United States of America
OCCUPATIONAL
SAFETY AND HEALTH REVIEW COMMISSION
1120 20th Street, N.W.,
Ninth Floor
Washington, DC 20036-3457
SECRETARY
OF LABOR, |
|
Complainant, |
|
v. |
OSHRC
Docket No. 08-1774 |
ANGELICA
TEXTILE SERVICES, INC., |
|
Respondent. |
|
ON BRIEFS:
Kimberly
A. Robinson, Attorney; Heather R. Phillips, Counsel for Appellate Litigation;
Joseph M. Woodward, Associate Solicitor; M. Patricia Smith, Solicitor; U.S.
Department of Labor, Washington, D.C.
For the Complainant
Mark
A. Lies, II, Esq.; Stephanie C. LaRocco, Esq.;
Seyfarth Shaw, LLP, Chicago, IL
For the Respondent
DECISION
Before: MacDOUGALL,
Chairman; ATTWOOD and SULLIVAN, Commissioners.
BY THE COMMISSION:
Angelica Textile Services, Inc. operates a commercial
laundry facility in Ballston Spa, New York.
On September 30, 2008, following an inspection of the facility, the
Occupational Safety and Health Administration issued Angelica a citation under the Occupational Safety and
Health Act of 1970, 29 U.S.C. §§ 651-678, that as amended, alleged violations under ten serious and four repeat
items.[1] Former Administrative
Law Judge John H. Schumacher issued a decision affirming two of the serious
items (Citation 1, Items 3 and 11) and vacating the remaining twelve items.[2]
The judge assessed a total penalty of $3,825 for the two affirmed items.
On review are two of the vacated citation items: Instances (b) and (c) of Item 2b, which
allege repeat violations under 29 C.F.R. § 1910.146(d)(3) concerning the
adequacy of isolation and verification procedures for a permit required
confined space (PRCS); and Item 8, which alleges a repeat violation under 29
C.F.R. § 1910.147(c)(4)(ii) concerning the specificity of lockout/tagout
(LOTO) procedures. For the reasons that follow, we affirm both citation
items, characterize them as serious, and assess a single grouped penalty of
$7,000.
I. Background
Angelica
employees clean linens by operating a series of
interconnected machines in an area of the Ballston Spa facility called the
“wash alley.” The largest of these
machines, the combined batch washer (CBW), consists of a long, cylindrical
tunnel with eight washer modules. There
are two CBWs at the facility. One of the
CBWs discharges washed linens into a “press.”
The press squeezes water out of the wet linens and forms them into a
compressed clump known as a “cake.”
These linen cakes are then sent by conveyor to the “cake shuttle,” which
travels along a track to deliver the cakes to one of five dryers in the wash
alley.
The
other CBW discharges washed linens into the “co-bucket,” which is a large
hopper mounted on a shuttle that also travels back and forth along a
track. The co-bucket then deposits wet
linens into an “extractor,” which expels water from the linens and dumps them
onto a conveyor. The conveyor moves the
linens onto the “loose goods shuttle,” which travels along another track. These linens are either loaded directly into
one of two dryers in the wash alley or deposited into a cart and loaded
manually into other dryers.
II. Citation
1, Item 8 — LOTO Procedures
The
LOTO standard “covers the servicing and maintenance of machines and equipment
in which the unexpected energization or start up
of the machines or equipment, or release of stored energy could cause injury to
employees.”[3]
29 C.F.R. § 1910.147(a)(1)(i) (emphasis in
original). Section 1910.147(c)(4)(i) requires that “[p]rocedures .
. . be developed, documented and utilized for the control of potentially
hazardous energy when employees are engaged in the activities covered by this
section.” The provision cited in Item 8,
§ 1910.147(c)(4)(ii), requires that LOTO procedures “clearly and specifically outline the scope, purpose, authorization,
rules, and techniques to be utilized for the control of hazardous energy and
the means to enforce compliance”; as relevant here, this includes procedures
for locking out a machine and verifying the effectiveness of that lockout. (Emphasis added.)
To
be compliant with this provision, the procedures must “inform the employee of
the specific procedural steps to shut down and lock out a machine.” Gen.
Motors Corp. (“GM”), 22 BNA OSHC
1019, 1027 (No. 91-2834E, 2007) (consolidated); Dayton Tire, 23 BNA OSHC 1247, 1257-58 (No. 94-1374, 2010)
(reviewing preamble’s discussion of “specific”), aff’d in relevant part, 671 F.3d 1249 (D.C. Cir. 2012). The purpose of these
procedures “is to guide an employee through the lockout process . . .” Drexel
Chem. Co., 17 BNA OSHC 1908, 1913
(No. 94-1460, 1997). Determining whether
a LOTO procedure is sufficient is a fact-specific inquiry that focuses on “ ‘the complexity of the equipment and the control
measures to be utilized.’ ” GM, 22 BNA OSHC at 1026 (citing Control
of Hazardous Energy Sources (Lockout/Tagout), 54 Fed. Reg. 36,644, 36,670
(Sept. 1, 1989) (final rule)); see 29
C.F.R. § 1910.147, App. A—Typical Minimal Lockout Procedure (“For more
complex systems, more comprehensive procedures may need to be developed,
documented and utilized.”).
The
parties here have stipulated that Angelica’s written LOTO procedures for the
machines at the Ballston Spa facility consist of several documents, including a
section in its general safety manual, a general LOTO program, and
machine-specific “surveys.” According to
the Secretary, Angelica violated § 1910.147(c)(4)(ii) because these procedures “fail[] to clearly identify all of the specific steps to be
followed by employees . . . to control hazardous energy.” The judge disagreed, concluding that the
record does not show that the complexity of the machines at issue—both CBWs,
seven dryers, the press, and three types of shuttles—require anything more
detailed than what is already included in the company’s procedures.
On
review, the Secretary argues that Angelica’s LOTO procedures for the cited machines
are deficient in two respects: (1) they do not clearly identify all of the
specific steps to be followed by employees to control hazardous energy,
including the operation and location of lockout controls, and thus fail to
guide the employees through the lockout process; and (2) they lack specific
procedures for verifying deenergization.[4]
In response, Angelica argues that the Secretary failed to put forth any
evidence that its procedures are not sufficient under
§ 1910.147(c)(4)(ii). We affirm the
violation but on narrower grounds than argued by the Secretary.
Specificity of Lockout Procedures
An
employer’s LOTO procedures must include, among other things, “[s]pecific procedural steps for shutting down, isolating,
blocking and securing machines or equipment to control hazardous energy,” and
“for the placement . . . of
lockout devices.” 29 C.F.R.
§ 1910.147(c)(4)(ii)(B), (C).
Angelica’s general safety manual states that “ ‘[a]ll energy control devices that are needed to control energy
to the machine or equipment will be physically located and operated in such a
manner as to isolate the machine or equipment from the energy source.’ ”
Although the manual provides some general information on how to operate
controls and locks, none of this information is machine-specific and the
location of controls on the machines at issue is not specifically
identified. The manual does require,
however, that a machine-specific “lockout-tagout survey” be conducted “to
locate and identify all energy sources to verify which switches or valves
supply energy to machinery and equipment.”
Angelica conducted surveys for all the machines at issue.
The
question, therefore, is whether these machine-specific surveys, when read in
tandem with the other documents that make up Angelica’s LOTO procedures, inform
the employee of the “[s]pecific procedural steps”
necessary to perform the lockout process for a cited machine. Drexel
Chem. Co., 17 BNA OSHC at
1913. The Secretary maintains that
Angelica’s procedures are not specific enough because they neither list “the
location of the energy sources” nor explain “the steps the employee is required
to take” to lock them out. We agree, but
only with respect to certain aspects of the LOTO procedures as they relate to
the CBWs and dryers.
As
to the CBWs, each machine’s cylindrical tunnel has an auger-like device that
turns during the laundering process, spinning water and linens through the
CBW’s eight washer modules. The tunnel
itself is turned by a chain and sprocket driven by an electric motor, and
“delivered steam” is controlled by compressed air-operated (pneumatic)
valves. To protect against a release of
thermal energy, Angelica’s procedures require employees to “lock out all valves . . . including steam [and]
water.” The LOTO surveys (one for each
CBW) include certain descriptive information about the CBWs’ valves—the valve
size for “steam and water” lockout and the pipe size for the pneumatic
lockout. The number of valves and their
location on the CBWs, however, are not specified in the surveys or in any other
document that is part of Angelica’s LOTO procedures. Indeed, although the “pneumatic energy” part
of each CBW survey has a line for “Location” (such a line is not included for
any other valve type), this line was left blank on both surveys.
Whether
the absence of this information renders the LOTO procedures deficient depends
on the complexity of the CBWs. GM, 22 BNA OSHC at 1026. We find that the record establishes such
complexity. Feeding the CBWs are a main
steam line, four steam sublines, and a hot water line. There are also numerous valves—a
manually-actuated main steam valve, a pneumatically-actuated main steam valve,
valves for each steam subline, a hot water valve, and valves for dispensing
chemical wash during the laundering process.
The environmental safety and health manager (“safety manager”) for the
Ballston Spa facility conceded that none of the valves on the CBWs were
labeled. In short, each machine—which is
large enough to allow a person, depending on stature, to stand upright inside
each of the eight modules—has numerous unlabeled valves incorporated into its
extensive piping system with varied energy sources. Given these circumstances, we find that
Angelica’s LOTO procedures for the CBWs are deficient based on the procedures’
failure to specify the number and locations of the valves that employees are
required to lock out. See id. at 1027 (noting inadequacy of
LOTO procedures for “the plant’s more complex equipment”).
As
to the dryers, each one is equipped with a rotating drum, which poses a
mechanical hazard if the electricity energizing the drum’s motor is not locked
out. The air surrounding the dryer drum
is heated by gas-fired flames. The
safety manager testified that both electrical energy and natural gas are
involved in creating a dryer’s thermal hazard; this means that both energy
sources must be locked out. The LOTO
survey for each dryer requires lockout or tagout of an electrical disconnect
switch and pneumatic and gas valves. For
the natural gas used to heat the dryers, the safety manager testified that the
gas valve is located on the back of each dryer and that it is locked out by
engaging a “keyway,” closing the valve, and then applying a chain. Each dryer LOTO survey identifies the size of
the gas valve but not its location on the dryer. Based on the relatively small size of the
dryers—the drum for each measures about four feet in
diameter—and the few valves located on these machines, we conclude that the
Secretary has not shown that employees would be unable to locate these valves
using the information provided in the procedures.
The
same cannot be said, however, for the LOTO procedures concerning operation of
the gas valve’s keyway. The surveys for
four of the cited dryers state that use of a 9-inch chain is required for
lockout, but these surveys (and all other LOTO documents) fail to specify which
energy sources’ lockout devices require use of a chain. In addition, the LOTO procedures do not explain
how to use the keyway and apply the chain.
Under these circumstances, including the apparent complexity of the
keyway used on the gas valves, we find that the procedures concerning operation
of these devices are insufficient under the cited standard.
Finally,
as to other controls on the CBWs and the dryers, as well as the various
controls on the press and the three types of shuttles, the procedures in
several instances do not specify the location of the valves and electrical
disconnect switches or the operation of the locking devices used to isolate the
machines’ various energy sources. We
find that in these instances, however, the record does not show that the
circumstances require inclusion of additional details in the procedures. The electrical disconnect switches on some of
the machines, for example, are conspicuous—large, red buttons—and labeled. Additionally, the evidence does not show that
employees would have difficulty locating the machines’ different valves (in
contrast to the valves on the CBWs) or need further instruction, beyond that
provided in the LOTO procedures, to operate the various locking devices (in
contrast to the keyway for the dryers’ gas valves).
Specificity
of Verification Procedures
An
employer’s LOTO procedures must also include “[s]pecific
requirements for testing a machine or equipment to determine and verify the
effectiveness of lockout devices, tagout devices, and other energy control
measures.” 29 C.F.R. §
1910.147(c)(4)(ii)(D). Before “starting
work on machines or equipment that have been locked or tagged out,” authorized
employees use these procedures to “verify that isolation and deenergization of the machine or equipment have been
accomplished.”[5]
29 C.F.R. § 1910.147(d)(6).
Angelica’s
general LOTO program directs employees to “attempt[]
to reenergize the machine or equipment with all potential energy sources to
verify that [it] is free from all potentially hazardous energy sources.” Similarly, in its general safety manual,
Angelica instructs that after locking or tagging out machinery or equipment,
employees must “verify that isolation or de-energization of the machine or
equipment has been accomplished . . . by
following the normal start up procedures (depress ‘Start’ button, etc.).” In addition to Angelica’s general
verification procedures, the company’s PRCS procedures specific to the CBW
apply prior to entry “to either clear a jam (rope) or conduct maintenance,” and
require that entrants “verify that the power to all related equipment has been
successfully locked out.”
While
the safety manager testified that specific instructions for a restart attempt
on the CBW are relayed through job training, § 1910.147(c)(4) requires
that LOTO procedures be “documented.”[6]
There are no documented instructions, however, specifying how such an
attempt should be made to verify electrical lockout for the CBW. Indeed, the general safety manual instruction
does not explain how to operate what the safety manager described as “the start
series control buttons at the [CBW] control panel” or identify the codes that,
according to the record, must be entered to verify that the machine will not
start back up. We find, therefore, that
Angelica’s LOTO procedures are lacking the necessary specificity to enable an
employee to verify that the CBW has been successfully locked out.[7]
For
the three types of shuttles at issue, both the general LOTO program and the
shuttle safety procedures direct employees to attempt a restart after turning
the power off and applying a “lock and/or tag.”
These procedures contain no specific information on what controls to
activate when attempting to reenergize the shuttles. The safety manager testified, however, that
located on the co-bucket shuttle is a “series of switches” that include a
large, red electrical disconnect switch and the control switch for energizing
the equipment. There is nothing in the
record to show that this “series” includes anything more than just these two
switches on each shuttle.[8]
Absent evidence that the electrical disconnect switch is inconspicuous
or unlabeled, the Secretary has failed to show that the purpose of the other
switch—to reenergize the shuttle—was not obvious to the employees attempting to
utilize the verification procedure.
Furthermore, in contrast to the CBWs, there is no evidence to show that
attempting to reenergize each shuttle requires more than merely flipping a
switch. The evidence also fails to show
if this same series of switches is on the other two shuttles. Given these gaps in the record, we find that
the Secretary has not established that the verification procedures are
deficient as to the shuttles’ electrical energy sources.[9]
With
respect to the remaining machines, each dryer’s LOTO survey requires lockout of
valves for “main air” and natural gas and of an electrical disconnect switch;
the press’ LOTO survey requires lockout of “main air” valves, use of mechanical
blocks to prevent a “bell” (a heavy component) from falling, and lockout of an
electrical disconnect switch. These
surveys, like those for the CBWs, do not address verification. The Secretary, however, has presented no
evidence to show that locating and engaging the start button on each machine,
to attempt a restart for verification purposes, requires more specific
instruction than that found in Angelica’s general LOTO program and its general
safety manual.
While
engaging the start button might be sufficient to verify that the electrical
energy is locked out, it is not sufficient to verify that other sources of
energy for the dryer and press are also locked out. With respect to each dryer, during normal
operations when the dryer is idle—in other words, when the electrical
components of the dryer are not energized—the natural gas valve is not closed and gas continues to feed the dryer’s pilot
light. During lockout, therefore,
pushing the start button for verification purposes would not verify that the
flow of gas to the dryers has been adequately blocked. Further, with respect to the press, the page
of the operating manual attached to the press’ LOTO survey specifically states
that the bell, which poses a crushing hazard, could descend even if the power
is off. Here, too, attempting to restart
the machine would not verify that the bell on the press has been properly
blocked. Accordingly, we find that the
procedures for verifying lockout of energy sources associated with each dryer’s
natural gas valve and the press’ bell are deficient.
Based
on these deficiencies in the specificity of Angelica’s LOTO procedures for
lockout and verification of lockout, we conclude that the company’s procedures
do not comply with § 1910.147(c)(4)(ii).
We therefore affirm Item 8.
III. Citation 1, Item 2b — PRCS Procedures
There
is no dispute that the CBWs’ washer modules are PRCSs that employees sometimes
enter. In recognition of this fact,
Angelica developed and implemented a written permit space program, as required
by 29 C.F.R. § 1910.146(c)(4). Such
programs must comply with the PRCS standard’s requirements, which as relevant
here, mandate that the employer develop and implement “the means, procedures,
and practices necessary for safe permit space entry operations,” including
those for “[v]erifying that conditions in the permit
space are acceptable for entry throughout the duration of an authorized entry,”
and for “[i]solating the
permit space.” 29 C.F.R.
§ 1910.146(c)(4), (d)(3)(iii), (d)(3)(vi).
The Secretary’s allegations in Instances (b) (Verification) and (c)
(Isolation) of Item 2b concern the sufficiency of Angelica’s procedures for the
CBWs.[10]
Instance
(b) (electrical energy verification)
The
Secretary alleges that Angelica violated § 1910.146(d)(3)(vi) because the
company’s PRCS procedures do not include step-by-step, written instructions on
how to verify that electrical energy sources to the CBW have been shut off. The judge vacated this instance, rejecting
the Secretary’s argument that the PRCS standard requires such detailed
procedures. On review, the Secretary asserts that
the cited PRCS provision requires instructions to be clear and specific and to
provide as much specificity as the procedures required by the LOTO standard.[11]
He argues that his reading of the cited provision “ ‘sensibly
conforms to the purpose and wording’ of § 1910.146(d)(3),” because “the
LOTO standard prescribes the minimum level of protection . . . against
the energization hazard” and the PRCS program, when implemented cannot
“effectively ‘isolate the space’ ” unless it provides
at least the same level of protection.
The Secretary claims, therefore, that the cited standard’s meaning is
plain, but, “[t]o the extent . . . the
complexity of the PRCS standard renders some terms and requirements ambiguous,”
his interpretation is reasonable and should be given deference.
We conclude that the PRCS standard is ambiguous with regard to the degree of specificity the required verification
instructions must include. Although the
standard has criteria that specify the type
of information that must be included in the “means, procedures, and practices
necessary for safe permit space entry operations”—“verifying
that conditions in the permit space are acceptable for entry,” among other
categories of information—it is ambiguous as to the degree of specificity
required. 29 C.F.R.
§ 1910.146(d)(3)(i)-(vi); see Martin
v. OSHRC (“CF&I”), 499 U.S.
144, 150-51 (1991) (“[i]n situations in which the meaning of
regulatory language is not free from doubt,” provision is considered ambiguous
(internal quotation marks and brackets omitted)); Micron Tech., Inc. v. United States, 117 F.3d 1386, 1394 (Fed. Cir.
1997) (finding the term “verification” to be “latently ambiguous” and applying
deference under Chevron, Inc. v. Natural
Res. Def. Council, Inc., 467 U.S. 837 (1984)). We must therefore consider the reasonableness
of the Secretary’s interpretation that the standard requires the PRCS
verification instructions to have the same degree of specificity required by
the LOTO standard.[12]
In the PRCS standard’s preamble, OSHA addresses the
standard’s requirement to isolate the permit space before entry, stating: “The
permit space must be isolated from serious hazards. For example, . . . [m]echanical equipment posing a hazard within the space must
be locked out or tagged in accordance
with § 1910.147, . . . .” Permit-Required Confined Spaces, 58 Fed. Reg.
4462, 4497 (Jan. 14, 1993) (final rule) (emphasis added). In addition, in discussing what information
must be included in a PRCS permit, OSHA explains that it is sufficient for such
permits to simply refer to the § 1910.146(d)(3) procedures, rather than to
include the procedures’ details in the permit itself, because OSHA contemplated
that “detailed procedures for making
the permit space safe for entry”—which some commenters referred to as “highly specific in nature”—“are required
to be established[] under paragraph (d)(3).”
