Good Clinical Practice Guide
Results 1 to 4 of 4

Thread: Filing in patient notes

  1. #1
    Forum Member
    Join Date
    Nov 2016
    Posts
    2

    Filing in patient notes

    Hi there.
    I was hoping someone could offer some guidance with regard to filing/documentation in patient notes for patients who decline a study. Is it a regulatory requirement to file PIS's and invitation letters in hospital notes once a patient has declined? If so please could someone point me in the right direction of this text?

    Thank you.

  2. #2
    Forum Member
    Join Date
    Nov 2011
    Posts
    183
    My thoughts.
    It is up to the institution/investigator as to exactly where the trail data, on consented subjects, is stored. Interestingly ICH E6 R2 states that:- "The investigator should maintain adequate and accurate source documents and trial records that include all pertinent observations on each of the site’s trial subjects" (4.9.0). Clinical trial activity begins with consent and as a consequence the subject allows the investigator to begin trial related screening processes and record trial related data. Data from consented subjects should be retained in the clinical trial documentation.
    Obviously to comply with GCP, the data has to be readily available for monitoring, auditing and Inspection. In fact ICH E6 R2 says that the location of such documents should be documented:- "The sponsor and investigator/institution should maintain a record of the location(s) of their respective essential documents including source documents. (8.1).

    ICH E3 also expects that screen failures are accounted for in the clinical study report.

    RQA (Research Quality Association) answered a similar question about ID and screening logs, in October 2015. You might find the part about why data on screen failures is retained, useful:--
    "........ Complying with ICH E6 (R1) 8.3.21, the investigator/institution needs to be able to reveal the identity of any subject. In the case of Screen Failures (SF) this may be for a variety of reasons, for instance:-
    • Inspectors, auditors & monitors need to access the identity of all subjects, including screen failures, so they can locate pertinent information regarding their suitability to be enrolled in screening, ensuring their rights are safeguarded, etc;
    • Data Protection (DP), Privacy & Confidentiality considerations:- so that subjects can be fully protected. The investigator & staff (and monitors) can't protect the information on subjects if they can't identify them. Subjects might want to file a DP related complaint and having an ID list will facilitate identifying the pertinent information;
    • Well being and rights considerations:- SF subjects might have cause to complain about the tests and procedures administered during screening (even psychological tests) and hence it would be necessary to identify these subjects;
    • Some sponsors routinely collect SAE data from any subject that gives consent. Hence verification and follow-up of SAE information would require identification of all subjects."

    The MHRA GCP Guide (2012) has lots of useful information. 10.7.1, 11.4.1, 11.5.1 and others, might be useful

  3. #3
    Forum Member
    Join Date
    Nov 2016
    Posts
    2
    Thank you very much, that's just what I needed!

  4. #4
    Forum Member
    Join Date
    Nov 2011
    Posts
    183
    With regard to the point about SAE reporting of Screen Failures (SF) you might be interested in the EU Volume 10 document on Q & As. --- "7.31 Question: When do requirements to record and report safety issues start and end for the investigator and the sponsor? 338. AEs, including SAEs, should be recorded by the sponsor and the investigator from the signature of informed consent to the end of the trial unless otherwise provided for in the protocol".

Posting Permissions

  • You may not post new threads
  • You may not post replies
  • You may not post attachments
  • You may not edit your posts
  •