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The Secretary of State, in exercise of the powers conferred upon him by sections 15(1), (2), (3)(a), (4)(a), (5)(b), (6)(b), and 82(3)(a) of, and paragraphs 1(1)(c) and (2), 8(1), 9, 14, 15(1) and 16 of Schedule 3 to, the Health and Safety at Work etc. Act 1974[1] ("the 1974 Act") and section 1(2) of the Offshore Safety Act 1992[2] and for the purpose of giving effect without modifications to proposals submitted to him by the Health and Safety Commission under section 11(2)(d) of the 1974 Act after the carrying out of consultations by the said Commission in accordance with section 50(3) of that Act, hereby makes the following Regulations: Citation and commencement 1. These Regulations may be cited as the Offshore Installations (Safety Case) Regulations 2005 and shall come into force on 6th April 2006. Interpretation 2. —(1) In these Regulations—
(b) has been accepted by the Executive;
(b) in relation to a non-production installation, the owner;
(b) an event involving major damage to the structure of the installation or plant affixed thereto or any loss in the stability of the installation; (c) the collision of a helicopter with the installation; (d) the failure of life support systems for diving operations in connection with the installation, the detachment of a diving bell used for such operations or the trapping of a diver in a diving bell or other subsea chamber used for such operations; or (e) any other event arising from a work activity involving death or serious personal injury to five or more persons on the installation or engaged in an activity in connection with it;
(b) until that person is known (should there be a case where at a material time he is not yet known) the person who is to commission or (where commissioning has started) commissions the design and construction of the pipeline; or (c) when a pipeline is no longer used or is not for the time being used, the person last having control over the conveyance of fluid or any mixture of fluids in it;
(b) the licensee, where—
(ii) in the opinion of the Executive, any person appointed to perform the functions described in paragraph (a) is incapable of performing those functions satisfactorily;
(b) does not include coal or bituminous shales or other stratified deposits from which oil can be extracted by destructive distillation;
(b) stores gas in or under the shore or bed of relevant waters and recovers gas so stored; or (c) is used for the conveyance of petroleum by means of a pipe,
and—
(ii) production installation which has ceased production for so long as it is not converted to a non-production installation; and (iii) production installation which has not come into use; and
(b) does not include an installation which, for a period of no more than 90 days, extracts petroleum from beneath the sea-bed for the purposes of well testing;
(b) any area designated by order under section 1(7) of the Continental Shelf Act 1964[9];
(b) a purpose of which is to prevent, or limit the effect of,
a major accident;
(b) as means required to be provided by regulation 10 of the PFEER Regulations—
(ii) for detecting and recording accumulations of flammable gases; and
(c) pursuant to the measures required by regulation 12 of the PFEER Regulations to combat fire and explosion,
except for—
(b) aircraft or equipment to which regulation 18 of the PFEER Regulations applies.
(b) a borehole drilled with a view to the extraction of petroleum through it or another well,
and shall be deemed to include any device on it for containing the pressure in it;
(b) any operation in relation to a well during which there may be an accidental release of fluids from that well which could give rise to the risk of a major accident; and
(b) where no such person has been appointed, the licensee.
(2) Any reference in these Regulations to a design notification, a relocation notification, a safety case or a notification of combined operations or well operations is a reference to a document containing the particulars specified in the Schedule referred to in the provision pursuant to which it is prepared and, for a safety case, regulation 12.
(b) where they have been provided, remain in good repair and condition.
(6) The means referred to in paragraph (5) are—
(b) examination of any design, specification, certificate, CE marking or other document, marking or standard relating to those elements or that plant by such persons; (c) examination by such persons of work in progress; (d) the taking of appropriate action following reports by such persons; (e) the taking of other such steps as may be properly provided for pursuant to regulation 19 and Schedule 7; and (f) the taking of any steps incidental to the means described in sub-paragraphs (a) to (e) of this paragraph.
(7) For the purposes of paragraph (6) and regulations 19 and 20, a person shall be regarded as independent only where—
(b) he will be sufficiently independent of a management system, or of a part thereof, which bears or has borne any responsibility for an aspect of which he might consider, of a thing liable to be examined, to ensure that he will be objective in discharging his function.