Id. at 4508 (emphasis added;
internal citations omitted). In light of these statements, we find that the PRCS
standard’s history supports the Secretary’s position that the procedures
mandated by § 1910.146(d)(3), including those for verification, must
contain the type of step-by-step details that the Secretary asserts are
required here. See Am.
Sterilizer Co., 15 BNA OSHC 1476, 1478 (No. 86-1179, 1992) (standard’s
preamble can be “ ‘best and most authoritative
statement of the Secretary’s legislative intent’ ” (citation omitted)); see also Tops Markets Inc., 17 BNA OSHC 1935, 1936 (No. 94-2527) (relying on
LOTO preamble to interpret ambiguous provision), aff’d, 132 F.3d 1482 (D.C. Cir. 1997) (unpublished table
case).
Angelica emphasizes that the PRCS standard’s text
neither references nor incorporates the LOTO standard, and it instead “contains
its own express requirements for a written program”; it argues that, under the
Secretary’s position, these requirements would be “nullif[ied] and render[ed] . . . superfluous.” This argument is unavailing. The PRCS standard requires procedures to be
applied at different times and in different circumstances than the LOTO
standard. Specifically, the PRCS
standard generally requires that procedures be utilized before an employee
enters a confined space, irrespective of that entry’s purpose, whereas the LOTO
standard requires that procedures be utilized before a servicing or maintenance
activity begins, regardless of whether an employee must enter a confined space. Compare
29 C.F.R. § 1910.146(c)(5)(ii)(C), (c)(5)(ii)(H), (d)(2), (d)(5)(i), (e)(1), (f)(8) (detailing measures that must be
completed before entry into PRCS), with
29 C.F.R. § 1910.147(c)(1) (stating that purpose of energy control program
is “to ensure that before any employee performs any servicing or maintenance on
a machine or equipment where the unexpected energizing, start up or release of
stored energy could occur and cause injury, the machine or equipment shall be
isolated from the energy source, and rendered inoperative”).
Additionally, the PRCS procedures are intended to “protect[] against the release of energy and material into the [confined] space,” 29 C.F.R.
§ 1910.146(b) (definition of “[i]solation”),
(d)(3)(iii); they are also directed at other safety concerns unique to a
confined space, such as close proximity and restricted means of egress, 29
C.F.R. § 1910.146(b) (definition of “[c]onfined
space”). In contrast, LOTO procedures
are focused on protecting employees from injuries that could result from “the unexpected
energization or start up of the machines or
equipment, or release of stored energy,” 29 C.F.R. § 1910.147(a)(1)(i) (emphasis in original).
Given these differences, compliance with LOTO requirements is not
sufficient to comply with the PRCS standard—such LOTO procedures must be
incorporated into the written confined space program so that employees will
implement them as part of the confined space entry protocol and in the correct
sequence.
Accordingly, we conclude that the Secretary’s
interpretation of the PRCS standard’s requirement for verification procedures
is reasonable and, thus, entitled to deference.[13] See CF&I, 499 U.S. at
150-51. As we have already found,
Angelica’s LOTO procedures for verifying the lockout of the CBWs’ electrical
energy sources lack the specificity required under
§ 1910.147(c)(4)(ii). Thus, we find
that Angelica’s PRCS procedures, which incorporate its LOTO procedures, are
similarly deficient.[14]
Instance (c) (isolation of water,
steam, liquid chemicals, and compressed air)
The
Secretary alleges that Angelica violated § 1910.146(d)(3)(iii) by failing
to “[d]evelop and implement the means, procedures,
and practices” for “[i]solating
the [CBW as a] permit space” from water, steam, liquid chemicals, and
compressed air. According to the
Secretary, Angelica’s procedures are deficient because they require only that the CBWs’ valves be closed and
locked out and that this fails to constitute “isolation” from materials. The judge vacated this instance, rejecting
the Secretary’s argument that LOTO alone is insufficient here; the judge noted
that LOTO is explicitly included as a means of “isolation” in the PRCS
standard’s definition of the term.
On
review, the Secretary argues that LOTO may only be used as a means of isolation
from a release of energy, while other
means—such as blanking or blinding—must be used when (as here) it is necessary
to protect against a release of material. We conclude that the Secretary’s reading of
the PRCS standard is supported by its plain language.
Joel Yandell,
18 BNA OSHC 1623, 1626 (No. 94-3080, 1999) (noting that plainness or ambiguity
of statutory language is determined by reference to “ ‘the
language itself, the specific context in which that language is used, and the
broader context of the statute as a whole’ ” (cited case omitted)).
As the judge pointed out, “lockout or tagout” is indeed included in the
standard’s definition of “isolation”:
[T]he
process by which a permit space is removed from
service and completely protected against the release of energy and material
into the space by such means as: blanking or blinding; misaligning or removing
sections of lines, pipes, or ducts; a double block and bleed system; lockout or
tagout of all sources of energy; or blocking or disconnecting all mechanical linkages.
29
C.F.R. § 1910.146(b). According to
Angelica, this shows that LOTO, alone, may be used as an isolation procedure to
comply with § 1910.146(d)(3)(iii).
The definition, however, ties LOTO only to “all sources of energy,” while the space as a whole
must be “completely protected against the release of energy and material.” 29 C.F.R. § 1910.146(b) (emphasis
added). None of the other means of isolation
included as examples in the definition are modified by the phrase “sources of
energy”; it is, therefore, these other means—not “lockout or tagout”—that may
be used for protecting against “the release . . . of material.” 29 C.F.R. § 1910.146(b).[15]
The standard’s text thus plainly shows that LOTO is appropriate only for
isolating energy. Field
& Assocs., Inc., 19 BNA OSHC 1379, 1380 (No. 97-1585, 2001) (applying
principle expressio
unius est exclusio alterius to find
that Secretary did not intend to limit scope of cited fall protection standard
to employees engaged in roofing work where such limitation was not included in
standard).
Angelica
concedes that it does not use any method other than LOTO to isolate the valves
that feed chemicals, compressed air, hot water, and steam into the CBWs’ washer
modules—spaces Angelica has designated as PRCSs. Given that the plain language of the PRCS
standard lists “lockout or tagout” as a means for isolating only energy, we
conclude that Angelica’s procedures are deficient in that they provide no other
means for protecting “against the release of . . . material”
into the CBWs’ modules.[16]
We therefore affirm both Instances (b) and (c) of Item 2b.
IV. Characterization
The Secretary alleges
that the violations at issue under Items 2b and 8 should be characterized as
repeat. A violation is properly
characterized as repeat under section 17(a) of the Act, 29 U.S.C. § 666(a), “if, at the time of the alleged repeated
violation, there was a Commission final order against the same employer for a
substantially similar violation.” Potlatch
Corp., 7 BNA OSHC 1061, 1063 (No. 16183, 1979); Lake Erie Constr. Co., 21 BNA OSHC 1285, 1289 (No. 02-0520,
2005). The Secretary establishes “a
prima facie case of [substantial] similarity by showing that the prior and
present violations are for failure to comply with the same standard.” Potlatch Corp., 7 BNA OSHC at 1063. Here, the prior citations on which the Secretary bases his
repeat characterization became final orders of the Commission in 2005, just
over three years before the instant citation was issued.[17]
There
is no dispute that two of Angelica’s prior violations were cited under the same
standards as the violations presently at issue.[18] This
prima facie showing of substantial similarity may be rebutted “by evidence of
the disparate conditions and hazards associated with these violations of the
same standard.” Id. Although the “principle factor” in assessing
repeat liability “is whether the two violations resulted in substantially
similar hazards,” Lake Erie Constr. Co., 21 BNA OSHC at
1289 (emphasis added), this assessment may also take into consideration other
factors that bear on the similarity of the two violations.
The
Commission is the ultimate fact-finder, and as such, Chairman MacDougall and
Commissioner Sullivan find
that the violations at Angelica’s Ballston Spa facility were not “substantially
similar” to those at Angelica’s Edison facility.[19] In thoroughly examining the issue of whether
these are repeat violations on the record before us, we decline a mechanical application of the test
for establishing a repeat characterization.
See George Hyman Constr. Co., v.
OSHRC, 582 F.2d 834, 841 (4th Cir. 1978) (“deliberately avoid[ing] setting forth an all-inclusive and rigid definition of
‘repeatedly’ under the Act” and noting that “overall policy of providing
employers with incentive to comply with the safety requirements of the Act”).
Taking into account here the factors regarding
similarity, there is sufficient evidence of disparity to rebut the Secretary’s
prima facie showing. The prior
violations serving as the basis for the repeat characterization of the current
violations alleged deficiencies in Angelica’s PRCS and LOTO procedures that
were significant enough to render those procedures substantially
ineffective. Specifically, in the prior
PRCS citation, the Secretary identified the following “critical deficiencies”
in Angelica’s PRCS program regarding entry into the Edison CBWs’ confined
spaces:
1)
failure to test the atmosphere of the space(s)
for air contaminant and specify acceptable entry conditions,
2)
failure to isolate the space(s)
from thermal and mechanical energy sources,
3)
failure to control entry through use of written authorization permits,
4)
failure to provide training to all employee(s) who enter confined
spaces, or act as attendants, and
5) failure to
provide for means of rescue/retrieval in event of emergency.
Absent these key elements, the
company lacked the means necessary to address confined space hazards in the
CBWs and protect employees entering these spaces.[20]
In
response to the prior citation, Angelica actively
sought out and eliminated similar hazards, including developing a PRCS program specific
to its CBWs “to eliminate or control hazards in [its] permit-required confined
spaces.” See Permit-Required
Confined Spaces, 58 Fed. Reg. at 4486.
As the record establishes, the program included a comprehensive
procedure for employee entry into the washer modules. Not surprisingly, given Angelica’s compliance
efforts, the number of deficiencies in its PRCS program affirmed here—a failure
to include sufficiently specific procedures for verifying lockout of electrical
energy sources on the CBW and procedures that include LOTO but need to go
further to constitute “isolation”—have been meaningfully reduced.
Likewise,
the deficiencies previously
found and cited at Angelica’s Edison facility demonstrated a
comprehensive failure to comply with its LOTO responsibilities. The prior citation stated:
a) Production area.
Written procedures for lockout/tagout were not site specific. Procedures shall
include at a minimum:
Types of machines
requiring maintenance/service
Types of energy
sources for those machines
Location of those
energy sources
Means for isolating
specific energy sources
Employees are exposed
while performing maintenance/servicing including clearing jams on machinery
such as but not limited to tunnel washers.
Thus, the prior citation involved a
failure to have machine-specific and site-specific LOTO procedures.[21]
In the present case, however, there is no dispute Angelica has established
procedures specific to the machines in its Ballston Spa facility. The Secretary, in fact, concedes that by the
time of the inspection leading to the current citation, a separate LOTO survey
was completed for every machine at issue.
Again, rather than lacking comprehensive procedures, the LOTO violation
affirmed here establishes only two types of discrete deficiencies in the
company’s machine-specific procedures.
Both cited provisions are
performance-oriented, which means that employers have flexibility in meeting
their requirements. Permit-Required
Confined Spaces, 58 Fed. Reg. at 4486, 4496-97
(“The basic performance-oriented nature of OSHA’s permit space standard forces
employers to develop whatever procedures are necessary to eliminate or control
hazards in permit-required confined spaces”; noting that paragraph (d)(3)
includes performance-oriented requirements); Control
of Hazardous Energy Sources (Lockout/Tagout), 54 Fed. Reg. at 36,656
(“The standard is written in performance-oriented language, providing
considerable flexibility for employers to tailor their energy control programs
and procedures to their particular circumstances and working
conditions.”). In
these circumstances, the record does not show that Angelica’s prior violations,
which reflect what had been a nearly complete failure to comply, are
substantially similar
to the current
violations; rather, the evidence shows that the violations took place under
disparate conditions. Indeed, the
Secretary established only minimal deficiencies here, reflecting that after
those prior violations, Angelica took affirmative steps to achieve compliance
and avoid similar violations in the future.[22] Simply put, these facts do not “indicate
a failure to learn from experience.” Caterpillar, Inc. v. Herman,
154 F.3d 400, 403 (7th Cir. 1998) (explaining that “substantially similar”
distinguishes between circumstances that do, and do not, “indicate a failure to
learn from experience,” and noting that phrase “must be defined sufficiently
narrowly that the citation for the first violation placed the employer on
notice of the need to take steps to prevent the second violation”); see Wal-Mart Stores, Inc. v. Sec’y of Labor,
406 F.3d 731, 737 (D.C. Cir. 2005) (relying on Caterpillar’s explanation of “substantially similar” to address
repeat liability). In sum, materially
different circumstances are present that do not warrant a finding of repeat
violations by Angelica here, a finding that is plainly consistent with
Commission precedent.[23]
While providing a treatise-worthy review of
the Commission’s precedent dealing with repeat violations, including Potlatch and its progeny, it is much ado
about nothing since this decision is not overruling Potlatch sub silentio or
creating new precedent, and our dissenting colleague’s disagreement with this
ruling—based on differing factual findings on whether there is substantial
similarity between violations—does nothing to undermine the result of
Commission fact-finding.[24] See Accu-Namics, Inc. v. OSHRC, 515 F.2d 828, 834 (5th
Cir. 1975) (Commission is
ultimate
fact-finder),
cert. denied, 425 U.S. 903
(1976); see also Potlatch Corp., 7 BNA OSHC at 1063 (“prima facie
showing of similarity would be rebutted by evidence of the disparate conditions
and hazards associated with . . . violations of the same
standard”); id. at 1067 (Barnako, Commissioner, concurring and dissenting in part)
(agreeing that for violation to be repeated, it must be substantially similar
to prior violation but noting that “[i]f the facts surrounding the subsequent
violation are so different from those giving rise to the abatement order that
it cannot be said that the employer had actual notice its safety precautions
with respect to the subsequent violations were inadequate[,] then a repeated
violation should not be found” (emphasis added)). Given the stark differences between the
current and prior violations, the Secretary’s repeat characterization of Items
2b and 8 is rejected and the violations under these items are affirmed as
serious.
In
assessing a penalty, the Act requires the Commission to give “due consideration
to the appropriateness of the penalty with respect to the size of the business
of the employer being charged, the gravity of the violation, the good faith of
the employer, and the history of previous violations.” 29 U.S.C. § 666(j). Here, given their alleged repeat
characterization, the Secretary proposes a penalty of $12,500 for Item 2b and
$10,000 for Item 8.
The
violations, however, are not affirmed as repeated, though the record does
support affirming them as serious.
Moreover, in light of the overlapping factual
circumstances of these violations, particularly as to the specificity required
for Angelica’s LOTO and PRCS procedures, it is appropriate to group them for penalty
purposes and assess a single penalty. L. E. Myers Co., 16 BNA OSHC 1037, 1048
(No. 90-945, 1993) (“The Commission has wide discretion in the assessment of
penalties for distinct but overlapping violations and we have held that it is
appropriate to assess a single penalty for such related violations.”). Therefore, having considered
the pertinent
penalty factors, including the high-gravity nature of LOTO and PRCS violations,
Items 2b and 8 are grouped for penalty purposes, and a single penalty of $7,000
is assessed.
SO
ORDERED.
/s/ Heather L. MacDougall
Chairman
/s/
James J. Sullivan, Jr.
Dated: June
24, 2018 Commissioner
ATTWOOD, Commissioner, concurring
and dissenting in part:
I
concur with my colleagues’ reasoning and conclusions in Parts II and III of
their opinion. However, I conclude that, under the Commission’s well-established
legal test for assessing whether a violation should be characterized as
repeated, the Secretary has established that the affirmed violations are, in fact,
repeat violations. Therefore, I dissent
from Parts IV and V.
At the outset, I strongly disagree with my
colleagues’ attempt to frame this issue as a purely factual question so that
they can avoid binding Supreme Court precedent.
My disagreement in this case has nothing to do with my colleagues’
factual findings but instead concerns the types
of facts they rely upon to conclude that the employer did not “repeatedly violate[],” under section 17(a) of the Act,
the cited provisions in this case. 29
U.S.C. § 666(a) (emphasis added).
Thus,
in determining that the violations are not repeated, my colleagues commit two
significant legal errors. First, they
silently reject the Commission’s long-settled and straightforward test set
forth in our seminal case for determining whether a violation is properly
characterized as repeated—Potlatch
Corp., 7
BNA OSHC 1061, 1062 (No. 16183, 1979)—and
put forth a new test that relies on the types of facts the Commission and the circuit
courts have long held are only relevant to a willful characterization. Second,
in rewriting the repeat characterization test, they defy Chevron
principles by failing to accord any deference to the Secretary’s
interpretation of the statutory term “repeatedly”—an interpretation that, of
course, must be reasonable given that until today it was in perfect accord with
the Commission’s own longstanding precedent, as well as that of every
court of appeals to consider the issue. Chevron, U.S.A., Inc. v. Nat.
Res. Def. Council, Inc., 467 U.S. 837, 842-45 (1984); see also Martin v.
OSHRC (CF&I), 499 U.S. 144, 154-57 (1991).
A.
Commission Precedent and the
Distinction Between Willful and Repeat
Prior to 1979, no two
Commissioners were able to agree on the meaning of “repeatedly,” as used in section
17(a) of the Act, so the Commission did not enunciate a binding interpretation of
that term.[25] See
Potlatch, 7 BNA OSHC at 1062 (“Although several plausible
suggestions [as to what constitutes a repeated violation] have been made by
individual Commissioners and the courts, no consistent and authoritative answer
has emerged.”); George Hyman Constr. Co., v. OSHRC, 582 F.2d 834, 838 (4th Cir. 1978)
(“There appears to be little agreement regarding the efficacy and acceptability
of any one of the approaches.”). That
changed with the Potlatch decision—the
Commission (with Commissioner Barnako concurring and
dissenting in part) set forth the test to be used in determining whether a
violation is repeated. Potlatch has since been cited with
approval by several circuit courts and consistently affirmed and applied by the
Commission. See, e.g., Reich v. D.M. Sabia Co., 90
F.3d 854, 860 (3rd Cir. 1996) (adopting Potlatch
test);
Bunge Corp. v. Sec’y of Labor, 638
F.2d 831, 837-38 (5th Cir. 1981) (favorably citing Potlatch, but disagreeing on allocation of burden of proof); J.L. Foti Constr.
Co. v. OSHRC, 687 F.2d 853, 857 (6th Cir. 1982) (Potlatch, both generally and in application to facts of case,
represents reasonable interpretation of section 17(a)); Dun-Par Engineered Form Co. v. Marshall, 676 F.2d 1333, 1337 (10th
Cir. 1982) (Potlatch in accord with
literal wording and structure of Act); D &
S Grading Co. v. Sec’y of Labor, 899 F.2d 1145, 1147 (11th Cir. 1990)
(citing “[t]his Court[’s]” holding in
Bunge); Manganas Painting Co., 273 F.3d 1131, 1135 (D.C.
Cir. 2001); FMC Corp., 7 BNA OSHC
1419, 1421-22 (No. 12311, 1979); Automatic
Sprinkler Corp. of Am., 8 BNA OSHC 1384, 1389 (No. 76-5089, 1980); Edward Joy Co., 15 BNA OSHC 2091, 2092
(No. 91-1710, 1993); Jersey Steel Erectors,
16 BNA OSHC 1162, 1167-68 (No. 90-1307, 1993), aff’d, 19 F.3d 643 (3d Cir. 1994) (Table); Monitor Constr. Co., 16 BNA OSHC 1589, 1594 (No. 91-1807, 1994); Midwest Masonry, Inc., 19 BNA OSHC 1540,
1542-44 (No. 00-0322, 2001); Deep South
Crane & Rigging Co., 23 BNA OSHC 2099, 2105 (No. 09-0240, 2012), aff’d, 535 Fed. App’x
386 (5th Cir. 2013). The Potlatch
test is also in complete accord with the Secretary’s interpretation of
section 17(a) of the Act. See, e.g., D.M. Sabia
Co., 90 F.3d at 860 n.12 (“[S]ince Bethlehem, the
Commission has acceded to the Secretary’s interpretation of the term
‘repeatedly’ as used in section 666(a).
