John H. Peer, Jr., R.Ph. v. Missouri Board of Pharmacy , 2014 Mo. App. LEXIS 1257 ( 2014 )


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  •             IN THE MISSOURI COURT OF APPEALS
    WESTERN DISTRICT
    JOHN H. PEER, JR., R.Ph.,                        )
    )
    Respondent,     )
    )   WD77471
    v.                                               )
    )   OPINION FILED:
    )   November 12, 2014
    MISSOURI BOARD OF PHARMACY,                      )
    )
    Appellant.    )
    Appeal from the Circuit Court of Cole County, Missouri
    The Honorable Daniel R. Green, Judge
    Before Division II: Victor C. Howard, Presiding Judge, and
    Mark D. Pfeiffer and Gary D. Witt, Judges
    This is an appeal from an administrative decision. The Missouri Board of Pharmacy
    (―Board‖) entered an order of additional discipline revoking the pharmacist license of John H.
    Peer, Jr. (―Peer‖). Peer petitioned the Circuit Court of Cole County, Missouri (―circuit court‖),
    to review the Board‘s decision. The circuit court set aside the Board‘s order of discipline. The
    Board appeals. We reverse the circuit court‘s judgment.
    Factual and Procedural Background
    Peer was licensed by the Board as a pharmacist in 1972 and became owner of Center
    Pharmacy in Kansas City, Missouri, in 1978. From 2002 to 2012, Peer also worked as a
    pharmacist on the evening shift of the outpatient pharmacy of Children‘s Mercy Hospital in
    Kansas City, Missouri.
    On July 24, 2006, Peer entered into a Settlement Agreement (―2006 Settlement
    Agreement‖) with the Board for the purpose of resolving the question of whether his license as a
    pharmacist would be subject to discipline.          Peer waived his right to a hearing by the
    Administrative Hearing Commission (―AHC‖) regarding cause to discipline his pharmacist
    license and his right to a disciplinary hearing before the Board. The 2006 Settlement Agreement
    enumerated Peer‘s pharmacy violations:
    1.     Failure to maintain the original prescription in the appropriate prescription
    file;
    2.     Failure to maintain the pharmacy in a clean and sanitary condition;
    3.     Failure to maintain proper files of prescriptions;
    4.     Failure to keep pharmacy inventory separate from outdated supplies;
    5.     Failure to keep the daily pharmacist signature log signed;
    6.     Failure to keep the compounding area in a sanitary condition;
    7.     Failure to properly dispose of controlled substances;
    8.     Failure to properly maintain records of controlled substances;
    9.     Failure to maintain a Schedule II controlled substance in a secured area;
    10.    Failure to maintain separate records of controlled substances;
    11.    Failure to properly maintain records when dispensing controlled
    substances.
    Peer‘s pharmacist license was placed on five years‘ probation beginning August 26, 2006.
    Among the terms of discipline in the disciplinary order section of the 2006 Settlement
    Agreement that Peer agreed to follow during the term of his probation was that he ―shall comply
    2
    with all provisions of Chapter 338, Chapter 195, and all applicable federal and state drug laws,
    rules and regulations and with all federal and state criminal laws.‖ The disciplinary order also
    provided that:
    Upon the expiration of said discipline, [Peer‘s] license as a pharmacist in
    Missouri shall be fully restored if all other requirements of law have been
    satisfied; provided, however, that in the event the Board determines that [Peer]
    has violated any term or condition of this Agreement, the Board may, in its
    discretion, after an evidentiary hearing, vacate and set aside the discipline
    imposed herein and may suspend, revoke or otherwise lawfully discipline [Peer].
    On March 10, 2011, the Board was notified by the Missouri Bureau of Narcotics and
    Dangerous Drugs (―BNDD‖) that Center Pharmacy had operated with an expired BNDD license.
    On June 3, 2011, the Board filed a complaint for violation of the 2006 Settlement Agreement‘s
    disciplinary order. After a hearing, the Board found that Peer:
    1.        Held and distributed controlled substances without a valid BNDD license;
    2.        Failed to use Drug Enforcement Agency Form 222 when he distributed
    controlled substances;
    3.        Failed to maintain his pharmacy in a clean and sanitary condition;
    4.        Improperly labeled prescriptions;
    5.        Violated the disciplinary terms contained in the Settlement Agreement.
    On August 4, 2011, the Board issued its order of discipline (―2011 Order‖), which replaced the
    2006 Settlement Agreement. The 2011 Order placed Peer on probation for two years effective
    August 4, 2011. Among the terms and conditions governing Peer‘s probation were the following
    requirements:
    39.     [Peer] shall comply with all provisions of Chapter 338, Chapter 195, and
    all applicable federal and state drug laws, rules and regulations and with all
    federal and state criminal laws. . . .
    ....