(8) Any reference in these Regulations to an activity in connection with an installation is a reference to any activity in connection with an installation, or any activity which is immediately preparatory thereto, whether carried on from the installation itself, in or from a vessel or in any other manner, other than—
(b) any activity in or from a vessel which is ready to give assistance in the event of an emergency on or near the installation.
(9) Where a duty holder is succeeded by a new duty holder, anything done in compliance with these Regulations by the duty holder in relation to an installation shall, for the purposes of these Regulations, be treated as having been done by his successor.
(b) is able to read and print that information; and (c) is able to store that information in a form with which the sender cannot interfere.
(3) In the absence of a clear indication to the contrary, information communicated by electronic means in accordance with, and for the purposes of, these Regulations shall be deemed—
(b) to have been sent by the person from whom it purports to originate; (c) not to have been tampered with or otherwise modified; and (d) where relevant, to be intended to have legal effect.
(4) Where these Regulations require any person to record, note or store information, it may be recorded, noted or stored on film or by electronic means if it—
(b) is reasonably secure from loss or unauthorised interference.
(5) This regulation shall not apply to regulation 22(2).
(b) outside Great Britain as sections 1 to 59 and 80 to 82 of the 1974 Act apply by virtue of articles 4(1) and (2)(b), 5 and 6 of the Health and Safety at Work etc. Act 1974 (Application outside Great Britain) Order 2001[10].
(2) These Regulations shall not apply to wells to which the Borehole Sites and Operations Regulations 1995[11] apply.
(b) take all reasonable steps to ensure that any operator appointed by him carries out his functions and discharges his duties under the relevant statutory provisions.
Design and relocation notifications for production installation
(b) send the design notification to the Executive,
at such time before the submission of a field development programme to the Department of Trade and Industry as will enable him to take account in the design of any matters relating to health and safety raised by the Executive within 3 months (or such shorter period as the Executive may specify) of that time.
(b) send the relocation notification to the Executive,
at such time before the submission of a field development programme to the Department of Trade and Industry as will enable him to take account of any matters relating to health and safety raised by the Executive within 3 months (or such shorter period as the Executive may specify) of that time.
(b) paragraph (2) prior to the duty holder sending—
(ii) revisions to the current safety case to the Executive in accordance with regulation 14(2),
the duty holder shall notify the Executive of that change as soon as practicable.
Safety case for production installation
(b) he has sent the safety case to the Executive at least 6 months (or such shorter period as the Executive may specify) before commencing the operation; and (c) the Executive has accepted the safety case.
(2) For the purposes of paragraph (4) of regulation 2 and paragraph (1), the operation of an installation shall be treated as commenced—
(b) when petroleum is brought onto the installation for the first time through a pipeline or well,
whichever is earlier.
(b) he has sent the safety case to the Executive at least 3 months (or such shorter period as the Executive may specify) before the movement of the installation in those waters with a view to its being operated there; and (c) the Executive has accepted the safety case.
Design notification and safety case for non-production installation to be converted
(b) send the design notification to the Executive,
at such time before completion of the design of the proposed conversion as will enable him to take account in the design of any matters relating to health and safety raised by the Executive within 3 months (or such shorter period as the Executive may specify) of that time.
(b) revisions to the current safety case to the Executive in accordance with paragraph (5),
the duty holder shall notify the Executive of that change as soon as practicable.
(b) he has sent a version of the current safety case which incorporates the proposed revisions, showing clearly where they are to be made, to the Executive at least 3 months (or such shorter period as the Executive may specify) before commencing the operation in accordance with paragraph (2) of regulation 7; and (c) the Executive has accepted those revisions to the current safety case.
Notification of combined operations
(b) one of them sends it to the Executive at least 21 days (or such shorter period as the Executive may specify) before it is due to commence.
(3) Where there is a material change in any of the particulars notified pursuant to paragraph (1) prior to completion of the relevant combined operation, the duty holder shall notify the Executive of that change as soon as is practicable.
(b) he has sent a version of the current safety case which incorporates the proposed revisions, showing clearly where they are to be made, to the Executive at least 3 months (or such shorter period as the Executive may specify) before the commencement of the dismantling; and (c) the Executive has accepted those revisions to the current safety case.
(2) Paragraph (1) shall only require the particulars in the proposed revisions to the current safety case to describe the matters referred to in that paragraph to the extent that it is reasonable to expect the operator to address them at the time of sending the proposed revisions to the Executive.
