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The New York State Office of Mental Health Positive Alternatives to Restraint and Seclusion (PARS) Project Jennifer P. Wisdom, Ph.D., M.P.H., David Wenger, M.A., L.M.S.W., David Robertson, R.N., Jayne Van Bramer, M.A., Lloyd I. Sederer, M.D.
Objective: The Positive Alternatives to Restraint and Seclusion (PARS) project of the New York State Office of Mental Health (OMH) was designed to build capacity to use alternatives to restraint and seclusion within state-operated and licensed in- patient and residential treatment programs serving children with severe emotional disturbances. Its long-term goal was to eliminate the use of these restrictive interventions throughout the state’s mental health system of care by creating coercion- and violence-free treatment environments governed by a phi- losophy of recovery, resiliency, and wellness.
Methods: The central feature of the PARS project was training in, implementation of, and engagement with the Six Core Strategies to Reduce the Use of Seclusion and Restraint, a comprehensive approach developed by the National Asso- ciation of State Mental Health Program Directors. This report provides an overview of the project, results from January 2007 through December 2011, and lessons learned by OMH.
Results: The three participating mental health treatment facilities demonstrated significant decreases in restraint and seclusion episodes per 1,000 client-days. Each identi- fied specific activities that contributed to success, including ways to facilitate open, respectful two-way communication between management and staff and between staff and youths and greater involvement of youths in program de- cision making.
Conclusions: All three facilities continued to implement key components of the PARS initiative after termination of grant-funded activities, and OMH initiated multiple ac- tivities to disseminate lessons learned during the project to all inpatient and residential treatment programs throughout the state mental health system.
Psychiatric Services 2015; 66:851–856; doi: 10.1176/appi.ps.201400279
For over 20 years, mental health providers have questioned the efficacy of restraint and seclusion as treatment inter- ventions for maintaining safety in inpatient and residential psychiatric programs (1–3). The Joint Commission has en- couraged the reduction of the use of restraint and seclusion (4). Consumer advocacy groups (1,5,6), public reports (7,8), and the National Association of State Mental Health Pro- gram Directors (NASMHPD) (9) have recommended the elimination of restraint and seclusion and have voiced con- cerns about their deleterious effects.
The New York State Office of Mental Health (OMH) over- sees a mental health system serving approximately 700,000 persons annually. Since the 1990s, OMH has taken a pro- active approach to reduce the use of restraint and seclusion through data analysis, policy and clinical practice initiatives, and workforce development. In 2007, OMH implemented the Positive Alternatives to Restraint and Seclusion (PARS) project. Promoting a philosophy of recovery, resiliency, and wellness, this project aimed to implement evidence-based practices to create violence- and coercion-free cultureswhere use of restraint and seclusion is reduced and ultimately
eliminated. This article describes the implementation of the PARS project, outcomes of efforts to reduce the use of re- straint and seclusion, and lessons learned.
METHODS
Three facilities participated in an in-depth intervention to reduce use of restraint and seclusion that included training, on-site mentors and peer specialists, and on-site consulta- tion from the NASMHPD Office of Technical Assistance. The intervention used performance improvement techniques (10,11), direction by a central OMH steering committee and facility leadership teams, consultation with NASMHPD ex- perts, implementation of service innovations suggested by best practices and research, and benchmarking and feedback on progress. The intervention’s primary methodology was implementation of NASMHPD’s “Six Core Strategies to Reduce the Use of Seclusion and Restraint” (12). These strategies, designed to establish a comprehensive, systemwide inte- gration of positive alternatives to restraint and seclusion, embrace the principles of child-centered, strengths-based,
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ARTICLES
and trauma-informed care and are included in the National Registry of Evidence-Based Programs and Practices (www. nrepp.samhsa.gov; select 6CS.)
The first core strategy is leadership toward organiza- tional change, evidenced by ensuring that the organization’s values, policies, and practices are consistent with a restraint and seclusion reduction initiative and by forming a steering committee to provide oversight. Leaders partner with staff and youths to implement the other core strategies: work- force development, devising tools to prevent use of restraint and seclusion, consumer involvement, use of data to inform change, and postevent debriefing.
The OMH Institutional Review Board (IRB) for the Protec- tion of Human Subjects determined that the quality improve- ment activities described in the study did not constitute human subjects researchand that IRB review thereforewasnot required.
Setting and Participants OMH focused on children’s facilities because children inOMH facilities were five times as likely as adults to be placed in restraint or seclusion (13). OMH contacted three facilities in the central and western regions of New York that were among the highest utilizers of restrictive interventions in the state and invited them to participate in the study. They were an OMH-operated children’s psychiatric center (facility 1), an OMH-licensed children’s residential treatment facility (facility 2), and the unit of an OMH-licensed private psy- chiatric hospital serving children and adolescents (facility 3). All three facilities agreed to participate, indicating their desire to improve service delivery. No additional facilities participated.
To guide project implementation, OMH created a central PARS steering committee comprising the OMH director of quality management, the director of the Bureau of Education and Workforce Development, and the director of Consumer Affairs; representatives from the Division for Children and Families, the state’s Council on Children and Families, the Commission on Quality of Care and Advocacy for Persons With Disabilities and consumer advocacy groups, including youth advocacy; and the director of an OMH-operated psy- chiatric hospital. National experts in reduction of restraint and seclusion and creation of violence- and coercion-free environments served as committee consultants and advisors.
Each facility was assigned a trainer-mentor to provide on- going consultation, modeling, and coaching in PARS concepts, techniques, and methods. Trainer-mentors were master’s- level mental health professionals with strong leadership, educational, and interpersonal skills and familiarity with evidence-based mental health practices, workforce and organi- zational development, and prevention andmanagement of crisis situations in children’smental health programs. Peer specialists— adults who were parents of a child with a mental illness and whowere trained at an OMH-supported Parent Empowerment Program (14)—contributed to the project at meetings.
Throughout the project, NASMHPDconsultants visited each site andprovided comprehensive reports and recommendations.
The providers incorporated these recommendations into their plans, policies, and practices, and the trainer-mentors monitored their progress.
Application of the Core Strategies Intervention Leadership toward organizational change. Facility leaders received extensive training on the Six Core Strategies to Reduce the Use of Seclusion and Restraint (12). Each facility developed a comprehensive action plan that addressed each of the core strategies and also formed a steering committee to oversee ongoing development, implementation, moni- toring, and refinement of the plan. As the project developed, the steering committees increased consumer participation and included a broader array of staff, including nurses and other milieu staff. Throughout the project, facility leaders and the OMH steering committee consulted monthly to monitor plan implementation and progress toward PARS goals, and discuss how to more effectively reach these goals.
Workforce development. NASMHPD provided two-day train- ing, where national experts presented sessions that focused on core strategies. Topics included identifying risk factors, understanding trauma and trauma-informed care, recovery- oriented and person-centered care, strategies for changing in- teractions between staff members and patients from coercive to collaborative, proactive violence prevention, and use of sen- sory modulation (15) and comfort rooms (16,17). In addition, facility 2 staff received training in dialectical behavior ther- apy (18) and the sanctuary model (19). Staff members from all disciplines, including psychiatry, psychology, nursing, social work, and paraprofessional staff, were trained. Facil- ities started emphasizing the importance of hiring staff who demonstrated commitment to coercion-free care.
Use of tools to prevent restraint and seclusion. Focusing on primary prevention, each facility utilized tools from the core strategies and other sources (13,15,19) to enhance its therapeutic environments and foster noncoercive, person- centered, resiliency-based care. Each facility created comfort rooms and comfort carts equipped with sensory modulation items that could be brought to children experiencing dysre- gulation. For each youth, individual calming plans were de- veloped that identified triggers, warning signs, and effective coping strategies. Facility 1 purchased a trained therapy dog and a climbing wall. Facility 2 purchased a set of high-quality drums to provide a sensory modulation activity and upgraded furnishings and common areas to provide a more soothing environment. Facility 3 made environmental improvements, such as adding chalkboards outside each child’s room to allow children to displaywhatever theywished, building an outdoor playground, and expanding its recreational and activity programs.
Promotion of consumer involvement.During thefirst two years, peer specialists worked with each site to develop programs that reflected input from the youths in care. In subsequent
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POSITIVE ALTERNATIVES TO RESTRAINT AND SECLUSION
years, staff at the three facilities developed other methods to enhance consumer involvement in decision making, including replacing points-and-levels systems of earning privileges with more person-centered approaches. Providers also worked to substantially increase parent and family involvement through the work of parent advocates, extensive outreach, invitations to kickoff celebrations, and family nights. Because youths could better represent the youths’ interests and because the youths served were more willing to work with them, youth peer specialists replaced adult peer specialists.
