Behaviour Based Safety MEEGE-721 (Elements of Safety Management & Systems) List of Contents . 1
Behaviour Based Safety MEEGE-721 (Elements of Safety Management & Systems) List of Contents . 1
Behaviour Based Safety MEEGE-721 (Elements of Safety Management & Systems) List of Contents . 1
MEEGE-721
List of contents
Unit-I.
26.
35
..
47
Permit to work
Cost of Accidents
Emergency/Disaster Plans
.
.
110
104
127
.
. 132
Unit-VIII.Major disasters
PIPER ALPHA
BHOPAL TRAGEDY
.
..
143
150
. 165
Mineral Exploitation
Manufacturing Plant
Chemical Industry
UNIT-I
INTRODUCTION TO SHE ASPECTS
LEADERSHIP
&
COMMITMENT
POLICY
CONTINUOUS
IMPROVEMENT
HSE
PLANS
&
PROCEDURES
MANAGEMENT
REVIEW
CHECKING
&
CORRECTIVE
ACTION
IMPLEMENT
ATION
&
OPERATIONS
INTRODUCTION:
Petroleum industry, by its nature is a hazardous industry. Processing,
handling, storage and transportation of large volumes of hazardous
petroleum products and processing chemicals present inherent risks of fires,
explosions,
toxic
releases
and
environmental
pollution
if
adequate
precautions are not taken during the design and operation of petroleum
installations.
The petroleum operations have been constantly developing, upgrading and
improving their design and operating techniques in terms of economy of scale,
high quality products and energy optimization to meet the stiff market
competition.
All this has increased the potential of major risks. Major accidents
like Bhopal , Mexico city ,Seveso , Flexiobro and others in the last
two decades or so have shaken the confidence of general public
about the safety of the people, property and environment. In fact,
some companies have been closed down on account of poor safety
and environmental performance.
After these major disastrous accidents government authorities, human
activist groups and corporate houses in many countries including India have
taken a number of steps to evolve a strategy to avert major mishaps in the
installations which have the potential to cause loss of human life, property
and environmental damage.
No doubt, health, safety and environment issues are very critical in
the petroleum operations in the current scenario.
HSE MODEL AND ITS INTEGRATION WITH BUSINESS:
HSE is an integrated management comprising discipline of occupational,
health and environment and fire protection.
Whatever way you look at these functions, industrial hazards,
unsafe acts and situations are the basic problems to be managed.
effects
like
stress,
musco-skeltal
disorders
and
other
UNIT 2
REGULATORY REGIEME:
Since petroleum industry is hazardous industry, a number of regulations
have been framed by various statutory/regulatory authorities in the country
to safeguard the interest of workers, public and environment. Sustainable
development and environmental safeguards are important societal issues.
These regulations specify minimum mandatory requirements to be
complied with by the industry. The industry should take these
regulations in the right spirit and be fully committed in their compliance.
These regulations should not be considered contrary to the interest of
business and hindrance to its development.
10
Needless
11
13
Each state has its own factories rules. The act was revised in 1987 to
include hazardous chemical factories and some other amendments
brought in the factories rules of many sates in 1995
The factories act make the occupier of a factory fully responsible
for providing and maintaining the plant and the systems of work
that are safe and without any risks to the health and safety of the
workers and general public.
General responsibilities of occupier are listed below.
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
Excavation Permit
Type of permit
the hazard
PERMIT PROCEDURE
A work permit is generally issued by an operating supervisor called issuer of
the permit to the maintenance supervisor a contractor, called the acceptor
of the permit after ensuring all the necessary precautions. The nature and
location work to be done must be clearly specified in the permit by the issuer,
who should explain and show the same to the accepter
This is not an exhaustive list and some more precautions may be necessary to
meet special work requirements. Find out what are these before issuing a
permit.
INTRODUCTION
Over
the
period
of
time
process
industry
may
have
several
34
35
The extent of training depends on the target groups. The training received
by the new employees and contractors is called the initial training, which
includes comprehensive classroom and practical training in the various
HSE procedures applicable in the installation. Everybody working in a
petroleum installation must receive at least a basic fire fighting
training before he is assigned any work. Those already working should
also receive periodic HSE refresher training to keep them updated
with any changes or developments. Third parties like truck drivers
carrying products in /out of the installation and various vendors should also be
given minimum HSE training so that they understand the basic safety rules to
be followed in the installation. Similarly, visitors should be given a safety
brief before entry into the installation so that they don't do
something unknowingly that may put themselves or others into
danger. Many good companies issue entry passes/ID cards to those entering
the premises only after they have received the required HSE training.
36
METHODOLOGY
HSE training should be a mix of theoretical classroom lectures and
practical training in the use of various fire and safety equipment and
appliances. Extensive use of audio-visual aids is used for effective training.
Care should be taken to select the right language(s) to meet the
requirement of multilingual workforce. Some companies have produced
video films, which are shown to the newcomers, especially contractors, third
parties and visitors to give them basic HSE training with minimum
requirement of faculty. Training through video films can also, to some
extent, minimize the language problem.
To ensure that a candidate has understood the instructions, some validation
is a must. This can be an objective type of test at the end of the session. If a
candidate has not performed satisfactorily in the test, he should go through the
session once again. Records of training and validation should be maintained.
Thorough investigation of an accident is an essential step toward the
prevention of accidental losses of our precious resources including the people,
37
38
39
covered by PSM. Injury and illness logs of both the employer's employees and
contract employees allow the employer to have full knowledge of process
injury and illness experience. This log contains information useful to
those auditing process safety management compliance and those
involved in incident investigation.
Contract employees must perform their work safely. Considering that
contractors often perform very specialized and potentially hazardous
tasks, such as confined space entry activities, and non-routine repair
activities, their work must be controlled and properly supervised by the
employer's supervisors in addition to contractor's own supervisors.
MECHANICAL INTEGRITY OF EQUIPMENT
Every petroleum installation must review its maintenance programmes and
schedules to see if there are areas where "breakdown" maintenance is used
rather than the more preferable ongoing mechanical integrity
programme. Equipment used to process, store or handle highly hazardous
chemicals has to be designed, constructed, installed, and maintained to
minimize the risk of releases of such chemicals. This requires that a
mechanical integrity programme be in place to ensure the continued
integrity of the plant.
Elements of a mechanical integrity programme include identifying and
categorizing equipment and instrumentation; inspections and tests and
their frequency; maintenance
40
41
You are supposed to award some work to outside contractor. What will be
your criteria to award that work being a Manager- HSE?
UNIT-
ACCIDENTS
WHAT IS AN ACCIDENT?
An unplanned and unwelcome event which interrupts normal
activity.
Accidents on chemical plants may hazard the process, the personnel or both
.Research on accidents is relevant, therefore, both for accidents which
result in property damage and those which cause personal injury.
An early definition of accidents involving injury at work was proposed by Lord
42
"Some concrete happening which intervenes or obtrudes itself upon the normal cause of
employment. It has the ordinary everyday meaning of an unlooked-for mishap or an
untoward event which is not expected or designed by the victim." for students of the
NEBOSH National Diploma
This definition refers to a worker suffering a mishap which had a degree of
unexpectedness, but it's too narrow as it's only concerned with accidents that result in
injury, and not all accidents do.
A trawl of some 40 accident definitions found in general, legal, medical , scientific and
health and safety literature suggests the ideal accident definition should include reference
to causes and effects.
Taking the best of the definitions, one that covers all the bases might run as follows:
"An accident is an unexpected, unplanned event, in a sequence of events that occurs
through a combination of causes; it results in physical harm - injury or disease - to
an individual, damage to property, a near miss, a loss or any combination of these
effects."
All accidents should be investigated; not just those that result in injury. Any accident
investigation should focus on the multi-causal accident and not uni-causal injury (where
there is one).
A thorough accident investigation process should therefore highlight all accident causes usually between 10 and 20 for each accident - and then provide the basis to develop
control measures designed to eliminate both immediate and underlying causes, resulting
in a continual improvement in the OSH management system. Remember, every negative
needs a positive and every cause needs a control.
Organisations should ask themselves the following questions about their accident
investigation processes:
44
The analysis should be specific and unbiased and should identify the sequence of
events/conditions and the combination of causes, using event tree analysis to map out all
the causes in a chronological, logical and linked way.