(b) the licensee, where—
(ii) in the opinion of the Executive, any person appointed to perform the functions specified in paragraph (a) is incapable of performing those functions satisfactorily.
Management of health and safety and control of major accident hazards
(ii) the satisfactory management of arrangements with contractors and sub-contractors;
(b) he has established adequate arrangements for audit and for the making of reports thereof;
(2) Paragraph (1) shall only require the particulars in the safety case to demonstrate the matters referred to in that paragraph to the extent that it is reasonable to expect the duty holder to address them at the time of sending the safety case to the Executive.
(b) the date of the previous review.
(3) A duty holder shall send a summary of each such review to the Executive—
(b) in all other cases, within 28 days of its conclusion.
Revision of safety case
(b) when directed to do so by the Executive pursuant to regulation 15(1).
(2) Revisions made under sub-paragraph (a) of paragraph (1) which make a material change to the current safety case shall not be effective unless—
(ii) where the revisions relate to a combined operation, at least 6 weeks, or such shorter period as the Executive may specify,
before the revisions are to be made; and
(3) Without prejudice to the generality of paragraph (2)—
(b) no revision prepared or made pursuant to regulation 27 shall constitute a material change; (c) the movement of a production installation to a new location to be operated there shall constitute a material change; and (d) the conversion of a production installation to enable it to be operated as a non-production installation shall constitute a material change,
to the current safety case for the purposes of paragraph (2).
(b) the Executive has accepted the revisions.
(4) After the submission of a design notification required under regulation 6 or 9 and prior to the submission of a safety case in respect of a production installation, the duty holder for that installation shall provide the Executive with a copy of any document which, in the opinion of the Executive, may be directly or indirectly relevant to the duty holder's preparation of the safety case for that installation within such reasonable time of the demand, being a period of not less than 14 days, as may be specified by the Executive.
(b) the commission of the offence was due to a contravention by another person of regulation 8 of the Management Regulations and the accused had taken all reasonable precautions and exercised all due diligence to ensure that the procedures or arrangements were followed.
Notification of well operations
(ii) altering the construction of the well,
is commenced unless he has sent a notification containing the particulars specified in Schedule 6 to the Executive at least 10 days (or such shorter period as the Executive may specify) before commencing that operation; and
(3) Where there is a material change in any of the particulars notified pursuant to paragraph (1) prior to completion of the relevant well operation, the well operator shall notify the Executive of that change as soon as practicable.
(ii) the safety case, in the case of a non-production installation,
to the Executive, it is notified of an address in Great Britain for the purposes of sub-paragraphs (b) and (e) below;
(ii) any summary of any review of the current safety case prepared pursuant to regulation 13(2); and (iii) each audit report;
(c) keep copies on the installation of the following documents relating to the installation—
(ii) any notification of combined operations and any material changes thereto; and (iii) any notification of well operations and any material changes thereto;
(d) ensure that, in respect of each audit report, a written statement is made, recording—
(ii) the recommendations in the report; and (iii) the action proposed to implement those recommendations, including the timescales involved,
and a copy of that statement kept on the installation; and
(2) The copy of the current safety case referred to in paragraph (1) and any other relevant documents shall be kept for so long as they are current, and the copy of the audit report, the written statement and the record referred to in that paragraph shall be kept for a period of 3 years after being made.
(b) records, sufficient to show the matters described in paragraph 5 of Schedule 7, are kept at the address notified to the Executive pursuant to sub-paragraph (a) of paragraph (1) until the expiration of 6 months after the scheme pursuant to which they were compiled has ceased to be current.
(4) In this regulation, "audit report" means a report made pursuant to the arrangements referred to in regulation 12(1)(b).
(b) a verification scheme providing for the matters contained in Schedule 7 is drawn up by or in consultation with such person; (c) a note is made of any reservation expressed by such person as to the contents of—
(ii) that scheme; and
(d) that scheme is put into effect.
(3) The matters set out in paragraph (2) shall be completed—
(b) in the case of a non-production installation, before it is moved into relevant waters with a view to its being operated there.
Review and revision of verification schemes
(b) a note is made of any reservation expressed by such person in the course of drawing it up.
Continuing effect of verification schemes
(b) that he took all reasonable precautions, and exercised all due diligence, to avoid the commission of the offence.