Use of data to inform change. Episodes of restraint and se- clusionwere defined as eventswhere restrictive interventions were used, regardless of duration. Facilities tracked episodes online in a secure module of the New York State Incident Management and Reporting System (NIMRS), including pa- tient information, precipitating actions, and length of epi- sode. The OMH Bureau of Quality Improvement assisted the facilities in analyzing data to identify when targeted interventions were needed, such as at particular times of the day or at transition points in the program, when rules contributed to tension, or when staff members had high rates of using restraint and seclusion. The bureau also pro- duced reports monthly for benchmarking and process im- provement. In addition, the facilities displayed information about PARS progress in public spaces and in newsletters.
Postevent debriefing. When restraint or seclusion was used, providers conducted debriefings with staff members and youths to better understand what happened and why, to mitigate the adverse and potentially traumatic effects of the event, to learn what could have been done differently, and to identify opportunities for improvement in treatment plans and facility policies.
Data Collection and Analysis With data that facilities provided via NIMRS, linear re- gressions determined the strength of the rate of restraint and seclusion episodes per 1,000 client-days against time (2007–2011) to determine whether episodes were reduced during the course of the intervention.
Qualitative data were collected via notes from facility consultations, site visits, steering committee reviews, site conference calls with OMH, and site reports. Basic qualita- tive thematic analysis techniques were used to identify les- sons learned (20).
RESULTS
Table 1 presents demographic and diagnostic information for youths served at each facility and for the two regions fromwhich the facilities were selected. Youths served in the participating facilities were similar to those served across the Western and Central regions of New York. For both populations, males and non-Hispanic whites predominated, and youths with ADHD or conduct disorder made up the
largest primary diagnostic group at all but facility 2, where mood disorders predominated.
Change in Incidence of Restraint and Seclusion The use of restraint and seclusion was significantly reduced at all three sites over the course of the project (Figure 1). At facility 1, the trend in number of incidents per 1,000 client- days showed a decrease of 62%, from 67 to 25 (R2=.27, p=.019); at facility 2, the trendwas a decrease of 86%, from 63 to 7 (R2=.50, p=.001); and at facility 3, the trend was a de- crease of 69%, from 99 to 13 (R2=.29, p=.007).
Lessons Learned All three facilities reported that incorporating the Six Core Strategies was essential to creating environments to reduce restraint and seclusion, and all chose to continue these ef- forts when the grant terminated. Lessons learned follow.
To achieve success in reducing use of restraint and seclusion, treatment facility providers and leadership must thoroughly examine their own culture and practices. Facility 1 reported that although administrators were aware of the Six Core Strategies before the project, their expectation was that these would be a “golden key” to solve problems. They re- alized, however, that they needed to examine their leader- ship styles and practices, the facility’s policies and practices, and the facility’s environment to effectively integrate the core strategies into their milieu. They involved a cross-section of staff on their steering committee rather than those always involved on committees. Their key to success was increased commitment: medical staff demonstrating commitment to the project’s aims, leaders trusting staff to try out new interven- tions, and staff ’s commitment to embrace new methods and make changes. As a result, the culture became more flexible and open to alternative approaches, with staff using less stig- matizing and more supportive language.
Creating the culture of change necessary to reduce the use of restraint and seclusion means making major changes at all levels of an organization and requires a major commitment over an extended period. The change process was not fully implemented until 2011, the fourth year of the project. Until then, each facility had periods of forward movement and retreat. It was important to use each period to reassess the extent to which each of the strategies had been imple- mented, actions had been effective, and culture had changed.
Conducting effective postevent debriefing plays a critical role in reducing use of restraint and seclusion but requires on- going commitment and willingness to learn. At facility 2, staff learned that the earlier the staff intervened, the more ef- fective they were in preventing stressful situations from escalating into crises. Staff members shifted the primary focus from preventing problematic behavior from escalating to addressing the resident’s unmet needs. In postincident debriefings, staff members shifted from looking at what
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happened immediately before the incident to looking back farther, to when there were earlier options to intervene ef- fectively. From that perspective, they identified what could have been done differently. Debriefing time increased to one hour. Staff members shared responsibility for what hap- pened and focused on how to respond more effectively in future situations. When the number of restraint and seclu- sion events was low, facility 2 analyzed situations in which crises were prevented by early intervention, to better un- derstand how best to prevent escalation. Using data, the staff systematically reviewed factors that precipitated child dis- tress and identified more effective staff interventions.
Manager treatment of staff affects how staff members treat persons served. Facility 2 reported that culture change oc- curred when the staff began embracing the core strategies. The program director led the change process by reassessing her management style and concluding that her role was to lead rather than manage. This meant deemphasizing control and valuing the skills, creativity, and contributions of each staff member. Conveying that everyone had a voice included them in decision making, which enhanced program perfor- mance. Each staff member’s unique talents contributed to team-based problem solving.
Consumer input and involvement in decision making are critical to improving a facility’s culture and reducing use of restraint and seclusion. Facility 3’s chief operating officer personally participated in debriefings; visited persons served
to solicit their opinions on programming, including what they liked and disliked; and made changes based on their responses. Youths who may never have had anyone to listen to them were being heard by a hospital chief. At facilities 2 and 3, feedback from persons served resulted in significant change to the facilities’ points-and-levels systems, which required in- dividuals served to display appropriate behavior to reach levels and earn privileges or home visits. Feedback that the levels system led to power struggles over denial of priv- ileges led facilities to better meet youths’ needs and mini- mize conflict by replacing the system with individualized planning. For example, a child who experienced a trigger would be placed on a modi- fied program to ensure that
his or her needs were met, rather than having restrictive interventions imposed on him or her. Facilities retained rules required for safety and deemphasized less important rules. Rather than reducing privileges after problematic behavior, staff focused on restorative tasks that allowed the child to make amends. Facility 2 also recognized the need to involve youths in decision making and expanded the Residents Council’s role to include making decisions regarding pro- gram expectations and behavioral norms. Facility 2 also involved youths in staff selection and found that they often raised insightful questions in interviews.
Staff from facilities participating in a project such as PARS can play a key role in disseminating alternatives to restraint and seclusion throughout the state. While the primary focus of the project was to implement change at the three par- ticipating facilities, the PARS steering committee imple- mented several initiatives to promote alternatives to restraint and seclusion throughout the state. In each initiative, the PARS facilities became engaged as learners and as promoters of core strategies. In 2009, PARS sponsored two statewide training conferences and awarded facilities that demonstrated significant commitment to reducing use of restraint and se- clusion. In 2010, PARS initiated five learning collaboratives. Each held monthly teleconference sessions led by national experts on prevention of restraint and seclusion. In these learning collaboratives the PARS facilities, multidisciplinary performance improvement teams from more than 30 faci- lities, persons served, parents, and advocates participated
TABLE 1. Characteristics of children and youths served per week by PARS-trained mental health facilities versus all mental health facilities in two regions of New York statea
Facility 1 (N=27)
Facility 2 (N=17)
Facility 3 (N=20)
Western and central
New York (N=10,118)
Characteristic N % N % N % N %
Age (years) 0–12 13 48 6 35 10 50 5,304 52 13–17 14 52 11 65 10 50 4,814 48
Gender Male 20 74 9 53 14 70 6,056 60 Female 7 26 8 47 6 30 4,051 40
Race-ethnicityb
White, non-Hispanic 16 59 14 82 11 55 7,276 72 Black, non-Hispanic 2 7 2 12 6 30 1,252 12 Hispanic 5 19 0 — 1 5 756 7 Other and multiple race 4 15 1 6 2 10 701 7
Primary diagnosis ADHD or conduct disorder 11 41 2 12 12 60 3,908 39 Adjustment disorder 0 — 0 — 1 5 1,514 15 Anxiety disorder 3 11 4 24 0 — 863 9 Mood disorder 7 26 8 47 7 35 2,099 21 Personality and impulse control disorder 0 — 1 6 0 — 175 2 Schizophrenia and related disorders 3 11 1 6 0 — 62 1 Other disorder 3 11 1 6 0 — 1,497 15
a PARS, Positive Alternatives to Restraint and Seclusion b Unknown for 133 (1%) children and youths in the Western and Central regions of New York state
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POSITIVE ALTERNATIVES TO RESTRAINT AND SECLUSION
together in educational forums and discussed, planned, im- plemented, and tested changes to reduce use of restraint and seclusion. Finally, a Lessons Learned conference showcased progress at the three PARS facilities and included presen- tations by national experts. PARS leaders reinforced a central PARS theme: culture change can be most effectively accomplished when persons served are involved in all aspects of decision making, including selection and evalu- ation of staff andmodification and even elimination of long- standing rules.