Specifically, the analysis should clearly establish what happened and why. The
investigative team, ideally three-strong, should identify whether human error or
procedural violations have been contributory factors. It should also identify what other
factors contributed to the accident, whether they are job-related, organisational or linked
to plant and equipment.
It's sometimes difficult to pin down the people issues because of the fear of blame
apportionment and/or fault-finding. It's highly unlikely that a supervisor, charged to
investigate an accident on their patch, will come up with "lack of supervision" as one of
the contributory causes. Hence the need for a team of three investigators.
Once you have found all the causal factors and explored all the branches of the event tree
to their ends, then, and only then, can the investigative team get into control mode.
Never discount facts or possible causes that don't fit easily into the picture or the event
tree. These red herrings may be signs of another branch of the event tree that the
investigation has yet to follow. It's usually best to use the term "event tree" rather than
"fault tree" as the latter has definite negative connotations, which have no place in
positive accident investigations.
Control measures
In control mode (Step 3) your team should effectively identify all risk control measures
that were missing, inadequate or misused. They should compare activities, conditions and
practices as they actually were in the run-up to the accident with what should have been
in place according to current best practice, agreed systems of work, legal requirements,
codes of practice, guidance and standards.
The team should identify those extra measures that are required to eliminate all
immediate and underlying causes by providing meaningful recommendations which can
be properly implemented to prevent a recurrence, and hence continually improve the
OSH management system.
Particular questions which may help here include:
What risk control systems (RCSs) and workplace precautions (WPs) are needed?
Do similar risks exist elsewhere? If so, what and where?
Have similar accidents happened before? If so, what and where?
45
Step 4 - the action plan and its implementation - is the final step in the accident
investigation process. This step should provide a clear action plan with SMARTT
objectives (ones that are specific, measurable, agreed, realistic, time-bound and trackable)
to deal effectively with all the immediate and underlying causes of the accident. It should
include lessons that have been learnt which may be applied to prevent other accidents of
a similar type/nature.
It should also provide feedback to people involved at all levels in the organisation to
ensure the findings and action plan recommendations are correct, realistic and fully
address all the issues. This plan should include feeding the findings back into a prompt
review of the existing risk assessment, as any accident is an indicator that a review may
well be overdue.
The team should also ensure that the results of the investigation are shown to all
concerned, with the emphasis firmly on the resulting action plan, timescales,
responsibilities and accountabilities, and how the plan will be implemented and its
progress chased and monitored.
The risk control action plan should establish which RCSs and WPs should be
implemented in the immediate, short or medium term. The team should also note which
risk assessments and systems of work need to be reviewed, updated and publicised, and
whether the accident details and the resultant findings and recommendations have been
recorded and analysed from both a numerical and causal viewpoint (that is, reactive
monitoring).
They should also flag up whether there are any common causes or trends which suggest
the need for further, deeper and detailed investigation. Finally, they should put a figure on
the overall cost of the accident - both insured and uninsured - and also cost the associated
control measures.
Using the four-step process to investigate all accidents from a causal viewpoint will
certainly improve overall OSH performance in the workplace. Cursory investigations
where the only control measure cited is "employee told to take more care" must be
despatched to the health and safety history books in favour of the much more scientific
approach outlined above. They certainly have no place in the NEBOSH Diploma
syllabus.
Need to know
Questions to ask in an accident investigation include the following:
47
48
The question of what actually constitutes an accident is, worth at least brief
consideration. It has been considered by Suchnian (1961), who distinguishes
three defining; characteristics:
1. Degree of expectedness,
2. Degree of avoid ability and
3. Degree of intention.
An event is more likely to be classed as in accident if it is unexpected,
unavoidable and unintended.
Other secondary characteristics are
1. Degree of warning,
2. Duration of Occurrence,
3. Degree of negligence and
4. Degree of misjudgment.
Classification of an event as an accident is more probable if it gives
little warning and happens quickly and if there is a large element of
negligence and misjudgment.
It is suggested, however, by Suchman that as knowledge increases an
event is more likely to be described in knits of its causal factors and less
likely to be classed as an accident
ACCIDENT:
An undesired event that results in harm to people, property, the
environment, or corporate reputation.
INCIDENT:
49
RISK:
Risk Evaluation:
Assessment of:
50
CLASSIFICATION OF ACCIDENTS
Much work on accidents is concerned with accident statistics. these
statistics are based on all accident classification of some kind. Accident
classifi cations are therefore quite important. Unless a classification
contains a particular category which is of interest is no means of
retrieving information on it.
There are a number of standard accident classifications, these include
the classification used by the HSE in its annual Health and Safety
Statistics, published in the employment gazette used in the International
Labour offi ce.Relevant Standards are the American National Standard
Institute (ANSI)
Three basic types of accidents
1. MINOR ACCIDENTS:
Such as paper cuts to fingers or dropping a box of materials
2. MAJOR ACCIDENTS:
More serious accidents that cause injury or damage to equipment or property
such as a forklift dropping a load or someone falling off a ladder.
If the injured person remains absent for 48 hours or more due to injury
at work-place, the accident is called as a reportable or lost-time accident.
As per Statutory Requirements, such accidents are to be reported to
Government Authorities in a prescribed format.
51
(II)
(III) The willful removal of any safety device which he knew to have
been provided for the safety of the workman.
(IV)
52
Disease
Litigation costs
Lost productivity
b. Positive aspects
Accident investigation
Causes of Accidents
Accidents are caused mainly by:* Human error
- 88%
- 02%
- 27 %
2. Machinery
- 17 %
- 15 %
53
-10 %
5. Falling objects
-08 %
6. Transport
-08 %
7. Hand tools
-08 %
8. Miscellaneous
- 07 %
Noise
Light
Heat
Critters
2. Design
Workplace layout
4. Human behavior
54
ACCIDENT INVESTIGATIONS
The primary function is to determine causes of accidents & to prevent its
recurrence. Therefore, it is necessary to examine the background of an
accident more carefully in order to determine why unsafe conditions were
created or unsafe acts performed.
The factors emerged during such an examination may include :(1) * Proper selection of workers:
(2) * Training:
To ensure
55
Individuals involved
Supervisor
Safety supervisor
Upper management
56
Outside consultants
INVESTIGATION STRATEGY
Fact gathering
Obtain information
Injured
Witnesses
Supervisors
Other personnel
Interviews (separately)
57
Follow up conducted
58
Preventing recurrence
Increased productivity
COST OF ACCIDENTS
A) DIRECT COST
The cost of accidents remains unacceptably high both in human and in
financial terms.
The cost of an accident can be measured in both financial & human terms. An
accident, which is apparently minor, can have a major impact on both the
company & the victim, when all related factors are considered.
* Loss of earnings.
* Extra expenditure.
* Possibility of a continuing disability.
* Incapacity for some kinds of work.
* Loss of leisure activities.
* Effect on family, friends and colleagues.
2) FINANCIAL ASPECTS COSTS TO THE COMPANY INCLUDE :* Loss of skilled and experienced workers.
* Loss of production.
* Loss of profit from injured workers.
* Expense of re-training injured worker or a replacement.
* Time lost by the effect on other workers.
* Increased insurance premiums.
3)COSTS TO THE NATION INCLUDES :
* The burden on welfare benefits and other social services
provided by government.
* The expense / burden on medical or health services and
facilities.
INDIRECT COST
(1)Cost borne by injured person and his family
* The amount spent during his recovery period at home for entertaining and
receiving guests.
*The amount spent by relatives or friends for their doodwill visits.
60
61
A safe place to work. This will include safe means of access and
egress during normal daily work routine as well as in emergencies.
62
to
making
and
maintaining
adequate
and
effective
QUESTIONS:
What is accident? Elaborate the causes of an accident in
the industry.
Highlight
investigations.
the
importance
of
accident
63
UNIT-III
64
INTRODUCTION:
The scope and limitations of various regulations on health, safety and
environment have been discussed in the previous unit. As said already,
regulations alone are not enough to maintain a very high level of safety in
petroleum and allied industries, which have many inherent hazards. In order
to prevent major accidents and mishaps and to win confidence of general
public, management leadership and commitment is very essential. Even
for implementing and compliance of regulatory measures, a committed
leadership is necessary. This can be achieved by establishing an effective and
efficient Health, Safety and Environment (HSE) Management System. This
unit covers the planning, organizing, implementing and controlling functions
and outlines the policy, systems and procedures of an effective HSE
management in a typical petroleum installation.