(2) The person charged shall not, without the leave of the court, be entitled to rely on the defence in paragraph (1) unless, within a period ending 7 clear days—
(b) before the intermediate diet, where the proceedings are summary proceedings in Scotland; or (c) before the first diet, where the proceedings are solemn proceedings in Scotland,
he has served on the prosecutor a notice in writing giving such information identifying or assisting in the identification of the other person as was then in his possession.
(b) any other requirements imposed by or under any enactments which apply to the case,
it is satisfied that the health and safety of persons who are likely to be affected by the exemption will not be prejudiced in consequence of it, and that the exemption will be compatible with Article 3(2) of Council Directive 92/91/EEC concerning the minimum requirements for improving the safety and health protection of workers in the mineral-extracting industries through drilling[12].
(b) not to accept a safety case prepared by him and submitted to the Executive pursuant to regulation 7(1) or 8; (c) to direct him to prepare revisions to a current safety case in accordance with regulation 15(1); (d) not to accept a revision to a current safety case prepared by him and submitted to the Executive in accordance with regulation 9(5), 11(1), 14(2), 15(3) or 27(1) or (2); (e) to suspend pursuant to regulation 15(5) a current safety case held by him; (f) not to lift a suspension pursuant to regulation 15(8) in respect of a current safety case held by him; (g) to revoke an exemption certificate granted to him pursuant to regulation 23(1); or (h) to grant to him an exemption certificate subject to a condition or a limit of time pursuant to regulation 23(1),
may appeal to the Secretary of State.
(b) paragraph 14 of Schedule 2, in relation to a production installation; or (c) paragraph 13 of Schedule 3, in relation to a non-production installation,
not contained in the current safety case for that installation.
(b) the Executive has accepted the revisions.
(3) Subject to paragraph (4), a duty holder shall revise a current safety case accepted by the Executive pursuant to the 1992 Regulations within 3 years of the coming into force of these Regulations so that it includes the particulars specified in—
(b) regulation 12 and Schedule 3, in relation to a non-production installation,
not contained in the current safety case for that installation. 1. The name and address of the operator of the installation. 2. A description of the design process from an initial concept to the submitted design and the design philosophy used to guide the process. 3. A description of—
(b) how the chosen design concept is intended to ensure—
(ii) that risks with the potential to cause a major accident are reduced to the lowest level that is reasonably practicable; and
(c) the criteria used to select the chosen design concept and the process by which the selection was made.
4.
A description of—
(b) the installation layout; (c) the process technology to be used; (d) the principal features of any pipeline; (e) any petroleum-bearing reservoir intended to be exploited using the installation; and (f) the basis of design for any wells to be connected to the installation.
5.
A suitable plan of the intended location of the installation and of anything which may be connected to it, and particulars of—
(b) the properties of the sea-bed and subsoil at its location.
6.
Particulars of the types of operation, and activities in connection with an operation, which the installation may perform. 1. The name and address of the operator of the installation. 2. A description of the extent to which the duty holder has taken into account any matters raised by the Executive pursuant to regulations 6(1) and (4)(a) and 9(1) and (4). 3. A summary of how any safety representatives for that installation were consulted with regard to the revision, review or preparation of the safety case pursuant to regulation 23(2)(c)(i) of the Offshore Installations (Safety Representatives and Safety Committees) Regulations 1989[14]. 4. A description, with suitable diagrams, of—
(b) its plant; (c) the layout and configuration of its plant; (d) the connections to any pipeline or installation; and (e) any wells connected or to be connected to the installation.
5.
A suitable plan of the location of the installation and of anything connected to it, and particulars of—
(b) the properties of the sea-bed and subsoil at its location.
6.
Particulars of the types of operation, and activities in connection with an operation, which the installation is capable of performing.
(b) for whom accommodation is to be provided.
8.
Particulars of the plant and arrangements for the control of well operations, including those—
(b) to prevent the uncontrolled release of hazardous substances; and (c) to minimise the effects of damage to subsea equipment by drilling equipment.
9.
A description of any pipeline with the potential to cause a major accident, including—
(b) its dimensions and layout; (c) its contained volume at declared maximum allowable operating pressure; and (d) any apparatus and works intended to secure safety,
together with a summary of the document prepared under regulation 23 of the Pipelines Safety Regulations 1996[15].