DISCUSSION AND CONCLUSIONS
This report outlines the effectiveness of an intervention that used NASMHPD’s Six Core Strategies to reduce use of re- straint and seclusion through creation of a positive thera- peutic environment free of violence and coercion. In this effort, OMH led three facilities in training and consultation to enact changes in management style, policies, procedures, and methods for obtaining consumer perspectives. OMH also implemented learning collaboratives to increase sus- tainability of changes made, encourage other facilities to adopt these strategies, and provide a forum for discussion of means to successfully overcome emerging challenges.
Consistent with other efforts to specifically reduce use of restraint and seclusion in psychiatric facilities (21,22), key elements of the intervention were commitment by leaders to culture change, participation by persons served, training, data analysis, and individualized treatment. This project included transformation of the physical environment and enhanced postevent debriefing as additional mechanisms for change, which are each consistent with promoting person- centered care (22) and facilitating staff efforts to deescalate conflict rather than using restraint or seclusion (23). We note that the intervention was not a “one size fits all” ap- proach, and sites reported that freedom to choose activities based on stakeholder suggestions was key to change.
The study had several limitations. These findings may not generalize beyond facilities that provide psychiatric services to children and adolescents. Given that the facilities vol- unteered to participate, it is unclear how well the interven- tion will work with facilities less committed to change. A reasonable assumption is that facilities in various service systems that have the desire to improve and the commit- ment of their leadership could successfully implement the intervention.
The core strategies interventionwas associated with fewer restraint and seclusion episodes even though each facility chose somewhat different activities to achieve this outcome. Although leadership at all facilities promoted culture change, the empowerment of staff and youth involvement in decision making were particularly strong at facilities 2 and 3. At facility 1, both staff and youths emphasized that the trained therapy dog was emblematic of leadership flexibility and staff empowerment and was a strong factor in creating a calm, accepting environment for persons served.
The primary finding of this project was that creation of coercion- and violence-free environments where use of re- straint and seclusion is markedly decreased requires a major commitment by all staff over an extended period to fully understand and internalize the strategies involved and em- brace the changes in facility culture. In New York, OMH is promoting facilities’ engagement in learning collaboratives so that facilities can reduce use of restraint and seclusion and realize significant positive outcomes.
AUTHOR AND ARTICLE INFORMATION
Dr. Wisdom is with the Department of Health Policy, George Washington University, Washington, D.C. (e-mail: jpwisdom@gwu.edu). All other authors are with the New York State Office of Mental Health in Albany, except for Dr. Sederer, who is at the New York City location.
The project was funded by a program grant from the Substance Abuse and Mental Health Services Administration (SM 058127).
The authors appreciate assistance from E. Kevin Conley, M.B.A., and Maria Pangilinan, Ph.D., from the New York State Office of Mental Health.
The authors report no financial relationships with commercial interests.
Received June 22, 2014; revisions received October 2 and November 24, 2014; accepted January 5, 2015; published online May 1, 2015.
FIGURE 1. Restraint and seclusion episodes at three youth psychiatric facilities per 1,000 client-days for 20 quarters, 2007–2011
Facility 1
Facility 2
Facility 3
0
20
40
60
80
100
120
0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20E p
is o
d e
s p
e r
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0 0
c lie
n t-
d ay
s E
p is
o d
e s
p e
r 1,
0 0
0 c
lie n
t- d
ay s
E p
is o
d e
s p
e r
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0 0
c lie
n t-
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s 0
10 20 30 40 50 60 70 80 90
100
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0
50
100
150
200
250
300
0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20
Time (quarters)
2007 2008 2009 2010 2011
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REFERENCES 1. Zusman J: Restraint and Seclusion: Improving Practice and Con-
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8. Weiss EM: Deadly restraint: a Hartford Courant Investigative Re- port. Hartford Courant, Oct 11–15, 1998
9. NASMHPD Position Statement on Restraint and Seclusion. Alexandria, Va, National Association of State Mental Health Pro- gram Directors, 1999. Available at www.nasmhpd.org/policy/ position_statement-posses1.aspx. Accessed May 8, 2014
10. Gitlow H, Gitlow S, Oppenheim A, et al: Tools and Methods for the Improvement of Quality. Homewood, Ill, Irwin Press, 1989
11. Shewhart WA: Statistical Method From the Viewpoint of Quality Control. Lancaster, Penn, Lancaster Press, 1939
12. Huckshorn KA: Six Core Strategies to Reduce the Use of Seclu- sion and Restraint Planning Tool. Austin, Tex, National Technical
Assistance Center for State Mental Health Planning, 2005. Available at www.hogg.utexas.edu/uploads/documents/SR_Plan_Template. pdf
13. LeBel J, Stromberg N, Duckworth K, et al: Child and adolescent inpatient restraint reduction: a state initiative to promote strength- based care. Journal of the American Academy of Child and Ado- lescent Psychiatry 43:37–45, 2004
14. Rodriguez J, Olin SS, Hoagwood KE, et al: The development and evaluation of a parent empowerment program for family peer advocates. Journal of Child and Family Studies 20:397–405, 2011
15. Champagne T, Stromberg N: Sensory approaches to in-patient psychiatric settings: innovative alternatives to seclusion and re- straint. Journal of Psychosocial Nursing 42:35–44, 2004
16. Bluebird G: Comfort rooms: reducing the need for seclusion and restraint. Residential Group Care Quarterly 5:5–6, 2005
17. MacDaniel M: Comfort Rooms: A Preventative Tool Used to Re- duce Restraint and Seclusion in Facilities That Serve Individuals With Mental Illness. Albany, New York State Office of Mental Health, 2009. Available at www.omh.ny.gov/omhweb/resources/ publications/comfort_room/comfort_rooms.pdf
18. Linehan MM: Cognitive Behavioral Treatment of Borderline Per- sonality Disorder. New York, Guilford, 1993
19. Bloom SL: The Sanctuary Model of organizational change for children’s residential treatment. Therapeutic Community 26:65–81, 2005
20. Miles MB, Huberman AM, Saldaña J: Qualitative Data Analysis: A Methods Sourcebook. Thousand Oaks, Calif, Sage, 2014
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National Association of State Mental Health Program Directors
66 Canal Center Plaza, Suite 302, Alexandria, VA 22314~~www.NASMHPD.org
NASMHPD
Six Core Strategies for Reducing
Seclusion and Restraint Use©
Note: This document contains the following items: (1) a Snapshot of the Six Core
Strategies ; (2) a Planning Tool; and (3) an Example of Debriefing Policies and
Procedures.
A Snapshot of Six Core Strategies for the Reduction of S/R (Revised 11/20/06 by Kevin Ann Huckshorn)
These strategies were developed through extensive literature reviews (available upon
request from joan.gillece@nasmhpd.org) and dialogues with experts who have
successfully reduced the use of S/R in a variety of mental health settings for children and
adults across the United States and internationally.
1. Leadership toward Organizational Change
This first strategy is considered core to reducing the use of seclusion and restraint (S/R)
through the consistent and continuous involvement of senior facility leadership (most
specifically the CEO, CNO, and COO). Leadership strategies to be implemented include
defining and articulating a vision, values and philosophy that expects S/R reduction;
developing and implementing a targeted facility or unit based performance improvement
action plan (similar to a facility “treatment plan”); and holding people accountable to that
plan. This intervention includes the elevation of oversight of every S/R event by senior
management that includes the daily involvement of the CEO or COO in all S/R events
(24/7) in order to investigate causality (antecedents), review and revise facility policy and
procedures that may instigate conflicts, monitor and improve workforce development
issues and involve administration with direct care staff in this important work. The
action plan developed needs to be based on a public health prevention approach and
follow the principles of continuous quality improvement. The use of a multi-disciplinary
performance improvement team or taskforce is recommended.
This is a mandatory core intervention.
