assessment Clinical Governance Group Date: November 2013 Impact Part 1 Date: July 2013 Clinical Audit Standards NO Date: N/A Ratification Body and date Senior Managers Operational Group Date of issue January 2014 Review date November 2016 Date: December 2013 Contact for review Lead Director Mental Health Legal Strategies Lead Director of Governance and Corporate Development CONTRIBUTION LIST Key individuals involved in developing the document Name Bob Jones All Group Members All Group Members All Group Members All members Andrew Sinclair Designation or Group Mental Health Legal Strategies Lead Mental Health Act Group Clinical Policy Review Group Clinical Governance Group IQIS, Operational Managers Group (LD) Equality and Diversity Lead V4-2 - December 2013

CONTENTS Section Summary of Section Page Doc Document Control 2 Cont Contents 3 1 Introduction 4 2 Purpose and Scope 4 3 Duties and Responsibilities 4 4 Explanations of Terms used 5 5 Using the Power 5 6 Obtaining an Assessment 5 7 Treatment 6 8 Training Requirements 6 9 Equality Impact Assessment 6 10 Monitoring Compliance and Effectiveness 7 11 Counter Fraud 7 12 Relevant Care Quality Commission (CQC) Registration Standards 8 13 References, Acknowledgements and Associated Documents 8 V4-3 - December 2013

1. INTRODUCTION 1.1 This power can only be used to detain patients who have either been informally admitted to hospital, or have become informal while on the ward. It can be used whether or not the patient had capacity to consent to their admission to hospital, but cannot be used with out-patients, with those attending the hospital in other capacities, e.g. as visitors, or with patients who are already liable to be detained under the Mental Health Act 1983 or subject of a Supervised Community Treatment Order. The power lasts a maximum of 6 hours during which time the patient should be assessed by a doctor. The power to detain under section 5(4) is not renewable. 2. PURPOSE & SCOPE 2.1 To inform hospital staff what action to take when a voluntary patient is trying to leave the ward (including the outside area attached to the ward) and a qualified nurse believes the patient is suffering from mental disorder to such a degree that it is necessary for the patient to be immediately prevented from leaving the hospital either for the patient s health or safety or for the protection of other people. 2.2 The patient may be held for up to 6 hours. 2.3 All nursing staff caring for patients on the wards should be familiar with the procedures detailed in this document. 3. DUTIES AND RESPONSIBLITIES 3.1 The Trust Board has a duty to care for patients looked after by the Trust. 3.2 The Director of Governance and Corporate Development is responsible for this policy covering the appropriate use of section 5(4) within the Trust, but will delegate authority for the operational implementation and ongoing management of this policy to the Mental Health Legal Strategies Lead. 3.3 The Mental Health Legal Strategies Lead is the author of this policy, who will review this policy at least every two years. 3.4 Each registered healthcare professional is accountable for his/her own practice and will be aware of their legal and professional responsibilities relating to their competence and work within the Code of practice of their professional body. 3.5 All nursing staff caring for patients on the wards should be familiar with the procedures detailed in the document and other related policies. 3.6 Line managers are responsible for ensuring all staff are conversant with this policy and related policies. V4-4 - December 2013

4. EXPLANATIONS OF TERMS USED MHA Mental Health Act 1983 as amended by the Mental Health Act 2007 5. USING THE POWER 5.1 S.5(4) can only be used by a qualified mental health or learning disability nurse, who cannot be instructed to use the power but must make a personal decision. It can only be used when the patient is still on the hospital premises. 5.2 The nurse using the power must be satisfied that the patient is suffering from a mental disorder to a degree that it is necessary for their health or safety, or the protection of others, that they not be allowed to leave the hospital. 5.3 Where the nurse becomes aware of a patient s sudden determination to leave they should be alert to the potentially serious consequences of them doing so and the power may be used without a full assessment. 5.4 It should only be used when there is likely to be a delay in getting a doctor to attend and the patient cannot be persuaded to wait to see the doctor in charge of their treatment. 5.5 It is permissible to detain the patient under common law pending the immediate (meaning a few minutes) assessment by a doctor. 5.6 The nurse must be fully aware of the diverse needs of the patient when considering detention and must take them in to account at all times. They must ensure the patient fully understands what is happening to them in a language and format which they are able to understand. Where necessary, an interpreter should be obtained. 6. OBTAINING AN ASSESSMENT 6.1 The nurse invoking the power does so by completing Form H2 and delivering it to the hospital managers, via the Mental Health Act Administrators. It can be faxed. 6.2 The nurse should immediately contact the doctor or approved clinician (AC) in charge of the patient s treatment, or their nominated deputy, to inform them of the use of s.5(4). 6.3 Reasons for using the power should be recorded in the patient s electronic patient record and a report sent, as soon as is practicable, to the hospital managers recording the incident which led to the use of the power. 6.4 While waiting for the doctor or AC to attend it is permissible, using the minimum force necessary, to prevent the patient from leaving the ward. 6.5 The nurse in charge must ensure that at the time of a shift change staff coming on duty are made aware of patients who remain subject to s.5(4). V4-5 - December 2013