(b) routes from locations where persons may be present to temporary refuge and for egress therefrom to points from where the installation may be evacuated; (c) means of evacuation at those points; and (d) facilities within temporary refuge for the monitoring and control of the incident and for organising evacuation.
13.
A description of the main requirements in the specification for the design of the installation and its plant, which shall include—
(b) a description of how the duty holder has ensured, or will ensure, compliance with regulation 4 of the Offshore Installations and Wells (Design and Construction, etc.) Regulations 1996; (c) a description of how the duty holder has ensured, or will ensure, the suitability of the safety-critical elements; and (d) a description of how the duty holder—
(ii) where he is not also the operator in relation to a pipeline, has co-operated or will co-operate with the operator in relation to a pipeline to ensure compliance with regulation 11 of the Pipelines Safety Regulations 1996.
14.
Particulars of any combined operations which may involve the installation, including—
(b) a summary of the arrangements in place for a joint review of the safety aspects of any such combined operation by all duty holders involved, which shall include the identification of hazards with the potential to cause a major accident and the assessment of risks which may arise during any such combined operation; (c) the plant likely to be used during any such combined operation; and (d) the likely impact any such combined operation may have on the installations involved.
1. The name and address of the owner of the installation. 2. A summary of how any safety representatives for that installation were consulted with regard to the revision, review or preparation of the safety case pursuant to regulation 23(2)(c)(i) of the Offshore Installations (Safety Representatives and Safety Committees) Regulations 1989. 3. A description, with suitable diagrams, of—
(b) its plant; and (c) the layout and configuration of its plant.
4.
Particulars of the types of operation, and activities in connection with an operation, which the installation is capable of performing.
(b) for whom accommodation is to be provided.
6.
Particulars of the plant and arrangements for the control of well operations, including those—
(b) to prevent the uncontrolled release of hazardous substances; and (c) to minimise the effects of damage to subsea equipment by drilling equipment.
7.
A description of how the duty holder has ensured, or will ensure, compliance with regulation 4(1) of the PFEER Regulations.
(b) routes from locations where persons may be present to temporary refuge and for egress therefrom to points from where the installation may be evacuated; (c) means of evacuation at those points; and (d) facilities within temporary refuge for the monitoring and control of the incident and for organising evacuation.
10.
A description of the main requirements in the specification for the design of the installation and its plant, which shall include—
(b) a description of how the duty holder has ensured, or will ensure, compliance with regulation 4 of the Offshore Installations and Wells (Design and Construction, etc.) Regulations 1996; and (c) a description of how the duty holder has ensured, or will ensure, the suitability of the safety-critical elements.
11.
Particulars of—
(b) the properties of the sea-bed and subsoil which are necessary for the safe stationing and operation of the installation; and (c) the locations in which the installation may be stationed and operated safely.
12.
A description of the arrangements for—
(b) assessing the risks that they pose to the installation.
13.
Particulars of any combined operations which may involve the installation, including—
(b) a summary of the arrangements in place for a joint review of the safety aspects of any such combined operation by all duty holders involved, which shall include the identification of hazards with the potential to cause a major accident and the assessment of risks which may arise during any such combined operation; (c) the plant likely to be used during any such combined operation; and (d) the likely impact any such combined operation may have on the installations involved.
1. The name and address of each duty holder preparing the notification and a confirmation that every such duty holder has agreed to the contents of the notification. 2. A description of how the management systems for the installations involved in the combined operation will be co-ordinated so as to reduce the risks from a major accident to comply with the relevant statutory provisions. 3. Particulars of any plant to be used in connection with the combined operation but which is not described in the current safety case for any of the installations involved in the combined operation. 4. A summary of the joint review referred to in paragraph 14(b) of Schedule 2 or paragraph 13(b) of Schedule 3, which shall include—
(b) a description of any risk control measures introduced as a result of that review.
5.