2. Use of Data To Inform Practice
This core strategy suggests that successfully reducing the use of S/R requires the
collection and use of data by facilities at the individual unit level. This strategy includes
the collection of data to identify the facility/units’ S/R use baseline; the continuous
National Association of State Mental Health Program Directors
66 Canal Center Plaza, Suite 302, Alexandria, VA 22314~~www.NASMHPD.org
NASMHPD
gathering of data on facility usage by unit, shift, day; individual staff member’s involved
in events; involved consumer demographic characteristics; the concurrent use of stat
involuntary medications; the tracking of injuries related to S/R events in both consumers
and staff and other variables. The facility/unit is encouraged to set improvement goals
and comparatively monitor use and changes over time.
3. Workforce Development
This strategy suggests the creation of a treatment environment whose policy, procedures,
and practices are based on the knowledge and principles of recovery and the
characteristics of trauma informed systems of care. The purpose of this strategy is to
create a treatment environment that is less likely to be coercive or trigger conflicts and in
this sense is a core primary prevention intervention. This strategy is implemented
through intensive and ongoing staff training and education and HRD activities. It
includes S/R application training and vendor choice, the adequate provision of treatment
activities that offer choices to the people we serve and that are designed to teach illness
and emotional self-management of symptoms and individual triggers that lead to loss of
control. This strategy requires individualized person centered treatment planning
activities that include persons served in all planning. This strategy also includes
consistent communication, mentoring, supervision and follow-up to assure that staff are
provided the required knowledge, skills and abilities, with regards to S/R reduction
through training about the prevalence of violence in the population of people that are
served in mental health settings; the effects of traumatic life experiences on
developmental learning and subsequent emotional development; and the concept of
recovery, resiliency and health in general. This work is done through staff development
training, new hire applicants interview questions, job descriptions, performance
evaluations, new employee orientation, and other similar activities.
4. Use of S/R Prevention Tools
This strategy reduces the use of S/R through the use of a variety of tools and assessments
that are integrated into facility policy and procedures and each individual consumer’s
recovery plan. This strategy relies heavily on the concept of individualized treatment It
includes the use of assessment tools to identify risk for violence and S/R history; the use
of an universal trauma assessment; tools to identify persons with high risk factors for
death and injury; the use of de-escalation surveys or safety plans; the use of person-first,
non-discriminatory language in speech and written documents; environmental changes to
include comfort and sensory rooms; sensory modulation interventions; and other
meaningful treatment activities designed to teach people emotional self management
skills.
5. Consumer Roles in Inpatient Settings
This strategy involves the full and formal inclusion of consumers, children, families and
external advocates in various roles and at all levels in the organization to assist in the
reduction of seclusion and restraint. It includes consumers of services and advocates in
National Association of State Mental Health Program Directors
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event oversight, monitoring, debriefing interviews, and peer support services as well as
mandates significant roles in key facility committees. It also involves the elevation of
supervision of these staff members and volunteers to executive staff who recognize the
difficulty inherent in these roles and who are poised to support, protect, mediate and
advocate for the assimilation of these special staff members and volunteers. ADA issues
are paramount here in terms of job descriptions, expectations, work hours, and an ability
to communicate to staff the legitimacy of the purpose and function of these important
roles.
6. Debriefing Techniques
This core strategy recognizes the usefulness of a thorough analysis of every S/R event. It
values the fact that reducing the use of S/R occurs through knowledge gained from a
rigorous analysis of S/R events and the use of this knowledge to inform policy,
procedures, and practices to avoid repeats in the future. A secondary goal of this
intervention is to attempt to mitigate, to the extent possible, the adverse and potentially
traumatizing effects of a S/R event for involved staff and consumers and for all witnesses
to the event. Recommended debriefing activities include two – an immediate post-event
acute analysis and the more formal problem analysis with the treatment team. Using the
steps in root cause analysis (RCA) is recommended. (Please see the attached Debriefing
Policy and Procedure template.) For facilities that treat kids and who use holds
frequently, the use of full debriefing procedures for each event may not be manageable.
These facilities need to discriminate their use of holds and target multiple holds on same
children, identify same staff member involvement in these events so as to note training
needs and explore holds that last longer than usual.
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Six Core Strategies for Reducing Seclusion & Restraint Use
Planning Tool
(Kevin Ann Huckshorn, revised 2008)
Purpose: The Planning Tool is designed for use as a template or checklist that guides the
design of a seclusion and restraint (S/R) reduction plan that incorporates the use of a
prevention approach, includes the six core strategies to reduce the use of S/R© described
in the NASMHPD curriculum, and ascribes to the principles of continuous quality
improvement. Also may be used as a monitoring tool to supervise implementation of a reduction plan and identify problems, issues, barriers and successes. Best used as a
working guide by an assigned Performance Improvement/Seclusion and Restraint
Reduction Team or Task Force.
Note: The word consumer is used in this document to include adults, children, and
families.
Seclusion/Restraint Plan Template or Monitoring Tool Draft Instrument
(Each item needs to be demonstrated through documentation, leadership activities,
staff interviews, review of policies, or other relevant ways.)
Strategy One: Leadership Towards Organizational Change
GOAL ONE: To reduce the use of seclusion and restraint by defining and articulating a
mission, philosophy of care, guiding values, and assuring for the development of a S/R
reduction plan and plan implementation. The guidance, direction, participation and
ongoing review by executive leadership is clearly demonstrated throughout the S/R
reduction project.
1. Has the facility reviewed/revised facility mission statement, philosophy and core values to assure congruence with S/R reduction initiative? For example,
referencing S/R reduction as congruent with principles of recovery; building a
trauma informed system of care; creating violence free and coercion free
environments; assuring safe environments for staff and consumers; and
facilitating a return to the community. This step must include an organizational
values exercise where values statements are cross-walked with actual clinical and
administrative practices to assure for congruence.
2. Has the facility developed a facility S/R policy statement that includes beliefs to guide use and is congruent with mission, vision, values and recovery principles?
As above, this statement would include statements such as S/R is not treatment
but a safety measure of last resort; that S/R indicates treatment failure; and
facility’s commitment to reduction/elimination etc. There are examples of policy
statements available to review.
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3. Has the facility leadership developed a individualized facility-based S/R reduction action plan based on a performance improvement and prevention approach as the
overall umbrella including the assignment of a S/R reduction or PI team; the
creation of goals, objectives and action steps assigned to responsible individuals
and noted due dates; and are there consistent reviews and revisions with senior
executive oversight and review? (See policy statement, policy and procedures,
actual plan.)
4. Has leadership reviewed and analyzed their S/R related data in an effort to discover critical details of events such as time of day, location, points of
conflicts? Has leadership determined data driven hospital goals to reduce S/R?
(See data component for specifics.) This objective is leaderships’ commitment
and intention to use and monitor real time data in the reduction efforts.
5. Has the leadership committed to create a collaborative, non-punitive environment, to identify and work through problems by communicating expectations to staff,
and to be consistent in maintenance of effort? This step may include a statement
to staff that while individual staff members may act with best intent, it may be
determined later that there were other avenues or interventions that could have
been taken. It is only through staff’s trust in leadership that they will be able to
speak freely of the circumstances leading up to a S/R event so that the event can
be carefully analyzed and learning can occur. However, the rules defining abuse
and neglect are clear and the previous statement does not lift accountability for
those kind of performance issues.
6. Are all staff aware of the role of the CEO/Administrator to direct the S/R reduction initiative? This will include senior level involvement in motivating
staff including and understanding and commitment from the facility medical
director. A “kickoff” event for the rollout of this initiative is recommended or a
celebration if facility is already involved in a reduction effort. This steps calls for
active, routine and observable CEO/Administrator activities including the
inclusion of status report at all management meetings.
7. Has leadership evaluated the impact of reducing S/R on the whole environment? This includes issues such as increased destruction of property; extended time
involved in de-escalation attempt, additional admission assessment questions,
debriefing activities and processes to document event, etc.
8. Has the leadership set up a staff recognition project to reward individual staff, unit staff and S/R champions for their work on an ongoing basis?
9. Does the leadership approved, S/R reduction plan delegate tasks and hold people accountable through routine reports and reviews?
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10. Has leadership addressed staff culture issues, training needs and attitudes? (See Workforce Development.) Leadership will assure for staff training and
development in knowledge, skills and abilities, including choice of training
program for S/R application techniques and will include Human Resources (HR).