65
HSE POLICY
Every organization must have a written policy on health, safety and
environment signed by the Head of the organization with date. The copies of
this policy should be displayed at prominent places in the organization so
that everybody is familiar with its contents/intentions. Some organizations
ensure that every employee receives a copy of its HSE policy. HSE policy
spells out the values, beliefs and commitment of the organization towards
health, safety of its employees, community and at the macro level of the
nation. HSE policy of a large petroleum company is given below as a typical
example, which can be suitably modified to meet specific requirements.
Health and safety of personnel and protection of environment overrides all
production targets in our organization
organization
66
up. The lessons learnt from these accidents should be disseminated to all
levels of workforce
No modifications in plant, facilities or procedures will be done without
proper scrutiny and approval by an authorized person(s)No contractor will be
engaged without ascertaining his safety performance/record
HSE ORGANIZATION
67
HSE Chief
68
areas are commonly called safety districts. A big petroleum complex may
have 10-15 safety districts. These districts should be shown on the layout
drawing of the complex with all the boundaries clearly identified and marked.
The objective of safety districts is to decentralize the HSE responsibility to
the functional owner/ custodian of the area who is fully responsible and
accountable for all management functions in his district with specific
reference to control/management of health, safety and environment. HSE
department acts as a catalyst.
69
called the HSE bible. The various procedures documented should address the
following main elements of PSM:
1
2.
Operating Procedures
Management of Change
Contractor Safety
10
Quality Assurance
11
Mechanical Integrity
12
13
14.
Trade Secrets
Mechanical isolation
Working at height
Safe evacuation
Contactor safety
Safety audits
71
Mechanical Isolation
72
Working at Height
Safe Excavation
Contractor Safety
Rescue Operations
Traffic control
Accident/Incident reporting
Electrical safety
74
Visitor should visit the designated area only for which he has
obtained the entry pass
75
TRAFFIC RULES
All vehicles entering hazardous areas should have spark arrestor and a
Overtaking is prohibited
In case of an emergency alarm, stop the vehicle and take to the side of
Visitor is not allowed to touch any equipment/ interfere with the plant
activities
All persons must wear safety helmets and safe shoes in process areas.
Requirement of any other personal protective equipment will be advised by
plant personnel
Use following telephone nos. in case required: Fire l00, Security 101,
Medical 102
76
QUESTIONS
An Overview
Process Safety
history
safety conditions.
history
Process Safety evolved as industry progressed
through the 19th and 20th centuries, but really
emerged as a industry-wide discipline following
the major industrial accident at Union Carbide,
Bhopal, India, in which a catastrophic release of
methyl isocyanate killed more than 3,000 people.
identification,
evaluation, and
mitigation or prevention of chemical releases
that could occur as a result of
failures in process, procedures, or equipment.
material
ELEMENTS
OF
PROCESS
SAFETY
MANAGEMENT:
80
81
82
83
84
85
86
87
88
89
90
91
92
93
94
95
96
97
98
99
100
101
102
103
104
105
106
evaluation, and
107
108
109
110
111
112
113
114
115
116
UNIT-IV
INTRODUCTION
Process Safety Management is a regulation, promulgated by the
U.S. OSHA, intended to prevent a disaster like the 1984 Bhopal
Disaster. "Unexpected releases of toxic, reactive, or flammable liquids and
gases in processes involving highly hazardous chemicals have been reported
for many years. Incidents continue to occur in various industries that use
highly hazardous chemicals which may be toxic, reactive, flammable, or
explosive, or may exhibit a combination of these properties. Regardless of the
industry that uses these highly hazardous chemicals, there is a potential for
an accidental release any time they are not properly controlled. This, in turn,
creates the possibility of disaster. To help assure safe and healthful
workplaces, OSHA has issued the Process Safety Management of
Highly Hazardous Chemicals regulations.
Just
as
Process
safety
is
line
management,
117
3.Training
4.Incidents Investigation
5.Hazard Identification
6.Risk Assessment
7.Preventive Maintenance
8.Management of Change
9.Safety Reviews
(1)The first thing the manager must do is to establish an organization
to coordinate the activities of the program.(2) This organization must prepare
standards defining the local program. (3)The content, as determined by the
organization, must be based on the special characteristics of the process
including complexity, batch or continuous, and process condition.
1.PROCESS DOCUMENTATION
Requirements to consider for the process documentation section
include:
(i)Process Transmittal
(ii)Engineering Calculation
(iii)Flow Sheets
(iv)P and IDs
(v)HAZOPS
(vi)ORRs
(vii)Reaction grids
118
Usually these items are generated at some point during the evolution
of a process but often are not stored in an organized way so that when they
are needed they are not available.
(i)The process transmittal is the information generated in the
research and process development. The chemistry, side reaction,
corrosion testing, process development, and reaction kinetics all are part of a
process transmittal.
(ii)Engineering calculation
requirements, line sizing, heat transfer area, and other design criteria.
(iii)Flow sheets and(iv) P& IDs are the engineering diagrams
generated by the design engineers. Part of the program must be to keep
these drawing up-to-date.
(v)HAZOPs are the hazard identification reviews made during
the design phase and subsequently on approximately three year intervals.
The
updating
of
the drawing
is
important
to
conducting
comprehensive HAZOP.
(vi)An ORR is an operational readiness Reviews which is the last
look at a process before start-up. Orr type reviews should also be
done at regular intervals during the life of the process to again
assure that the process is being run correctly.
(vii)Reaction grids are a matrix of all the chemicals used in the
process and their interaction. They are developed as part of the HAZOP to
answer the question of changing errors.
119
These items, along with data generated from other parts of the
program, make up the process documentation file that must be
maintained to assure a safe chemical process.
2.OPERATING PROCEDURES
Comprehensive written procedures serve as the basis for effective
training and as a resource for the operator. They must be kept current
or their usefulness is diminished. Procedures should be written for any job,
routine or infrequent, which requires specific skills or knowledge, which, if
not followed, could result in an hazard. Procedures should be explicit and
continuous- that is, the operator response should be specified for each
perceived condition or combination of conditions.
Specifically, the following steps should be covered:
Safety and health consideration
Start up
Normal operations
Normal shutdown
Abnormal operations
Emergency shutdown
And should include :
Simplified process flow sheets
Process description defining the operation and indicating
flows, temperature, and pressure
Description of abnormal or emergency condition including
operator responses and recovery steps
120
procedures
including
sampling
methodology,
written
job
description
which
details
the
duties,
operating
procedure,
MSDSs,
safe
material
122
4.INCIDENT INVESTIGATION
All incidents which resulted in or could have resulted in a release of
toxic or flammable materials should be investigated by a trained investigation
team as soon as possible after the incident. Additionally, all relief device
release should be investigated.
The incident should be investigated timely to reduce the possibility
that information or evidence will be destroyed, altered, or forgotten during
clean-up or mitigation efforts.
The incident report must be prepared for each incident and shall
include;
Location
Date and time
Investigation team member
Equipment involved
Quantity of chemicals released
Employees involved
Comprehensive description of the incident
Consequences of the release
Incident facts
Cause of the incident, basic and contributory, direct or indirect
Corrective actions to prevent recurrence
Implementation schedule for corrective actions including those
responsible for completion
123
investigations
should
become
part
of
the
process
documentation file.
5.HAZARD IDENTIFICATION
Identification, evaluation and control of hazards in processes
are essential to loss prevention and require a comprehensive
knowledge of the chemical and physical aspects of the unit being
studied. Unrecognized hazards have been created in existing process by
changes in process conditions, operating practices, or equipment; inadequate
knowledge of reactions; or behavior of materials of construction.
An accurate assessment of the potential of each identified hazard
will assure that releases of hazardous materials and the resulting injuries
and property loss will be minimized. Sound engineering knowledge must be
applied to formulate corrective measures.
These hazard identification activities can be accomplished by trained
plant personal working with outside specialists where required. It is their
responsibility to study the P&IDs or the production unit thoroughly,
identifying all the potential hazards, and recommending changes or reviews
to eliminate or control the identified hazards.
124
6.RISK ASSESMENT
A risk assessment should be conducted whenever a potential release
can result in a toxic or flammable release that can affect the neighbors.
A risk assessment consists of:
An estimate of the potential release quantity
125
7.PREVENTIVE MAINTENANCE
A comprehensive preventive maintenance program is a necessary part
of a total process safety management system. The program should include;
Identification of all equipment requiring preventive maintenance.