    3
    49.     [Peer] shall establish a continuous quality improvement program to assess
    dispensing errors related to his pharmacy practice and shall take appropriate
    action(s) to prevent recurrence. [Peer] shall document all dispensing errors for
    which he was responsible regardless of practice location. On a quarterly basis
    [Peer] shall review all errors documented since the last quarterly review and
    establish steps taken or to be taken to prevent recurrence of such errors. [Peer]
    shall document for each quarterly review which errors were reviewed and the
    steps taken or to be taken to prevent recurrence. All documentation required by
    this section shall be made immediately available to the Board of Pharmacy or its
    staff upon request.
    The 2011 Order provided that:
    52.     Should Peer violate any term or condition of this Order or any provision of
    Chapter 338, RSMo, the Board of Pharmacy may vacate the order of discipline
    imposed herein and order such further or additional discipline as the Board deems
    appropriate, including, but not limited to, revocation, suspension, and/or probation
    against the pharmacist license of Peer. No additional order shall be entered by the
    Board pursuant to this paragraph of this Order without notice and an opportunity
    for hearing before the Board of Pharmacy as a contested case in accordance with
    the provisions of Chapter 536, RSMo.
    After the 2011 Order became effective, Peer employed Wilson Winch, R.Ph., as a
    consultant at Center Pharmacy. On or about October 13, 2011, March 5, 2012, and September 5,
    2012, Winch conducted Pharmacy Consultant Reviews, which were provided to the Board.
    Board Inspector Andi Miller inspected Center Pharmacy on several occasions and visited the
    Children‘s Mercy Hospital Outpatient Pharmacy. Based on errors identified by Winch and
    Inspector Miller, on January 31, 2013, the Board filed a complaint, alleging that Peer violated the
    terms of the 2011 Order. Regarding paragraph 39 of the 2011 Order, the Board alleged that Peer
    violated section 338.059.1(4) by dispensing improperly labeled prescriptions and 20 CSR
    2220-2.010(1)(F) by failing to maintain his pharmacy in a clean and sanitary manner. Pertaining
    to paragraph 49 of the 2011 Order, the Board alleged that Peer failed to immediately produce
    quarterly review of errors reports, and in the reports he did produce, he did not include the steps
    taken to prevent recurrence of errors.
    4
    After two continuances requested by Peer, a violation of disciplinary order hearing was
    held on July 17, 2013. At the hearing, Peer stipulated to a briefing schedule in which the Board
    would file its brief by August 2, 2013, and Peer would file a response by August 12, 2013. On
    September 30, 2013, the Board issued its findings of fact, conclusions of law, and order of
    discipline (―2013 Order‖). The Board found that Peer violated the terms of probation as alleged.
    The Board revoked Peer‘s pharmacist license and prohibited him from reapplying for seven
    years.
    Peer petitioned the circuit court for judicial review of the Board‘s 2013 Order. The
    circuit court entered its judgment on March 11, 2014. The circuit court found that, ―[P]ursuant
    to the Order of Discipline of August [4], 2011, Peer‘s probationary period expired on August [4],
    2013, and the Board lost jurisdiction and authority to impose additional discipline as of that
    date.‖ The circuit court thus concluded that the Board‘s 2013 Order was null and void.
    The Board appeals.1
    Standard of Review
    Our standard of review is controlled by section 536.100,2 which authorizes judicial
    review of ―a final decision in a contested case . . . as provided in sections 536.100 to 536.140,
    unless some other provision for judicial review is provided by statute.‖ Thus, we review the
    Board‘s Order and not the judgment of the circuit court. § 536.140.5.
    This court determines whether the Board‘s action: (1) violates constitutional provisions;
    (2) exceeds its statutory authority or jurisdiction; (3) is unsupported by competent and substantial
    evidence upon the whole record; (4) is, for any other reason, unauthorized by law; (5) is made
    upon unlawful procedure or without a fair trial; (6) is arbitrary, capricious or unreasonable; (7)
    1
    Although Board filed this appeal as the party aggrieved by the circuit court‘s decision, Peer filed the
    appellant‘s brief under Rule 84.05(e) because he was aggrieved by the Board‘s decision.
    2
    All statutory references are to the Revised Statutes of Missouri 2000, as supplemented.
    5
    involves an abuse of discretion. § 536.140.2. ―The Board‘s decision is presumed valid, and the
    burden is on the party attacking it to overcome that presumption.‖ Moore v. Mo. Dental Bd., 
    311 S.W.3d 298
    , 303 (Mo. App. W.D. 2010) (internal quotation omitted). We make a ―‗single
    determination whether, considering the whole record, there is sufficient competent and
    substantial evidence to support‘‖ the agency‘s decision. Albanna v. State Bd. of Registration for
    Healing Arts, 
    293 S.W.3d 423
    , 428 (Mo. banc 2009) (quoting Hampton v. Big Boy Steel
    Erection, 
    121 S.W.3d 220
    , 223 (Mo. banc 2003)). If the ―agency‘s decision involves a question
    of law, the court reviews the question de novo.‖ 
    Id. Analysis Peer
    raises four points on appeal. In his first two points, he asserts that the Board lacked
    jurisdiction3 to impose additional discipline on his pharmacist license:                         first, because his
    probationary period had terminated before the Board entered its further discipline; and second,
    because the 2011 Order imposing additional discipline was not a qualified order under section
    338.055.3. In his third point, Peer contends that the Board‘s order of additional discipline was
    unsupported by competent and substantial evidence on the whole record, and the Board‘s
    decision was arbitrary, capricious, and unreasonable. In his fourth point, Peer asserts that the
    Board‘s imposition of disproportionate discipline was arbitrary, capricious, an abuse of
    discretion, and violated his constitutional rights to substantive due process and equal protection.