11. Has leadership reviewed the facility’s plan for clinical treatment activities in an effort to assure that active, daily, person-centered, effective treatment activities
are offered to all persons receiving services; that these services are offered off
living units preferably; and that persons attending have some personal choice in
what activities they attend. (The minimal criteria to meet under this objective are
to assure that service recipients are not spending their days in enclosed areas with
no active effective psycho-social or psychiatric rehabilitation occurring that is
effective in teaching living, learning, recreational and working skills.)
12. Has facility leadership ensured oversight accountability by watching and elevating the visibility of every event 24 hours a day/7days per week by assigning
specific duties and responsibilities to multiple levels of staff including on-call
executives, on-site nursing supervisor, direct care staff, advocates/consumers?
Note “Creating responsibilities for oversight for events” includes the following
functions:
A. On-call Executive Role (member of executive team)
1. 24/7 on call supervision for event analysis 2. Use knowledge gained by event analysis to identify organizational
problems, potential resolutions and ensure timely follow-up
3. Make S/R a standing agenda item for all meetings at all levels 4. Ensure that data is collected, used and shared 5. Ensure staff accountability and performance recognition
B. On-site Supervisor Role
1. 24 hr on site response, supervision and attendance at all events and near misses when possible (to observe what worked and why)
2. Take lead post a S/R event by debriefing all staff involved, the service recipient, all event witnesses, gathering event timelines, reviewing
documentation, and providing a report (verbally and written) to oncoming
supervisor or administrator
C. Line Staff (Direct Care)
1. Understand and be able to describe the organizational approach in reducing S/R
2. Be introduced to project and philosophy, through:
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– New hire application and interview – New staff orientation – Job description – Competency review – Meet performance criteria in evaluations – Demonstrate positive attitude about the project
D. Consumer Role
1. Use employed internal consumer staff or external consumer consultants to act as interviewers, gather data, investigate and to provide a critical
perspective
2. Representation on all S/R related committees and task forces
Strategy Two: Using Data to Inform Practice
GOAL TWO: To reduce the use of S/R by using data in an empirical, non-punitive,
manner. Includes using data to analyze characteristics of facility usage by unit, shift day,
and staff member; identifying facility baseline; setting improvement goals and
comparatively monitoring use over time in all care areas, units and/or state system’s like
facilities.
1. Has the facility collected and graphed baseline data on S/R events to include at a minimum, incidents, hours, use of involuntary medication, and injuries?
2. Has the facility set goals and communicated these to staff, setting realistic data improvement thresholds? Has the facility created non-punitive, healthy
competition among units or sister facilities by posting data in general treatment
areas and through letters of agreement with external facilities?
3. Has the facility chosen standard core and supplemental measures including seclusion and restraint incidents and hours by shift, day, unit, time; use of
involuntary IM medications; consumer and staff related injury rates; type of
restraint, consumer involvement in event debriefing activities; grievances,
consumer demographics including gender, race; diagnosis insurance type; and
other measures as desired?
4. Does leadership have access to data that represents individual staff member involvement in S/R events and is this information kept confidential and used to
identify training needs for individual staff members? (For supervisors only.)
5. Is the facility able to observe and record “near misses” and the processes involved in those successful events to assist in leadership and staff learning of best
practices to reduce S/R use?
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Strategy Three: Workforce Development
GOAL THREE: To create a treatment environment whose policy, procedures, and
practices are grounded in and directed by a thorough understanding of the neurological,
biological, psychological and social effects of trauma and violence on humans and the
prevalence of these experiences in persons who receive mental health services and the
experiences of our staff. This includes an understanding of the characteristics and
principles of trauma informed care systems. It also includes the principles of recovery-
oriented systems of care such as person-centered care, choice, respect, dignity,
partnerships, self-management, and full inclusion. This intervention is designed to create
an environment that is less likely to be coercive or conflictual. It is implemented
primarily through staff training and education and HR department activities and includes
safe S/R application training, choice of vendors and the inclusion of technical and
attitudinal competencies in job descriptions and performance evaluations. This also
includes the provision of effective and person centered psychosocial or psychiatric
rehabilitation like treatment activities on a daily basis that are designed to teach life skills
(See Goal One).
1. Has the staff development department introduced recovery/resiliency, prevention, and performance improvement theory and rational to staff?
2. Has the facility revised the organizational mission, philosophy, and policies and procedures to address the above theory and principles?
3. Has the facility appointed a committee and chair to address workforce development agenda and lead this organizational change? (Includes HR.)
4. Has the facility assured for education/training for staff at all levels in theory and approaches including:
a. Experiences of consumers and staff b. Common assumptions and myths c. Trauma Informed Care d. Neurobiological Effects of Trauma e. Public Health Prevention Model f. Performance Improvement Principles g. S/R Reduction Core Strategies as appropriate h. Risk for Violence i. Medical/Physical Risk Factor for Injury or Death j. Use of Safety Planning Tools or Advance Directives k. Core Skills in Building Therapeutic and Person Based Relationships l. Safe Restraint application procedures including continuous face-to-face
monitoring while a person is in restraint
m. Non-confrontational limit setting
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5. Has the facility encourage staff to explore unit “rules” with an eye to analyzing these for logic and necessity? Most inpatient facilities have historical rules that
are habits or patterns of behavior that are not congruent with a non-coercive,
recovery facilitating environment, for instance rules such as putting people who
self abuse in non lethal ways in restraint, or putting people who are intrusive only
in restraint.
6. Has the facility addressed staff empowerment issues? For example do staff have input into rules and regulations? Does the facility allow staff to suspend “rules”
within defined limits to avoid incidents?
7. Does the facility empower staff (e.g. self-schedule, flex schedules, and switch assignments)?
8. Does the facility assume that all staff at all levels are responsible, capable adults, albeit perhaps injured by trauma, and communicated this value to all? How?
9. Has the facility included HR in the planning and implementation efforts to include the development and insertion of knowledge, skills and abilities considered
mandatory in job descriptions and competencies for all staff at every level of the
organization? Does this include both technical competence and attitudinal
competence and how these are demonstrated?
Strategy Four: Use of S/R Reduction Tools
GOAL FOUR: To reduce the use of S/R through the use of a variety of tools and
assessments that are integrated into each individual consumer’s treatment stay. Includes
the use of assessment tools to identify risk factors for violence and seclusion and restraint
history; use of a trauma assessment; tools to identify persons with risk factors for death
and injury; the use of de-escalation or safety surveys and contracts; and environmental
changes to include comfort and sensory rooms and other meaningful clinical
interventions that assist people in emotional self management.
1. Has the facility implemented assessment tools to identify risk factors for inpatient incidents of aggression and violence? Research shows best predictor is past
violent behavior in inpatient settings and past involvement with S/R use.
(Examples of tools are available.)
2. Has the facility implemented assessment tools on the most common risk factors for death or serious injury caused by restraint use? These include obesity, history
of respiratory problems including asthma, recent ingestion of food, certain
medications, polypharmacy, history of cardiac problems, history of acute stress
disorder or PTSD.
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3. Has the facility implemented the use of a trauma history assessment that identifies persons at risk for re-traumatization and addresses signs and symptoms related to
untreated trauma sequelae? (Examples of tools are available.)
4. Has the facility implemented a de-escalation tool or safety planning assessment that includes the identification of individual triggers and personally chosen and
effective emotional self management interventions? (Examples of tools are
available.)
5. Has the facility:
a. Implemented communication techniques/conflict mediation procedures? b. Reduced environmental signs of overt/covert coercion? c. Made environment of care changes (use of comfort rooms & sensory
rooms)?
6. Has the facility utilized an aggression control behavior scale that assists staff to discriminate between agitated, disruptive, destructive, dangerous and lethal
behaviors and decreases the premature use of restraint/seclusion?
7. Has the facility written policies and procedures for use of the above interventions and disseminated these to all staff?
8. Has the facility created a way that individual safety planning or de-escalation information is readily available in a crisis and is integrated in the treatment plan?
9. Has the facility made available expert and timely consultation with appropriately trained staff or consultants to assist in developing individualized, trauma
informed, overall support and behavioral support interventions for service
recipients who demonstrate consistently challenging behaviors?
Strategy Five: Consumer Roles in Inpatient Settings
GOAL FIVE: To assure for the full and formal inclusion of consumers or people in
recovery in a variety of roles in the organization to assist in the reduction of S/R.
1. Has the facility integrated consumer choices at every opportunity? For children’s treatment programs this also focuses on family member choices.