Since Potlatch, the Commission and the Secretary have
been in full accord as to the definition of the term ‘repeatedly.’ ”).
The overarching principle
of the Potlatch test is that “[a] violation is repeated
under section 17(a) of the Act if, at the time of the alleged repeated
violation, there was a Commission final order against the same employer for a
substantially similar violation.” Potlatch, 7 BNA OSHC at 1063. Furthermore, “[i]n
cases arising under section 5(a)(2) of the Act, . . . the
Secretary may establish a prima facie case of similarity by showing that the
prior and present violations are for failure to comply with the same standard.” Id. And, in cases such as this,
where the
Secretary shows that the prior and present violations are for an employer’s
failure to comply with the same specific standard, it may be difficult for an
employer to rebut the Secretary’s prima facie showing of similarity. This is true simply because in many instances
the two violations must be substantially
similar in nature in order to be violations of the
same standard.
Id. (emphasis added).
Although my colleagues
pay lip service to the Potlatch test,
they reformulate it and rely on two additional elements, i.e., types of facts,
that are only relevant to a willful characterization. First, by explicitly requiring that the
Secretary prove that “Angelica knew its safety precautions and corrective
actions were inadequate” (see
majority opinion at fn. 21), my colleagues insert an actual knowledge element
into the inquiry—an element that has previously been limited to a willfulness
characterization determination. See, e.g., Jim Boyd Constr., Inc., 26 BNA OSHC 1109, 1111 (No. 11-2559, 2016).
In doing so, they rely on a pre-Potlatch decision, George Hyman, 582 F.2d 834,[26] and Commissioner Barnako’s dissenting opinion in Potlatch, in which—citing George
Hyman—he argues that unless “the employer had actual notice its safety precautions with respect to the subsequent
violation were inadequate, then a repeated violation should not be found.” Potlatch, 7 BNA OSHC at 1067 (emphasis
added). But Commissioner Barnako’s dissent relies on a misreading of George Hyman[27]—that case holds nothing
of the sort:
Intrinsic within the statutory scheme of enforcement is the overall policy of providing employers with incentive to comply with the safety requirements of the Act. The system of penalties contained in [section] 17 allows for increased fines when the need arises to provide an employer with added incentive. To effectuate this policy, before a repeated violation may be found it is essential that the employer receive actual notice of the prior violation. For unless the employer has previously been made aware that his safety precautions are inadequate, there is no basis for concluding that a subsequent violation indicates the employer requires a greater than normal incentive to comply with the Act. Similarly, a reasonable time should elapse from the receipt of the notice of the original citation in order that employers be enabled to take corrective action. The two criteria preclude a purely inadvertent recurrence of a violation from being the basis for a repeated violation citation and require a reasonable opportunity be provided to the employer to correct safety and health hazards.
582 F.2d at 841 (emphasis added). In a footnote, citing section 10 of the Act, the court added that “[i]n most cases the final order procedure for the initial violation is presumptively sufficient notice to the company’s management that an initial violation has occurred.” Id. at 841 n.13. Thus, it is apparent that, when the court refers to the employer previously being “made aware that his safety precautions are inadequate,” it is referring to the “final order procedure for the initial violation” and not to the subsequent violation of the same standard. Id. at 841 & n.13. Moreover, the majority opinion in Potlatch clearly rejects Commissioner Barnako’s (and by extension my colleagues’) reading of George Hyman:
The Secretary, in order to prove any violation to be repeated, must demonstrate that the earlier citation upon which he relies became a final order of the Commission prior to the date of the alleged repeated violation. As the Fourth Circuit pointed out in its Hyman decision[,] “Before a repeated violation may be found it is essential that the employer receive actual notice of the prior violation.”
Potlatch, 7 BNA OSHC at 1064 (emphasis added). Likewise, in Dun-Par Engineered Form Co., the Tenth Circuit explained:
Once an employer has been cited for an infraction under a standard, this tends to apprise the employer of the requirements of the standard and to alert him that special attention may be required to prevent future violations of that standard. Defining a repeated violation as the second violation of a particular standard is therefore in line with the general enforcement scheme of the Act which imposes a burden on employers to discover and correct potential hazards prior to an OSHA inspection, and an even greater obligation to do so once alerted by a citation and final order. Under this scheme, “the greater penalties for ‘repeat’ violations should come into play whenever an employer fails adequately to respond to a citation.”
676 F.2d at 1337 (citations omitted) (emphasis added).
Numerous courts of appeals have also explicitly rejected interpretations of section 17 of the Act that sought to require a showing of actual knowledge to establish repeat characterization. The Third Circuit, in the first appellate decision to interpret the meaning of “repeatedly,” equated this term with “willfully” and required the Secretary to prove that the employer “repeatedly violated [the general or specific duty clauses of the Act] in such a way as to demonstrate a flaunting [sic] disregard of the requirements of the Act.” Bethlehem Steel Corp. v OSHRC, 540 F.2d 157, 162 (3d Cir. 1976). However, every court of appeals to subsequently rule on the issue rejected the “flaunting” standard of Bethlehem Steel. Thus, in George Hyman, the Fourth Circuit stated: “We believe the most reasonable inference to be drawn from the . . . addition of ‘repeatedly’ is that Congress intended to provide for enhanced penalties when an employer committed recurrent violations that did not necessarily rise to the level of willfulness.” 582 F.2d at 840-41. The Fifth, Sixth, Ninth, Tenth, and Eleventh Circuits similarly have declined to require a “flaunting disregard” to establish a repeated violation. Bunge Corp., 638 F.2d at 837-38; J.L. Foti Constr. Co., 687 F.2d at 856; Todd Shipyards Corp. v. Sec’y of Labor, 586 F.2d 683, 686 (9th Cir. 1978); Kent Nowlin Constr. Co. v. OSHRC, 648 F.2d 1278, 1282 (10th Cir. 1981); D & S Grading Co., 899 F.2d at 1147-48. And in 1990, after the Act was amended to mandate a minimum penalty amount for willful, but not repeated, violations, the Third Circuit concluded that “the formula prescribed in Bethlehem for determining when a repeated violation occurs is no longer operative. A repeated violation requires no more than a second violation and does not require proof of ‘flaunting.’ ” D.M. Sabia Co., 90 F.3d at 860.
Here, it is undisputed that Angelica had actual notice of the prior violations, which were affirmed in settlement agreements. Thus, the only actual notice or knowledge requirement applicable to a repeat characterization determination has been met.
Second, my colleagues argue that “the record does not show that Angelica’s prior violations, which reflect what had been a nearly complete failure to comply, are substantially similar to the current violations,” which reflect “affirmative steps to achieve compliance and avoid similar violations in the future.” This assertion, however, seeks to insert an element of good faith or state of mind into the determination of whether a violation is repeated and thus also blurs the statutory distinction between a willful and repeated violation. See 29 U.S.C. § 666(a) (differentiating between willful and repeated violations for purposes of minimum penalty that may be assessed); Corley v. United States, 556 U.S. 303, 314 (2009) (stating that “ ‘a statute should be construed so that effect is given to all its provisions, so that no part will be inoperative or superfluous, void or insignificant’ ” (quoting Hibbs v. Winn, 542 U.S. 88, 101 (2004))). Moreover, this argument has been squarely rejected by the Commission. In Potlatch, Commissioner Barnako advanced the very same position as my colleagues in his concurring and dissenting opinion:
I would . . . permit an employer, by way of defense, to show that it took good faith steps after the entry of a final order to prevent the occurrence of substantially similar violations . . . .
. . . I believe a defense should be available where the employer can show that it took reasonable, good faith steps after receiving the initial citation to eliminate substantially similar violations from its work-places. Upon such a showing, the employer would be entitled to a reduction in the characterization of the repeated violation.
. . . .
The majority concludes that the steps taken by an employer to prevent repeated violations should be considered only in assessing the penalty. While I agree that such steps are relevant to any penalty assessment, I would not stop here but would consider them in determining whether the employer was properly charged with a repeated allegation instead of a lesser violation.
Potlatch, 7 BNA OSHC at 1065, 1068. In response, the Potlatch majority made clear that in the context of repeat violations, an employer’s good faith efforts or state of mind are only relevant in assessing an appropriate penalty:
Section 17(j) of the Act specifically provides that “the good faith of the employer” is to be given due consideration in determining an appropriate penalty. Accordingly, evidence as to aggravated conduct, disregard of the Act, or flouting is relevant only to the assessment of an appropriate penalty.
. . . .
. . . As with evidence of respondent’s attitude, however, we believe that evidence regarding commonality of supervision and an employer’s internal distribution of safety responsibility may be indicative of its good faith. Thus, such evidence would be cognizable in assessing an appropriate penalty.
. . . .
. . . [T]he geographic proximity of past and present violations is indicative of the employer’s good faith, and will be considered by the Commission in the assessment of a penalty.
. . . .
[T]he length of time between the two violations is relevant only to the “good faith” criterion for penalty assessment.
Id. at 1064 (emphasis added). Subsequent Commission decisions have reaffirmed that holding. Thus, in FMC Corp., decided shortly after Potlatch, the Commission’s two-member majority again rejected Commissioner Barnako’s assertion that good faith should be considered in determining if a violation is repeated:
FMC asserts that it made good faith efforts to comply with the cited standard but that numerous factors made strict compliance difficult if not impossible and, therefore, its noncompliance does not represent a ‘flaunting’ of the housekeeping requirement. In Potlatch Corp . . . we rejected the contention that an employer’s attitude is relevant to whether a violation is repeated . . . . Following Potlatch, we reject FMC’s contention and conclude that FMC’s violation of 29 C.F.R. § 1916.51(a) is ‘repeated’ as alleged in the citation. FMC’s asserted good faith efforts to comply with the standard are entitled to consideration in assessing an appropriate penalty.
7 BNA OSHC at 1419 (citations and footnotes omitted).[28]
More recently, in Jersey Steel Erectors, 16 BNA OSHC at 1168, the Commission unanimously concluded that “Jersey’s inadequate attempts to comply with the standard might be relevant to a finding of willfulness, if it were in issue, and may have a bearing on the ‘good faith’ component of the penalty assessment. However, once the violation is established, evidence of an employer’s inadequate efforts to comply are not relevant to whether the violation was repeated.” See Midwest Masonry, Inc., 19 BNA OSHC at 1544 (citing Jersey Steel, and concluding, “[o]nce the underlying violation is established, the employer’s alleged good faith belief does not negate the classification of a violation as repeated”).
The only facts that the Secretary, the Commission, and the courts have ever held to be relevant to the repeat characterization analysis have related to whether an employer previously violated a particular standard, whether the employer knew (generally through the issuance of a final order) that it had committed that previous violation, and whether the employer then committed another substantially similar violation—most often a violation of the same standard. The fact that Angelica had previously committed many other violations in addition to those cited here does not alter the fact that, in this case, Angelica “repeatedly” violated two of the very same standards. That Angelica largely cleaned up its act following the first set of violations cannot negate the fact that its subsequent violations of two of the same provisions require characterizing those violations as repeated.[29] My colleagues’ attempt to shoehorn a good faith defense into the test for assessing a repeat characterization—under the rubric “affirmative steps to achieve compliance and avoid similar violations in the future”—is, thus, contrary to well-established Commission precedent and nothing more than an attempt to resurrect Commissioner Barnako’s dissenting view in Potlatch.
B. Chevron Deference
The
Commission’s decision in Potlatch predates
two significant changes in the legal landscape.
In Chevron, 467 U.S. at 842-45,
the Supreme Court established that a federal court must defer to a reasonable
construction of a statute by the administrative agency charged with
administering it. And, in CF&I, 499 U.S. at 154-57, a unanimous Supreme Court explicitly
held that, under the OSH Act, the Secretary of Labor, not the Commission, is
the administrative actor to whom such deference is owed. Today, however, in their abrupt departure from
long-settled Commission precedent, my colleagues fail to give any consideration, let alone deference,
to the Secretary’s reasonable interpretation of the ambiguous term “repeatedly”
as used in section 17(a) of the Act. See D.M. Sabia Co.,
90 F.3d at 860 (acknowledging that “[b]y employing a plenary standard of review
and failing to defer to the Secretary’s interpretation of section 666(a),” Third
Circuit’s previous decision in Bethlehem
“offended the [CF&I] standard”).
This failure is all
the more troublesome given that the Secretary and the Commission have
long been in agreement on the test for repeat characterization. See,
e.g., Caterpillar, Inc. v. Herman, 154 F.3d 400, 403 (7th Cir. 1998) (OSHA’s
“Field Operations Manual takes a position similar to that of Potlatch”); D.M. Sabia Co., 90 F.3d at 860 n.12.
As
recently as December of last year, the Court of Appeals for the Second Circuit,
a circuit to which either party could appeal this decision, 29 U.S.C. § 660(a),
reminded the Commission that principles of deference apply to the Secretary of
Labor’s interpretation of ambiguous provisions of the OSH Act and the Mine
Safety and Health Act. The court explained
that where “the Secretary’s interpretation of the Mine and OSH Acts [is]
embodied in a series of citations for safety violations, it is entitled to the deference
described in Chevron.” Sec’y
of Labor v. Cranesville Aggregate Cos., 878 F.3d
25, 33 (2d Cir. 2017). The court then
applied the “Chevron two-step
framework,” and found the statutory provision at issue to be ambiguous, and therefore
gave the Secretary’s reasonable interpretation of the provision “substantial
deference.” Id. at 33-36. Significantly,
the court found that “[i]n contravention of Chevron, the [judge] does not appear to
have given the Secretary’s interpretation of the Mine Act any deference at all,
instead imposing his own view of what was reasonable. Because the Commission did not afford proper
deference to the Secretary’s reasonable determination, the Commission’s ruling
was not in accordance with the law.”[30] Id. at
36.
Here, my colleagues commit the very same error. It is irrefutable that the term “repeatedly” in section 17(a) of the Act is ambiguous. That is, of course, what the years of litigation were all about. Thus, the Chevron analysis necessarily moves on to the second step: is the Secretary’s interpretation of “repeatedly” reasonable? Since the Secretary’s interpretation is embodied in a citation, identical to the test enunciated in Potlatch (which has been endorsed by every circuit court of appeals to rule on the issue), and based on decades of enforcement history applying that test, there can be no doubt the Secretary’s interpretation is reasonable.[31] Moreover, the Secretary’s argument on review hinges entirely on the Potlatch decision and its progeny. Yet, as discussed above, my colleagues take it upon themselves, without explanation or even acknowledgement that they are doing so, to reformulate the repeat characterization test by allowing evidence of Angelica’s good faith attempts to comply with the lockout/tagout (LOTO) and permit required confined space (PRCS) standards to negate the proven repeat characterization of the affirmed violations, and by requiring that the employer have actual knowledge of the current violations. Such departure “from established precedent without announcing a principled reason for such a reversal” is arbitrary and an abuse of discretion. Donovan v. Adams Steel Erection, Inc., 766 F.2d 804, 807 (3rd Cir. 1985). And even if a “principled reason” had been provided, my colleagues’ decision in this case—given their treatment of Potlatch and its progeny—does not “afford proper deference to the Secretary’s reasonable determination” and, therefore, is “not in accordance with the law.” Cranesville Aggregate Cos., 878 F.3d at 36.
C. The Violations are Properly Characterized as Repeat
As noted above, a violation is properly characterized
as repeated under section 17(a) of the Act if, when it is committed, there is a
Commission final order against the employer for a substantially similar
violation. Potlatch, 7 BNA OSHC at
1063. As to the similarity of the citations, “[t]he Secretary may establish a
prima facie case of substantial similarity by showing that a citation against
the employer for violating the same standard has become a final order, and the
burden then shifts to the employer to rebut that showing.” Lake
Erie Constr. Co., 21 BNA OSHC 1285, 1289 (No. 02-0520, 2005). “ ‘[T]he
principle factor in determining whether a violation is repeated is whether the
two violations resulted in substantially similar hazards.’ ” Id. (citation
omitted); see Potlatch, 7 BNA OSHC at
1063 (explaining that it may be difficult for employer to rebut evidence of
repeated violation where Secretary shows prior and present violations are for “same
specific standard”). Here, the citation
was issued to Angelica on September 30, 2008.
Just over three years earlier, citations issued to Angelica in 2004 for
violations discovered at its Edison, New Jersey facility became final orders.
Angelica claims that the instant violations are not
substantially similar to those affirmed in the
previous citations. The Secretary
responds that the violations alleged in the citation items currently on review
and the prior violations arise from the same underlying standards and resulted
in substantially similar hazards.
Applying the test for substantial similarity as reasonably interpreted
by both the Secretary and the Commission in numerous previous cases, I find
that the current violations are substantially similar to
the previous violations and therefore are properly characterized as repeated.[32]
There is no dispute that both of the standards at issue here—29 C.F.R. § 1910.146(d)(3)
and 29 C.F.R. § 1910.147(c)(4)(ii)—were also at issue in the 2004
citations.[33]
The Secretary, therefore, has
established a prima facie case of substantial similarity with respect to the
prior violations for both Items 2b and 8.
Lake Erie Constr. Co., 21 BNA
OSHC at 1289. Indeed, my colleagues
concede that requirement has been met. I also find that Angelica
has failed to rebut the Secretary’s prima facie case. As to Instance (c) of Item 2b, Angelica argues only that
unlike Instance (b), the prior violation “did not concern an alleged deficiency
with the verification of power shut down procedures.” Although the relevant allegations underlying the 2004 violation did
not specifically address electrical energy or mention verification, the prior violation
did involve the same type of equipment at issue here under Item 2b (the CBWs) and both violations addressed
essentially the same hazards—i.e., those hazards that could exist within the
confined spaces of the CBWs.[34] See,
e.g., Suttles Truck Leasing, Inc., 20 BNA OSHC
1953, 1967 (No. 97-0545, 2004) (identifying hazards as
substantially similar where prior violation pertained to confined spaces not being tested for
oxygen, flammable gases, and toxic air contaminants, and instant violations
pertained to hazards in washed tanks not being evaluated and failing to test
for toxic atmospheres before employees entered tanks); Active Oil Serv., Inc.,
21 BNA OSHC 1184, 1189 (No. 00-0553, 2005) (in general duty clause case,
identifying hazards as substantially similar where prior violation involved
employees entering “underground fuel tank to clean it, exposing them to the
hazards of inhaling a toxic substance, asphyxiation, and fire or explosion,”
and instant violation involved employees entering PRCS “without those spaces
having been evaluated and deemed safe for entry,” exposing employees to “the
hazard of asphyxiation from lack of oxygen or chemical hazards”).
As to Item 8, Angelica
argues that the current violation
is not substantially similar to the prior violation
because the procedures in
question related to its Edison facility, which
were different than the
procedures at its Ballston Spa facility, so the proven deficiencies
in the two sets of procedures were also likely different. However, “the fact that the violations
occurred at different worksites is not relevant to a determination of a
repeated characterization.” Potlach, 7 BNA OSHC at 1064. Moreover, as with some of the procedures and
deficiencies identified with respect to Item 8, the 2004 citation item
specifically states
that the servicing activities at issue included “clearing jams on machinery
such as but not limited to [CBWs],” and that to be compliant, the procedures
must include, among other things, “[l]ocation of
[the] energy sources” and “[m]eans for isolating
specific energy sources.”[35] Thus, particularly with respect to Angelica’s
failure to provide specific LOTO procedures for the CBWs at both the Edison and
Ballston Spa facilities, the hazards associated with those deficiencies—the
unexpected energization of a CBW (or other equipment) while attempting to unjam
it—are “substantially similar,” if not exactly the same. See,
e.g., Amerisig Se., Inc., 17 BNA OSHC 1659, 1661 (No.