6.6 If the doctor or AC has not arrived within four hours, the nurse in charge must contact the duty consultant who should attend. 6.7 The power to detain lapses once the doctor or AC arrives to assess the patient. 6.8 The nurse should inform the hospital managers, via the Mental Health Act Administrators, when the power to detain has lapsed. This can be done by e- mail or fax. A note must also be made on the patient s electronic patient record. 6.9 If no doctor or AC has attended after the six hours have elapsed the nurse in charge must immediately inform (orally) the service manager or their deputy and provide a written report both to the service manager and the hospital managers by the end of the next working day. 7. TREATMENT 7.1 Patients detained under S.5(4) are in the same position in regard to treatment as voluntary patients. No treatment, except when given in an emergency, can be administered without consent. To obtain the patient s consent, the use of a professional interpreter may be required. 7.2 Emergency treatment can only be given within the principles of common law and the Mental Capacity Act. That is to say, only if the patient lacks capacity and treatment is immediately necessary to save life, prevent a serious deterioration in the patient s health, alleviate serious suffering or prevent the patient from behaving violently and being a danger to themselves or others. In accordance with the Trust s Consent and Capacity to Consent to Treatment policy, a consent and capacity assessment, including the Best Interest checklist, should be completed where any treatment is given without consent. Treatment should be the least restrictive and the minimum necessary. 8. TRAINING REQUIREMENTS 8.1 The Trust will work towards all staff being appropriately trained in line with the organisation s Staff Training Matrix (training needs analysis). All training documents referred to in this policy are accessible to staff within the Learning and Development Section of the Trust Intranet. 8.2 Training in the appropriate use of S.5(4) is provided to qualified nurses on mental Health in-patient wards. 9. EQUALITY IMPACT ASSESSMENT 9.1 All relevant persons are required to comply with this document and must demonstrate sensitivity and competence in relation to the nine protected characteristics as defined by the Equality Act 2010. In addition, the Trust has identified Learning Disabilities as an additional tenth protected characteristic. If you, or any other groups, believe you are disadvantaged by anything contained in this document please contact the Equality and Diversity Lead who will then actively respond to the enquiry. V4-6 - December 2013

10. MONITORING COMPLIANCE AND EFFECTIVENESS 10.1 Monitoring arrangements for compliance and effectiveness The Trust will monitor adherence to the policy. Overall monitoring will be by the Regulation Governance Group. The Mental Health Legislation Group is a subgroup of the Regulation Governance Group and is accountable to the Regulation Governance Group. 10.2 Responsibilities for conducting the monitoring The Mental Health Legislation Group will monitor procedural document compliance and effectiveness where they relate to the use of section 5(4) and feedback to the Regulation Governance Group. 10.3 Methodology to be used for monitoring Discussions of the following will be recorded within the MHL Group minutes internal audits complaints monitoring incident reporting and monitoring new significant risks to be reported to the Regulation Governance Group by the MHA Group 10.4 Frequency of monitoring annual reports on the general operation of the nurses holding power to the Mental Health Legislation Group, from the Mental Health Legal Strategies Lead 10.5 Process for reviewing results and ensuring improvements in performance occur. Information received will be discussed at the MHL Group which will identify good practice, any shortfalls, action points and lessons learnt. Any change in policy will be presented to the Regulation Governance Group which will be responsible for ensuring improvements, where necessary, are implemented. 11. COUNTER FRAUD 11.1 The Trust is committed to the NHS Protect Counter Fraud Policy to reduce fraud in the NHS to a minimum, keep it at that level and put funds stolen by fraud back into patient care. Therefore, consideration has been given to the inclusion of guidance with regard to the potential for fraud and corruption to occur and what action should be taken in such circumstances during the development of this procedural document. V4-7 - December 2013

12. RELEVANT CARE QUALITY COMMISSION (CQC) REGISTRATION STANDARDS The standards and outcomes which inform this policy document, are as follows: Section Outcome Information and involvement 2 Consent to care and treatment Personalised care, treatment and support 4 Care and welfare of people who use services Safeguarding and safety 7 Safeguarding people who use services from abuse Quality and management 21 Records 13. REFERENCES, ACKNOWLEDGEMENTS AND ASSOCIATED DOCUMENTS References Jones R. Mental Health Act Manual 15 th Edition - Sweet & Maxwell 2013 MHA 83 Code of Practice Chapter 12 The Stationery Office 2008 Cross reference to other procedural documents Consent and Capacity to Consent to Treatment Policy Detained Patients AWOL Policy Development & Management of Procedural Documents Learning Development and Mandatory Training Policy Record Keeping and Records Management Policy Risk Management Policy and Procedure Section 5(2) Doctors (and Approved Clinicians) Holding Powers Policy Staff Training Matrix (Training Needs Analysis) Training Prospectus Untoward Event Reporting Policy and procedure All current policies and procedures are accessible to all staff on the Trust intranet (on the home page, click on Policies and Procedures ). Trust Guidance is accessible to staff on the Trust Intranet (on the home page, click on Information, then Local Guidance). V4-8 - December 2013