2. Has the facility used vacant FTE’s to create full or part-time roles for older adolescent/adult consumers such as:
a. Director of Advocacy Services b. Peer Specialists c. Drop-In Center Director d. Community Consumers
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3. Has the facility educated staff as to the importance and need to involve consumers at all operational levels, both through respectful inclusion in operations decisions
as appropriate and in the consistent attention to the provision of choices?
4. Has the facility included consumer representation in key committees and workgroups throughout organization?
5. Has the facility empowered consumers to do their facility-related jobs and support this work (new roles for consumers) at the highest level by setting up appropriate
supervision systems?
6. Has the facility implemented consumer satisfaction surveys, discussed results with staff, and used results to direct revisions in service provision? In children’s
programs satisfaction surveys would also be geared to families.
7. Has the facility invited external advocates to provide suggestions and be involved in operations?
Strategy Six: Debriefing Techniques
GOAL SIX: To reduce the use of S/R through knowledge gained from a rigorous
analysis of S/R events and the use of this knowledge to inform policy, procedures, and
practices to avoid repeats in the future. A secondary goal of this intervention is to attempt
to mitigate to the extent possible the adverse and potentially traumatizing effects of a S/R
event for involved staff and consumers and all witnesses to the event.
It is imperative that senior clinical and medical staff, including the medical director,
participate in these events.
1. Has the facility revised policy and procedures to include two debriefing activities for each event as follows:
a. An immediate “post-event” debriefing that is done onsite after each event, is led by the senior on-site supervisor who immediately responds to that
unit or area? The goals of this post-acute event debriefing is to assure that
everyone is safe, that documentation is sufficient to be helpful in later
analysis, to briefly check in with involved staff, consumers and witnesses
to the event to gather information, to try and return the milieu to pre-event
status, to identify potential needs for policy and procedure revisions, and
to assure that the consumer in restraint is safe and being monitored
appropriately. If the facility has implemented “witnessing” (see Goal
One) he on-site supervisor calls in the information gathered in this post-
acute debriefing event to the off site executive staff person who is on call
or report to administration if during weekday hours.
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b. A formal debriefing that includes a rigorous analysis that occurs one to several days following the event and includes attendance by the involved
staff, the treatment team including the attending physician, and a
representative administration. It is recommended that this formal
debriefing follow the steps in a root cause analysis (RCA) or a similar
rigorous problem solving procedure to identify what went wrong, what
knowledge was unknown or missed, what could have been done
differently, and how to avoid in the future. It is also recommended that
RCA be used in situations where individuals are injured; where S/R has
been used more than twice in a month and at any time where S/R event
lasts more than eight hours.
c. Has the facility assured the involvement of the consumer in all debriefing activities either in person or by proxy? is extremely important to include
the consumers’ experience or voice in this activity and if the consumer
cannot or will not participate it is recommended that another consumer or
staff person act as that person’s advocate at the meeting. It is also
recommended that the consumer or staff, in advocacy roles, also be
involved and that the person running the meeting is well versed in
objective problem solving and was not involved in the triggering event.
2. Do the debriefing policies and procedures specify: (see S/R Debriefing P & P)
a. Goals of debriefing b. Who is present c. Responsibilities/roles d. Process e. Documentation f. Follow-up
3. Has the facility implemented debriefing policies and procedure that address staff responses to the event, consumer responses and issues, and “observer” response
and issues?
4. Has the facility provided training on how debriefing will revise treatment planning?
5. Has the facility made an attempt to assist staff in their individual responses to S/R events, up to and including the use of EAP (Employee Assistance Program)
services or other supportive resources?
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Six Core Strategies for Reducing Seclusion and Restraint Use©
Example: Policy and Procedure on Debriefing
for Seclusion and Restraint Reduction Projects (Kevin Ann Huckshorn, revised 2008)
Policy: The use of seclusion and restraint (S/R) are high risk, problem prone interventions
for both consumers and staff and are to be avoided whenever possible. S/R shall only be
used in the face of imminent danger and when unavoidable. The use of S/R may cause
trauma and re-traumatization in an already vulnerable group of persons and may also
cause trauma, stress and injury for staff persons. Preventing the use of S/R is the
organizational goal and this includes the mandatory use of debriefing procedures
whenever an event of S/R does occur.
Debriefing procedures for the purpose of this policy are defined as three discrete events.
The first is titled an “immediate post acute event analysis” and occurs immediately
following the S/R episode and with all involved parties including those witnessing the
event. The second Debriefing activity is also called “Witnessing or Elevating Oversight”
and includes a call from the person in charge of the unit where the event took place to a
facility executive staff person to relate what occurred 24 hours/7 days a week. The third
Debriefing activity is a formal rigorous event analysis that takes place within 24 to 48
working hours following the S/R event and includes the participation of key professional,
administrative and support staff as well as participation by the consumer involved or his
or her designee.
It is noted, that with the Centers for Medicare and Medicaid’s issuance of the Final Rule
on Patient’s Rights in January of 2007, that physical holds are now considered restraint.
Physical or manual “holds” are most often (but not always) used in child and adolescent
units. These holds can be very brief ; often under 5 minutes. For units who now must
count these kinds of brief holds as restraint, it is recommended that supervisory staff
determine when these holds reach the level of significance that require that activities
described in this policy. For some units this may be for kids that require brief holds over
5 minutes, any holds that were disruptive to the unit, more than three holds in one week
on the same child, or any holds that resulted in injuries to staff or the patient. Each unit
will need to determine their threshold for a thorough review.
IMMEDIATE POST ACUTE EVENT ANALYSIS
Procedure:
1. When the S/R event code is called the onsite clinical supervisor or administrator/designee will immediately respond to the site. The responder will
need to be an objective mid-level or senior level clinical staff member with
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training in S/R policy and procedures and should not be someone involved in the
S/R event occurring at the time.
2. Upon reaching the unit or site of the occurrence, the clinical supervisor will immediately survey the environment and seek to assure that all persons are safe
and that processes are orderly. Unless an emergency occurs that requires direct
intervention, the clinical supervisor’s role is to document what occurred, who was
involved, the antecedents to the event, least restrictive alternatives attempted and
the results, specific dangerous behaviors necessitating the use of S/R, and the
staff’s response. In addition the physical and emotional safety of the consumer
and other consumer witnesses to the event will be assessed and responded to.
3. The onsite clinical supervisor will document their findings and report these to the executive on-call (or whomever they are supposed to report to). The onsite
clinical supervisor shall assist the unit staff in returning the milieu to a pre-crisis
level and assure that all necessary documentation has been completely adequately.
4. When possible, the onsite clinical supervisor will attend the formal debriefing. If that is not possibly, the onsite clinical supervisor (whether charge nurse or another
person) will need to communicate what occurred through either written
documentation, shift report, or phone in participation in the formal debriefing.
The point here is that the post acute event information gets passed on up to the
formal debriefing activity so that all information is communicated and shared
with the entire team.
5. In facilities where there is no onsite supervisor, the charge nurse on the unit will need to take responsibility for these activities. It is always best to have additional
staff respond in these kinds of events but when not possible the senior clinical
person on the unit will need to do so.
WITNESSING OR ELEVATING OVERSIGHT
Procedure:
1. This procedure expects the senior clinical person responsible for patient care to communicate information regarding a seclusion or restraint event to a designated
agency executive staff member 24 hours/7 days a week (in real time). This
procedure assumes that agency leadership have already set up an executive staff,
on call process, to receive these communications.
2. The senior, onsite, staff person best able to report key information to the executive staff member on call is the one that is expected to make this call and
provide the necessary information. Information communicated is critical and can
include, but not be limited to the following:
A. A description of the event (what happened)
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B. What was the result (seclusion, restraint, involuntary medication, any injuries to staff or patients
C. Who was involved in events leading up to the seclusion, restraint or involuntary procedure
D. What were the antecedents (patient history, past events, behavior immediately prior to the event)
E. Was there any warning or change in behavior prior to the event and what did staff do?
F. Did we know that this was a high risk for violence person? If so, what had been done to prevent this event?
G. What was the source of the conflict, if any? H. What did staff do? I. When the escalating behavior was noted, were other interventions tried,
and if so, what and what was the response?
J. Did the person have a relationship with anyone on staff at this time of the event and did that person try to intervene?