93-1429, 1996) (prior and instant violations under guarding standard “presented
substantially the same hazard of an employee’s hand being caught in unguarded
rotating machinery”). And
not only are these violations substantially similar to
the 2008 citations at the Edison facility, according to my colleagues they are violations
of a “high-gravity nature.” Thus, the
seriousness of the violations still present at an Angelica workplace belies the
majority’s wishful conclusions that “the Secretary established only minimal
deficiencies here” and that “these facts do not ‘indicate a failure to learn
from experience.’ ” (Citation omitted.)
Accordingly, I find that
the violations affirmed under Item 2b (Instances (b) and (c)) and Item 8 are
properly characterized as repeated. However,
as the Commission in Potlatch and its
progeny has indicated, it would be appropriate to take Angelica’s assertions of
good faith into account by
determining an appropriate penalty reduction.
/s/
Cynthia L. Attwood
Dated:
June 24, 2018 Commissioner
|
United States of America
OCCUPATIONAL SAFETY AND HEALTH
REVIEW COMMISSION
U.S. Customs House, 721 19th Street, Room 407
Denver, Colorado 80202
Secretary
of Labor, |
|
Complainant, |
|
v. |
OSHRC Docket No. 08-1774 |
ANGELICA TEXTILE SERVICES,
INC., |
|
Respondent. |
|
APPEARANCES:
Suzanne Demitrio,
Esquire, New York, New York
Heather Filemyr,
Esquire, New York, New York
For
the Secretary
Mark Lies
II, Esquire, Chicago, Illinois
Elizabeth Leifel Ash, Esquire, Chicago, Illinois
For
the Respondent
BEFORE: John H.
Schumacher
Administrative Law Judge
DECISION AND ORDER
This proceeding is before the
Occupational Safety and Health Review Commission (“the Commission”) pursuant to
section 10(c) of the Occupational Safety and Health Act of 1970, 29 U.S.C. §
659(c) (“the Act”). On June 5, 2008, the
Occupational Safety and Health Administration (“OSHA”) began an inspection of a
facility of Angelica Textile Services, Inc. (“Respondent” or “Angelica”),
located in Ballston Spa, New York. OSHA
cited Angelica for ten serious and four repeat violations and proposed a total
penalty of $58, 525.[36] Angelica filed a timely notice of contest,
bringing this matter before the Commission.[37]
Background
The inspection was initiated on June
5, 2008, based on this facility appearing on a list of high-hazard industries.[38] (Rawson Dep. 33). Angelica has several facilities in addition
to its Ballston Spa location. CO Rawson
met with the following Angelica personnel on the first day of the
inspection: Craig Andrews, Operations
Manager; Ken Barnes, Maintenance Manager; and (via telephone) Tony Long,
Corporate Safety Director. She later met
with Kevin McDonough, who became the environmental safety and health manager
for the facility on June 10, 2008.
(McDonough Dep. 37).
Jurisdiction
In its Answer, Respondent admits it
was engaged in a business affecting commerce and was an employer within the
meaning of sections 3(3) and 3(5) of the Act.
The court concludes the Commission has jurisdiction over the parties and
subject matter in this case.
Rule 61
By
request and upon agreement of the parties, and with the approval of the
undersigned, this case has been decided on the stipulated record pursuant to
Commission Rule 61, 29 C.F.R. 2200.61 (“Rule 61”). The parties do not dispute the applicability
of the cited standards. They do dispute
whether Angelica violated the standards.
On September 23, 2011, the parties
filed briefs for the disposition of this matter under Rule 61. Joint Exhibit 3 set out the contents of the
stipulated record, as follows: (1) the depositions of Anthony Long,
Margaret Rawson, Kevin McDonough, David Malter, and
Edward Jerome; (2) Settlement Agreements for Docket Numbers 04-1318 and
04-1319; and (3) the revised expert report of David Malter,
dated January 18, 2010. (See Joint Exh.1-4). On February 24, 2012, in accordance with Rule
61, the parties submitted a joint stipulation of the facts in this matter. Each party has submitted an initial brief and
a reply brief.
I have reviewed the stipulated
record and the parties’ arguments in this matter. Any argument not specifically addressed in
this decision has been duly considered, found to be unpersuasive, and rejected.
Hearsay
Angelica
argues that the Secretary’s case relies on inadmissible hearsay evidence. The CO’s deposition testimony recounts
information she gained from employee interviews and other third parties. Respondent asserts that this information
should be disregarded as it is inadmissible hearsay. (R. Reply Br. 7).
The Commission has consistently held
that statements by employees are not hearsay, under Rule 801(d)(2)(D) of the
Federal Rules of Evidence (“FRE”). E.g., Regina Constr. Co., 15 BNA OSHC
1044, 1047-48 (No. 87-1309, 1991) (citations omitted) (explaining that both
foreman and employee statements are admissions of a party-opponent and not
hearsay). The current version of FRE
801(d)(2)(D) states:
(d) Statements That Are Not
Hearsay. A statement that meets the
following conditions is not hearsay:
. . . .
(2) An Opposing Party’s Statement. The
statement is offered against an opposing party and: . . . (D) was made by the
party’s agent or employee on a matter within the scope of that relationship and
while it existed.
In Regina, the Commission noted that admissibility must not be equated
with reliability. It also noted that
employee admissions are not “inherently reliable” and that the judge must thus
consider several factors when assessing the credibility of such statements.[39] Id.
at 1048. As the Commission explained, a
judge has no opportunity to assess the credibility of an employee’s
out-of-court statement.[40] Id.
at 1049.
This is especially relevant here, where the undersigned judge did
not have the opportunity to assess the credibility of either the employee or
the CO reporting the conversation. I
conclude that all of the employee statements referred
to by CO Rawson meet the exception provided for by FRE 801(d)(2)(D).
However, Respondent is correct that
statements by non-employees to CO Rawson are hearsay and, as such,
inadmissible. Any such evidence that was
properly objected to as hearsay in this case will be found inadmissible and
will not be considered.
Estoppel
Angelica
raises an estoppel defense based on its contention that OSHA accepted its
confined space and lockout-tagout (“LOTO”) programs as a part of a prior
settlement agreement from 2005.[41] (R. Br. 7).
This argument fails for two reasons.
First, it is well established that OSHA may issue a citation for a
condition that may have been previously observed but was not cited as a
violation. “OSHA is not precluded from
issuing a . . . citation for previously observed or uncited violations.” Kaspar Wire Works, Inc.,
18 BNA OSHC 2178, 2183 n.13 (No. 90-2775, 2000), aff'd, 268 F.3d 1123 (D.C. Cir. 2001). Further, to establish an estoppel claim
against the Government, the party must show that the Government “made a
misrepresentation upon which the party reasonably and detrimentally relied and
that the Government engaged in affirmative misconduct.” City of
New York v. Shalala, 34 F.3d 1161, 1168 (2d Cir. 1994) (citations
omitted). OSHA’s mere receipt of
Angelica’s above-noted programs as part of a settlement agreement is not an
affirmative action. In addition,
Angelica has not shown any misconduct by OSHA or its own detrimental
reliance. Its argument is rejected.
Stipulated
Facts
Pursuant to Commission Rule 61, the
parties submitted the following stipulated facts.
1.
Angelica's Ballston Spa facility was engaged in the business of renting
textiles to "hospitals, clinics, nursing homes" and other similar
clients. McDonough Dep. at 9-10.
2. As part of this rental agreement, Angelica
processed and laundered soiled linens before returning those linens to its
clients. Id.
3. The hazards Respondent's employees
encountered throughout the laundering process are the subject of the citation
items in this case.
4.
Company-wide, Respondent had more than 250 employees. Rawson Dep. at 340.
5.
At the time of OSHA's inspection, Respondent used a series of
interconnected machines to launder the soiled medical linens in a "wash
alley" at Respondent's worksite. See McDonough Dep. at 13; McDonough Ex.
2 (hand-drawn diagram of wash alley).
6.
This area was surrounded by a chain-link perimeter fence. Rawson Dep. at 37-38; Long Dep. at 40.
7.
Soiled linens entered the wash alley for laundering via one of two
"fixed conveyor[s] with moveable belt[s]," which deposited the
material into either of two continuous batch washers "CBWs" aka
"Tunnels"), large screw-shaped industrial washing machines containing
8 separate modules. McDonough Dep at 14,
27-30, 44; Malter Dep. at 146.
8.
A diagram depicting the layout of the CBWs is contained in the
manufacturer's literature at McDonough Ex. 10, Fig. 3 at Angelica - 00195.
9.
Linens were divided between CBW # 1 or 2 depending upon the type of
material being laundered. McDonough Dep.
at 28-29.
10.
Those linens entering CBW # 1 were sent through the machine's wash cycle
while being transported through the 8 modules of the tunnel. Id.
at 29-30. After washing, the clean linen
was discharged into the co-bucket, "a big hopper mounted on a . . .
traveling shuttle." Id. at 30. The co-bucket traveled east and west along
approximately 20-foot-long tracks to feed one of the two extractors servicing
CBW # 1. Id. at 30-31. Then, the
co-bucket discharged wet laundry into the extractor, which used centrifugal
force to expel water from the linens. Id. at 31.
11.
Next, the extractor dumped the linens onto the loose goods conveyor,
which loaded the laundry onto another shuttle, called the "loose goods
shuttle." Id. at 31-32.
12.
After the linens were loaded into the loose goods shuttle, a dryer operator,
an employee located outside the wash alley, determined into which of the
industrial dryers the laundry was sent. Id. at 32, 42-43.
13.
All of the dryers in the wash alley were Milnor dryers, with laundry
being deposited in the front and removed through the back. Id.
at 42-43.
14.
Linens would either be delivered into Milnor dryer six or seven, fed
directly by the loose goods shuttle, or sent to the loose goods shuttle
opening, where the textiles dumped into a cart and manually loaded into a dryer. Id.
at 32.
15.
The dry linens were removed from the wash alley through the back side of
the dryers, which expelled the linens onto another conveyor. Id.
at 32-33.
16.
Those linens entering CBW # 2 were discharged from the CBW after washing
into a press, which "literally presse[d] the
water out of the linen." Id. at 33.
17.
The pressed linen formed a "cake" "four-foot in diameter
and maybe six-inches in height and all compressed together." Id.
at 16, 33.
18.
The linen cakes were then sent via the "cake conveyor" to the
cake shuttle, which delivered them to one of dryers one through five. Id.
at 33-34.
19.
After drying, the laundry was discharged through the back of the dryers
and out of the wash alley as with the linens entering CBW # 1. Id.
at 34.
20.
As shown in the manufacturer's literature at McDonough Ex. 10, each CBW
was comprised of 8 large inter-connected modules. Fig. 3 at Angelica-00195; see also McDonough
Dep. at 29-30.
21.
Each CBW is a long tunnel with an "Archimedes screw," and the
CBW turned during the laundering process, spinning water and linens through the
8 modules of the washer. McDonough Dep.
at 29-30, 44.
22.
As with the co-bucket, both the loose goods shuttle and the cake shuttle
traveled along fixed tracks. McDonough
Dep. at 16-18.
23.
These tracks ran both above and below the shuttles, like a trolley. Malter Dep. at 152.
24.
The CBW tunnel was turned by a chain-and-sprocket, driven by an electric
motor, and delivered steam was controlled by compressed air-operated
valves. McDonough Dep. at 45.
25.
During the laundering process, wash chemicals such as detergent and an
alkali were sent into the CBW to clean the linens. Id.
at 46.
26.
None of the valves feeding the CBWs were labeled. McDonough Dep. at 115, 119, 121-122.
27.
Respondent's written Confined Space Entry Program, Procedure SFY-1100,
identified the "Tunnels" (aka the CBWs) as "permit
required" confined spaces. See
Rawson Ex. 5, § 1.3, p.1.
28.
The CBWs were only to be entered in the event of a jam or other
maintenance procedure. See McDonough Ex.
10 at Angelica-00192.
29.
Respondent's corporate-level written permit-required confined space plan
identified the dryers in its facility as permit-required confined spaces. See Rawson Ex. 5, § 1.3.
30.
The Milnor dryers had "fire eyes" through which their pilot
lights could be seen. Malter Dep. at 139.
31.
These devices controlled the temperature in the dryer, and when one of
the fire eyes was extinguished, employees needed to enter the wash alley area
to reignite it. Rawson Dep. at 236-37.
32.
The shuttles were generally automatically operated by a computer control
system that coordinated their movement based upon the needs of the dryers and
washers. See Malter
Dep. at 143.
33.
Each of the shuttles had a "cow catcher" that would stop
shuttle motion after contact with any obstruction, on either end. Rawson Dep. at 41-42; Malter
Dep. at 153-54; McDonough Ex. 2.
34.
The shuttle is also equipped with emergency stop buttons and emergency
pull cables. McDonough Dep. at 223-25.
35.
A control panel on the sides of the shuttles had a button that permitted
the shuttles to be turned off. Malter Dep. at 153-55.
36.
Respondent's written lockout/tagout plan originally called for all four gates
providing access to the wash alley to be interlocked, de-energizing machinery
before entry into the wash alley was permitted.
Malter Ex. 6 § 1.1.3, p.1 (also McDonough Ex.
7).
37.
Respondent later authorized deviation from this written plan, allowing
gates one and two to be locked, but not interlocked. Long Dep. at 49-53; see McDonough Ex. 2
(showing the location of the gates to the wash alley).
38.
The interlocked gates were designed to de-energize multiple machines in
the wash alley nearest to the gate that was opened, but
did not de-energize all machines in the wash alley. See Rawson Dep. at 47-48; McDonough Dep. at
168-69; Malter Dep. at 144.
39.
At the time of the OSHA inspection, Respondent allowed all 6-8 of its
non-managerial maintenance employees to enter the two gates (gates one and two
on the diagram at McDonough Ex. 2), which were each locked with a single
chain-and-lock padlock, and not interlocked.
Long Dep. at 50, 54; Malter Dep. at 134-35;
Rawson Dep. at 252.
40.
Respondent's written policy governing entry into the wash alley,
SFY-1060, Entering Shuttle Area Safely, did not require the shuttles to be
de-energized or locked out if employees were servicing machinery in the wash
alley and not working directly on the shuttle.
McDonough Dep. at 178-80; McDonough Ex. 7.
41.
This is because Respondent's policy distinguished between
"Maintenance on the Shuttle" and "Work in the Shuttle Area on
Non-Shuttle Equipment" and did not require lockout or de-energization of
the moving shuttles for work in the wash alley other than maintenance on the
shuttle itself. McDonough Dep. 178-80;
McDonough Ex. 7 (also Malter Ex. 6).
42.
Respondent's written procedures called for a "watch person" to
be utilized for entry into the wash alley if interlocked gates were not used
and employees were not performing tasks that Respondent designated
"Maintenance on the Shuttle[s]" themselves. Malter Ex. 6, §§
3.1-3.2 (also McDonough Ex. 7).
43.
This policy required a dryer operator serving as a "watch person"
to stand near the operator panel at the south end of the wash alley, and
"observe and alert the person working on the inside of any possible
hazards. [The policy] does not specify
that they have to keep eye contact on the
individual. They have to be aware of any
hazards that may occur." McDonough
Dep. at 189; see McDonough Ex. 2.
44.
The watch person was required to be in the "general area" of
dryer operator control panel. McDonough
Dep. at 190-91.
45.
Once the shuttle was switched from manual mode back into automatic mode
from this directional switch, the shuttle could be re-activated.
46.
An alarm would sound, and there would be approximately a one-minute
delay before shuttle reactivation. Malter Dep. at 155-56; Rawson Dep. at 54, 245-46.
47.
Respondent's confined space program for all machines consisted of
McDonough Ex. 3 and 4, in addition to its complete lockout/tagout program at
McDonough Ex. 5-9 and the CBW manufacturer's documents contained at McDonough
Ex. 10. See McDonough Dep. at 47-54.
48.
The process of isolating the hazards to the CBW required all of the
following: (l) lock out of the main Miltron (sic) control panel, which was located at
the end of the conveyor to each CBW outside the wash alley and supplied
electrical energy to the CBW; (2) lock out of an additional electrical switch
to the CBW located outside of the wash alley fence; (3) lock out of the chain
drive which provided mechanical energy to the CBW; (4) isolation of the valves,
including those providing thermal energy and compressed air to the CBW; and (5)
lock out of other machinery servicing the CBW.
McDonough Dep. at 44-45, 93-102.
49.
Rawson Ex. 5 is a true and accurate copy of Respondent's Confined Space
Entry Program, SFY 1100, which applied to the CBWs at all
times relevant to the alleged violations.
50.
McDonough Ex. 9 is a true and accurate copy of Respondent's
Lockout/Tagout Surveys for the CBWs, which applied to the CBWs at all times relevant to the alleged violations. See McDonough Ex. 9; Rawson Dep. at 141;
McDonough Dep. at 108-11.
51.
Mr. McDonough testified that verification of electrical lockout to the
CBW could be achieved by pressing a "start series" of buttons on the
machine's control panel. McDonough Dep.
at 108; Rawson Dep. at 140.
52. The main steam valve feeding the CBWs was locked out.
53.
Respondent did not use "blanking or blinding; misaligning or
removing sections of the lines, pipes or ducts; or a double block and bleed
system." Rawson Dep. at 153-54; Malter Dep. at 98, 100-102; McDonough Dep. at 117; Malter Ex. 10, App. B, §§ 5.15,5.19 at Angelica-00243.
54.
Instead, Respondent's procedures called for these valves to be
"isolated" by "clos[ing] the valve . .
. and then us[ing] some type of device to secure that
handle in place so that it cannot be moved without a proper key or other
device." Malter
Dep. at 100; see also McDonough Ex. 3, App. B, p.13-14.
55.
Respondent's written confined space program instructed: "The
atmosphere within the space shall be periodically tested or continuously
monitored as necessary to ensure that the continuous forced air ventilation is
preventing the accumulation of a hazardous atmosphere." See Rawson Ex. 5, § 3.2.9, p. 4 and Appendix
B § 5.23-5.25, p. 14 (also McDonough Ex. 3); Rawson Dep. at 161-62; Malter Dep. at 87.
56.
Respondent used an atmospheric PHD monitor to test the CBW for hazardous
atmosphere after lockout and ventilation of the space when entry was
required. Rawson Dep. at 173; Malter Dep. at 120-21; McDonough Dep. at 85; see also
Rawson Ex. 5, App. B, §§ 5.23- 5.25, p.14 (also McDonough Ex. 3).
57.
The manufacturer of the meter used by Respondent recommended that the
meter be calibrated no more than one month prior to use. Malter Dep. at
120-21.
58.
To calibrate the meter, one would take the meter into a clear-air
environment outside the facility where there was no known hazardous atmosphere
and calibrate the meter using calibration gas (i.e. "a known quantity of
gas contained in a cylinder that you introduce into the meter to determine the
accuracy of the meter" used only for the purposes of calibration) as
instructed by the manufacturer.
McDonough Dep. at 85-86.
59.
After calibration, the meter was used in the CBW to evaluate hazards of
the space. Id. at 86.
60.
The only calibration gas at Respondent's facility expired prior to 2007
(OSHA's inspection of the worksite occurred in 2008). See Rawson Dep. at 375-76 (day 2); Malter Dep. at 124.
61.
Respondent created a single permit for all of
its permit-required spaces, including the Milnor dryers, with the exception of
the CBW. See Rawson Dep. at 182;
McDonough Ex. 3, App. D, p. 19-21.
62.
McDonough Ex. 3 contains a true and accurate copy of that permit as it
existed at all times relevant to the alleged
violations.
63.
Respondent created a separate entry permit for the CBWs. Malter Ex. 9.
64.
Malter Ex. 9 is a true and accurate copy of
that permit as it existed at all times relevant to the
alleged violations.
65.