Schedules for the inspections of vessels. These schedules should be
based on corrosion rates calculated from inspection history.
Proof-testing of critical equipment such as pressure relief devices,
interlocks, fire pumps, emergency generators, and alarms. Test
126
8.MANAGEMENT OF CHANGE
A procedure for handling changes of process or equipment should be
developed. Included in the procedure should be:
An adequate review by all concerned personnel
Documentation of the technical basis for the change
Authorization by appropriate management
Communication of the changes and training personal in the details
and consequences of the change.
Updating of drawings and operating procedures
For temporary changes a system should be developed to track these
changes and, to then, revert to the original condition. If made permanent, the
management of change should be used.
All changes should become part of the process documentation file.
9.SAFETY REVIEWS
Two types of reviews should be part of a Process safety Management
Program. The first is the operational readiness review (ORR) which is
conducted on all new processes. Recommendations resulting from the
127
128
people
tend
to
start
relaxing
and
the
systems
of
negligence,
over-confidence
and
complacency.
129
to
ensure
that
desired
level
of
health,
safety
and
company
TYPES OF AUDITS
130
of
team
an
installation
drawn
from
conducted
various
by
departments
multiof
the
Another type of internal audits is called BSC audits. These are self-audits
based on British Safety Council's standard
checklists. Each
131
EXTERNAL AUDITS
The external audits are done by outside or third parties approved by
statutory authorities to meet the requirements under various statuary
rules and regulations.
In leading companies, external audits are done not only to meet
statutory requirements but also to bring in a fresh approach and
additional objectivity through a third eye. It must be understood that
external audits are supplementary to the internal audits.
External audits are generally not global covering the entire
premises/installation. Some typical external audit agencies approved by
various statutory, authorities include
OISD
Netal Chromatographs
KLG/TNO
132
METHODOLOGY OF AUDITS
Though each external audit agency might have its own methodology
and approach to conduct an audit, a common methodology for conducting
internal audits is given below
COMPOSITION/SELECTION OF AUDIT TEAM
The team for a comprehensive internal audit comprise member each
from operation, engineering/maintenance technical services/technology,
HSE and any other specific discipline if required. The chief of the
installation through an office order nominates the team.
The Chief of HSE nominates the team for a mini audit in consultation
with individual departments. The team comprises of two membersone from the area/department to be audited and the other from HSE.
The programme of such audits is published by HSE through procedures
audit schedule published by him every month.
CONDUCTING THE AUDIT
To start with, the team gets organized and holds a kick-off meeting to
discuss the plan of action. They try to collect all relevant data of the
area/plant/department they are going to audit. The team visits the area
and talks to various personnel there to get feedback about their
plant/area. The team checks the various systems/procedures and records.
133
The safety aspects of the plant are checked using checklists. These
checklists could be standard lists made as part of a written audit
procedure and supplemented by specific checklists made for special
systems/equipment by each team before starting the audit. Checklists are
very useful as they save a lot of time and also to ensure that all
aspects or sub-systems have been looked into and not missed
inadvertently.
In case of mini audits, the two-man team goes to the area where audit is
to be done. The team ensures the compliance of the procedure under audit
by using a standard checklist made for the particular procedure. They
check the level of compliance to each checklist item by talking to the plant
personnel and seeing the situation in the field and rate the item on a 1-5
scale (1 is least compliant, 5 full compliance). The overall compliance
level is indicated in percentage.
AUDIT REPORT
After completing an audit, the team prepares a draft report which is
presented to the custodian/ manager of the area and his team. After
discussion, the final report with action plan for implementing the agreed
recommendations is issued by the leader of the audit team to the
concerned action parties with copies to top management team.
In case of mini audits, the audited checklist is itself the report. This is
issued to the concerned custodian/manager of the area immediately on
the same day after the audit is done.
FOLLOW-UP
134
QUESTIONS:
Safety audit is an important study for most of the
hazardous industries. Describe different types of safety
audit conducted for oil & gas industry.
UNIT-V
135
may cause loss of human life, injuries and long term disablement of
people working in the organization and local community around the
industrial area. Normally, loss of lives, total or partial disability have more
impact on the community than damage to the properties. Damage to the
property has a long term social impact like loss of revenue, employment
and rebuilding cost and lead to sever economic constraints.
The likelihood of disaster need be foreseen, as the past experiences
indicate. Therefore, if disasters are foreseeable, the mitigating efforts can
be planned in advance. Paramount in importance should be given to
protect human life and environment, in such planning.
In spite of a petroleum installation following sound design, engineering and
management practices, the possibility of a major accident or disaster
cannot be ruled out. The threat of a major fire, explosion, toxic release or
natural disasters involving employees, property, public and environment
is always there. When an emergency situation like this develops, it
is necessary that a concise and well-written emergency plan should be
in place in every petroleum installation which can be put into action
without loss of any time. Most of the emergency situations can be controlled
by careful evaluation of the anticipated possible events and evolving a
plan to meet such situations and organize suitable drills or rehearsals for
effective implementation at the time of emergency.
DEFINITION OF EMERGENCY:
The type of emergency primarily considered here is the major emergency
which may be defined one which has the potential to cause serious danger to
persons and /or damage to property and which tends to cause disruption inside
and /or outside the site and may require the use of outside resources.
Emergency is a general term implying hazardous situation both inside
and outside the factory premises. Thus the emergencies termed "on-site"
136
when it confines itself within the factory even though it may require
external help and "off-site" when emergency extends beyond its
premises. It is to be understood here, that if an emergency occurs inside
the plant and could not be controlled, it may lead to an off - site emergency.
EMERGENCY PLANNING:
A major emergency in a works is one which has the potential to cause serious
injury or loss of life.
Good Design
Good Operation
Good Maintenance
Good Inspection
137
especially
in
case
of
emergencies
arising
during
138
To contain and control emergency incidents.
To prevent loss of life and minimize the risk of bodily injuries to
employees and neighboring population.
To seek help from the company's corporate office, sister companies and
outside agencies.
EMERGENCY/DISASTER SCENARIOS
Every
petroleum
installation
should
identify
the
possible
major
Fire
Explosion
Toxic Release
Blow-out
Drowning
Cyclone/Storm
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Earthquake
Flood
Air raid
Product/Transport emergency
CATEGORIZATION OF EMERGENCIES
As a general practice, emergency situations are categorized into three levels
depending upon their magnitude and consequences. These levels are:
LEVEL-1
The emergency situation arising in any section of one particular
plant/area which is minor in nature and can be controlled within the affected
section itself with the help of in-house shift staff. Such an emergency does
not have the potential to cause serious injuries or damage to property,
environment and the domino effect to other sections of the installation.
LEVEL-2
The emergency situation arising in one or more plants/areas which has the
potential to cause serious injuries, property loss and/or environmental
damage in the installation. Such an emergency situation always warrants to
mobilize all the resources available in-house and /or outside to mitigate the
emergency. The impact of this level of emergency is however, within the
installation.
LEVEL-3
If level-2 emergency by virtue of its consequences can spread and affect the
nearby community outside the premises, it is termed as level-3 emergency.
ON-SITE EMERGENCY PLANNING
140
Action on-site
Action off-site
141
142
Management of a major emergency in an installation requires a wellcoordinated team with a senior member of the installation acting as
head of the emergency team. He is called the Chief Emergency
Commander. An organ gram of the emergency management team
showing the reporting of various key members should be made. The
responsibilities of each key member should be clearly written and
made known to the member. The members should be made familiar
with their roles by regular drills/rehearsals as explained later on.
KEY MEMBERS AND THEIR CONTACT NUMBERS
A key member for coordinating each of the following functions of an
emergency should be identified:
Operations
Security
Medical
Rescue/Evacuation
Human Resources
Transportation
Public Relations
A list showing the contact telephone numbers of all the key members
should be made which should be regularly updated to incorporate any
changes. This list should be available to each member to be kept handy
in his wallet.
143
EMERGENCY COMMUNICATION
A reliable system of informing the various people in the installation
should be in place. This can be a siren or an alarm system, which is
audible in the whole installation. VHS radio can be used to
communicate the emergency situation to civic authorities and other
outside agencies, which need to be informed of the emergency.
END OF EMERGENCY
The plan should identify the arrangements for declaring the end of
emergency. There should be a proper siren/ alarm to be given under the
direction of the Chief Em ergen cy Com m a nder t o decl a re the end
of emergency.