    3
    In Peer‘s brief, he conflates the concepts of jurisdiction and authority. ―In a non-administrative context,
    jurisdiction and authority are two separate and distinct inquiries.‖ Roth v. J.J. Brouk & Co., 
    356 S.W.3d 786
    , 788
    n.2 (Mo. App. E.D. 2011) (citing J.C.W. ex rel. Webb v. Wyciskalla, 
    275 S.W.3d 249
    (Mo. banc 2009)). ―A circuit
    court‘s subject matter jurisdiction over civil and criminal cases stems from the Missouri Constitution, article V, sec.
    14, while a court‘s authority to grant relief in a particular case will lie in a specific statute or at common law.‖ 
    Id. (citing McCracken
    v. Wal-Mart Stores East, L.P., 
    298 S.W.3d 473
    (Mo. banc 2009)). If Webb does not apply to
    administrative cases, then the Board will have subject matter jurisdiction as long as it has been given statutory
    authority for a particular act or remedy. 
    Id. If Webb
    does apply, the issue is whether the Board possessed authority
    to take the specific action challenged here; namely enter its order imposing additional discipline on Peer‘s
    pharmacist license after his probationary period had expired. See 
    id. 6 Point
    I
    In Peer‘s first point, he argues that the Board lost jurisdiction over his prior discipline
    when his probation ended.             He contends that the Board‘s authority to impose additional
    discipline is predicated on the existence of discipline still in force. According to Peer, because
    the Board‘s 2011 Order and Peer‘s probation terminated on August 4, 2013, the Board lacked
    jurisdiction to impose additional discipline in its 2013 Order entered on September 30, 2013.
    Thus, the issue we must resolve is whether the Board was required to: file its complaint;
    hold a violation of discipline hearing; and issue its findings of fact, conclusions of law, and order
    of discipline for an alleged violation of the terms of probation before Peer‘s probationary period
    expired.
    ―[A]dministrative agencies—legislative creations—possess only those powers expressly
    conferred or necessarily implied by statute.‖ United Pharmacal Co. of Mo., Inc. v. Mo. Bd. of
    Pharmacy, 
    208 S.W.3d 907
    , 913 (Mo. banc 2006) (internal quotation omitted). The general
    statutory provisions covering Occupations and Professions give the Board 4 the specific statutory
    authority to hear and determine whether additional discipline should be imposed when the
    licensee is already subject to discipline:
    Any board, commission, or committee within the division of professional
    registration may impose additional discipline when it finds after hearing that a
    licensee, registrant, or permittee has violated any disciplinary terms previously
    imposed or agreed to pursuant to settlement. The board, commission, or
    committee may impose as additional discipline any discipline it would be
    authorized to impose in an initial disciplinary hearing.
    § 324.042.       In addition, the statutes covering pharmacists specifically give the Board the
    authority to impose additional discipline on a licensee who violates previously imposed
    disciplinary terms:
    4
    The Board is statutorily assigned to the division of professional registration. § 324.001.11(1).
    7
    The [B]oard may impose additional discipline on a licensee, registrant, or
    permittee found to have violated any disciplinary terms previously imposed under
    this section or by agreement. The additional discipline may include, singly or in
    combination, censure, placing the licensee, registrant, or permittee named in the
    complaint on additional probation on such terms and conditions as the [B]oard
    deems appropriate, which additional probation shall not exceed five years, or
    suspension for a period not to exceed three years, or revocation of the license,
    certificate, or permit.
    § 338.055.3.
    Peer relies on Cohen v. Missouri Board of Pharmacy, 
    967 S.W.2d 243
    (Mo. App. W.D.
    1998), to argue that section 338.055 is the exclusive statutory authority authorizing the Board to
    take disciplinary action against a pharmacist‘s license. What Peer ignores is that the Cohen court
    was interpreting an earlier—and now outdated—1994 version of that statute. Section 338.055.3
    was amended in 1998 to specifically authorize the Board to impose additional discipline on a
    licensee found to have violated previously imposed disciplinary terms. And section 324.042 was
    enacted in 2008, ten years after the Cohen decision. Accordingly, Peer‘s reliance upon Cohen is
    misplaced.