K. Was the person offered alternatives and what was the response? L. Had the person developed a safety plan and was that used? M. What staff were directly involved and are they ok? N. Is the person safe and where are they now? O. What have staff done to prevent another occurrence? P. What is the person saying at this point, if anything? Q. Were the event “observers” debriefed and how are they? R. Were the staff involved debriefed and how are they? S. Is there anything, right now, that you can add regarding how this event
could have been avoided?
T. Can you attend or “call in” for the formal event debriefing and, if not, how can we get your information to the team members who will debrief this
event.
U. Is there anything that can be done now to prevent this from happening again?
3. The Executive staff member on call is expected to take this call or call back in a timely manner. It is recommended that this staff person “on call” make informal
notes regarding what happened along with any notes that indicate a need to
follow-up the next day. These “called-in” occurrences need to be discussed with
other senior clinical staff the next working day and all issues requiring follow-up
passed on to the appropriate person.
4. In general, this procedure is meant to provide three outcomes. First, to make the executive team well-acquainted with what occurs on units in a timely manner as
well as to orient executive staff to the working conditions that direct care staff are
facing. Second, this procedure is done to try and make direct care staff aware that
the agency leadership is also affected by these events, is supportive, and is
available. Third, this activity is designed to make executive staff, with formal
power, aware of policy, procedures, and operational issues that could be creating
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conflict on units, as well as to help gather information that could be helpful to
cover in staff training activities.
5. It is critically important, that unless egregious behavior occurs during an event, that no blaming occurs and that the overall response is not punitive in nature.
6. Finally, it is recommended that the “on-call” responsibilities of executive staff be shared among several of the executive team members. This on-call responsibility
can be disruptive at times and more than one person needs to share this load.
FORMAL RIGOROUS EVENT ANALYSIS
Procedure:
1. A formal rigorous event analysis will follow every incident of seclusion and restraint and will occur within the first 24 to 48 working hours post event.
2. The treatment team leader or designee will schedule the formal debriefing and notify all invited participants to include the treatment team, the consumer and/or
proxy, surrogate or advocate representative, all other involved parties and other
agency staff as appropriate. All care and attention shall be paid to the comfort and
safety of the consumer involved and their informed consent and ability to
participate without being overly stressed, coerced, or overwhelmed by this
activity.
In certain situations, where the consumer does not want or cannot participate, all
efforts will be made to debrief the consumer ahead of time and to gather their
input into what occurred and what could have prevented the event. This additional
interview will be documented and brought to the formal debriefing by a formal
representative and presented as such. Peer staff, if available, should be used to
gather this kind of information.
3. The formal event debriefing will begin the process of PDCA (Plan, Do, Check, Act). PDCA is a continuous quality improvement process that provides a stepwise
map with which to rigorously analyze a problem and implement effective
solutions. “Plan is focused on defining the problem (the event); analyzing the
problem for underlying issues and root causes; brainstorming potential solutions
based on underlying issues and root causes; deciding on solutions from the bank
of potential solutions and creating a plan to implement the solution. “Do” is
focused on implementing efforts based on the plan. “Check” is focused on
checking the overall process by evaluating what worked or did not work through
measurable indicators, making mid-course adjustments or going back to the idea
bank if solution fails in the future and revisiting the planning stages if plans did
not work or only partially worked. “Act” is establishing a new system, policies,
procedures or programs based on positive outcomes and determining how to
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sustain and maintain improvement over time. The formal event debriefing activity
supports the PDCA process and provides a feedback loop between Act and Plan.
4. Debriefing includes an analysis of: 1) triggers, 2) antecedent behaviors, 3) alternative behaviors, 4) least restrictive or alternative interventions attempted, 5)
de-escalation preferences or safety planning measures identified and 6) treatment
plan strategies.
5. The facilitator leading the debriefing needs to be clinically skilled in root cause analysis and not directly involved in the event. Questions formulated by the
facilitator are directed by the individual characteristics inherent in the event but
also share the common characteristic of drilling down to core activities and
processes by asking why to the lowest common denominator. The facilitator
needs to be skilled and knowledgeable about the common steps in the process of a
behavioral escalation that leads to the use of S/R and opportunities for effective
staff interventions to avoid, de-escalate or as last resort if S/R is necessary, to
avoid injury and minimize trauma. Debriefing processes lead to recommendations
for both senior administrative and clinical staff; staff development and direct care
staff. These steps are outlined here and include examples of questions that can
stimulate thinking and discussion.
S/R Prevention Tree, Staff Intervention Opportunities and Debriefing Questions
Step 1: Has a treatment environment been created where conflict is minimized (or not)?
This intervention opportunity asks staff to consider whether the agency has done
everything possible to create a treatment setting that prevents conflict and aggression.
Potential preventative interventions include the use of person-first language; adopting a
trauma informed, recovery focused philosophy of care; comparing actual operational
practice, policy and procedures against recovery and trauma informed values; assuring
the staff have the knowledge, skill and ability in building therapeutic relationships
immediately on admission; making the treatment environment welcoming and non-
stressful; using prevention tools such as admission based trauma assessments, risk
assessments, safety planning, comfort and sensory rooms and avoiding overt and covert
coercion.
Questions to think about or explore:
1) Was the environment calm and welcoming? 2) Was the environment personalized and normalizing or
institutional?
3) Was the milieu calm and mostly quiet? 4) Had any staff developed a relationship with the individual? 5) Were there signs about rules, warnings or other indications that
might cause a feeling of oppression?
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6) Did the individual witness a S/R or other upsetting event? 7) What were the trigger(s) to the aggressive or dangerous
behavior?
8) Did we know the individual well enough to know their personal triggers?
9) Was the individual a trauma survivor and if so, did something in the environment create a traumatic re-enaction?
10) What set the individual off? 11) Did anyone on shift talk to the individual or “check in” before
the event?
12) Was the individual’s behavior a change during the shift or earlier?
13) Did the individual want something before the event occurred?
Step 2: Could the trigger for conflict (disease, personal, environmental) have been
avoided (or not)?
This intervention opportunity addresses the adequacy of the screening and admission
process and the skilled gathering of information, specifically risk factors for conflict and
violence that can alert staff to the needs for immediate, preventative interventions. For
instance, are staff aware that the individual has not been taking his or her medications for
some time and has this issue been addressed immediately on admission? Is information
gathered in the pre-screening or admission process relating to the individuals past history
of aggression or violence on inpatient units and past experiences of being in restraint or
seclusion? Do staff know or try and discover, during admission, each person’s individual
triggers for conflict, anxiety, fear, discomfort, “fight, flight, freeze” and document these
so that they can be communicated? Are advance directives/safety plans developed and
used? Does the facility understand the importance of minimizing a rule-based culture of
care; minimizing wait times, avoiding shaming or humiliation (intentional and
unintentional) of people in daily operations and other institutional issues?
Questions to ask?
1) Did the individual participate in the admission process and treatment planning process?
2) Was a trauma assessment done? 3) Was a safety plan done? 4) Did we know if the person had ever been in S/R before? 5) Did the individual receive a phone call or a visit (or lack
thereof) that might have caused escalation?
6) Was the individual worried about anything? 7) Did the individual have to wait an inordinate time for
something he or she wanted?
8) Did the individual indicate they needed help, attention or assistance beforehand?
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66 Canal Center Plaza, Suite 302, Alexandria, VA 22314~~www.NASMHPD.org
NASMHPD
9) Was the individual ignored, treated rudely, shamed, humiliated or consequenced for some behavior?
10) Was the individual taking medication and if so, did they have a therapeutic level? Were they experiencing side effects?
11) Was the individual experiencing signs and symptom of mental illness?
12) Was the individual oriented to the unit and the rules? 13) Is this first admission?
Step 3: Did staff notice and respond to events timely (or not)?
This intervention opportunity addresses the staff culture and knowledge base regarding
immediate and direct person-to-person responses to changes in individual adult or child
behaviors in the milieu. In many facilities staff do not respond immediately due to lack of
knowledge regarding types of behavioral escalation that can include both obvious
agitation as well as isolative behaviors. In other facilities, staff sometimes have been
taught to ignore disruptive or different behavioral changes in the belief that this is
attention-seeking behavior and that ignoring it may make it “go away.” However, in
recovery-oriented facilities, behavioral changes are seen as “attempts at communication”
albeit perhaps not clear or direct, that require an immediate and respectful response. Unit
staff need to be trained to observe for, detect and respond to changes in the individual
behavior or the milieu in general as part of their job and as an important skill in refining
the “therapeutic use of self” that is part of being a mental health professional or
paraprofessional.