Respondent's written confined space program provided that, in the event
a confined space rescue was required, rescue services would be obtained from
the Local Volunteer Ballston Spa Fire Department, and that the fire department
would be summoned by calling 911. Rawson
Ex. 5, §§ 7.2-7.3, p. 10-11 (also McDonough Ex. 3); Rawson Dep. at 202;
McDonough Dep. at 149-50, 159.
66.
The Ballston Spa Fire Department is located approximately 100 yards from
Respondent's facility. McDonough Dep. at
154-58.
67.
This plan did not require Respondent to call the fire department prior
to each confined space rescue to determine whether the fire department was
presently available to perform a rescue.
McDonough Dep. at 160-62.
68.
None of Respondent's employees were expected to perform a confined space
rescue. McDonough Dep. at 146-48.
69.
None of Respondent's employees were trained to perform a confined space
rescue. Rawson Dep. at 206; McDonough
Dep. at 146-47.
70.
Ms. Rawson testified that the fire department did not have a qualified
confined space rescue team and could not make a confined space rescue to
retrieve a downed entrant. Rather, the
fire department would need to call Mutual Aid through Saratoga County to summon
additional assistance from the towns of either Colonie
or Schuylerville, which each had a confined space rescue team. This additional assistance could take up to
30 minutes. Rawson Dep. at 208,
213. Mr. McDonough testified that the
Ballston Spa Fire Department visited the Angelica facility in approximately
2001 to undertake an evaluation of confined space operations and conducted
drills at least annually at the facility to ensure they were able to respond to
various types of emergencies. McDonough
Dep. at 154-163.
71.
The press, which expelled water from linens laundered by the CBW, had
three energy sources: hydraulic, electrical and gravitational. See Malter Dep. at
169-70; McDonough Dep. at 16.
72.
McDonough Ex. 9, p. 22, is a true and accurate copy of Respondent's
lockout survey for the press.
73.
The cake, loose goods, and co-bucket shuttles possessed air, gravity and
electrical power sources. Malter Dep. at 168-69.
74.
Respondent's shuttle safety program instructed employees to lock out the
shuttles and attempt to reenergize the shuttles to verify lockout. McDonough Ex. 7, §§ 2.1-2.3, p.2.
75.
The shuttle survey for the "loose goods shuttle" instructed
that mechanical blocks be applied by using the "safety pins supplied with
machine." See McDonough Ex. 9.
76.
McDonough Ex. 8 is a true and accurate copy of the machine surveys for
the dryers, which applied at all times relevant to the
alleged violations. See McDonough Ex. 8;
McDonough Dep. at 51.
77.
McDonough Ex. 5 is a true and accurate copy of Respondent's
facility-wide lockout/tagout program, which applied to the CBWs at all times relevant to the alleged violations.
78.
Respondent's confined space training program consisted of initial hire
training, classroom training, on-the-job training, and a video training
provided by Coastal, an outside company.
Rawson Dep. at 168-69, 188-89, 195-99; Long Dep. at 32, 34-36.
79.
Likewise, Respondent's lockout training consisted of initial hire and
classroom training, in which employees were trained directly from Respondent's
written lockout procedures, on-the- job training, and a video training provided
by Coastal. Rawson Dep. at 151-53; Long
Dep. at 18-19, 32, 34-36, 45.
80.
Prior to OSHA's inspection, Respondent performed a PPE analysis for the
50% sodium hydroxide solution based upon a review of the sodium hydroxide MSDS. McDonough Dep. at 203-04.
81.
This review concluded that PPE was necessary, including "chemically
impervious gloves, safety glasses, a face shield, a rubber or vinyl apron and
general work clothes, et cetera." Id. at 204.
82.
There was a hose in the boiler room with a control valve located
"approximately 20 feet" away from the location of the sodium
hydroxide solution transfer point.
McDonough Dep. at 207-08.
83.
Mr. McDonough testified that here was also a sink in a room adjoining
the boiler room. See McDonough Dep. at
207; McDonough Ex. 12.
84.
The nature of Respondent's business exposed some of Respondent's
employees to potential exposure to blood and other infectious materials because
it involved the laundering of medical supplies.
See McDonough Dep. at 216.
85.
Respondent rented textiles, including washcloths, towels, sheets, pillow
cases, gowns, scrubs and surgical towels, to hospitals and nursing homes. McDonough Dep. at 9-11.
86.
After the linens were soiled by Respondent's clients, linen was packaged
by the client in plastic bags and picked up by Respondent and taken to its
worksite. Id. at 10-11.
87.
At Respondent's facility, employees opened bags of linen, emptied the
linens onto the conveyor, and sorted the linen according to type. Id.
at 11.
88.
Respondent offered the Hepatitis B vaccine series to "those
[employees] that had exposure, which would've been soil sort, RSR's,
supervisors, management, washroom, dryer [operators], housekeeping." McDonough Dep. at 216.
89.
Prior to the start of their regular duties, Respondent offered the
vaccination series to newly-hired employees through a video-based training,
which "explained the OSHA Hepatitis B bloodborne pathogen standards. And of course within
that training it provide [d] information regarding the HBV [Hepatitis B]
vaccination." McDonough Dep. at
216-17.
90.
Angelica paid employees for the time spent watching the video. McDonough Dep. at 217.
91.
After the video training and classroom training, these employees were
given the option to receive the Hepatitis B vaccination series or sign a
waiver. Id. at 217.
92.
The depositions of Mr. McDonough, Mr. Malter,
Mr. Long, Ms. Rawson, and Mr. Jerome, along with their exhibits, constitute the
entire record in this matter. The
parties stipulate the admissibility of the transcripts of these depositions,
along with their exhibits.
93.
Mr. McDonough and Mr. Long were managerial employees of Respondent at
the time of their depositions. Mr. Malter was an expert designated by Respondent at the time
of his deposition. Ms. Rawson and Mr.
Jerome were employees of the Occupational Safety and Health Administration at
the time of their depositions.
94.
The Parties have a dispute over any fact not stipulated herein.
The Secretary’s Burden of Proof
To
establish a violation of an OSHA standard, the Secretary must prove that: (1) the cited
standard applies; (2) the terms of the standard were violated; (3) one or more
employees had access to the cited condition; and (4) the employer knew, or with
the exercise of reasonable diligence could have known, of the violative
condition. Astra Pharm. Prod., Inc., 9 BNA OSHC 2126, 2129 (No.
78-6247, 1981), aff’d in relevant part, 681 F.2d 69 (1st Cir.
1982).
The
parties do not dispute that the cited standards are applicable to Angelica’s
laundry facility. Angelica’s internal
safety procedures reflect the potential exposure of its employees to hazards
from confined spaces, unexpected energization (lockout), chemical handling, and
bloodborne pathogens. (See Stip. Facts 80-81, 83; McDonough Exh. 3-10).
Angelica
asserts that because there was no confined space entry in the six months before
the Citation’s issuance date, and thus no employee exposure to the hazards,
these citation items must be vacated.
(R. Br. 6-7). However, showing
actual exposure to the hazard is not required.
Rather, the Secretary must show that an employee could be exposed to the
hazard either “in the course of their assigned working duties, their personal
comfort while on the job, or their normal means of ingress and egress to their
assigned workplaces.” Kaspar Wire Works, Inc., 18 BNA OSHC 2178,
2195 (No. 90-2775, July 3, 2000) (citations omitted). The alleged violations will therefore be
considered, where relevant, in terms of potential exposure of employees.
Citation 1, Item 1
Item
1 alleges a serious violation of 29 C.F.R. § 1910.132(a), which states:
(a) Application. Protective equipment, including personal
protective equipment for eyes, face, head, and extremities, protective
clothing, respiratory devices, and protective shields and barriers, shall be
provided, used, and maintained in a sanitary and reliable condition wherever it
is necessary by reason of hazards of processes or environment, chemical
hazards, radiological hazards, or mechanical irritants encountered in a manner
capable of causing injury or impairment in the function of any part of the body
through absorption, inhalation or physical contact.
This item was based on the weekly transfer of a 50% solution of
sodium hydroxide from one drum to another.
(Rawson Dep. 91-93)
The Secretary alleges that an employee, Mr. Papke,
needed to wear chemical resistant coveralls to provide adequate
protection. (S. Br. 28).
Angelica required an employee doing this work to wear chemical-resistant
gloves, safety glasses, a face shield, a rubber or vinyl apron and a
long-sleeved cotton uniform as personal protective equipment (“PPE”). (Stip. Facts 80-81; Rawson Dep. 93; McDonough
Dep. 204).
The Secretary must provide evidence to show that Angelica’s
required PPE was inadequate to protect an employee from that particular
hazard. See Weirton Steel Corp., 20 BNA OSHC 1255, 1265 (No. 98-0701, 2003)
(vacating citation where the CO’s opinion was the only evidence presented that
a particular type of protective clothing was
required). CO Rawson interviewed the
employee responsible for the transfer; she did not observe the activity.[42] (Rawson Dep. 91-93). The Secretary offered CO Rawson’s opinion
testimony as evidence that the chemical-resistant apron provided was not
adequate protection and that, instead, chemical-resistant clothing (coveralls)
was necessary. (S. Br. 25). However, the Secretary has not presented any
other evidence that the PPE designated and provided by Angelica was not
sufficient protection or that chemical-resistant coveralls were the necessary
protection for this work activity.[43] To the contrary, the parties have stipulated
that Angelica did a PPE analysis and provided PPE. Because the Secretary did not meet her burden
of showing that the PPE Angelica required and provided was inadequate, this
item is vacated.
Citation
1, Item 2(b)
This
item alleges a serious violation of 29 C.F.R. § 1910.146(d)(3), which states
that an employer must:
(3) Develop and implement
the means, procedures, and practices necessary for safe permit space entry
operations, including, but not limited to, the following: (i) Specifying
acceptable entry conditions; (ii) Providing each authorized entrant or that
employee’s authorized representative with the opportunity to observe any
monitoring or testing of permit spaces; (iii) Isolating the permit space; (iv)
Purging, inerting, flushing, or ventilating the
permit space as necessary to eliminate or control atmospheric hazards; (v)
Providing pedestrian, vehicle, or other barriers as necessary to protect
entrants from external hazards; and (vi) Verifying that conditions in the
permit space are acceptable for entry through the duration of an authorized
entry.
Item 2(b) lists three instances that
allegedly violate the standard’s requirements.[44] They are as follows: (b) Angelica’s confined spaces program
(“program”) (at § 5.13) did not specify a means to verify that the power had
been successfully shut off within the continuous batch washer (“CBW”); (c)
Angelica’s program requirement (at § 5.19) to lock out valves is not a proper
means of isolation; and (d) Angelica’s program (at § 5.23) did not specify the
frequency of periodic atmospheric testing of the CBW.
Instance
b
The Secretary alleges that Angelica’s written program
must include a detailed description of its lockout verification process for
entry into a CBW. (S. Br. 37). She acknowledges that Angelica included a
step to verify that the power has been successfully shut off; however, it did
not specify the “means.” (S. Br. 36-38;
McDonough Exh. 3).
The Secretary refers to the preamble of the LOTO standard to support her
assertion that the subject standard requires the employer to provide a written,
detailed set of verification instructions.[45] The Secretary does not explain how the LOTO
standard’s preamble applies to the confined spaces standard cited here.
Additionally, the Secretary points to CO Rawson’s
testimony that Angelica’s maintenance manager told her that energy verification
was not part of the procedure.[46] However, this uncorroborated assertion is in
direct conflict with Angelica’s written program, which requires verification of
power shut-off. Further, the parties
have stipulated that lockout can be verified by “pressing a ‘start series’ of buttons.”
(Stip. Fact 51).
The Secretary has provided no persuasive
evidence to support her position that the cited procedure is inadequate. This instance is vacated.
Instance c
The Secretary contends
that Angelica’s written program used an improper means to isolate the CBW’s
water, steam, chemical, and air lines.
Angelica’s program specifies that a lockout system will be used to
isolate the lines feeding the CBW. The
Secretary asserts the only acceptable means of isolation are “blanking or
blinding; misaligning or removing sections of the lines, pipes or ducts; or a
double block and bleed system.” The
Secretary refers to an August 6, 2007 OSHA letter of interpretation to support
her position.[47] (S. Br. 37-39).
Commission precedent
establishes that the plain meaning of a regulation is given controlling
weight. Superior Masonry Builders, Inc., 20 BNA OSHC 1182, 1184 (No.
96-1043, 2003) (citation omitted). The
Secretary’s interpretation is consulted only when the regulation is ambiguous or its meaning is unclear. Id. Here, the confined spaces standard
defines “isolation.” This definition
includes the “lockout or tagout of all sources of energy” as one way to isolate
a space. See 29
C.F.R. § 1910.146(b). I find the Secretary’s position to be in direct
conflict with the plain language of the standard, since lockout is explicitly
included as a means of isolation.[48] This instance is vacated.[49]
Instance d
The Secretary asserts
that Angelica’s written procedures should have included guidance for an
employee to determine how frequently or on what basis to conduct additional
atmospheric testing during a confined space entry in the CBW. (S. Br. 42).
As discussed below, Angelica provides training, in addition to its
written procedures, as a part of its confined spaces entry program. Angelica’s safety and health manager
testified that, during on-the-job training, information is provided as to how
to determine the frequency of atmospheric testing. He further testified that each entry’s
conditions vary, so the testing frequency depends on the actual pre-entry
readings and the conditions for that particular entry. (McDonough Dep. 88-92; R. Br. 13). Additionally, Angelica’s expert witness, Mr. Malter, confirmed that the frequency of testing in a CBW
will be determined by the circumstances of that particular
entry. (Malter
Dep. 87-89.)
To support her position that Angelica’s program is inadequate, the
Secretary relies on CO Rawson’s testimony.
(S. Br. 42-43). However, CO
Rawson admitted that the standard does not require a particular
testing frequency and that she did not know if the frequency used by
Angelica was adequate for a confined space entry. She also acknowledged that this is a
performance-based requirement and that an employer is expected to design a
process that works for its particular circumstances. (Rawson Dep. 160-62). I find that the Secretary has not shown that
Angelica’s confined spaces program had an inadequate procedure for ongoing
atmospheric testing. This instance is
vacated.
Based on the foregoing, Item 2(b) of Citation 1 is vacated.
Citation 1, Item 3
Item
3 alleges a repeat violation of 29 C.F.R. § 1910.146(d)(4)(i),
which states that an employer must:
(4) Provide the following equipment (specified in paragraphs
(d)(4)(i) through (d)(4)(ix) of this section) at no
cost to employees, maintain that equipment properly, and ensure that employees
use that equipment properly:
(i) Testing and monitoring equipment
needed to comply with paragraph (d)(5) of this section.
The parties have stipulated that the
CBW is a permit required confined space that could be entered to clear a jam or
for other maintenance. (Stip. Facts
27-28). The Secretary alleges that
Angelica did not properly maintain the PHD Plus Atmospheric Monitor (“PHD
monitor” or “meter”). (S. Br. 43). The PHD monitor is used to test for a
potentially hazardous atmosphere in a CBW confined space entry.[50] (Stip. Fact 56). The parties stipulated that the manufacturer
recommends that the meter be calibrated no more than a month prior to its
use. (Stip. Fact 57). The gas used to calibrate the meter at
Angelica’s facility expired prior to 2007 – more than 18 months before the
inspection. (See Stip. Fact 60).
Angelica asserts this item should be vacated because there was no
entry into the CBW, and therefore no exposure, in the six months before the
citation. (R. Br. 14). However, as discussed above, the Secretary
need only show that employees could be exposed to the hazard in the normal
course of their duties. Here, employees
could enter a CBW to clear a jam or for other maintenance. (Stip. Fact 28). The Secretary has shown potential employee
exposure.
Angelica also argues that this item should be vacated because
there is no proof the expired calibration gas was defective. (R. Br. 14).
However, Angelica’s own witness, Mr. Malter,
testified that he would not recommend the use of expired calibration gas to his
clients. He further testified that
expired calibration gas could result in an inaccurate reading for certain
atmospheric gases, while providing an accurate reading for other gases. (Malter Dep.
123-26). Angelica’s argument that
expired calibration gas was acceptable is rejected.
This case is analogous to Suttles Truck Leasing, Inc., 20 BNA OSHC
1953, 1970 (Nos. 97-0945 & 97-0546, 2004).
In Suttles, the employer did
not provide a calibration kit for its combustible gas meter. Id. The Commission stated that “[b]ecause it is clear from the standard that testing equipment
must be properly calibrated, we find that Suttles violated the standard by not
having the capability to calibrate its meter.”
Id. Based on the record, I conclude that Angelica
did not properly maintain its monitoring equipment for use in a confined space
entry. This citation item is
affirmed. The penalty for this item is
addressed below.
Citation
1, Item 4(a)
This item alleges a serious
violation of 29 C.F.R. § 1910.146(f)(6), which states:
(f) Entry
permit. The entry permit
that documents compliance with this section and authorizes entry to a permit
space shall identify:
. . . .
(6) The
individual, by name, currently serving as entry supervisor,[51]
with a space for the signature or initials of the entry supervisor who
originally authorized entry;
The Secretary argues that an entry permit form must have two
spaces -- one for the supervisor who authorizes the entry and another for the
person currently serving as the entry supervisor. (S. Br. at 50-51.) The Secretary relies on the two sample
permits at Appendix D of the confined spaces standard to support her
position. Id. The note to 29 C.F.R. §
1910.146(e)(1) states that Appendix D includes “examples of permits whose
elements are considered to comply with the requirements of this section.” 29 C.F.R. § 1910.146. The Secretary asserts that Angelica’s forms
provided a space for the authorizing party’s signature, but
did not provide a place to list the supervisor overseeing the entry. (S. Br. 51).
The parties have stipulated that Exhibit 9 to the Malter deposition and Exhibit 3 to the McDonough deposition
were accurate representations of Angelica’s CBW and Non-CBW entry permit
forms. (Stip. Fact 62, 64.) Both permit forms included an instruction
that “[t]his permit shall be issued by the Safety Coordinator or trained
designee.” (McDonough Exh. 3 at Appendices C & D). Both of Angelica’s permits included a space
for the following: “Entrant,”
“Attendant,” “Entry Supervisor Signature,” “Permit Issuer Signature,” and
“Safety Coordinator’s or Designee’s Signature.” Id.
I have reviewed Appendix D’s sample permits. Sample D-1 includes spaces for the “Job
Supervisor,” the “Supervisor” preparing the permit, and the “Unit Supervisor”
approving the permit. Sample D-2
includes spaces for the “Supervisor(s) in charge of crews” and “Supervisor
Authorization.” Neither of the sample
forms uses the title “entry supervisor” on the form. See
Appendix D, 29 C.F.R. § 1910.146.
I have compared Angelica’s entry permit forms to Appendix D’s
sample forms. I find that Angelica’s permit
forms include a space to identify the entry supervisor – “Entry Supervisor
Signature.” (McDonough Exh. 3; Malter Exh. 9). I further
find that Angelica’s permit form is functionally similar to
the sample forms. Appendix D’s sample
forms demonstrate that a particular job title is not
required on the permit form and that there is more than one way to design a
compliant entry permit form. Therefore,
contrary to the Secretary’s allegation, Angelica’s entry permit form does
provide a space to identify the person currently serving as entry supervisor.
[52] This citation item is vacated.
Citation
1, Item 4(b)
This item alleges a serious
violation of 29 C.F.R. § 1910.146(f)(10), which
states:
(f) Entry
permit. The entry permit
that documents compliance with this section and authorizes entry to a permit
space shall identify:
* * *
(10) The
results of initial and periodic tests performed under paragraph (d)(5) of this
section, accompanied by the names or initials of the testers and by an
indication of when the tests were performed . . . .
The Secretary alleges that Angelica’s permit form did not identify
the names or initials of the person conducting atmospheric tests. The Secretary argues an additional space is
required on the form. (S. Br.
51-52).