    ―[S]tatutory provisions relating to the same subject matter are considered in pari materia
    and are to be construed together.‖ Crawford v. Div. of Emp’t Sec., 
    376 S.W.3d 658
    , 664 (Mo.
    banc 2012) (emphasis added) (internal quotation omitted). In doing so, we attempt to read the
    statutes consistently and harmoniously.     
    Id. Both section
    324.042 and section 338.055.3
    authorize the Board to impose additional discipline on a licensee who violates previously
    imposed disciplinary terms.
    The legislature has imposed on the Board a statutory time limitation to bring a
    disciplinary action. A disciplinary proceeding against a licensee must be commenced within
    three years of the date upon which the licensing agency received notice of an alleged violation:
    8
    1. Except as provided in this section, no disciplinary proceeding against any
    person or entity licensed, registered, or certified to practice a profession within the
    division of professional registration shall be initiated unless such action is
    commenced within three years of the date upon which the licensing, registering,
    or certifying agency received notice of an alleged violation of an applicable
    statute or regulation.
    § 324.043.1. Such an action is commenced ―when a complaint is filed by the agency‘s legal
    counsel with the agency in respect to . . . a probation violation.‖ § 324.043.3. Here, the Board
    filed its complaint against Peer‘s license in January 2013, well in advance of the three-year
    deadline for receiving notice of an alleged violation and well in advance of the August 2013
    probation expiration date from the 2011 Order.
    The legislature likewise could have imposed a statutory time limitation upon which an
    entry of an order of additional discipline must occur after the commencement of the complaint,
    but it did not do so. ―[T]he purpose behind licensing statutes is to protect the public . . . .‖
    Garozzo v. Mo. Dep’t of Ins., 
    389 S.W.3d 660
    , 665 (Mo. banc 2013) (internal quotation omitted).
    That purpose would be thwarted were we to accept Peer‘s argument that, essentially, licensed
    practitioners on probation are free to violate the terms of their probation as long as the Board is
    unable to consummate a disciplinary order before the probation term ends—even where, as here,
    Peer actually stipulated to a briefing schedule that he knew would not result in complete briefing
    by the parties until after the purported probationary expiration date under the disciplinary order
    in dispute.
    A contested case against a licensee for a violation of probation is commenced by the
    Board filing a complaint stating the relief sought or proposed and the reason for granting it.
    § 536.063. The Board must then promptly notify all necessary parties of institution of the
    complaint. § 536.067(1). The Board must also provide at least ten days notice of the time and
    place of the hearing. § 536.067(3), (4). At or after the hearing, the parties may present oral
    9
    arguments or file written briefs, which the Board must consider in addition to the record before
    rendering a final decision. § 536.080. The Board‘s final, written decision must be accompanied
    by findings of fact and conclusions of law. § 536.090. As this case demonstrates, it is neither
    uncommon nor unreasonable for this schedule of administrative events—events designed to
    safeguard the rights of a licensee such as Peer—to take up to 8 months or more to complete. To
    propose that the statutory procedures in a contested administrative case must be concluded
    before the expiration of the licensee‘s probationary period is absurd.
    Accordingly, we conclude that under the plain meaning of the statutory framework at
    issue, if a licensee violates any condition of probation during the probationary period, the
    Board‘s filing of a complaint within the section 324.043.1 time constraints authorizes the Board
    to impose additional discipline based on the violation of the conditions of probation.
    Point I is denied.
    Point II
    In Peer‘s second point, he asserts that the Board lacked jurisdiction to directly impose
    additional discipline based on an alleged violation of a previously imposed order of additional
    discipline. Peer argues that the Board was required to file a complaint with the AHC for a
    determination that grounds for discipline existed.
    Generally, an administrative proceeding to discipline a pharmacy license is bifurcated. If
    the Board concludes that the holder of a pharmacy license has committed an act or is engaging in
    a practice constituting grounds for disciplinary action as provided in section 338.055.2(1)-(17),
    the Board may file a complaint with the AHC. See § 621.045.1. After the filing of such
    complaint, if the AHC finds that the grounds for disciplinary action are met, a second hearing is
    held by the Board to decide what discipline—including censure, probation on such terms and
    10
    conditions as the Board deems appropriate for a period not to exceed five years, suspension for a
    period not to exceed three years, or revocation of the license—should be imposed on the
    licensee. § 338.055.3.
    However, disputes between the Board and its licensees may be informally resolved.
    §§ 621.045.4, 536.060 (―Contested cases and other matters involving licensees and licensing
    agencies described in section 621.045 may be informally resolved by consent agreement or
    agreed settlement or may be resolved by stipulation, consent order, or default, or by agreed
    settlement where such settlement is permitted by law.‖). Here, Peer waived the right to a hearing
    before the AHC regarding cause to discipline Peer‘s pharmacy license, waived the right to a
    disciplinary hearing before the Board, and entered into the 2006 Settlement Agreement for the
    purpose of resolving the question of whether Peer‘s license as a pharmacist would be subject to
    discipline.