EMERGENCY RESOURCES
144
MOCK DRILLS.
The emergency plan should be rehearsed regularly by conducting mock
drills to keep the emergency team members refreshed with their roles
during an emergency. Based on the weaknesses or shortcomings
observed during the mock drills, the emergency plan should be updated.
As required by the statutory authorities, mock drill of a major on-site
emergency
plan
should
be
conducted
at
least
once
every
year.
145
EMERGENCY INVENTORIES
It is necessary for every petroleum installation to maintain a minimum
inventory of various emergency consumables and equipment for fire fighting,
medical, pollution control and safety. A list of these inventories should be
a part of the emergency plan. Regular physical check of stock levels of these
inventories should be done against this list and immediate action
should be taken to replenish them if required.
In spite of all the precautions and safe procedures followed, the chance
of an emergency arising in a petroleum operation can not be ruled out.
146
UNIT-VI
FIRST AID:
147
148
It is important to remember that accidents can happen at any time . First aid
provision needs to be available at all times people are at work,
Many small firms will need to make the minimum first-aid provision.
However, there are factors which might take greater provision necessary. The
following checklist covers the point you should consider.
GENERAL CONTENTS OF FIRST AID BOX:
There is no standard list of items to put in a first aid box. It depends on what
you assess the needs are. However, as a guide, and where there is no special
risk in the workplace , a minimum stock of first aid box should contain:
1. A leaflet giving general guidance on first-aid eg HSE leaflet, basic
advice on first-aid at work.
2. 20 individually wrapped sterile adhesive dressings
3. Two sterile eye pads
4. Four individually wrapped triangular bandages.
INSTRUCTIONS TO FIRST AIDER:
1. Gather information as to how the accidents or illness came about.
2. Look for signs such as swelling, bleeding and immobility etc.
3. Looks out whether victims feels nausea, cold, pain etc.
4. Pay special attention to severe bleeding , failure of breathing and
shock.
5. Arrange for speedy removal of victim to proper medical care.
DOS & DONT OF FIRST AID:
149
150
If the temperature is high put the naked victim into a tub of cold water or
gave full bath or apply wet sponge over his body
If there is a rise in temperature apply ice bag or clothes wing in cold
water.
151
152
THESE
INSTRUCTIONS
FOR
UNCONSCIOUS
PATIENTS:
Keep patients in lying position on left side and keep head low
If breathing is shallow or skin, lips Cass finger, if nail beds are blue
give oxygen with CO2 or commercial oxygen.
153
If poison is unknown give the universal antidote but only after the
patients regains consciousness.
ARTIFICIAL BREATHING:
If breathing is stopped artificial respiration should be applied immediately
to restore the normal breathing and prevent death- by means of artificial
respirator, if breathing is re-established.
First of all clear the passage by pinching for a movement and clearing it by
handkerchief. Remove foreign object if any .
METHODS OF ARTIFICIAL RESPIRATION:
1. SCHAFFERS PRONE PRESSURE METHOD:
This method is recommended for fractures and draining causes lay the
patient on his belly. Kneeling over the patients back and placing the palms
on the victims. This portion of the back with fingers spreading on the side
and the two thrums parallel to the spin and almost touching each other.
With arms held straight, leaning forward, pressure is applied on the body
of the victim for about three seconds.
Pressure is reduced gradually and original position is taken back for
about two seconds.
Procedure is repeated for 12-15 times, till the patient starts breathing.
This methods of respiration expands the lungs of the victim so as to help
him to start normal breathing. Patience is required by the helper.
2. SILVESTERS METHODS:
This method is applied when the patient has got burns injuries on the
chest or on the front side so that he can not be laid on his chest down.
154
The victim is first laid on his back with a pillow or a rolled coat under his
shoulders.
His clothes are loosened.
His arms are grasped above the wrists and drawn first upward and then
taken over his head until they are horizontal.
The patients are then brought down to the chest and the pressure is
applied in the downward direction by kneeling over victim's head.
The cycle is repeated after about two seconds.
NIELSONS ARM LEFT BACK-PRESSURE METHOD:
The subject lies prone with both arms folded and hands resting, one on the
other, under his head. The arms are grasped above the elbow and lifted
until firm resistance is met. This induces active inspiration. Then they are
let down and pressure is applied on the back to cause active expiration.
The movements in this method follow the following sequence.
POSITION-I.:
The victim is placed face down and his arms folded with one palm on the
other head resting on a cheek over the palms . Kneel on both the knees at
victims head. The hand is placed on the victims back beyond the line of
armpits, with fingers spread outwards and downwards, thumbs just
touching each other.
POSITION-II
Keeping arms straight, the helper gently rocks forward until they are
vertical thus steadily pressing the victims back.
POSITION-III
155
156
ARTIFICIAL RESPIRATOR:
Artificial respirator consists of a rubber balloon, a special valve and mouth
piece tubing. The mouth piece is cupped on the patients mouth for the
artificial respiration. During inhaling balloon is defatted into patients
mouth, upon release, the balloon gets inflated from atmospheric air
entering via the valve. The process is continued till the normal breathing
is restored.
The injured person is laid on his back on a firm surface and knelled at
his side.
The heel of one hand is placed on the lower half of the persons
sternum.
157
Other hand is placed on the top of the first hand and downward
pressure is exerted till the bones dip by 1.5 inches.
Then the pressure is released. This cycle is repeated 60 times.
FRACTURE
A fracture is an injury that disrupts bone tissue. A stress fracture is a break
in
a bone, usually small, that develops because of repeated or prolonged forces
against the bone.
Alternative Names:
Bone - broken; Broken bone; Stress fracture
Symptoms:
Swelling.
Intense pain.
Bruising.
158
Do Not:
First Aid:
1. Check the victim's airway, breathing, and circulation. If necessary,
begin rescue breathing, CPR, or bleeding control. Keep the victim still
and provide assurance.
2. Examine the victim closely for other injuries. If the skin is broken by a
fractured bone, don't breathe on the wound or probe it. If possible,
lightly rinse to remove visible dirt or other contamination, but do not
vigorously scrub or flush the wound. Cover with sterile dressings before
immobilizing the injury.
3. Make sure to pad the affected area, to prevent a pressure sore.
4. Immobilize the area both above and below the injured bone. Ice packs
may be applied to ease pain and swelling.
5. Check the circulation of the affected area after immobilizing-press
firmly over skin that is beyond the fracture site.
6. If circulation appears inadequate (pale or blue skin, numbness or
tingling, loss of pulse), try to realign the limb into a normal resting
position. This can be tested with voluntary movement. It should be
159
160
METHYL CHLORIDE:
Administer O2, use artificial respirants . For skin contact use cold water.
Dont use distilled grease.
SULPHUR-DIOXIDE:
Administer oxygen. In case of breathing failure use artificial respiration.
WHEN TO CALL FIRST AIDER
If you are light headed and think you may lose consciousness
Any time there is an injury or when someone may need First Aid or
CPR
Any time someone is feeling ill or needs to use the First Aid room
161
UNIT-VII
162
(b) Workplace Health and Safety Officers (WHSO's) and Workplace Health
and Safety Representatives (WHSR's)
It is recommended that managers nominate at least one Workplace Health
and Safety Officer (WHSO) and encourage the election of at least one
Workplace Health and Safety Representative (WHSR) in their area of
authority.
Workplace Health and Safety Officers (WHSOs) are nominated by
management to advise managers and anyone who supervises others on
aspects of the Workplace Health and Safety Act (coupled with local
knowledge) on a day-to-day basis. These persons are not health and safety
specialists and the role is generally secondary to their usual job.
The statutory function of a WHSO is to
Workplace Health and Safety Representatives (WHSRs) are elected by coworkers to act as their representative in health and safety matters. WHSRs
are entitled to
163
164
165
workplace.
Provide information, instruction, and supervision to employees to protect
166
Staging
Areas,
Division
Supervisors
(for
direct
line
assignments).
SPECIFIC RESPONSIBILITIES
The Safety Officer will correct unsafe acts or conditions through the
regular line of authority, although the Safety Officer may exercise
emergency authority to prevent or stop unsafe acts when immediate
action is required.
167
The Safety Officer ensures the Site Safety and Health Plan is prepared
and implemented.
The Safety Officer ensures there are safety messages in each Incident
Action Plan.