Questions to ask?
1) Who responded and when? 2) Was there any warning that the individual was upset? 3) What were the first signs and who noted them? 4) If no one noticed, why? 5) Should the person have been on precautions?
Step 4: Did staff choose an effective intervention (or not)?
This response addresses the knowledge, skills, abilities and personal empowerment of
agency staff in identifying an appropriate and least restrictive approach to escalating
behavior and then implementing that approach directly and immediately. The ability to
formulate an immediate response to an escalating behavioral or emotional problem is not
innate and usually requires training and role modeling by clinical supervisors. In addition,
the agency culture needs to empower staff to be creative and to, at times, break unit rules
to avoid the need for S/R when it is safe to do so. Examples of the latter might include
allowing someone to leave group or take personal time in their bedroom during group
hours; taking a smoke break to talk to a staff member between smoke break hours; having
a snack between meals, being allowed to make a phone call or have a visitor. Unit rules
can be interpreted by staff as sacrosanct and this will discourage the use of least
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restrictive measures and lead to unnecessary S/R. In addition, fears by staff that “rule
breaking will lead to chaos” have not generally been a reality. Individuals who may seem
to learn how to get staff to bend rules by acting out will require evaluation by clinical
treatment team staff. In general, in our rule based environments, it is fairly easy to label
people as manipulative who seek to bend rules but it is important to remember that these
rules are institutional in nature and not ones that we apply to ourselves or the client in
their natural community.
Staff’s ability to be creative and to take the time to try and get to know the individual and
his or her needs in crisis is immeasurably helpful and needs to be a part of the
expectations for staff knowledge, skills and abilities in the agency job descriptions and
performance evaluation process.
Questions to ask?
1) What intervention was tried first and by whom? 2) Why was that technique chosen? 3) Did anything get in the way of the intervention? 4) Did anyone get in the way of the intervention? 5) Was the intervention delayed for any reason? 6) How did the person respond to it? 7) What was the individual’s emotional state at the time? 8) What was the staff’s emotional state at the time? 9) What else could have been tried but was not? 10) Why not?
Step 5: If the Intervention was unsuccessful was another chosen (or not)?
Same as above. Staff need to continue to try alternatives until an intervention works or
behavior escalates to the danger level. In the latter situation this is known as “treatment
failure” not because the staff person(s) personally failed in their attempt but because the
agency did not know enough about the person or had not yet had an opportunity to build
a relationship where an intervention could be chosen that was effective.
Questions to ask?
1) Same as above
Step 6: Did staff order S/R only in response to imminent danger (or not)?
This step addresses the premature use of S/R for behavior that is only agitated, disruptive
or, at times, destructive but where the individual still has control and can be engaged.
This step also addresses S/R patterns of use where individuals are restrained or secluded
“every time they hit someone or throw something but then stop” or other usually
unwritten but common patterned practices. Patterned staff responses for behavioral
“categories” such as throwing something, hitting inanimate objects, refusing to get up off
the floor, constant pacing, kicking or hitting in one time only “strikes” need to be
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NASMHPD
discussed and re-framed. At times these patterns are due to staff not understanding
common signs and symptoms of mental illness or trauma response histories, leading to
individual being blamed for intentionally “acting out” requiring consequences. However,
care must be taken to assure that staff need to be free to respond if they feel they are in
danger and that unnecessarily restrictive responses will be addressed through training and
supervision first.
Questions to ask?
1) What was the exact behavior that warranted S/R? 2) Did it meet the threshold of imminent danger (what would have
happened if S/R was not used)?
3) Who made the decision and why? 4) Did the staff member making the decision have good rationale
based on training and experience and knowledge of the individual?
Step 7: Was S/R is applied safely (or not)?
For every instance of the use of S/R an objective senior clinical staff needs to assess
whether staff followed the agencies policy and procedure for application. In addition, for
some agencies, policies may need to be revisited for safety in terms of medical/physical
risk factors and the use of prone restraint.
Questions to ask?
1) How was S/R applied and did it follow policy and safety precautions?
2) Were enough staff available to assist? 3) Did a professional nurse provide oversight of the event?
Step 8: Was the individual monitored safely (or not)?
One to one, face to face monitoring of individuals in seclusion or restraint is the safest
way to monitor use. This does not include the use of cameras or only 10 or 15 minute
checks. Constant monitoring of the individual where the individual’s face is visible at all
times is the expected standard in order to observe distress or problems. One to one, face
to face monitoring is fast becoming standard practice. This also includes following CMS
and JCAHO guidelines as to bathroom breaks, food and fluids, range of motion and
extremity checks.
Questions to ask?
1) How often was the individual monitored? 2) Was the individual restrained in a prone or supine position and why? 3) Was agency policy followed and documented? 4) Was the hospital’s policy and procedure followed?
Step 9: Was the individual released ASAP (or not)?
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Decisions on when to release a person from seclusion or restraint often requires the
judgment of an experienced staff person who is well trained in the physical and emotional
risks inherent in S/R use on human beings, has a thorough knowledge of human behavior,
and good clinical judgment. In general, individuals (adults or children) who are currently
in seclusion or restraint should not have to “jump through hoops to prove” they can be
released. Release criteria should mostly be the responsibility of staff and their assessment
of regained control. Usually simple questions such as “How are you doing?” “Do you
think you can come out yet?”, “Are you able to be released and not hurt yourself or
anyone?” are sufficient to assess readiness. Again, for individuals who are unknown or
who have histories of intentional violence need to be carefully assessed. For persons who
fall asleep, best practice calls for restraints to be released or seclusion doors to be opened
but with continued face-to-face observation until person awakes and can be assessed.
Hospital policy that expects release in 2-4 hours or less can help staff facilitate release in
a timely manner.
Questions to ask?
1) When was the individual released? 2) Who made the decision and what was it based on? 3) Was policy followed? 4) Could the individual have been released earlier? 5) Was release too soon and why? 6) What were the documented release criteria were they used and were
they appropriate?
Step 10: Did Post-event activities occur (or not)?
This step relates to the agencies debriefing processes. The first, described above, is the
immediate acute event response by a supervisor or senior clinical staff member. Goals for
the post acute (immediate) response include assuring;
– the safety of the individual, the staff and the witnesses to the event; – that the documentation is accurate and meets the agency standard; – that information required to inform a formal debriefing is gathered in real
time by a person uninvolved in the incident;
– that the milieu is returned to pre-crisis levels
Also included here is the occurrence of a formal debriefing in a timely, rigorous, problem
solving, and stepwise process designed to elicit performance improvement ideas and
activities. The formal acute and formal debrief activities need to be documented and
filed.
Questions to ask?
1) Did the acute response to the event and formal debriefing occur and what were the timelines?
2) Who led the acute response and were they uninvolved in the event? 3) Was this documented and what happened to the findings? 4) Did the findings inform the formal debriefing or practices in general?
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66 Canal Center Plaza, Suite 302, Alexandria, VA 22314~~www.NASMHPD.org
NASMHPD
5) Is the formal debriefing documented as to processes and results and where does that go?
6) Were consumer staff or advocates involved in the debriefing process? 7) Did the person attend the formal debriefing or did the person agree to
be interviewed by a peer staff person?
Step 11: Did learning occur and was it integrated into the treatment plan and practice
(or not)?
The integrity of the debriefing process can be measured by the learning that occurs and
the changes, revisions, additions, deletions that can be tracked in operational procedures.
This debriefing process is a continuous quality improvement process that results in
learning from mistakes and crafting new responses including policy and procedure
changes, individual treatment plan and de-escalation plan revisions, training and
education, individual staff counseling, values clarification, operational rule evaluation
and other like events.
Questions to ask?
1) What was learned about the S/R event in the debriefing process? 2) Did this learning inform policy, practices, procedures, rules, the
treatment plan, staff training and education, unit rules?
3) Did staff receive training and education or counseling?
Note: This debriefing policy and procedure is to be used as a guide. Toward that end it is probably longer and includes more detail than most policy and procedures. Hospitals
and facilities will need to adapt their individual procedure to meet their needs and
capabilities. For facilities that are using frequent holds and cannot perform this level of
debriefing on every incident, it is recommended that the S/R reduction team determine
what frequency or individual characteristics will be put into policy to trigger this level of
review. For instance, any child who receives more than three holds a week, any event that
results in an injury or a pattern of outlier use by a unit, individual staff member that may
indicate additional training needs.