    Section 324.042 authorizes the Board to impose additional discipline when a licensee
    violates any disciplinary terms previously imposed.      Having found that Peer violated the
    disciplinary terms previously agreed to in the 2006 Settlement Agreement, the Board imposed
    additional discipline in the 2011 Order. And after the Board found that Peer violated the
    disciplinary terms previously imposed in the 2011 Order, the Board imposed additional
    discipline in its 2013 Order, revoking Peer‘s pharmacist license and prohibiting him from
    reapplying for seven years. The Board‘s action in pursuing a violation of the terms of probation
    imposed because of a violation of a previously imposed probation is within the parameters of
    11
    section 338.055.3, is separately authorized and contemplated by sections 324.042 and
    324.043.3,5 and is consistent with the waiver of rights originally executed by Peer in 2006.
    Point II is denied.
    Point III
    In Peer‘s third point, he challenges the sufficiency of the evidence to support the Board‘s
    finding that he violated the terms of probation imposed in the 2011 Order. He contends that he
    complied with the requirements regarding a continuous quality improvement program and did
    not violate state law and regulations relating to dispensing drugs or maintaining his pharmacy in
    a sanitary and clean condition. In reviewing the Board‘s decision, we must determine whether,
    considering the whole record, there is sufficient competent and substantial evidence to support
    the Board‘s finding. 
    Albanna, 293 S.W.3d at 428
    . ―This standard would not be met in the rare
    case when the [agency‘s decision] is contrary to the overwhelming weight of the evidence.‖ 
    Id. (internal quotation
    omitted).
    Paragraph 49 of the 2011 Order required that Peer maintain a quarterly review of errors,
    including steps taken to prevent recurrence, and that he produce the quarterly reports
    immediately upon the Board‘s or its staff‘s request:
    49.     [Peer] shall establish a continuous quality improvement program to assess
    dispensing errors related to his pharmacy practice and shall take appropriate
    action(s) to prevent recurrence. [Peer] shall document all dispensing errors for
    which he was responsible regardless of practice location. On a quarterly basis
    [Peer] shall review all errors documented since the last quarterly review and
    establish steps taken or to be taken to prevent recurrence of such errors. [Peer]
    shall document for each quarterly review which errors were reviewed and the
    steps taken or to be taken to prevent recurrence. All documentation required by
    this section shall be made immediately available to the Board of Pharmacy or its
    staff upon request.
    5
    Section 324.043.3 dictates that an action is commenced upon the filing of a complaint with the AHC, ―or
    when a complaint is filed by the agency‘s legal counsel with the agency in respect to an automatic revocation or a
    probation violation.‖ (Emphasis added.)
    12
    In its 2013 complaint, the Board noted that Peer was required to maintain a quarterly
    review of errors pursuant to the disciplinary agreement in the 2011 Order. The Board alleged
    that Peer was unable to produce the quarterly review for July 1, 2012, through September 30,
    2012, when requested to do so by Inspector Miller during her investigation. At the July 17, 2013
    disciplinary hearing, Inspector Miller testified that, as part of Peer‘s 2011 Order, he was required
    to provide quarterly reports to the Board in which he reviewed all of his errors and established
    steps taken or to be taken to prevent reccurrence of the errors. Inspector Miller stated that she
    was provided reports labeled quarterly, but they did not include the required data. When she
    conducted an inspection of the pharmacy on June 5, 2012, she specifically asked Peer to provide
    a copy of his error records. Peer provided her with an empty binder and told her that there had
    not been any errors since the last inspection. Inspector Miller determined that Peer‘s statement
    was untrue because Miller had error records from Winch. Inspector Miller testified that Peer
    agreed that there were errors.     Peer admitted that the error records were not immediately
    available to Inspector Miller when she requested them during her June 2012 visit and that he
    gave her an empty three-ring binder when she asked for a copy of his error records.
    The Board further alleged that in the quarterly reports that Peer did produce, he did not
    include the steps taken to prevent recurrence of the errors. At the July 17, 2013 disciplinary
    hearing, Peer admitted that when Inspector Miller visited the pharmacy on October 16, 2012, she
    requested Peer‘s quarterly review for the quarter ending September 30, and he was unable to
    produce it because he had not written it yet. When Peer was asked if he documented the steps to
    be taken to prevent recurrence of errors listed on the quarterly review for the first quarter of
    2012, Peer reacted ―put out‖ by the documentation requirement and testified that ―[t]he steps are
    checking and rechecking. . . .        If you do a complete and final check, you‘re there.‖
    13
    Unfortunately, as further evidence would demonstrate, Peer failed his simplified ―check and
    recheck‖ policy on numerous occasions leading to pharmaceutical errors in patient medication
    disbursements.
    Paragraph 39 of the 2011 Order required that Peer comply with laws and regulations:
    39.     [Peer] shall comply with all provisions of Chapter 338, Chapter 195, and
    all applicable federal and state drug laws, rules and regulations and with all
    federal and state criminal laws. ―State‖ here includes the State of Missouri and all
    other states and territories of the United States.
