Common Program Practices
- Non-routine work increases process risk and can directly lead to conditions that make a catastrophic accident much more likely.
- Safe work practices are critical elements in the management of this non-routine work.
- Safe work practices include an integrated system of policies, procedures and permits that help protect workers from hazards and prevent the sudden release of process materials or energy during non-routine work activities.
- Safe work procedures and permits help ensure that workers understand the hazards and take appropriate actions to manage risk when performing non-routine work activities.
Policies – govern the safe work practices and state the scope of activities that require a permit provided by the safe work practice.
Procedures – provide details on how the work is to be executed
Permits – describe job-specific hazards and specify safeguards
1. Document Standard
- The procedures and artefacts associated with the Safe Work Practices program should be fully documented, authorized, version controlled and subject to periodic review.
- These documents should be available to all personnel involved in the practices both staff and contractors.
- A Senior Manager should be the single point of accountability for the system managing Safe Work, including the Permit to Work system.
- Roles should be specified for all people involved in the planning, approval and execution of the work practices. These should include a description of all responsibilities and the necessary competence needed to fulfill these roles.
3. Training and Competency
- All individuals involved in Safe Work Practices should be trained and certified for all roles they fulfill in the system. This training should include complete understanding of the planning, approval and execution of the practices and intent of the system.
- This should include both plant staff and contractors.
- The training should include competency assessment and documenting of the outcome. Refresher training should also be part of the program.
- A register of all certified individuals and the roles they are certified to fulfill should be maintained.
4. Planning and Scheduling
- The task objective, method and tools should be specified along with the specific location and equipment to be worked upon.
- The worksite should be visited to identify relevant equipment and to identify all task hazards and process safety hazards.
- The need for special provisions should be identified such as Energy Isolation (Lock Out / Tag Out), confined spaces, lifting, scaffolding / mobile platform, hazardous materials handling, skills / competency, noise, temperature, etc.
- The condition of ongoing plant processes and other nearby activities should be considered when scheduling the work. Good practice is to have a matrix of allowable simultaneous operations or “Simops” and those that are prohibited.
5. Risk Assess Hazards
- With an understanding of the work method, tools to be used, work party skills/ competence and process status, the hazards should be identified and risk assessed. When the risk is unacceptable, barriers should be specified to control the hazards to an extent where the residual risk is acceptable.
- If the risk is still unacceptable, alternative approaches to the work method, tools, people, timing or location should be determined.
6. Permit Control Process
- Hazardous work should be controlled by a permitted process (i.e., a defined process with various levels of authorization from plant staff).
- The permit should specify the safeguard barriers to be in place to carry out the task. This will include energy isolations, gas testing, protective equipment, scaffolding, etc.
- Issuing of the permit is an important control gate and should not be carried out unless all necessary conditions are met.
- Typically, Permits are valid for a single shift and should be returned to the Permit office once complete or suspended at the end of the shift. Any work continuing through the shift handover should be approved by the oncoming Shift Supervisor.
- There should be a single point of permit issue where contractors go to collect permits issued to them and where they return them at the end of a shift.
- The control process should include a register of all permits issued, the work task being carried out and to who the permit was issued. Copies of each permit should held in the same area so people can see all ongoing work.
7. Communicate (Scope, Hazards, Controls and Mitigations)
- It is the role of the Supervisor or Area Authority to communicate all hazards in the work area to the person raising the permit.
- When energy isolations are required, it is good practice for the Supervisor or Area Operator to identify the isolations and demonstrate their energy free status.
- Where gas testing is required before work commences, the Authorized Gas Tester should communicate the status to the work party, alerting them if the test does not meet standards.
- The Performing Authority or person raising the permit has a responsibility to communicate all hazards and controls to the work party before the task commences. This is normally carried out during a “tailgate” meeting where the work scope is outlined, hazards and barrier identified, specific responsibilities defined and members sign up to the work sheet.
- Good practice has that the permit and all associated documentation be posted at the work site for all to see and access.
8. Monitor and Manage Ongoing Work
- Once a permit has been issued, the plant staff should monitor progress to some extent. Typically, the more hazardous the task, the higher the level of surveillance necessary.
- Where specific hazards are present permanent monitoring maybe necessary such as “fire watcher” for hot work or “Entry Attendant” for Confined Space Work
- Permanent or periodic gas testing maybe appropriate.
- When a shift ends, the Supervisor should be responsible for ensuring all copies of the permit have been returned and that work has ceased in the area.
9. Work Left In Safe Condition Upon Completion or Interruption
- When a task is complete, the work area should be cleared of all tools, equipment and materials and all surfaces cleaned remove any tripping or slipping hazards.
- If it is necessary to interrupt work, either due to a natural break or in an emergency situation, all work should cease and the site returned to a safe condition. If an emergency is sounded then the work party should cease work, make the site safe then proceed to their muster point and await further instructions. Once the emergency has cleared, work should not commence without the permission off the Supervisor.
10. Verification and Assurance
- Verification or Compliance Audits and spot checks should be carried out regularly to ensure that the Permit to Work system is working correctly. These checks should include:
11. Capture, Incorporate, and Share Lessions Learned
- Most safe systems of work include a process for capturing and sharing lessons learned. These include lessons on the task carried out, the risk assessment, the approvals process and the work preparation.
- When a lesson is learned, the need for modifying procedures, to incorporate the lessons, should always be considered.
12. Communicates Obligation and Authoruty to Stop Unsafe Work
- It should be recognized that all staff and contractors on the plant have the Authority and Obligation to stop work when an unsafe condition or act is observed that could affect the safety of personnel and / or the environment.
- This expectation should be communicated to all people on the plant.
- Under no circumstances shall repercussions be directed towards personnel who use stop work authority.