Dental Group Compliance: Protecting Practices in an Era of Growth
As dental groups expand through acquisitions, affiliations, and management service agreements, maintaining compliance across multiple locations has become increasingly complex.
Regulatory oversight continues to intensify—especially in areas involving ownership structures, fee-splitting, and patient data privacy. Whether your practice operates in one state or across several, compliance is no longer optional—it’s a critical business strategy.
The Rise of Multi-Location Dental Groups
Growth through consolidation has transformed the dental industry. Private equity investments, Dental Service Organizations (DSOs), and joint ventures between dentists and management entities have fueled rapid expansion. Yet, with this growth comes a heightened risk of violating state corporate practice of dentistry (CPOD) laws, improper management fee arrangements, or employment misclassifications.
Each state imposes unique requirements on who may own and control a dental practice, how revenues are shared, and what operational functions may be delegated. Failing to navigate these correctly can expose practices to civil penalties, license actions, and reputational harm.
Key Areas of Compliance Focus
Ownership & Structure
- Ensure the professional entity is properly formed and licensed under state law.
- Review management services agreements (MSAs) to confirm they comply with CPOD rules.
- Avoid structures that give non-dentists impermissible control over clinical operations or profits.
Financial Transparency
- Evaluate management fees and cost-sharing arrangements for compliance with anti-kickback and fee-splitting restrictions.
- Maintain clear documentation of fair market value for administrative services.
Data Privacy & Security
- Ensure all locations meet HIPAA and state-specific data protection laws.
- Implement written policies and regular audits to prevent unauthorized data access.
Employment & Contractor Classification
- Properly classify associates, hygienists, and administrative staff to comply with labor and tax laws.
- Review restrictive covenants and employment agreements for enforceability.
Building a Culture of Compliance
Compliance is not a one-time event—it’s a continuous process that evolves with each acquisition, regulatory update, and staffing change. Dental group leaders should:
- Conduct regular internal compliance audits.
- Provide ongoing training to doctors and managers.
- Maintain centralized documentation for licenses, contracts, and regulatory filings.
When compliance is implemented into daily operations, practices can scale confidently, attract investors, and avoid costly legal pitfalls.
How Oberman Law Firm Can Help
Oberman Law Firm’s Dental and Healthcare Practice Group advises dental groups, DSOs, and private practices nationwide on regulatory compliance, transactions, and operational structuring. Our attorneys assist with:
- State licensing and CPOD compliance reviews
- Structuring compliant MSOs and management agreements
- M&A due diligence and growth strategy planning
- Employment, compensation, and data security compliance
As your practice continues to grow, proactive legal guidance is your strongest defense—and your most valuable asset.
For more information or to schedule a compliance consultation, contact Oberman Law Firm’s Dental Industry Team.