    The Board alleged that Peer violated section 338.059.1(1)-(7), which requires that each
    prescription dispensed be properly labeled:
    1. It shall be the duty of a licensed pharmacist or a physician to affix or have
    affixed by someone under the pharmacist‘s or physician‘s supervision a label to
    each and every container provided to a consumer in which is placed any
    prescription drug upon which is typed or written the following information:
    (1) The date the prescription is filled;
    (2) The sequential number;
    (3) The patient‘s name;
    (4) The prescriber‘s directions for usage;
    (5) The prescriber‘s name;
    (6) The name and address of the pharmacy;
    (7) The exact name and dosage of the drug dispensed[.]
    The Board found that Inspector Miller reviewed the prescription records of Center Pharmacy, the
    compliance log maintained by Peer, and the Pharmacy Compliance Logs maintained by Winch
    and determined that seven dispensing and/or labeling errors had occurred at Center Pharmacy.
    Inspector Miller uncovered an additional eleven prescription and labeling errors during her
    review of pharmacy errors attributable to Peer at Children‘s Mercy Hospital.           The Board
    14
    concluded that by incorrectly stating the prescribing physician‘s directions for usage on at least
    six labels of the prescriptions provided to patients of both pharmacies, Peer dispensed improperly
    labeled prescriptions in violation of section 338.059.1(4). The Board further concluded that Peer
    was responsible for all incorrectly filled, compounded, and dispensed prescriptions, eleven of
    which were received by patients without correction.
    Sufficient evidence supports the Board‘s determination. Inspector Miller testified as to
    the eighteen errors recorded in her November 26, 2012 Investigation Report that Peer made at
    Center Pharmacy and at Children‘s Mercy Hospital Pharmacy.
    At Center Pharmacy:
    four prescriptions were dispensed with the wrong directions – the direction
    printed on the label affixed to the patient‘s prescription bottle did not match what
    was on the original prescription;
    one prescription was dispensed with the wrong strength – the prescriber
    prescribed one strength but a different strength was dispensed to the patient;
    one prescription was dispensed with a wrong drug formulation – immediate
    release instead of extended release;
    one prescription was dispensed under the wrong prescriber‘s name – prescription
    shows that it was prescribed by a physician other than the actual prescriber.
    All seven of the Center Pharmacy errors reached the patient. Peer attributed three of the errors to
    the use of computer shortcuts but was uncertain as to how four of the errors occurred. Peer
    admitted that multiple prescriptions left his pharmacy that were labeled incorrectly, had the
    wrong physician, the wrong strength, the wrong drug formulation. He agreed that as part of his
    2011 Order, he was required to comply with the provisions of Chapter 338 of the Missouri
    Revised Statutes, and by dispensing products from the pharmacy that were improperly labeled,
    he was in violation of Missouri statutes.
    15
    Eleven errors were identified at Children‘s Mercy Hospital Pharmacy:
    four prescriptions were dispensed for the wrong drug, three of which were
    compounded products;
    three prescriptions were dispensed for the wrong strength;
    one prescription was dispensed with the wrong directions;
    one prescription was dispensed with the wrong quantity;
    one was dispensed with the correctly compounded drug, but the prescription label
    indicated the incorrect drug;
    one error was reported as drug miscopied on a manual rewrite of an old
    prescription.
    Five of the eleven errors were attributed to ―no double check performed by the pharmacist.‖
    Only four of the prescription errors were known to have reached patients, none of whom reported
    any direct harm. Peer explained that his performance at the hospital pharmacy ―was very much
    affected by sleep deprivation in the last two or three years. Personally[,] I wouldn‘t vouch for
    anything I did in the last ten years while I was at Children‘s.‖ He summarized his ―whole work
    performance at Children‘s Mercy [as] a slow, continual gradual decline in job performance.‖
    In addition, Peer admitted at the disciplinary hearing that he operated for a week without
    a BNDD license. He also admitted that he had not been complying with the 2011 Order, but he
    argued that ―there are reasons for not being compliant.‖ Peer stated that the Board‘s purpose ―is
    to protect the public health more than anything else. . . . I feel that the Board‘s decision to
    surrender my license at that time under those circumstances was the correct decision. I agree
    with you and I commend you as a Board and as . . . individuals, but I‘m out of that situation
    [presumably the Children‘s Mercy Hospital employment ―situation‖]. So that‘s the difference.‖
    16
    Also relating to paragraph 39 of the 2011 Order, the Board alleged that Peer violated
    section 20 CSR 2220-2.010(1)(F), which requires that a pharmacy be maintained in a clean and
    sanitary manner:
    (F) All pharmacies shall be maintained in a clean and sanitary condition at all
    times. Any procedures used in the dispensing, compounding and admixture of
    drugs or drug-related devices must be completed under clean and, when
    recommended, aseptic conditions.
    1. Appropriate sewage disposal and a hot and cold water supply within the
    pharmacy must be available.