Only one Safety Officer will be assigned for each incident, including
incidents operating under Unified Command and multi-jurisdiction
incidents. The Safety Officer may have assistants, as necessary, and
the assistants may also represent assisting agencies or jurisdictions.
Site
Characterization
&Monitoring
Team:
Site Safety
Enforcement
Team:
Team:
Team:
Team:
Team:
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Site Security
Draft initial emergency response site safety plan. Ensure copies get
distributed as soon as possible to staging areas and field personnel.
Receive
reports
from
Site
Safety
Enforcement
Assistant
and
Review Medical Plan and forward to the Safety Officer for signature.
169
Use site safety enforcement log and ensure completion in time for
updating new site safety plan for next operational period.
Keep informed of the health and safety needs of employees under their
authority;
Ensure that their supervisory personnel are aware of their health and
safety responsibilities and that they provide proper information and
instructions to individuals under their supervision;
170
RESPONSIBILITIES
OF
SUPERVISORS
AND
PRINCIPAL
INVESTIGATORS
Supervisors and principal investigators or anyone who has charge of a
workplace or authority over other employees must show due diligence in the
application of health and safety measures in general; in particular they must
also:
Ensure that employees under their authority work in the manner and
with the protective devices, measures and procedures .
RESPONSIBILITIES OF EMPLOYEES
The responsibility for health and safety lies with all industry personnel in
the performance of their duties. In addition, the following particular
requirements must be adhered to by all Industry employees:
Work in compliance with the provisions of the OH&S Act and all health
and safety procedures and instructions;
171
Report to the appropriate supervisory staff all known health and safety
hazards or any violation of the OH&S Act or its regulations;
TRAINING
172
WORKPLACE
HAZARDOUS
MATERIALS
INFORMATION
SYSTEM (WHMIS)
o All employees exposed to or likely to be exposed to, a hazardous
material or to a hazardous physical agent must receive and
participate in instruction and training regarding the use,
storage, handling and disposal of these materials.
o Top management is responsible for ensuring that all legally
required systems and procedures are in place with respect to
WHMIS. In particular, they must ensure that material safety
data sheets are available and up-to-date, for consultation by all
employees exposed to or likely to be exposed to hazardous
materials or who must handle such materials that all hazardous
materials in the workplace are identified in the prescribed
manner.
o If material safety data sheets are accessible on a computer
terminal at a workplace, top management and principal
investigators shall take all reasonable steps necessary to keep
the terminal in working order give a worker a copy of the
material safety data sheet upon request; and teach committee
members and employees who work with or close to hazardous
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AND
INVESTIGATION
OF
INCIDENTS
AND
ACCIDENTS
All accidents, fires, and other potentially serious incidents (e.g. spills,
emissions) must be entered on an Accident, Incident or Occupational
Disease Report, and the supervisor must submit the report to the
Occupational Health, Disability and Leave Sector within 24 hours of
the occurrence.
174
QUESTIONS:
175
UNIT-VIII
CASE STUDIES
1. PIPER ALPHA
Introduction:
The Piper Alpha Oil Platform was owned by a consortium consisting of
Occidental Petroleum (Caledonia) ltd, Texaco Britain ltd, International
Thomson plc and Texaco Petroleum Ltd and was operated by occidental.
The Piper Alpha Platform was located in the piper field some 110 miles
north-east of Aberdeen. The piper platform separated the fluid produced by
the wells into oil, gas and condensate .the oil was pumped by the pipeline to
the Flotta oil terminal in the Orkneys ,the condensate being injected back
into the oil for transport to shore .The gas was transmitted by pipeline to the
176
manifold
compression
platform
MCP-01
(manifold
compression
platform),where it joined the major gas pipeline from the Frigg field to St
Fergus.
There were two other platforms connected to Piper Alpha. Oil from the
Claymore Platform, also operated by the Occidental was piped to join the
Piper oil line at the Claymore. Claymore was short of gas and was therefore
connected to Piper Alpha by a gas pipeline so that it could import Piper gas.
Oil from Tartan was piped to Claymore and then to Flottta and gas from
Tartan was piped to Piper and then to MCP-01.
The production deck level consisted of four modules A-D.A module was
wellhead, B module the oil separation module, C module the gas compression
module and D Module the power generation and utilities module.
There were fire walls between A and B Modules, between B and C
modules, and between C and D modules (the A/B,B/C, and C/D firewalls
respectively); these firewalls were not designed to resist blast.
At 10 pm on 6 July 1988 an explosion occurred in the gas compression module
of the Piper Alpha oil production platform in the North Sea. A large pool fire
took hold in the adjacent oil separation module, and a massive plume of black
smoke enveloped the platform at and above the production deck, including the
accommodation. The pool fire extended to the deck below, where after 20 min
it burned through a gas riser from the pipeline connection between the Piper
and Tartan platforms .The gas from the riser burned as a huge jet flame
.Most of those on board were trapped in the accommodation .The lifeboats
were inaccessible due to the smoke .Some 62 men escaped, mainly by
177
climbing down knotted ropes or by jumping from a height, but 167 died, the
majority in the quarters. The Piper Alpha explosion and fire was the worst
accident which has occurred on an offshore platform.
Following the disaster a public inquiry was set up under the public
inquiries regulations 1974 presided over by Lord Cullen to establish the
circumstances of the disaster and its cause and to make recommendations to
avoid similar accidents in the future.
The inquirys the public inquiry into the piper alpha disaster
(the Piper Alpha Report or Cullen Report) (Cullen 1990) is the most
comprehensive inquiry conducted in the UK into an offshore platform
disaster, onshore or offshore.
The Piper Alpha inquiry has been of crucial importance in the
development of the offshore safety regime in the UK sector of the north sea.
The Piper Alpha inquiry not only discharged the function of an inquiry into
the specific disaster but made recommendations for changes to the offshore
safety regime which were accepted by the government.
Platform systems included the electrical supply system, the fire and gas
detection system, the fire water deluge system, the emergency shut down
system, the communications system and the evacuation and escape system.
Electrical power was supplied by two main generators which normally
ran off the gas supply but could be fired by diesel-fired emergency generator
and also a drilling generator and an emergency drilling generator. In
addition, there were uninterrupted power supplies for emergency services.
178
The main production areas were equipped with a fire and gas detection
system.
179
PROCESS
The fluid from the wellhead, containing oil, gas, condensate and water passed
through the wellhead Christmas tree to the two separators where the gas was
separated from the oil and water. The oil was then pumped into the main oil
line .The gas was then compressed in the three centrifugal compressors to
675 psi, with some gas being taken off at this point as fuel for the mail
generators, and then boosted in the first stage of two reciprocating
compressors to 1465 psi .Condensate was removed and the gas was further
compressed in the second stage of the reciprocating compressor to 1735 psi.
The gas then went three ways:
1. To serve as lift gas at the wells.
2. To MCP-01 as export gas.
3. To flare.
The condensate was removed in 2 ways:
1. In the first method (phase 2) gas passed from reciprocating compressor
to gas conversion module (GCM) where it was dried.
2. In the second method (phase 1) the gas was passed through a flash
drum so that condensate was knocked off by Joule-Thomson effect. This
was done before GCM came into use.
The condensate injection pump was used to inject condensate into the
main oil line. There was normally one condensate injection pump line
operating and one on standby. Each condensate injection pump was
protected from overpressure on the delivery side by a single pressure
180
safety valve (PSV).the PSV was on a separate relief line rather than on
the delivery line itself.
In accordance with the standard practices Methanol was injected into
the process at various points to prevent formation of hydrates which
would tend to cause blockage.
181
182
183
upper deck and then to the heli -deck. Personnel found the escape route to
the lifeboat blocked and waited in the dining area. The OIM(Offshore
Installations Manager) told them that a Mayday (an international radio
signal by ship /plane which are in danger) signal had been sent to effect
the evacuation .In fact the heli -deck was inaccessible to helicopters.
By 12:15 am on 7th July the north end of the platform had
disappeared/by morning only A module, the wellhead, remained standing.
QUESTIONS:
1. Discuss reasons of piper alpha accidents.
2. What are your learning as safety officer from this accedents
3. Write the consequences of Piper Alpha accident. What
is your learning from the accident as a safety officer?
184
in
Bhopal,
under
license
from
the
Madhya
Pradesh
185
THE DISASTER
On the early morning of the 3rd December 1984, water inadvertently entered
the MIC storage tank, where over 40 metric tons of MIC was being stored.