As discussed above, Angelica’s permit form includes labeled spaces
for the entrant, attendant, and entry supervisor. (McDonough Exh.
3). Mr. McDonough testified that testing
could be done by either the entrant, attendant, or entry supervisor, because
they were all trained to conduct atmospheric testing. (McDonough Dep. 87-88). CO Rawson confirmed that during her
investigation she was told the entry supervisor conducted the testing. She also acknowledged that the entrant or
attendant could be a tester. (Rawson
Dep. 183-84). Angelica argues that since
one of the three individuals identified on the form conducts the atmospheric
testing, the form meets the requirements of the standard. (R. Br. 15).
The Secretary points to the standard’s preamble as evidence that
the tester must be separately identified on the permit form to provide the
necessary accountability for testing.[53] (S. Br. 52).
The preamble does highlight the need to identify the person conducting
the testing to promote “individual responsibility.” However, it does not state an additional
space is necessary on the permit form.
As discussed above, the sample forms demonstrate there is more
than one way to design an entry permit form.
Here, the party that will conduct the testing (entrant, attendant, or
entry supervisor) is identified on Angelica’s entry permit form. While Angelica’s form may not be the ideal,
the terms of the standard are performance-based and allow an employer some
latitude in structuring its permit form.
I find that the Secretary has not shown by a preponderance of the
evidence that Angelica did not comply with the standard’s requirements. This item is vacated.
Citation 1, Item 5
Item
5 alleges a serious violation of 29 C.F.R. § 1910.146(g)(3), which states:
(3) The training shall establish employee
proficiency in the duties required by this section and shall introduce new or
revised procedures, as necessary, for compliance with this section.
The Secretary alleges
that Angelica’s training was required to provide an employee with the
information and understanding needed for the specific duties assigned (as
entrant, attendant, or entry supervisor).
(S. Br. 54). She sets out three
instances to support a violation of the standard’s requirements: a) the training for authorized entrants did
not provide adequate information concerning the hazards of the CBWs or
atmospheric testing procedures and equipment for the CBW; b) the training for
attendants did not provide sufficient information to timely summon qualified
rescue services; c) the training for entry supervisors did not establish
proficiency in calibrating the atmospheric testing equipment or completing
entry permits.
The Commission has held
that if the employer shows “that it has provided the type of training at issue,
the burden shifts to the Secretary to show some deficiency in the training
provided.” Trinity Indus., Inc., 20 BNA OSHC 1051, 1063 (No. 95-1597, 2003), petition for review denied, 107 Fed. App’x 387, 2004 WL 1663604, (5th Cir. 2004)
(citations omitted). The parties have
stipulated that Angelica’s confined space training program included training at
the time of hire, classroom training, on-the-job training and video-based
training. (Stip. Fact 78). Because Angelica does have a training
program, the Secretary must provide evidence of its deficiencies.
The Secretary relies on
CO Rawson’s testimony to support the allegation of inadequate training. (S. Br. 56).
CO Rawson testified that her conclusions were based on employee interviews,
a review of Angelica’s training documents, and completed entry permits. (Rawson Dep. 377-80). The Secretary asserts Angelica’s video-based
training was insufficient because it was not tailored to Angelica’s
facility. (S. Br. 56). The description for the training video notes
that it includes training on confined space hazards, atmospheric testing and
team responsibilities. (Rawson Exh.
15). Mr. McDonough testified that the
training videos included information about atmospheric testing and the hazards
in a confined space. He further
testified that the videos were available for CO Rawson to view but she did not
ask to watch them. (McDonough Dep.
299-32).
Training for Authorized
Entrants[54]
The Secretary alleges
that Angelica did not train its authorized entrants about the hazards of the
CBW and that the video training was not facility-specific.[55] (S. Br. 56).
First, there is no requirement in the cited standard that Angelica’s
video-based training must be tailored to its own facility. Further, the video training is just one
component of Angelica’s training program.
I find that the Secretary has not established that Angelica’s video
training was inadequate.
Next, the CO’s testimony did not provide any information about
which employees she interviewed, the questions she asked these employees, or
their specific answers. Further, the
following is included in Angelica’s written training materials for authorized
entrants:
During this training session, your
duties as a permit-required confined space entrant are outlined as well as the
hazards which you may encounter while working in the confined space. Also, you will learn about the entry permit,
the communication system during an entry, and the rescue and emergency
procedures.
(Rawson
Exh. 16). This excerpt
illustrates that Angelica’s training plan covered the potential hazards for
entrants.
Based on the record
evidence, I conclude that Angelica’s training program for authorized entrants
was multi-faceted and appeared to cover the required subject matter. The Secretary has not presented adequate
evidence to show that Angelica’s overall training program for authorized
entrants was inadequate. This instance
is vacated.
Training for Attendants
The
standard requires an attendant to “[s]ummon rescue
and other emergency services as soon as the attendant determines that
authorized entrants may need assistance to escape from permit space
hazards.” 29 C.F.R. § 1910.146(i)(7). The Secretary
alleges that Angelica’s training was inadequate because it did not train
attendants to timely summon qualified rescue services.
The Secretary argues
that because “Angelica had failed to develop the appropriate rescue procedures,
Respondent clearly could not have trained its employees on these procedures.”
[56] (S. Br. 58).
As noted above, Angelica has a multi-faceted training program. Training of attendants is a part of that
program. (McDonough Exh.
3-4). The record shows that Angelica
trained its attendants to summon rescue by dialing 911, in accordance with its
rescue plan. (McDonough Dep.
149-50). I find this meets the
standard’s requirement to summon emergency services as soon as the attendant
determines an entrant needs assistance.
This instance is vacated.
Training for Entry
Supervisors
The Secretary alleges
that the training for entry supervisors was inadequate because it did not
establish proficiency in calibrating the atmospheric testing equipment or in
ensuring entry permits were completed.[57] (S. Br. 58; Rawson Dep. 378). To the contrary, the CO’s testimony shows
that Mr. Barnes, the maintenance manager, did know how to calibrate the PHD
monitor. (Rawson Dep. 378). The Secretary has provided no additional
evidence to support her allegation that entry supervisors were not proficient
in the calibration of atmospheric testing equipment, and what she has presented
is not persuasive.[58]
To illustrate that permits were improperly
completed, and to show a lack of proficiency in training, the Secretary points
to several completed entry permits that she alleges lack information related to
atmospheric testing or an entry supervisor’s signature. (S. Br. 59; Rawson Ex. 12; Malter Ex. 9). Eight
permits were completed in 2006, and one was completed in 2007. (Rawson Exh. 12; Malter Exh. 9).
I have reviewed these
forms and find there is some variation in how each was filled out. However, the Secretary did not describe why a
particular permit was incomplete for its related
confined space entry. Further, the
Secretary did not explain how the forms and training that were in place in 2006
and 2007 were applicable to the training and procedures in effect at the time
of the inspection.[59] I conclude that the Secretary has not
demonstrated that Angelica’s training for entry supervisors was
inadequate. This instance is
vacated. As all three instances have
been vacated, Item 5 is vacated.
Citation 1, Items 6(a)
through 6(c)
These
items allege deficiencies in Angelica’s rescue and emergency services
plan. The parties have stipulated that
when a rescue is needed, Angelica’s contacts the Ballston Spa Fire Department
(“BSFD”) by calling 911. Angelica relies
on the BSFD for rescue services as none of its employees are expected to or
trained to perform a confined space rescue.
The BSFD is about 100 yards from the facility. The BSFD visited Angelica’s facility in 2001
(approximately) to evaluate confined space operations. At least once a year, the BSFD conducted
drills at Angelica’s facility to ensure they were able to respond to an
emergency. (Stip. Facts 65-70).
Additionally, the parties stipulated that the BSFD did
not have a qualified confined space rescue team and could not make a rescue to
retrieve a downed entrant. Rather, the
BSFD would call for assistance from either Colonie or
Schuylerville, which did have confined space rescue teams. (Stip. Fact 70.) To support this stipulation, the parties
refer to CO Rawson’s testimony. (Stip.
Fact 70; Rawson Dep. 208, 213). I find
this stipulation to be somewhat mischaracterized. The deposition shows that CO Rawson testified
that the BSFD would not enter a
confined space for rescue, but would instead cut into
the CBW to retrieve the downed entrant.
She also testified that if entry rescue was needed, the BSFD would call
in either Colonie or Schuylerville. (Rawson Dep. 208-213). The following is from CO Rawson’s deposition
testimony.
Q. Is it
your understanding that the [BSFD] is still -- well, strike that. Is it your understanding that at the present time that the [BSFD] is intending to provide
rescue services, that was the import of your conversation with Chief Bowers?
A. The [BSFD] cannot make an entry
rescue into the CBW because it does not have people that are qualified for
confined space entry.
Q. That's
the not the question I asked. Let's try
it again. Do you have, based upon your communication with Chief Bowers, it's
your understanding that the [BSFD] is going to respond -- let's try it that way
-- is going to respond in the event that they are told
that it's necessary for a rescue to occur from a confined space?
A. Yes.
Q. And is
it your understanding that they are going
to conduct that rescue by cutting through the side of the CBW and retrieving
the employee that way?
A. That was my last discussion with
him, yes.
Q. So
there's two ways that you can do the rescue.
You can go into the CBW, the [BSFD] can go in and they can take the
employee out, is that right? That's one
way to do it?
A. Or you could have a retrieval
system to pull the person out, to make a nonentry rescue.
Q. And
it's your understanding that today, the [BSFD], if called at least as indicated
to you, they will respond and they will do a retrieval
from the outside, is that correct?
A. That's the only way they can
retrieve somebody.
Q. That's
your understanding about what they will do, is that correct?
A. Right. Can I answer that?
Q. If
you're done with your answer, no. If
you're not done with your answer, yes.
A. What I'd like to add to that is
[BSFD] has indicated if they need additional support they would call Mutual Aid
through Saratoga County, that Mutual Aid can take as long as 30 minutes to come
because they would pull it from either the Town of Colony or Town of
Schuylerville which has confined space rescue training teams.
[Emphasis added].
(Rawson Dep. 208-09, 212-13). The Secretary alleges that Angelica did not
properly evaluate its designated rescue service’s proficiency or its ability to
respond in a timely manner. She also
alleges Angelica did not provide the BSFD access to its facility. Her allegations are addressed below.
Citation 1, Item 6(a)
Item
6(a) alleges a serious violation of 29 C.F.R. § 1910.146(k)(1)(i), which states:
(k) Rescue
and emergency services. (1) An
employer who designates rescue and emergency services, pursuant to paragraph
(d)(9) of this section, shall: (i) Evaluate
a prospective rescuer’s ability to respond to a rescue summons in a timely manner, considering the hazard(s)
identified. [Emphasis added].
The Secretary alleges that Angelica did not evaluate the local
fire department’s ability to timely respond to a rescue summons. She asserts that rescue must be available in
a very short period of time based on the hazards at
Angelica’s facility. (S. Br.
63-64). Nonetheless, the Secretary did
not cite Angelica for improper selection of a rescue team; instead, she alleges
that Angelica did not conduct the required evaluation.[60]
CO Rawson admitted that an Angelica management
employee told her that Angelica had contacted the BSFD to provide rescue
services. (Rawson Dep. 215-16). Because the BSFD was located within 100 yards
of Angelica’s facility, I find that Angelica did not need to conduct a detailed
study to determine that the BSFD’s response would be timely.
The Secretary further alleges that Angelica’s confined space
program did not require contact with the BSFD to verify its availability before
each confined space entry. (S. Br.
62-63). This is an inaccurate assessment
by the Secretary. Angelica’s plan
required calling the fire department prior to each confined space entry, as
illustrated by both its written procedure and the entry permit form. (McDonough Exh. 3,
pp. 15, 18). Angelica’s procedure states
that “[t]he plant will utilize the local Fire
Department as the confined space rescue team.
The local Fire Department has been contacted and agrees to perform
rescue in the event one is needed.”
(McDonough Exh. 3, p. 15). The permit form asks if the fire department
has been made aware of the entry. If the
answer is no, then entry is not allowed.
(McDonough Exh. 3, p. 18). I find that Angelica’s program does require
contact with the BSFD prior to each entry.
The Secretary has not established that Angelica did not evaluate
the designated rescue team’s timeliness.
Item 6(a) is vacated.
Citation 1, Item 6(b)
This
item alleges a serious violation of 29 C.F.R. § 1910.146(k)(1)(ii), which
states:
(k) Rescue
and emergency services. (1) An
employer who designates rescue and emergency services, pursuant to paragraph
(d)(9) of this section, shall:
. . . .
(ii) Evaluate a prospective rescue service’s
ability, in terms of proficiency with
rescue-related tasks and equipment to function appropriately while rescuing
entrants from the particular permit space or types of permit spaces identified;
. . . . [Emphasis added].
The Secretary alleges
that Angelica did not conduct a “meaningful evaluation” of the BSFD’s
proficiency with rescue-related tasks and equipment before its designation as
Angelica’s rescue and emergency service.[61] She additionally alleges that because the
BSFD would rescue an entrant by cutting into the CBW, instead of utilizing a
retrieval system, Angelica did not conduct a proper evaluation. (S. Br. 65-67).
The Secretary is focused
on what she believes is an inadequate method of rescue. She did not provide persuasive evidence that
the BSFD’s method of rescue was inadequate.
Further, as noted above, Angelica had contacted the BSFD about using its
rescue services, the BSFD had visited the facility, and the BSFD conducted
drills prior to the OSHA inspection. The
Secretary has not shown by a preponderance of the evidence that Angelica did
not evaluate the designated rescue team’s proficiency. Item 6(b) is vacated.
Citation
1, Item 6(c)
Item
6(c) alleges a serious violation of 29 C.F.R. § 1910.146(k)(1)(v), which
states:
(k) Rescue
and emergency services. (1) An
employer who designates rescue and emergency services, pursuant to paragraph
(d)(9) of this section, shall:
. . . .
(v) Provide the rescue team or service selected
with access to all permit spaces from
which rescue service may be necessary so that the rescue service can develop
appropriate rescue plans and practice rescue operations. [Emphasis added].
The Secretary alleges that Angelica did not
provide the BSFD access to its permit spaces.
However, the parties stipulated that the BSFD visited Angelica’s facility
in 2001 and conducted annual drills thereafter.
(Stip. Fact. 70). Additionally,
CO Rawson admitted that she had no evidence that Angelica did not provide
access to the BSFD. (Rawson Dep.
222). I find that Angelica did provide
access to the BSFD. Item 6(c) is
vacated.
Citation 1, Item 7
This item alleges a serious violation of 29 C.F.R. §
1910.147(c)(4)(i), which states:
(4) Energy
control procedure. (i) Procedures shall be developed, documented and utilized
for the control of potentially hazardous energy when employees are engaged in
the activities covered by this section.
The
Secretary alleges that Angelica did not enforce the procedures that protect
employees from unexpected shuttle movement.
(S. Br. 101). Angelica had a
policy for employees entering the wash area to perform service and
maintenance. (McDonough Exh. 5, 7
(SYF-1050, Lockout/Tagout Program and
SYF-1060, Shuttle Safety)). This policy required lockout for work on
shuttle equipment. It also required an
employee to either lock out or use a watch person for work on non-shuttle
equipment in the wash area. (McDonough Exh. 7). The
Secretary offers three examples of how Angelica did not enforce these
procedures: resetting the fire eyes on the dryers, clearing blockages in the
press, and servicing the co-bucket shuttle.
(S. Br. 86).
The
parties have stipulated that an employee would enter the wash alley to reignite
a fire eye. (Stip. Fact. 31). The Secretary alleges that an employee could
be exposed to a moving shuttle when entering the wash area to reignite the
dryers’ fire eyes. (S. Br. 90). Evidence was not presented to show when or
how often an employee needed to reignite a fire eye.[62] Evidence was also not presented to show the
method an employee used to reignite a fire eye.
Because the Secretary has not offered sufficient information about the
process used by Angelica’s employees to reignite the fire eyes, I am unable to
determine whether Angelica enforced its procedures. The Secretary has not proven this first
example.
The
Secretary’s second example is that Angelica did not enforce its procedures when
employees were required to clear a blockage in the laundry press. (S. Br. 86).
No evidence was presented to show when or how often this could occur,
and no evidence was presented to show whether this had ever been done or was
expected to be done at the facility.
The
Secretary relies on Mr. Malter’s testimony to support
her position that an employee might need to clear a blockage in the laundry
press. (S. Br. 94; Malter
Dep. 140). However, a review of Mr. Malter’s deposition testimony shows that he actually said:
I don’t know
specifically how they [Angelica] use it, but in hydraulic presses, sometimes
materials being fed into it will need to be moved around. And that’s – but again, I don’t know
specifically in this. That would be my
assumption. If somebody told me there
was a press block, I would say the material didn’t properly feed either in or
out of the press and had to be manually shifted.
(Malter
Dep. 140). As the excerpt shows, Mr. Malter was speculating generally about a blockage in a
press; he was not commenting about Angelica’s actual practice. Insufficient evidence was presented to
establish that Angelica did not enforce its lockout procedures when an employee
would clear a blockage in the press. The
Secretary did not prove the second example.
As
to the third example, CO Rawson testified that she saw an employee, Mr. Thomas,
enter the fenced wash area to reset the co-bucket shuttle. The CO stated that Mr. Thomas entered the
wash area through gate 2 (a padlocked gate) and then exited about 15 minutes
later. (Rawson Dep. 238). The CO admitted that she lost sight of him
after he walked through the gate and that she did not see whether he was near
moving equipment. (Rawson Dep.
238-40).
To
prove that a machine may become unexpectedly energized, “[t]he Secretary must
show that there is some way in which the particular machine could energize,
start up, or release stored energy without sufficient
advance warning to the employee.” General Motors Corp., 17 BNA OSHC 1217,
1220-21 (Nos. 91-2973, 91-3116 & 91-3117, 1995) (emphasis added), aff’d, 89 F.3d 313 (6th Cir.
1995) (“GM I”). In GM I,
the employer used an eight to twelve-step series of commands to reactivate the
equipment and, prior to the restart, alarm warnings would sound to provide an
employee time to avoid hazardous movement of the equipment. Id. The Commission found that this was sufficient
to demonstrate that there was no unexpected energization. Id.
Here, the
Secretary provided evidence that an employee, Mr. Thomas, entered the wash area
to restart the co-bucket shuttle.[63] The record shows that the shuttle was shut
down and in manual mode when Mr. Thomas entered the wash area. (Rawson Dep. 243). It also shows that, before the shuttle could
be activated by an operator outside the wash area, an employee had to push a
directional switch on the co-bucket shuttle itself to return it to automatic
mode. (McDonough Dep. 193-96). Then, the operator (outside the fenced wash
area) had to answer several question on the control
panel before the shuttle would reactivate.
When the operator put the shuttle back into operation, an alarm sounded,
with a one-minute delay prior to shuttle reactivation. Id. This is analogous to the process in GM I, where the Commission found an
employee was given sufficient warning.
However, the Secretary asserts that the one-minute delay between the
sounding of the alarm and the restart of the machine was too brief and that the
re-energization process was less complex than the one found sufficient in the GM I decision. I disagree.
I find the
Secretary has not shown by a preponderance of the evidence that resetting the
co-bucket shuttle exposed Mr. Thomas to the unexpected energization of
equipment in the wash area. Mr. Thomas
had advance warning of the co-bucket shuttle’s
reactivation, and no evidence was presented to demonstrate that other equipment
in the wash area presented an unexpected energization hazard to Mr. Thomas. The Secretary has not proven the third
example.
Based
on the foregoing, Item 7 is vacated.