    2. Appropriate housekeeping and sanitation of all areas where drugs are stored or
    dispensed must be maintained.
    In the 2013 Order‘s factual findings, the Board noted that both of the prior disciplinary actions
    taken against Peer‘s license included violations for his failure to maintain his pharmacy in a
    clean and sanitary manner.
    At the July 17, 2013 disciplinary hearing, Inspector Miller testified that during her
    inspections of the pharmacy since the 2011 Order, she observed ―[g]enerally there are papers in
    disarray on the countertop. There [are] usually items piled on the floor. The cleanliness does
    vary from time to time. Usually when I arrive[,] Mr. Peer starts straightening up.‖ Winch noted
    in his October 13, 2011 initial review report that ―[t]he pharmacy floor needs cleaning‖ and
    listed ―general cleanliness and orderliness‖ as a corrective action for Peer to take. Peer testified
    that the pharmacy is in a grocery store and dust is generated when the floors are buffed each
    night. During questioning by Board members, Peer admitted that dust is also on the shelves and
    prescription bottles in the pharmacy, and that he dusts about every month and a half.
    Because there was substantial evidence that Peer violated Chapter 338, and applicable
    federal and state drug laws, rules, and regulations, section 338.055 allows the Board to discipline
    Peer‘s license for, among other causes, ―[v]iolation of any professional trust or confidence.‖
    17
    Considering the whole record, there is sufficient competent and substantial evidence to support
    the Board‘s finding that Peer violated the terms of probation imposed in the 2011 Order.
    Point III is denied.
    Point IV
    In Peer‘s fourth point, he claims that the Board‘s imposition of discipline was
    disproportionate, arbitrary, capricious, an abuse of discretion, and violated his constitutional
    rights to substantive due process and equal protection of the laws. We note:
    The court on appeal rarely interferes with sanctions imposed by an administrative
    [board] which are within the statutory authority of the [board]. A part of the
    expertise of the members of the [Board] consists of the ability, drawn from their
    knowledge of the industry practices and standards, to assess the gravity of the
    licensee‘s infractions, and to fit the sanction to the offense.
    Kerwin v. Mo. Dental Bd., 
    375 S.W.3d 219
    , 231-32 (Mo. App. W.D. 2012) (quoting Andrews v.
    Mo. Real Estate Comm’n, 
    849 S.W.2d 241
    , 245 (Mo. App. W.D.1993)).
    The severity of additional discipline to be imposed rests in the discretion of the Board.
    § 338.055.3. The Board‘s decision as to discipline will be ―upheld unless its determination is:
    unsupported by competent and substantial evidence; arbitrary, capricious or unreasonable; an
    abuse of discretion; or unauthorized by the law.‖ KV Pharm. Co. v. Mo. State Bd. of Pharmacy,
    
    43 S.W.3d 306
    , 310 (Mo. banc 2001). ―Discretion is abused when the ruling is clearly against
    the logic of the circumstances then before the court and is so arbitrary and unreasonable as to
    shock the sense of justice and indicate a lack of careful consideration.‖ 
    Kerwin, 375 S.W.3d at 232
    (internal quotation omitted).
    Peer voluntarily took the second job at Children‘s Mercy Hospital for supplemental
    income. He did not identify tiredness from self-induced sleep deprivation as a contributing
    factor to errors in quarterly error reviews and only belatedly offered that excuse at his
    18
    disciplinary hearing.   Yet Peer admitted at his disciplinary hearing that the quality of his
    performance at the hospital pharmacy ―was very much affected by sleep deprivation in the last
    two or three years. Personally[,] I wouldn‘t vouch for anything I did in the last ten years while I
    was at Children‘s.‖ He summarized his ―whole work performance at Children‘s Mercy [as] a
    slow, continual gradual decline in job performance.‖
    Peer contends that his actions did not rise to the level of malpractice or incompetence.
    He argues that license revocation was unwarranted because he produced evidence that his errors
    were related to the effects of sleep deprivation. Dr. Scott Eveloff, a physician who is board
    certified in sleep disorder medicine and pulmonary medicine, testified on Peer‘s behalf.
    Dr. Eveloff testified that Peer suffered from chronic sleep deprivation from 2011 to the end of
    2012 when he was working until 11:00 p.m. at Children‘s Mercy Hospital, going to bed at
    midnight, and waking at 6:30 a.m. However, the doctor could not say with medical certainty that
    Peer‘s self-induced sleep deprivation was unequivocally the only cause of his lack of attention.
    When Dr. Eveloff was asked how confident he would be in his child‘s safety if his child were at
    Children‘s Mercy Hospital, he replied: ―So you mean knowing that [Peer] was sleep [deprived]
    or that he has committed all these errors, how would I like him handling my child‘s
    prescriptions? It would give me pause.‖ Peer‘s belated attempt to blame his dispensing errors
    on his lack of sleep neither mitigates those errors nor lessens the danger he posed to the public.