A description of the combined operation and a programme of work, which shall include the dates on which the combined operation is expected to commence and finish. 1. The name and address of the operator of the installation. 2. The dates on which dismantling is expected to commence and finish. 3. A summary of how any safety representatives for that installation were consulted with regard to the revision of the safety case pursuant to regulation 23(2)(c)(i) of the Offshore Installations (Safety Representatives and Safety Committees) Regulations 1989. 4. The maximum number of persons expected to be on the installation at any time during its dismantling. 5. A description of how the duty holder will comply with regulation 4(1) of the PFEER Regulations with regard to the dismantling of the installation. 6. A description of arrangements made for protecting persons on the installation from toxic gas at all times other than during any period while they may need to remain on the installation following an incident which is beyond immediate control. 7. A description of how the proposed arrangements, methods and procedures for dismantling the installation and connected pipelines take adequate account of the design and method of construction of the installation and its plant. 1. The name and address of the well operator. 2. Where the well operation is to be carried out—
(b) by means of a vessel, the name of that vessel.
3.
Particulars of the fluids to be used to control the pressure of the well.
(b) the intended operational state of the well at the end of each well operation.
7.
A description of—
(b) such hazards.
8.
In the case of a well which is to be drilled—
(ii) the directional path of the well-bore; (iii) its terminal depth and location; and (iv) its position, and that of nearby wells, relative to each other;
(b) particulars of the geological strata and formations, and of fluids within them, through which it will pass, and of any hazards with the potential to cause a major accident which they may contain;
9.
In the case of an existing well—
(b) a summary of earlier operations in relation to it; (c) the purposes for which it has been used; (d) its current operational state; (e) its state of repair; (f) the physical conditions within it; and (g) its production capacity.
10.
Where a well operation is to be carried out by means of a non-production installation or a vessel—
(ii) the depth of water; and (iii) the properties of the sea-bed and subsoil
at the location at which the well operation will be carried out; and
(ii) the operator and owner of the vessel
involved in the well operation will co-ordinate their management systems so as to reduce the risks from a major accident to comply with the relevant statutory provisions.
1. The principles to be applied by the duty holder for the installation in selecting persons—
(b) to keep the scheme under review.
2.
Arrangements for the communication of information necessary for the proper implementation, or revision, of the scheme to the persons referred to in paragraph 1.
(b) the findings; (c) remedial action recommended; and (d) remedial action performed.
6.
Arrangements for communicating the matters specified in paragraph 5 to an appropriate level in the management system of the duty holder for the installation. 1. In this Schedule—
2.
The Secretary of State shall direct that an appeal shall be determined by a person appointed by him for the purpose and the Secretary of State shall notify the parties in writing of the name of the appointed person.
(b) the appointed person shall, if either party expresses a wish to appear and be heard, afford both of them an opportunity of so doing, in which case the provisions of Part 2 of this Schedule shall apply.
4.
An appointed person may give such directions as he thinks appropriate to give effect to his determination. 6. —(1) Subject to the following sub-paragraphs of this paragraph, a date, time and place for the holding of the hearing shall be fixed by the appointed person, who shall give not less than 28 days' notice in writing of such date, time and place to the parties. (2) With the consent of the parties, the appointed person may give such lesser period of notice as shall be agreed with the parties and in that event he may specify a date for service of the statement referred to in paragraph 7(1) later than the date determined in accordance with that paragraph. (3) Where it becomes necessary or advisable to vary the date, time or place fixed for the hearing, the appointed person shall give such notice of the variation as may appear to him to be reasonable in the circumstances. 7. —(1) Not later than 21 days before the date of the hearing, or such later date as the appointed person may specify in accordance with paragraph 6(2), the Executive shall serve on the appellant a written statement of any submission which the Executive proposes to put forward at the hearing and shall supply a copy of the statement to the appointed person. (2) Where the Executive intends to refer to or put in evidence documents (including photographs and plans) at the hearing—
(b) the Executive shall afford the appellant a reasonable opportunity to inspect and, where practicable, to take copies of those documents.
(3) If so required by the appointed person, the appellant shall—
(b) afford the Executive a reasonable opportunity to inspect and, where practicable, to take copies of those documents.
8.
—(1) The parties shall be entitled to appear at the hearing.
(b) any new issue of fact, not being a matter of government policy or a matter affecting the safety of the State,
which was not raised at the hearing and which he considers to be material to his decision, he shall not come to a decision without first notifying the parties of the substance of the new evidence or of the new issue of fact and affording them an opportunity of making representations thereon in writing within 21 days or of asking within that time for the re-opening of the hearing. 1. In the Offshore Installations (Safety Representatives and Safety Committees) Regulations 1989[16]—
(c) in regulation 18A—
(ii) in paragraph (1)(a) for the words "the Offshore Installations (Safety Case) Regulations 1992" substitute "the 2005 Regulations"; and
(d) in regulation 23(2)(c)(i) (duties of installation operators and owners, and employers) before the word "preparation" insert "revision, review or".