Citation 1, Item 8
This item alleges a repeat violation of 29 C.F.R. §
1910.147(c)(4)(ii), which states:
(ii) The procedures shall clearly and specifically outline
the scope, purpose, authorization, rules, and techniques to be utilized for the
control of hazardous energy, and the means to enforce compliance including, but
not limited to, the following: (A) A
specific statement of the intended use of the procedure; (B)
Specific procedural steps for shutting down, isolating, blocking and securing
machines or equipment to control hazardous energy; (C)
Specific procedural steps for the placement, removal and transfer of lockout
devices or tagout devices and the responsibility for them; and (D)
Specific requirements for testing a machine or equipment to determine and
verify the effectiveness of lockout devices, tagout devices, and other energy
control measures.
The
Secretary alleges that Angelica’s lockout procedures did not sufficiently
detail all of the specific procedural steps needed to
control hazardous energy during maintenance or servicing activities.[64] The Secretary relies on the Commission’s Drexel decision to support her
contention that Angelica’s lockout procedure lacked the necessary detail. Drexel
Chem. Co., 17 BNA OSHC 1909 (No. 94-1460, 1997). In Drexel,
the employer did not have a procedure customized to its own machines and
processes; instead, its lockout procedure was based on, without modification,
the standard’s sample in Appendix A. Id. at 1913. The Commission found that these generic
procedures did not provide the information an employee would need to lockout a
machine. Id. Further, the Commission
stated that the purpose of the lockout procedure is to “guide an employee”
through the process. Id.
However, the facts of Drexel
are not analogous to those here.
Angelica’s procedures included both a general lockout procedure which
applied to all its equipment and supplemental machine-specific lockout
surveys. (McDonough Exh.
5-10). I find that Angelica’s procedures
do not resemble the short generic procedure in Drexel.
Commission
precedent holds that the required specificity for lockout procedures is
evaluated according to a machine’s complexity.
General Motors Corp., 22 BNA
OSHC 1019, 1026-27 (Nos. 91-2834E & 91-2950, 2007) (“GM II”). In that case, the
Commission noted that the lockout standard’s preamble indicates that a lockout
procedure should outline the steps to follow and that the amount of detail is
relative to the equipment’s complexity. GM II at 1025-27 (citing to the
preamble).[65] The Commission also noted that the procedure
should be a “guide” for an employee performing lockout. Id.
at 1026 (citing to Drexel at 1913). The Commission found that the machinery in GM II was too complex for the company’s
generic three-page lockout procedure. To
illustrate the level of the machinery’s complexity, the Commission observed
that one of the machines contained “15 or 16 automatics, 65 weld guns, probably
300 limit switches [and] over 150 disconnects.”
GM II at 1027.
Angelica argues that its lockout
procedures are sufficiently detailed and notes that OSHA issued an interpretive
letter in 2006 that supports its position. [66] (R. Br. 21-22). The letter states that lockout procedure must
have “sufficient information to provide employees with adequate direction such
that employees effectively can follow the procedure and safely perform the
servicing and maintenance activities.”[67] The letter also states that one way an
employer can comply with the requirements of the standard is to have a general
procedure that is supplemented by information for each machine. Id. This is consistent with Commission precedent,
which holds that a lockout procedure is a guide that is evaluated according to
a machine’s complexity.
I find that
Angelica’s procedures include multiple steps which outline a general lockout
procedure plus information specific to each machine.[68] This is quite different than GM II’s generic three-page procedure
coupled with its highly complex machinery.
The Secretary did not provide evidence to establish that Angelica’s
machines were so complex that its procedures were an inadequate guide for its
employees to use to perform a lockout.
The Secretary thus has not met her burden of proving that Angelica’s
lockout procedures were inadequate. Item
8 is vacated.
Citation 1, Item 9
Item 9 alleges a repeat violation of 29 C.F.R. § 1910.147(c)(7)(i), which states:
(c)(7)
Training and communication. (i) The employer
shall provide training to ensure that the purpose and function of the energy
control program are understood by employees and that the knowledge and skills
required for the safe application, usage, and removal of the energy controls
are acquired by employees. The training
shall include the following: (A) Each authorized employee shall
receive training in the recognition of applicable hazardous energy sources, the
type and magnitude of the energy available in the workplace, and the methods
and means necessary for energy isolation and control. (B) Each affected employee shall be
instructed in the purpose and use of the energy control procedure. (C) All other employees whose work
operations are or may be in an area where energy control procedures may be
utilized, shall be instructed about the procedure, and about the prohibition
relating to attempts to restart or reenergize machines or equipment which are
locked out or tagged out.
The basis for evaluating an alleged violation of a training
standard was discussed above in Item 5.
To reiterate, if the employer has demonstrated that it provides
training, the Secretary must show that the training was deficient. The parties have stipulated that Angelica
provides initial hire, classroom, on-the-job, and video-based training to its
employees as a part of its lockout program.
(Stip. Fact 79). Further, CO
Rawson testified that all pertinent employees received lockout training. (Rawson Dep. 280-97, R. Br. 23).
The Secretary asserts that because Angelica’s energy control
program was inadequate, the training for employees must also be inadequate.[69] (S. Br. 114).
This argument fails because, as stipulated, Angelica’s training program
was broader than its written procedures.
(See Stip. Fact 79). She also asserts that lockout training was
inadequate based on CO Rawson’s conclusion that Angelica’s employees used
different lockout methods.[70] (S. Br. 114).
However, CO Rawson admitted that she based her conclusion about
inadequate training on employee interviews, and that she did not ask
employees to demonstrate the lockout process.[71] (R. Br. 22; Rawson Dep. 289-90).
I find that the Secretary’s evidence was insufficient to
demonstrate that Angelica’s lockout training program was inadequate. This citation item is vacated.
Citation 1, Item 10
Item
10 alleges a serious violation of 29 C.F.R. § 1910.151(c), which states:
(c)
Where the eyes or body of any person may be exposed to injurious corrosive
materials, suitable facilities for quick drenching or flushing of the eyes and
body shall be provided within the work area for immediate emergency use.
Angelica asserts there was no employee exposure to the cited
hazard of contact with sodium hydroxide solution because it required its
employees to wear adequate PPE. (See Stip. Facts 80-81). As the Secretary points out, however, the
purpose of having a drenching or flushing station for the body and eyes is in
the event there is contact with the corrosive material; PPE is provided to
prevent contact. (S. Br. 122). I
find that the cited standard applies
and that Angelica’s employee, when transferring the sodium hydroxide solution
in the facility, was exposed to having the solution contact his skin or eyes.[72]
The Secretary alleges that Angelica’s facilities were inadequate
because an eyewash station and a safety shower were not provided for immediate
emergency use. (S. Br
. 122). The Secretary has the
burden of showing the facilities Angelica provided were not suitable. Atlantic
Battery Co., 16 BNA OSHC 2131, 2168 (No. 90-1747, 1994). Commission precedent establishes that the
“totality of the relevant circumstances” is evaluated to determine if an
employer’s drenching or flushing facilities are suitable. Id. at 2167-68 (citations omitted). The factors to consider are the nature,
strength and amount of the corrosive material, the work area’s configuration, and
the distance from the facilities to where the corrosive material is used. Id. Further, the Commission has held that a
“specific linear distance” is not required; rather, the particular
circumstances dictate suitability.
Oberdorfer Indus., Inc., 20 BNA OSHC 1321, 1325
(Nos. 97-0469 & 97-0470, 2003) (citations omitted).
The record shows that the solution transfer occurred in the boiler
room. It also shows that Angelica had an
eyewash station that was about 100 feet away (and through a doorway) from the
solution transfer point; further, there was a sink in a washroom adjacent to
the boiler room and a “drench hose” in the boiler room that was about 20 feet
from the transfer point. (Stip. Facts
82-83; S. Br. 125, R. Br. 24; Rawson Dep. 386-387; McDonough Dep.
205-207). The Secretary asserts these
were all inadequate, noting that there was no emergency shower or eyewash
station in the boiler room, where the transfer took place. (S. Br. 125).
The Secretary points to
ANSI Z358.1, a consensus standard, in support of her position that the eyewash
station Angelica had was too far away and that the drench hose was not a
suitable replacement for an eyewash station or a safety shower. (S. Br 127).
However, the ANSI standard the Secretary refers to has not been
incorporated into the cited standard, and, therefore, it cannot be considered to be a requirement of the standard.[73]
The facts in this case
compare favorably to those in Atlantic
Battery. There, the employer had a
drench hose in its acid-mixing room which an employee accessed by reaching over
a conveyor-type apparatus. Atlantic Battery at 2167-68. The Commission found that the drench hose was
in the work area, and there was no evidence that the conveyor impeded access;
there was also no evidence that an eyewash station was the only adequate means
to protect an exposed employee. Id. at 2168. The Commission found that the Secretary did
not prove that the drench hose in Atlantic Battery’s acid-mixing room was
unsuitable and accordingly vacated that citation item. Id.
at 2167-68. Here, a drench hose was in
the work area, and there was no evidence of an impediment to reach the hose.[74] Further, there was no persuasive evidence
that the drench hose was not an adequate means for drenching or flushing. I find the Secretary’s assertion, that
Angelica’s drench hose was inadequate, to be unpersuasive.
The Secretary also
relies on Oberdorfer, to support her position. There, the employees were handling chlorine
gas containers and the flushing station was 75 feet away from the work
area. Oberdorfer at 1325. The Secretary
asserts that since the chemical in Angelica’s facility is similar
to the one in Oberdorfer
and the eyewash station is even farther away, this citation item must also be
affirmed. (S. Br. 126). Oberdorfer, however, is not analogous to this case in
several key ways. In that case,
employees were required to wear full-face respirators and rubber gloves, the
chlorine gas was a “strong acid,” and it was the industry standard for a
flushing station to be no farther away than 10 feet for a “strong acid.” The Commission upheld the citation based on
this evidence. Id. at 1324-25. Here, there
was no evidence to show the sodium
hydroxide solution was a “strong acid,” such that an
eyewash station had to be located within 10 feet of where employees were
handling the sodium hydroxide solution.
Also, in addition to the eyewash station, Angelica had a drench hose
available that was 20 feet from the solution transfer point. I find the Secretary’s reliance on Oberdorfer to be
misplaced.
For all of the reasons above, I conclude
that the Secretary has not met her burden of proving that Angelica’s drenching
and flushing facilities were unsuitable.
This item is vacated.
Citation 1, Item 11
Item 11 alleges a serious violation of 29 C.F.R. §
1910.1030(f)(1)(ii),[75]
which states, in pertinent part:
(ii) The
employer shall ensure that all medical evaluations and procedures including the
hepatitis B vaccine and vaccination series and post-exposure evaluation and
follow-up, including prophylaxis, are: (A) Made available at no cost to the
employee; (B) Made available to the employee at a reasonable time and place . . . .
The parties have stipulated that some of Angelica’s employees were
exposed to blood or other potentially infectious materials when laundering
textiles. (Stip. Facts 84-85). The two instances asserted as violations of
the standard are: (a)
Angelica did not compensate newly-hired employees for their time or travel
expenses to get the Hepatitis B virus (“HBV”) vaccination series; and (b) an
employee with a needle-stick injury was required to schedule the final two HBV
vaccinations in the series on non-work time without compensation.
The Commission has held that the Secretary’s interpretation
“requiring employees to be compensated [by the employer] for both the time
required for treatment and the travel expenses incurred” is reasonable. Beverly
Healthcare-Hillview, 21 BNA OSHC 1685, 1686 (Nos. 04-1091 & 04-1092,
2006), rev’d on other grounds, 541 F.3d 193 (3rd
Cir. 2006). The Commission acknowledged
that without such compensation, the “likelihood that an employee will obtain
the necessary medical treatment declines.”
Id. at 1686 (citations
omitted).
As to the first instance, the Secretary asserts that Angelica
violated the standard because it did not compensate its newly-hired employees
for time or travel expenses related to the getting the HBV vaccination. (S. Br. 13).
The parties have stipulated that newly-hired employees receive training
about the HBV vaccine and are given the option to receive the vaccination or
sign a waiver. (Stip. Facts 88-91). CO Rawson testified that employees told her
they were not compensated for the time spent to get the vaccination. (Rawson Dep. 314). However, the Secretary did not provide
evidence of the names of the employees or the dates the vaccinations were
received. Further, Mr. McDonough
testified that when he was hired by Angelica, he had the opportunity to receive
his HBV vaccine very near Angelica’s facility – as he put it, “right down on
the corner.” [76] He also testified that over the years,
Angelica had used different strategies to offer the vaccines. (McDonough Dep. 218-20). I find that the CO’s testimony, standing
alone, is insufficient to establish this instance. Without supporting evidence, i.e., records showing that the employees
the CO spoke to had received the HBV vaccination, when they received it, and if
they were compensated for their time, the record is inadequate to determine
whether newly-hired employees did in fact incur uncompensated expenses when
they obtained the HBV vaccination. The
Secretary has not met her burden of demonstrating a violation for the cited
instance.
As to the second instance, the record establishes that an
employee, Mr. W., suffered a needle-stick injury while sorting laundry.[77] (S. Br. 132, McDonough Dep. 212-14; Rawson
Dep. 312-13, 316). Mr. McDonough
confirmed that Angelica’s records showed that on the day of the injury, Mr. W.
was compensated for the time he spent to get the first shot in the HBV
series. Mr. McDonough, however,
could not determine from those records whether Mr. W had been compensated for
his time when getting the second shot.
Further, he stated that he found no information in the records that Mr. W.
was reimbursed for the cost of mileage for either shot. (McDonough Dep. 212-14, 221).
Based on foregoing, I find that Mr. W. was not compensated as
required for the expenses he incurred in obtaining his vaccination. The Secretary has demonstrated this instance
is a violation and this citation item is affirmed.
Serious
Characterization
A
violation is classified as serious under section 17(k) of the Act if “there is
substantial probability that death or serious physical harm could result.” Commission precedent requires a finding that
“a serious injury is the likely result should an accident occur.” Pete
Miller, Inc., 19 BNA OSHC 1257, 1258 (No. 99-0947, 2000).
Items 3
and 11 of Citation 1 have been affirmed, and they are affirmed as serious
violations because a serious injury would have been the likely result if an
accident had occurred. Regarding Item 3,
the manufacturer of the CBW noted that the modules can contain toxic gases
which can kill or injure an employee if inhaled. (S. Br. 73; McDonough Exh.
10 at 00193). As discussed above, the
use of expired calibration gas could result in an inaccurate atmospheric
reading, which could cause serious injury or death. Regarding Item 11, the Commission has
acknowledged that the HBV vaccine “is one of the critical ways of preventing
the harmful effects of exposure to bloodborne pathogens.” Barbosa
Group, Inc., 21 BNA OSHC 1865, 1869 (No. 02-0865, 2007) (citations
omitted). The Hepatitis B virus is a
pathogen capable of causing serious illness and death. (S. Br. 136; Rawson Dep. 353). The vaccination can protect an employee from
contracting HBV and, consequently, a serious or fatal illness.
Repeat
Characterization
A violation may be characterized as
repeat under section 17(a) of the Act, 29 U.S.C. § 666(A), if there is a
Commission final order against the same employer for a substantially similar
violation. Cagle’s Inc., 21 BNA OSHC 1738, 1745 (No. 98-0485, 2006) (citing Potlatch Corp., 7 BNA OSHC 1061, 1063
(No. 16183, 1979). The Secretary can
prove substantial similarity by showing the employer failed to comply with the
same standard as in the prior citation. GEM Indus., Inc., 17 BNA OSHC 1861, 1866
(No. 93-1122, 1996. If the standards are
not the same, the Secretary must show the violations are substantially similar
or involve similar hazards. Monitor Constr. Co., 16 BNA OSHC 1589,
1594 (No. 91-1807, 1994) (citing Potlatch
at 1063). Further, the abatement does
not have to be similar to uphold a repeat
citation. Lake Erie Constr. Co., 21 BNA OSHC 1285, 1289 (No. 02-0520, 2005)
(finding employer’s argument about different abatement methods lacked merit.)
The Secretary alleges that Item 3
should be characterized as a repeat violation based on a settlement agreement
that became a Commission final order on August 15, 2005. The cited standard in the settlement
agreement is not the same as the instant citation item. The Secretary relies on a violation of 29
C.F.R. § 1910.146(d)(5) from a prior settlement agreement to establish the
repeat characterization of the present violation of 29 C.F.R. § 1910.146(d)(4)(i). (S. Br.
84). She argues that even though there
is no description of the violative conduct in that agreement, the description
from the originally-issued citation can be used because “it is clear that these
[settlement] violations were meant to correspond to the descriptions contained
in the original willful citation item.”[78] (S. Br. 80-81). I cannot make this “leap,” however. The Secretary has the burden of demonstrating
that the two violations are “substantially similar.” See
Monitor at 1594. The settlement’s citation item is generally
related to the instant citation item, in that both address the requirements for
a confined space entry program.[79] Regardless, they are not the same standard. While the Secretary does not have to show
that the facts of both violations are identical, she must provide enough
information to convince the undersigned that the violations are substantially
similar. See Id. Here, she has not
done so, and I find that the violations are not substantially similar. This item is not, therefore, properly
classified as a repeat violation.
Penalty
Determination
Section
17(j) of the Act requires the Commission to give due consideration to four
criteria in assessing penalties: the
size of the employer’s business, the gravity of the violation, the employer’s
good faith, and its prior history of violations. In J. A. Jones Constr. Co., 15 BNA
OSHC 2201, 2214 (No. 87-2059, 1993), the Commission stated:
These factors are not necessarily accorded equal weight; generally speaking, the gravity of a violation is the
primary element in the penalty assessment.
[Citations omitted]. The gravity
of a particular violation, moreover, depends upon such
matters as the number of employees exposed, the duration of the exposure, the
precautions taken against injury, and the likelihood that any injury would
result. [Citation omitted].
Angelica
is a relatively large employer with 250 employees company-wide. Regarding Item 3, the Secretary assessed the
gravity as high due to the potential for asphyxiation from the atmospheric
hazard. The probability was found to be
lesser due to the infrequency of entry into confined spaces. A good faith reduction was applied because of
Angelica’s written safety program. (S.
Br. 142-44). I find a penalty of $2,125
to be appropriate for Item 3, upon giving due consideration to all the relevant
factors.[80] Regarding Item 11, the Secretary assessed the
gravity as medium because the effects of the Hepatitis B virus are sometimes
reversible. The probability was
determined to be lower because needle-sticks were infrequent. A good faith reduction was also applied to
this item, based on Angelica’s safety program.
(S. Br. 144). I find the proposed
penalty of $1,700 for Item 11 appropriate.
Accordingly, a penalty of $2,125 is assessed for Item 3, and a penalty
of $1,700 is assessed for Item 11.
Findings
of Fact and Conclusions of Law
All
findings of fact and conclusions of law relevant and necessary to a determination
of the contested issues have been made above.
See Fed. R. Civ. P. 52(a).
All proposed findings of fact and conclusions of law inconsistent with
this decision are denied.
ORDER
Based
upon the foregoing findings of fact and conclusions of law, it is ORDERED
that:
1. Citation 1, Item
1, alleging a serious violation of 29 C.F.R. § 1910.132(a), is VACATED.
2. Citation 1, Item
2b, alleging a repeat violations of 29 C.F.R. §
1910.146(d)(3), is VACATED
3. Citation 1, Item
3, alleging a serious violation of 29 C.F.R. § 1910.146(d)(4)(i), is AFFIRMED, and a penalty of $2,125 is assessed.
4. Citation 1, Items
4a and 4b, alleging serious violations of 29 C.F.R. §§ 1910.146(f)(6) and (f)(10), are VACATED.
5. Citation 1, Item
5, alleging a serious violation of 29 C.F.R. § 1910.146(g)(3), is VACATED.
6. Citation 1, Items
6a, 6b, and 6c, alleging serious violations of 29 C.F.R. §§ 1910.146(k)(1)(i), (ii), and (v), are VACATED.
7. Citation 1, Item
7, alleging a serious violation of 29 C.F.R. § 1910.147(c)(4)(i), is VACATED.