The addition of water to the tank caused a runaway chemical reaction,
resulting in a rapid rise in pressure and temperature. The heat generated by
186
187
breathing
difficulties,
cancer,
serious
birth-defects,
blindness,
188
189
190
192
Kurzman argues that cuts meant less stringent quality control and
thus looser safety rules. A pipe leaked? Dont replace it, employees said
they were told MIC workers needed more training? They could do
with less. Promotions were halted, seriously affecting employee morale
and driving some of the most skilled elsewhere.
Workers were forced to use English manuals, despite the fact that only
a few had a grasp of the language.
193
Workers made complaints about the cuts through their union but were
ignored. One employee was sacked after going on a 15-day hunger
strike. 70% of the plants employees were fined before the disaster for
refusing to deviate from the proper safety regulations under pressure
from management.
initiatives
affected
the
quality
of
equipment
and
the
The flare tower and the vent gas scrubber had been out of service for 5
months before the disaster. The gas scrubber therefore did not attempt
to clean escaping gases with sodium hydroxide (caustic soda), which
may have brought the concentration down to a safe level. Even if the
194
Slip-blind plates that would have prevented water from pipes being
cleaned from leaking into the MIC tanks via faulty valves were not
installed. Their installation had been omitted from the cleaning
checklist.
Water sprays designed to knock down gas leaks was poorly designed
set to 13 metres and below, they could not spray high enough to reduce
the concentration of escaping gas.
The MIC tank had been malfunctioning for roughly a week. Other
tanks had been used for that week, rather than repairing the broken
one, which was left to stew. The build-up in temperature and
pressure is believed to have affected the explosion and its intensity.
195
and internal documents show that the company knew this prior to the
disaster, but did nothing about it.
AFTERMATH OF THE EXPLOSION
In the immediate aftermath of the explosion:
Though the audible external alarm was activated to warn the residents
of Bhopal, it was quickly silenced to avoid causing panic among the
residents. Thus, many continued to sleep, unaware of the unfolding
drama, and those that had woken assumed any problem had been
sorted out.
Union Carbide was warned by American experts who visited the plant
after 1981 of the potential of a runaway reaction in the MIC storage
tank; local Indian authorities warned the company of problems on
several occasions from 1979 onwards. Again, these warnings were not
heeded.
196
197
The company admits that the safety systems in place could not have
prevented a chemical reaction of this magnitude from causing a leak.
According to Carbide, in designing the plant's safety systems, a chemical
reaction of this magnitude was not factored in because the tank's gas
storage system was designed to automatically prevent such a large amount of
water from being inadvertently introduced into the system and process
safety systems in place and operational would have prevented water from
entering the tank by accident. Instead, they believe that employee sabotage
not faulty design or operation was the cause of the tragedy.
INVESTIGATION OUTCOME
THE WATER WASH THEORY
According to this story, an MIC operator was told to wash a section of a sub
header of the relief valve vent header ("RVVH") in the MIC manufacturing
unit. Because he failed to insert a slip-blind, as called for by plant standard
operating procedures, the water supposedly backed up into the header and
eventually found its way into the process vent header ("PVH") through a
tubing connection near the tanks. It then was supposed to have flowed into
the MIC storage tank, located more than 400 feet by pipeline from the initial
point of entry.
This to a layman, appeared an apparently plausible, easily understood
explanation of the water source, which did not require any detailed knowledge
of the plant process or layout. It also was a theory that had popular appeal
because it focused on a simple, minor human inadvertence which caused a
great
tragedy
--
"for-want-of-a-horseshoe-nail-the-kingdom-was-lost"
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explanation. It was readily accepted by those eager to believe the incident had
been caused by improper operating practices at a purportedly shoddy
chemical plant in a Third World country. The water washing theory was also
publicly embraced by the Indian Government.
THE DIRECT-ENTRY AND SABOTAGE THEORY
Another investigation shows, with virtual certainty that the Bhopal incident
was
Caused by the entry of water to the tank through a hose that had been
connected directly to the tank. The following sequence of events occurred. At
10:20 p.m. on the night of the incident, the pressure in Tank 610 was at 2
psig. This is significant because no water could have entered prior to that
point; otherwise a reaction would have begun, and the resulting pressure rise
would have been noticed. At 10:45 p.m., the shift change occurred. During
this period, on a cold winter night, the MIC storage area would be completely
deserted. It is believed that it was at this point -- during the shift change -that a disgruntled operator entered the storage area and hooked up one of the
readily available rubber water hoses to Tank 610, with the intention of
contaminating and spoiling the tank's contents. It was well known among the
plant's operators that water and MIC should not be mixed. He unscrewed the
local pressure indicator, which can be easily accomplished by hand, and
connected the hose to the tank. The water and MIC reaction initiated the
formation of carbon dioxide which, together with MIC vapors, was carried
through the header system and out of the stack of the vent gas scrubber by
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about 11:30 to 11:45 p.m. It was these vapors that were sensed by workers in
the area downwind as the earlier minor MIC leaks.
Investigations suggest that only an employee with the appropriate skills and
knowledge of the site could have tampered with the tank. An independent
investigation by the engineering consulting firm Arthur D. Little determined
that the water could only have been introduced into the tank deliberately as
in designing the plant's safety systems, a chemical reaction of this magnitude
was not factored in for two reasons:
1. The tanks gas storage system was designed to automatically prevent such
a large amount of water from being inadvertently introduced into the
system; and
2. Process safety systems -- in place and operational -- would have prevented
water from entering the tank by accident. The system design did not,
however, account for the deliberate introduction of a large volume of water by
an employee.
RESPONSE
In the wake of the release, Union Carbide Corporation provided immediate
and continuing aid to the victims and set up a process to resolve their
claims.
In the days, months and years following the disaster, Union Carbide took
the following actions to provide continuing aid:
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The company stresses the immediate action taken after the disaster and their continued
commitment to helping the victims.
THE SETTLEMENT
During the 1980's, as Union Carbide continued to provide interim relief funds
and work with the Bhopal community on medical and economic aid, legal
actions proceeded in both the U.S. and India. The courts ultimately decided
that the proper country for legal proceedings was India and matters were
consolidated there and proceeded before the Supreme Court of India.
In May 1989, Union Carbide and Union Carbide India Limited (UCIL)
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entered into a $470 million legal settlement with the Government of India,
which represented all claimants in the case. The settlement was affirmed by
the Supreme Court of India, which described it as just, equitable and
reasonable, and settled all claims arising out of the incident. Ten days after
the decision, Union Carbide and UCIL made full payment of the $470 million
to the Indian government.
In its opinion, the Court said that compensation levels under the settlement
were far greater than would normally be payable under Indian law. Pursuant
to the settlement, the Government of India assumed responsibility for
disbursing funds from the settlement and providing medical coverage to
citizens of Bhopal in the event of future illnesses.
In July 2004, fifteen years after reaching settlement, the Supreme Court of
India ordered the Government of India to release all additional settlement
funds to the victims. News reports indicate that there was approximately
$327 million in the fund as a result of earned interest from money remaining
after all claims had been paid. In April 2005, the Supreme Court of India
granted a request from the Welfare Commission for Bhopal Gas Victims and
extended to April 30, 2006, the distribution of the rest of the settlement funds
by the Welfare Commission. News reports now indicate that approximately
$390 million remains in the settlement fund as a result of earned interest.
In September 2006, Indian media reported the registrar in the office of
Welfare Commission said that all cases of initial compensation claims by
victims of the 1984 Bhopal gas tragedyand revision petitions had been
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cleared; no case was pending. If the media report was accurate, this could
mean that all the settlement money has finally been distributed.
QUESTIONS:
UNIT-IX
203
Mining is the act of extracting ores, coal etc from the earth. Mining on an
industrial
scale can
causes
environmental
damages,
resulting
from
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205
206
Fatal accidents in Australia have involved fixed wing air craft and helicopter
crashes, head stroke, vehicles overtaking, and people being caught by rotating
rods on drilling rigs.
Another facility involved a hydrofluoric acid spill.
WAYS TO REDUCE ACCIDENTS:
Be clearly understandable.
Be reviewed periodically.
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Employees will be committed to a safety and health ethos only if they believe,
and are shown, that the company itself is committed. They must be able to
see that improvements in safety are being made and that policies are
implemented in the field.
CONTROL AND MANAGEMENT OF RISK:
Risk is effectively managed when all persons individually and as part of the
work group and organization take action to keep the risk to an acceptable
level. In Particular, this means following risk management procedures and
practices that are appropriate for the work being carried out.