    Section 324.042 authorizes the Board to impose as additional discipline ―any discipline it
    would be authorized to impose in an initial disciplinary hearing.‖ There is a wide range of
    sanctions available to the Board under section 338.055.3, from censure to revocation of license.
    Section 338.055.3 provides that:
    The board may impose additional discipline on a licensee, registrant, or permittee
    found to have violated any disciplinary terms previously imposed under this
    19
    section or by agreement. The additional discipline may include, singly or in
    combination, censure, placing the licensee, registrant, or permittee named in the
    complaint on additional probation on such terms and conditions as the board
    deems appropriate, which additional probation shall not exceed five years, or
    suspension for a period not to exceed three years, or revocation of the license,
    certificate, or permit.
    ―The appropriate sanction within that range is confided to the discretion of the Board.‖ Holmes
    v. Mo. Dental Bd., 
    703 S.W.2d 11
    , 13 (Mo. App. W.D. 1985). The Board had the authority to
    revoke Peer‘s license as additional discipline for violating previously imposed disciplinary terms.
    Peer asserts that he has been treated differently and more harshly than other pharmacists
    who have been disciplined under section 338.055.26 and that there is no rational basis for the
    difference in discipline. ―However, when the treatment at issue does not involve a fundamental
    right or a suspect classification, it survives an equal protection challenge so long as it bears a
    rational relationship to a legitimate government interest.‖ Artman v. State Bd. of Registration for
    Healing Arts, 
    918 S.W.2d 247
    , 252 (Mo. banc 1996). Likewise, ―[s]ubstantive due process
    requires the state action which deprives one of life, liberty or property, be rationally related to a
    legitimate state interest.‖ Lane v. State Comm. of Psychologists, 
    954 S.W.2d 23
    , 24 (Mo. App.
    E.D. 1997). ―To assert a substantive due process claim[,] one must establish that the government
    action complained of is ‗truly irrational,‘ more than arbitrary, capricious, or in violation of state
    law.‖ 
    Id. at 24-25.
    While Peer has a property interest in his pharmacy license, the Board has a
    vital interest in protecting the public.
    ―The reason professional license discipline laws exist is to protect the public served by
    those who have been granted such licenses.‖ Johnson v. Mo. Bd. of Nursing Adm’rs, 
    130 S.W.3d 6
              Peer cites to disciplinary action against pharmacists listed in Board newsletters from February 2012 to
    May 2013. Of the three cases in the newsletters involving violation of discipline, the Board placed one pharmacist
    on two years‘ probation; revoked one pharmacist‘s license and prohibited her from reapplying for seven years; and
    one pharmacist voluntarily surrendered his license and cannot reapply for three years. None of these examples
    appear identical to the numerous opportunities Peer was given to rectify pharmaceutical concerns in the 2006
    Settlement Agreement and 2011 Order. Nor do they illustrate that Peer is somehow being singled out for retributive
    and inconsistent discipline.
    20
    619, 645 (Mo. App. W.D. 2004). ―[T]he focus of licensing laws, and suspension or revocation
    provisions included therein, is on protection of the public served by such licensed professionals.
    Cases uniformly reflect this focus with respect to the disciplining of various occupational
    licenses.‖ 
    Id. (internal quotation
    omitted).
    There is a rational basis for the Board‘s revocation of Peer‘s license due to Peer‘s
    egregious conduct. Peer entered into the 2006 Settlement Agreement for five years‘ probation
    due to pharmacy violations.      Due to Peer‘s violation of the 2006 Settlement Agreement‘s
    disciplinary order, the Board issued its 2011 Order, which placed Peer on probation for two
    years. In 2013, the Board filed a complaint, alleging that Peer violated the terms of the 2011
    Order. After finding that Peer violated the terms of probation, the Board issued its 2013 Order,
    revoking Peer‘s pharmacist license and prohibited him from reapplying for seven years. The
    state has a legitimate interest in protecting its citizens from pharmacists who persist in violating
    discipline and who fail to correct cited errors. Revoking the license of the offending pharmacist
    is rationally related to that interest. The Board‘s treatment of Peer did not violate the Equal
    Protection or Due Process Clauses of the United States Constitution or article I, sections 2 or 10
    of the Missouri Constitution.
    Under the factual circumstances of Peer‘s case, the Board‘s decision to revoke his
    pharmacy license is within the statutory range of discipline available to the Board, and such
    discipline is not arbitrary, capricious, or disproportionate. Likewise, Peer‘s constitutional rights
    have not been violated, and the Board‘s decision does not constitute an abuse of discretion.
    Point IV is denied.
    21
    Conclusion
    The judgment of the circuit court is reversed, and the case is remanded to the circuit court
    with directions to reinstate the Board‘s 2013 Order revoking Peer‘s license as a pharmacist.
    Mark D. Pfeiffer, Judge
    Victor C. Howard, Presiding Judge, and
    Gary D. Witt, Judge, concur.
    22