2.
In the Offshore Installations and Pipeline Works (Management and Administration) Regulations 1995[18]—
(ii) for the definition of "duty holder", substitute—
(b) in relation to a non-production installation, the owner;";
(iv) after the definition of "installation manager", insert—
(vi) before the definition of "offshore installation", insert—
(b) the licensee, where—
(ii) in the opinion of the Executive, any person appointed to perform the functions described in paragraph (a) is incapable of performing those functions satisfactorily;";
(viii) for the definition of "owner", substitute—
(b) does not include coal or bituminous shales or other stratified deposits from which oil can be extracted by destructive distillation;";
(xi) after the definition of "pipeline works", insert—
(b) stores gas in or under the shore or bed of relevant waters and recovers gas so stored; or (c) is used for the conveyance of petroleum by means of a pipe,
and—
(ii) production installation which has ceased production for so long as it is not converted to a non-production installation; and (iii) production installation which has not come into use; and
(b) does not include an installation which, for a period of no more than 90 days, extracts petroleum from beneath the sea-bed for the purposes of well testing;"; and
(b) omit paragraphs 14, 15 and 16 of Part II of Schedule 2 (modifications of instruments).
3.
In the Offshore Installations (Prevention of Fire and Explosion, and Emergency Response) Regulations 1995[19]—
(ii) omit the definition of "concession owner"; (iii) for the definition of "duty holder", substitute—
(b) in relation to a non-production installation, the owner;";
(v) after the definition of "installation", insert—
(vii) omit the definition of "mobile installation"; (viii) after the definition of "muster areas", insert—
(b) the licensee, where—
(ii) in the opinion of the Executive, any person appointed to perform the functions described in paragraph (a) is incapable of performing those functions satisfactorily;";
(x) for the definition of "owner", substitute—
(b) does not include coal or bituminous shales or other stratified deposits from which oil can be extracted by destructive distillation; and
(b) stores gas in or under the shore or bed of relevant waters and recovers gas so stored; or (c) is used for the conveyance of petroleum by means of a pipe,
and—
(ii) production installation which has ceased production for so long as it is not converted to a non-production installation; and (iii) production installation which has not come into use; and
(b) does not include an installation which, for a period of no more than 90 days, extracts petroleum from beneath the sea-bed for the purposes of well testing;";
(b) in regulation 3(1)(b) (application) for the words "1995" substitute "2001";
4.
In regulation 2(1) (interpretation) of the Reporting of Injuries, Diseases and Dangerous Occurrences Regulations 1995[20], for sub-paragraph (a)(vi) of the definition of "responsible person", substitute—
5.
In the Offshore Installations and Wells (Design and Construction, etc.) Regulations 1996[21]—
(bb) omit the definition of "concession owner"; (cc) after the definition of "integrity" insert—
(ee) in the definition of "safety cases" for the words "1992" substitute "2005"; (ff) in the definition of "well-operator" in each place in which they occur for the words "concession owner" substitute "licensee"; and
in paragraph (4)(b) for the words "1992" substitute "2005".
(b) omit regulation 26 and Schedule 2 (modification of the Offshore Installations (Safety Case) Regulations 1992).
(ii) in paragraphs (2) and (3) in each place in which they occur for the words—
(bb) "safety case" substitute "current safety case".
(b) in Schedule 15 (fees payable in respect of offshore installations)—
(bb) "safety case" substitute "current safety case".