RISK MANAGEMENT IS THE SYSTEMATIC APPLICATION OF
POLICIES, PROCEDURES AND PRACTICES TO:
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Engineering controls.
Administrative controls.
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Effects topography.
Impacts on health.
Social disintegration.
QUESTIONS:
What are the different ways to reduce the accidents in
mining sector ?
What are the social damages of mining ?
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PERSONNEL RISK IN :
MATERIAL HANDLING PROCESS:
INTRODUCTION:
Manual materials handling permeates all aspects of life on and off the
job.
The one thing all these tasks have in common is the potential to result in
some adverse health effect, from simple cuts, bruises, and sore muscles to
more serious conditions related to low back pain (LBP).
HAZARDS:
The hazards associated with improper material handling are associated with:
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Struck by a load
Loss of life
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CONTAINER CHARACTERISTICS:
WORKPLACE CONFIGURATION:
Height of lifts.
TASK CHARACTERISTICS:
Forward reach.
Accessibility requirements.
Worker experience.
Maintenance status.
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Never attempt to lift objects that are too heavy or bulky to handle
safely.
216
Pushing uses the strong leg muscles, whereas pulling uses the easily
strained back muscles.
When occasional lifts of compact loads [<70 kg (154 lb)] are required, observe
the following precautions:
Very low lifts [25 cm (10 in.) or less from the floor] are not desirable
because of the difficulty of maintaining balance when squatting to lift.
Medium lifts [75-135 cm (30-54 in.) from the floor] are more desirable
because more strength is available in the lower part of this height
range.
High lifts [135-188 cm (54-75 in.) from the floor] are not recommended,
except when the item to lift weighs less than 5 kg (11 lb).
Muscle fatigue can potentially occur where lifting is required more than once
every 2-5 min. Therefore, the weight for repetitive lifts should be less than
that for occasional lifts. If the lifting rate exceeds six lifts per minute, lifting
should be limited to 20 min or less to allow for muscle recovery. Moving
objects by sliding, rather than lifting, is recommended for repetitive handling
tasks.
5. SAFE LIFTING PRACTICES:
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The following are recommended safe practices for lifting and moving heavy
objects:
Carry a load close to your body and at a proper height from the floor.
When standing,
Avoid lifting an item to a height greater than 50 cm (20 in.) or lowering
an item to a height less than 20 cm (8 in.).
objects.
lifting a heavy Load. The neutral position is 0-15. An angle greater than 15
is considered high risk.
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backtrack).
the use of stairs is unavoidable, keep one hand free to grasp the rail quickly
to prevent falling.
Lifting techniques.
Mechanical aids.
Inspect the load for sharp edges, slivers, and wet or greasy spots.
handling objects with sharp or splintered edges. To ensure a good grip on the
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object, make sure the gloves are free of oil, grease, or other slippery
materials.
Inspect the route over which the load is to be carried. The route should
Size up the load, and make a preliminary lift to be sure the load is
within your capacity. If the load is beyond your capability, get help or use a
mechanical lifting device.
7. TECHNIQUES FOR MOVING AND LIFTING MATERIAL:
In addition to following the precautions, use the techniques given below when
moving or lifting heavy materials.
Team Lifts
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Hand Trucks
Dollies
Wheelbarrows
Pallet Jacks
Crowbars
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Ensure that:
Ensure that large or heavy objects are moved mechanically and that
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assessment includes assisting workers in returning to work after injuryrelated leave or restricted duty.
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magnet to remove any iron particles present in the raw material. The raw
material feeding belt is connected to the gravel gate of raw mill so that hot air
used for drying the material should not escape through the feed point. The
material are ground in a raw mill having vertical rollers.
E. PRE-CALCINATION UNIT:
The raw meal is extracted from the CB silo and fed to the top of the
four stage pre-heater with the help of an air lift pump. The feed rate is
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clinker. The air which gets heated up during clinker cooling is put back in
the kiln and precalciner as secondary and tertiary air for coal combustion.
H. COAL HANDLING UNIT:
Coal received from collieries by trucks is unloaded in the coal yard for
obtaining a uniform quality of coal. It is transferred to the coal stockpiles
where it is stacked and then the coal is crushed in the coal crusher and
transported to raw coal hopper having a capacity of 300 MT in the coal mill
plant by belt conveyors.
I. CEMENT MILL UNIT:
The clinker is extracted with the help of vibro-feeders installed below
the clinker stock-pile
conveyors. Gypsum and Pozzolona are also stored in cement mill hoppers.
These materials are taken from the hopper in proportionate quantity with
the help of weigh feeders and fed to the cement mills by belt conveyors. Each
cement mill is a double compartment, horizontal ball mill filled with grinding
media. The clinker which is ground with gypsum to a very fine powder to
yield a good quality of cement. Gypsum is added to the clinker while grinding
to the extent of 4 to 6% for dealing the commencement of the setting time.
The fined ground cement from ball mill is removed continuously by carrying
air and separated in high efficiency ESP. The cement collected in ESP is
transported by air slide and air lift, pump and stored in four cement silos .
J. PACKING UNIT:
The cement is taken from the cement silos and transported to the packing
plant with the help of air slides and bucket elevators. The cement is fed to
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Each
Guards,
Use of PPE.
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to
be
either
removed or
prominent
yellow
230
EARTHING:
EMISSION
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Kiln
operation
and
cooling-----------PARTICULATES,
CO,SO2,NOx,HC
Product grinding and packaging----PARTICULATES
COMMON AIR POLLUTANTS AND THEIR EFFECTS:
1. SUSPENDED PARTICULATE MATTER:
Atmospheric particulate matter is defined to be any dispersed matter,
solid or liquid smaller than 500um. Under various conditions of their
generation, they are also called by other names such as dust, fume ,
smoke and mist. The common diseases caused by the these
particulates are : bronchitis, bronchopneumonia and asthma.
SULPHUR DIOXIDE:
Sulphur dioxide when released in the atmosphere can also convert to
SO3, which leads to production of sulphuric acid. When SO3 is inhaled
it is likely to be absorbed in moist passages of respiratory tract. When
it is entrained in an aerosol, however it may reach to deeper into lungs.
NITROGEN OXIDE
Almost all NOx emissions are in the form of NO, which has no, known
adverse health effects in the concentrations found in the atmosphere,
which in turn may give rise to secondary pollutants, which are
injurious. NO2 may also lead to formation of HNO3, which is washed
out of the atmosphere as acid rain.
CARBON MONOXIDE:
Most of the CO emissions are from transportation sector. Peek
concentrations occur at street level in busy urban centers particularly
when there is no atmospheric mixing as it happens during winter
season. Carbon monoxide interferes with bloods ability to carry
oxygen. It also causes headache and dizziness.
LEAD:
232
The chemical industry is intimately connected with all the basic needs of
society such as food, clothing, housing and health. Its development and
performance depend on several factors directly connected with demographic
dynamics of the country and national policies. For example, the adverse
implications of monsoon failure on agricultural production and, in turn, on the
demand
for
fertilizers
and
pesticides;
growth,
aided by a
strong scientific
and industrial
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235
and
consequent hazards;
Storage of large quantities of dangerous substances vulnerable to
decomposition, explosion or toxic emissions caused by variations in
temperature, pressure or ingress of foreign substances:
Contamination of products intended for human or animal
consumption by toxic products or substances in the same plant;
Accidents during transportation;
Improper waste disposal practices resulting in serious environmental
pollution.
Accidents due to human failure;
The Department of Chemicals and Petrochemicals, Ministry of' Industry,
Government of India, has been concerned about these risk aspects with
particular reference to industrial manufacture of chemicals, pesticides, drugs
and petrochemicals. The following points have been. Identified as crucial for
the safety of these plants:
Hazard identification
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For new chemical plants, safety will have to feature very prominently in
surroundings; process technology selection and implementation. From purely
Technological consideration, safety has clearly a higher priority than economics,
but from techno-economic considerations, safety and economics can be made
compatible by adequate attention to design. By using the concept of inherent or
intrinsic safety, new plants can be so designed that they use relatively safer
raw materials and intermediates or use the hazardous chemicals at
milder operating conditions. Inherently safe design requires the approach of
risk assessment. This is an area wherein expertise available within the
country is very limited and there is urgent, need to develop this capability.
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QUESTIONS:
238