(This note is not part of the Regulations) 1. These Regulations replace the Offshore Installations (Safety Case) Regulations 1992 (S.I. 1992/2885) ("the 1992 Regulations") to provide for the preparation of safety cases for offshore installations and for the notification of specified activities to the Health and Safety Executive ("the Executive"). 2. The 1992 Regulations implemented Article 3(2) of Council Directive 92/91/EEC (O.J. No. L348, 28.11.92, p.9) concerning the minimum requirements for improving the safety and health protection of workers in the mineral-extracting industries through drilling. These Regulations continue to provide for the implementation of this provision in Great Britain. 3. A safety case is defined in the Regulations as a document containing specified information relating to the management of health and safety and the control of major accident hazards and containing the particulars specified in the Schedule referred to in the provision of the Regulations under which it is prepared (regulations 2(2) and 12). 4. The Regulations—
(b) require an operator to prepare and send to the Executive a design notification for a production installation which is to be established (regulation 6(1)) and a relocation notification for a production installation that is to be moved to a new location (regulation 6(2)); (c) prohibit the operation of a production installation unless a safety case has been sent to and accepted by the Executive (regulation 7 and Schedule 2); (d) prohibit the movement of a non-production installation in relevant waters (as defined in regulation 2(1)) with a view to its being operated there unless a safety case has been sent to and accepted by the Executive (regulation 8 and Schedule 3); (e) require a design notification to be sent to the Executive in respect of the conversion of a non-production installation to a production installation (regulation 9(1)) and prohibit the operation of a converted installation unless a safety case has been sent to and accepted by the Executive (regulation 9(5)); (f) prohibit the engagement of an installation in a combined operation with another unless a notification has been sent to the Executive (regulation 10 and Schedule 4); (g) prohibit the dismantling of a fixed installation unless a revised safety case has been sent to and accepted by the Executive (regulation 11 and Schedule 5); (h) require a safety case to be reviewed when directed by the Executive and at intervals of 5 years (regulation 13); (i) require a safety case to be revised when appropriate and when directed by the Executive (regulation 14); (j) grant to the Executive powers in respect of safety cases and related documents (regulation 15); (k) require any procedures or arrangements in safety cases to be followed and provide for specified defences for contravention of the requirement (regulation 16); (l) prohibit the commencement of a well operation unless a notification has been sent to the Executive (regulation 17); (m) impose requirements with respect to the making and keeping of documents (regulation 18); (n) impose requirements with respect to the creation, revision and continuing effect of a verification scheme in respect of an installation and provide a defence for contravention of the requirements (regulations 19 to 22); (o) provide for the granting of exemptions from the Regulations by the Executive (regulation 23); (p) provide for an appeal to the Secretary of State against certain decisions of the Executive (regulation 24); (q) contain transitional provisions in respect of activities in existence or commenced within a specified time of the coming into force of the Regulations (regulation 27).
5.
A copy of the regulatory impact assessment prepared in respect of these Regulations can be obtained from the Health and Safety Executive, Rose Court, 2 Southwark Bridge, London SE1 9HS. A copy has been placed in the Library of each House of Parliament. Notes: [1] 1974 c. 37; sections 15(1) and 50(3) were amended by the Employment Protection Act 1975 (c. 71), Schedule 16, paragraphs 6 and 16(3) respectively.back [3] S.I. 1992/2885, as amended by S.I. 1995/738, 1995/743, 1996/913 and 1997/2776.back [4] http://www.og.dti.gov.uk/regulation/guidance/reg_offshore/index.htmback [6] S.I. 1995/738, as amended by S.I. 2002/2175.back [8] S.I. 1996/825, to which there are amendments not relevant to these Regulations.back [9] 1964 c. 29; section 1(7) was amended by the Oil and Gas (Enterprise) Act 1982 (c. 23), Schedule 3, paragraph 1.back [11] S.I. 1995/2038, to which there are amendments not relevant to these Regulations.back [12] O.J. No. L348, 28.11.92, p.9back [13] S.I. 1996/913, to which there is an amendment not relevant to these Regulations.back [14] S.I. 1989/971, amended by S.I. 1992/2885, 1995/738 and 1999/3242 and to which there are other amendments not relevant to these Regulations.back [15] S.I. 1996/825, to which there are amendments not relevant to these Regulations.back [16] S.I. 1989/971, as amended by S.I. 1992/2885, 1995/738 and 1999/3242 and to which there are other amendments not relevant to these Regulations .back [18] S.I. 1995/738, to which there are amendments not relevant to these Regulations.back [19] S.I. 1995/743, to which there are amendments not relevant to these Regulations.back [20] S.I. 1995/3163, to which there are amendments not relevant to these Regulations.back [21] S.I. 1996/913, to which there is an amendment not relevant to these Regulations.back [23] S.I. 2005/676, to which there are amendments not relevant to these Regulations.back
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