8. Citation 1, Item
8, alleging a repeat violation of 29 C.F.R. § 1910.147(c)(4)(ii), is VACATED.
9. Citation 1, Item
9, alleging a repeat violation of 29 C.F.R. § 1910.147(c)(7)(i), is VACATED.
10. Citation 1, Item
10, alleging a serious violation of 29 C.F.R. § 1910.151(c), is VACATED.
11. Citation 1, Item
11, alleging a serious violation of 29 C.F.R. § 1910.1030(f)(1)(ii), is
AFFIRMED, and a penalty of $1,700 is assessed.
_/s/_____________________
Hon. John H. Schumacher
Dated Aug
27,
2012 Judge, OSHRC
Denver,
Colorado
[1] A fifth repeat
item, as well as a second citation alleging an other-than-serious
violation, were withdrawn by the Secretary.
[2] Pursuant to
Commission Rule 61, the parties stipulated to the record and agreed to have the
judge decide the case without a hearing.
29 C.F.R. § 2200.61 (“[a] case may be fully stipulated by the parties
and submitted to the . . . [j]udge for a
decision . . . .”).
[3] Angelica does not
dispute that its employees engage in servicing and/or maintenance activities on
the machines at its facility.
[4] The Secretary
does not dispute that the LOTO surveys for the machines at issue are the type
of machine-specific documents that, when used with general LOTO procedures,
could satisfy the specificity requirements of § 1910.147(c)(4)(ii). OSHA Interpretation Letter, from Edwin G. Foulke, Jr. to E.C. Palmer, Jr. (July 12, 2006, corrected
Oct. 17, 2007) (stating that “supplemental means” such as “checklists,
placards, a work order system, or work authorization permit system” may be
“used in conjunction with a generic energy control procedure”).
[5] Also, “[i]f there is a possibility of reaccumulation
of stored energy to a hazardous level,” there would have to be procedures that
allow for the continuing “verification of isolation . . . until the servicing
or maintenance is completed, or until the possibility of such accumulation no
longer exists.” 29 C.F.R. §
1910.147(c)(4)(ii)(D), (d)(5)(ii). It is
not clear whether such a possibility exists as to any of the machines at
issue. Accordingly, the Secretary has
not established a violation on this basis.
[6] The LOTO standard
mandates that procedures be documented (except in narrow circumstances not
present here) and include “[s]pecific procedural
steps.” 29 C.F.R. § 1910.147(c)(4)(i) (“Note”), (ii)(B), (ii)(C).
[7] Commissioners
Attwood and Sullivan also find that the verification procedure for ensuring
that thermal energy within the CBW’s washer modules is no longer at hazardous
levels is lacking. Angelica’s Confined
Space Permit Entry Procedures require that employees check the temperature
before entry into a module: “No one will be allowed to enter into a chamber
that is over 120 degrees F. (Note,
temperature does not need to be checked if entry is only made into the
chute.)” According to the safety
manager, the employee would use a thermometer with an infrared beam to measure
the temperature of each module’s interior before entry—if, for example, the
second module required maintenance, thermal energy in the first module would be
measured before entry and, once in the first module, thermal energy in the
second one would be measured before entry.
There is no written LOTO instruction, however, that identifies or
details this (or any other) procedure for measuring a module’s temperature before
entry. Additionally, even though the
Confined Space Permit Entry Procedures instruct employees to verify that all
valves feeding the CBWs have been successfully locked out, no method of
verification is identified. Chairman
MacDougall departs with her colleagues on this determination, as she would find
that the verification procedure for the CBW is sufficiently specific, seeing
that commonsense dictates that an employee would understand the written
instruction—“No one will be allowed to enter into a chamber that is over 120 degrees
F”—applies to each chamber’s interior
and a thermometer is needed to verify temperature.
[8] There is a
directional switch that allows each shuttle to move from manual to automatic
mode, and vice versa, but it is not clear whether this is a third switch on the
shuttle or simply the aforementioned control switch
that energizes the shuttle.
[9] The Secretary has
also failed to prove that the verification procedure as to the loose goods
shuttle’s mechanical energy source is deficient. The mechanical energy is, according to this
shuttle’s LOTO survey, blocked using safety pins, but the Secretary has not
identified what specifically is being blocked and how the apparatus creating
the mechanical energy is powered during normal operations. Consequently, the Secretary has not shown
that Angelica’s general instruction to attempt a restart is insufficient to
verify that both mechanical and electrical energy sources on the loose goods
shuttle are adequately isolated.
[10] Only Instances
(b) and (c) of Item 2b are before us on review.
Instances (a), (d), and (e) were either vacated by the judge and not
pursued on review or withdrawn by the Secretary.
[11]
Section 1910.147(c)(4)(ii), as discussed above, requires that LOTO
procedures “clearly and specifically outline . . . [s]pecific requirements for testing a machine . . . to
determine and verify the effectiveness of lockout devices, tagout devices, and
other energy control measures.” The
Secretary does not dispute that it is permissible for an employer’s confined
space and LOTO programs to reference the same written LOTO procedures, as long as the LOTO procedures comply with the LOTO
standard. Angelica’s PRCS procedures
incorporate by reference its LOTO procedures.
[12] Before the judge,
the Secretary did not argue that the cited provision in Instance (b) was
ambiguous, and he did not expressly invoke the deference principle. Angelica argues that this principle is
therefore not before us here. Although
the Commission will not normally consider issues that a party failed to raise
below, we have discretion to reach such issues.
29 C.F.R. § 2200.92(c); see,
e.g., S. Pan Serv. Co., 25 BNA
OSHC 1081, 1088 n.10 (No. 08-0866, 2014) (considering respondent’s preemption
argument though not raised below); Westvaco
Corp., 16 BNA OSHC 1374, 1380 n. 14 (No. 90-1341, 1993) (addressing
infeasibility issue though not raised in answer below). We exercise that discretion here because the
ambiguity and deference issues are “intertwined” with an issue raised before
the judge—what an employer’s obligations are under
§ 1910.146(d)(3)(vi)—that cannot be resolved without first determining the
cited provision’s meaning. See, e.g., Kolstad v. Am. Dental Ass’n,
527 U.S. 526, 540 (1999) (“On a number of occasions, this Court has considered
issues waived by the parties below and in the petition for certiorari because
the issues were so integral to decision of the case that they could be
considered fairly subsumed by the actual questions presented.” (internal
citation and quotation marks omitted)).
[13] Angelica argues
that the Secretary’s reading of § 1910.146(d)(3)(vi) conflicts with the
standard’s language and is tantamount to rulemaking. Given our conclusion that the Secretary’s
interpretation of the cited provision is reasonable, rulemaking is not
required. See Nooter Constr. Co., 16 BNA OSHC 1572,
1574 (No. 91-237, 1994) (Commission determined provision requiring “suitable
cylinder truck, chain or other steadying device” was ambiguous and found
Secretary’s interpretation that cylinder truck must have chain or strap across
truck’s open end to be “suitable” was not unreasonable and did not require
rulemaking).
[14] As with its LOTO
procedures, Angelica suggests that experience or training may compensate for a
lack of written specificity under the PRCS standard. Like the LOTO standard, the PRCS standard
requires procedures to be written—specifically, an employer’s “written . . . permit
space program” must include certain “means, procedures, and practices . . . .” 29 C.F.R. § 1910.146(c)(4), (d)
(emphasis added). To the extent
Angelica’s employees may have understood these means, procedures, and practices
through on-the-job training, the PRCS standard’s regulatory history shows that
training was not intended to serve as a substitute for written procedures; the
proposed rule had training requirements but no requirement for a written
program, whereas in the final rule, OSHA retained the training requirements and
added the requirement that the program be written. Permit-Required Confined Spaces, 58 Fed. Reg.
at 4479, 4484, 4510-15; Permit-Required Confined Spaces, 54 Fed. Reg. 24,080,
24, 086, 24,091-94 (June 5, 1989) (notice of proposed rulemaking).
[15] We note that this
distinction between the means required to isolate energy and those required to isolate materials is echoed in the PRCS standard’s preamble:
The
permit space must be isolated from serious hazards. For example, if energized parts of electric
equipment are exposed, the circuit parts must be deenergized and locked out . . . . Chemical or gas lines that are open within the
permit space must be isolated by such means as blanking or blinding,
misaligning or removing sections of lines, pipes, or ducts, or a double block
and bleed system.
Permit-Required
Confined Spaces, 58 Fed Reg. at 4497.
[16] Angelica argues
that even if the Secretary’s reading of the standard is valid, he must still
show that Angelica’s LOTO procedure is “in
fact ineffective in this case to prove a violative condition . . . ,”
and the only evidence addressing this shows that its procedures are
effective. It is well-established,
however, that where a standard requires a specific means of compliance, the
employer is not permitted to choose a different means of addressing the hazard,
unless the employer can demonstrate either a greater hazard or
infeasibility. See Quinlan Enters., 17
BNA OSHC 1194, 1195-96 (No. 92-0756, 1995) (affirming violation where Secretary
established prima facie case of noncompliance and employer failed to establish
elements of either affirmative defense).
Angelica has raised neither affirmative defense.
[17] Angelica argues
that the Secretary improperly relied on these prior citations because they fell
outside of OSHA’s look-back policy for alleging a repeat characterization,
which was limited to three years at the time the current citation was
issued. See Field Inspection Reference Manual (FIRM), CPL 02-00-103 ¶ III.c.2.f (Sept. 26, 1994;
revised July 13, 1999). The
Commission, however, has held that the “ ‘time between
violations does not bear on whether a violation is repeated,’ ” concluding that
the FIRM’s instructions “are only a guide for OSHA personnel to promote
efficiency and uniformity, are not binding on OSHA or the Commission, and do
not create any substantive rights for employers.” Hackensack
Steel Corp., 20 BNA OSHC 1387, 1392 (No. 97-0755, 2003) (citing Jersey Steel Erectors, 16 BNA OSHC 1162,
1168 (No. 90-1307, 1993), aff’d without
published opinion, 19 F.3d 643 (3d Cir. 1994)); Sharon & Walter Constr., Inc., 23 BNA OSHC 1286, 1296 n.18 (No.
00-1402, 2010) (rejecting argument that Secretary must follow FIRM’s look-back
policy, and citing to Hackensack); Triumph Constr. Corp. v. Sec’y of Labor,
885 F.3d 95, 98-100 (2d Cir. 2018) (rejecting employer’s argument—based on
OSHA’s look-back policy in effect at the time citation was issued—that
Commission should not have relied on previous violations more than three years
old to affirm violation as repeat; recognizing that “[n]either the Act nor
OSHA’s implementing regulations prescribe any temporal limits for determining
whether a violation is repeated,” and citing to Hackensack for proposition that OSHA’s Field Operation Manual,
including its look-back policy, is not binding on Commission and creates no
substantive rights for employers). Furthermore, the FIRM in effect at the time
the current citation was issued stated that “[a] citation will be issued as a
repeated violation if: . . . [t]he
citation is issued within three years of the final order of the previous
citation, or . . . [t]he
citation is issued within three years of the final abatement date of that
citation, whichever is later.” FIRM at ¶ III.c.2.f(3) (emphasis added).
The current citation was issued on September 30, 2008. The final abatement date of the prior
citation referenced in Item 2b was September 14, 2006—thus, using the “later
abatement date, Item 2b was issued less than three years after the final
abatement of the earlier citation. The
prior citation referenced in Item 8, however, was abated at the time of the
prior inspection and, thus, Item 8 was neither “issued within three years of
the final order of the previous citation” nor “within three years of the final
abatement date.”
[18] The prior
violations occurred at an Angelica facility located in Edison, New Jersey and
involved CBWs. The prior violation
serving as the basis for Item 2b’s repeat characterization was initially
alleged as a single willful violation (Citation 2, Item 1, Inspection No.
306739475) cited under § 1910.146(c)(4).
In the settlement agreement that followed, this citation was broken down
into six separate renumbered items, the second of which was a violation of §
1910.146(d)(3). The prior violation
serving as the basis for Item 8’s repeat characterization was cited under
§ 1910.147(c)(4)(ii) (Citation 1, Item 1, Inspection No. 306739459), and
that violation was unaltered by the settlement agreement.
[19] Our dissenting
colleague submits that under Chevron,
467 U.S. at 842-45, and CF&I, 499 U.S. at 154-57, the Secretary is entitled to deference in
his interpretation of section 17(a)’s term “repeatedly,” a term she finds
ambiguous. 29 U.S.C. § 666(a). While she attempts to bootstrap her
dissenting opinion into the safe harbor of Chevron
deference, she concedes that it rests on her own findings of fact as set
forth in her dissent: “I find that the current violations are substantially similar to the previous violations”; “I also find that
Angelica has failed to rebut the Secretary’s prima facie case.” Section 10(a)
of the Act states that “[t]he Commission
shall . . . issue an order, based on findings of fact, affirming,
modifying, or vacating the Secretary’s citation or proposed penalty . . . .”;
and section
11(a) of the Act states that “[t]he
findings of the Commission with respect to questions of fact, if supported
by substantial evidence on the record considered as a whole, shall be
conclusive.” 29 U.S.C. §§ 659(a),
660(a) (emphases added). A factual
finding that the violations are not the same or “substantially similar” (and
thus not repeated) does not conflict with the
Secretary’s interpretation of section 17(a)—he too uses the “substantially
similar” test. As such, the principles of Chevron deference do not apply here, and the finding as to lack of substantial similarity, which
is supported by the record, is conclusive.
In sum, Congress has specifically authorized the Commission, through the exercise of its adjudicatory powers, to conclude that
the violations at issue here are not substantially similar.
[20] The breadth of
the PRCS violations at the Edison facility is shown by the wide-ranging
deficiencies noted by the renumbered items in the settlement agreement. See
footnote 19, supra. In addition to a general failure to comply
with paragraph (d)(3) of the PRCS standard, these items address failures to (1)
implement the measures necessary to prevent unauthorized entry,
§ 1910.146(d)(3); (2) evaluate permit space conditions when entry
operations are conducted, § 1910.146(d)(5); (3) develop and implement
certain rescues and emergency services procedures, § 1910.146(d )(9); (4)
review the permit space program, § 1910.146(d)(14); (4) document, before
entry is authorized, the completion of measures required by paragraph (d)(3),
§ 1910.146(e)(1); and (5) provide PRCS training to affected employees, §
1910.146(g)(1).
Angelica’s
abatement notification indicates the qualitative and quantitative measures
Angelica had to implement to demonstrate compliance. Specifically, the Edison facility:
(1) Purchased a gas monitor to test the
atmosphere of the CBWs; developed standard operating procedures that explained
how to use the gas monitor; trained employees on use of the gas monitor; added
monitoring results to the PRCS entry form; prohibited entries unless levels are
in acceptable ranges; and required retention of cancelled permits.
(2) Developed and implemented LOTO
procedures relating to the CBWs, which identify all energy sources—electrical,
mechanical, pneumatic, gravitational, thermal and chemical; and trained all
employees on using these procedures.
(3) Developed a customized entry permit,
specific to the types of CBW entries, and required retention of cancelled
permits for at least one year.
(4) Trained all employees involved in
confined space entry in LOTO and confined space, and
provided training specific to the employees’ roles (as an entrant, attendant,
or supervisor, for example).
(5) Modified the entry permit to require
verification that the Edison Fire Department has been notified before each
confined space entry.
By comparison, the
only violations being affirmed at Angelica’s Ballston Spa facility pertain to
discrete deficiencies in verification and isolation procedures under
§ 1910.146(d)(3)(iii) and (d)(3)(vi), respectively.
[21] The record shows
that Angelica abated the prior LOTO citation at the time of the earlier
inspection. Given the Secretary’s
acceptance of the abatement method, there is no basis here to conclude that
Angelica knew its safety precautions and corrective actions were inadequate and
that Angelica, therefore, “require[d] a greater than normal incentive to comply
with the Act.” George Hyman Constr., 582 F.2d at 841; see also id. at 840 (“We believe the
most reasonable inference to be drawn from the subsequent addition of
‘repeatedly’ is that Congress intended to provide for enhanced penalties when
an employer committed recurrent violations that did not necessarily rise to the
level of willfulness.” (citing H.R. 16785, 91st Cong., 2d Sess. 67-68 (1970), reprinted in Legislative History at
959-60, and comparing it with Legislative History at 1103)); Todd Shipyards Corp. v. Sec’y of Labor,
586 F.2d 683, 685 (9th Cir. 1978) (discussing that in establishing the greater
penalties of section 17(a), Congress indicated that the repetition of a
violation after a citation and small sanction demonstrated that greater
penalties were necessary to gain that employer’s compliance with OSHA standards
(citing S. Rep. No. 91-1282, 91st Cong., 2d Sess. (1970), reprinted in Legislative History at 141, and Conf. Rep. No.
91-1765, 91st Cong., 2d Sess. 41-42 (1970), reprinted
in Legislative History at 1194-95));
Reich v. D.M. Sabia Co., 90 F.3d 854, 857 n.8 (3rd Cir. 1996) (“The Potlatch test, for the most part, is derived from George Hyman and Todd Shipyards.”).
[22] Our dissenting
colleague mischaracterizes this sentence as requiring a heightened state of
mind, or scienter, appropriate only to a determination of willfulness. The “affirmative steps to achieve compliance
and avoid similar violations in the future” is a summary description of why the
Ballston Spa facility violations are not “substantially similar” to those at
the Edison facility. Further, notwithstanding our dissenting colleague’s intent
to characterize the majority’s decision as based on
finding “good faith” and a failure to find “actual knowledge,” neither of these
terms are used by the majority in the context of the characterization of the
violations affirmed here.
[23] Our dissenting colleague simply misreads our case law to the
extent she is suggesting that a repeated violation under section 17(a) of the
Act automatically occurs whenever there is a final order against the same
employer for a failure to comply with the same standard. If that was our case law, the words
“substantially similar” would never be relevant in a case involving a violation
of the same standard.
[24]
Despite our dissenting colleague’s obvious attempt to set a basis for reversal
of this decision, our conclusion accords with the mandate that agency
decision-making be reasoned; we are compelled to take into consideration the
differing circumstances that, in our view, require a determination that these
violations are not repeated. See 5 U.S.C. § 706 (“The reviewing court
shall . . . (2) hold unlawful and
set aside agency action, findings, and conclusions found to be—(A) arbitrary, capricious,
an abuse of discretion, or otherwise not in accordance with law[.]”); Petroleum Communications, Inc. v. FCC,
22 F.3d 1164, 1172 (D.C. Cir. 1994) (agency action is arbitrary and capricious
“[w]here the agency has failed to provide a reasoned explanation”); NTEU v. Horner, 854 F.2d 490, 498 (D.C.
Cir. 1988) (“Stated most simply, [a reviewing court’s task under the arbitrary
and capricious standard] is to determine whether the agency’s decisionmaking was ‘reasoned.’ ” (internal quotation marks
omitted)). Here, as the Commission has
done in the past, the majority has applied Potlach
in the specific context of the facts of this case. See, e.g., Suttles Truck Leasing,
Inc., 20 BNA OSHC 1953, 1970 (No.
97-0545, 2004) (consolidated) (no repeated violation where, “[b]ecause the facts alleged in [previous] citation were very different from the allegation here, we find that
the hazards posed by the violations were not substantially similar”); see
also Nat’l Cable & Telecomms. Ass’n
v. FCC, 567 F.3d 659, 669 (D.C. Cir. 2009) (FCC “used the
evidence before it to make” reasonable judgment); Am. Radio Relay League, Inc. v. FCC, 524 F.3d 227, 234-35 (D.C. Cir.
2008) (in finding that level of interference with mobile communications caused
by new broadcasting technology was not “harmful”—because interference would
occur only over short distances and affected devices are mobile—FCC did not
“abrogate its precedent” on definition of “harmful interference,” as it was
only applying “its longstanding definition” to “a new context”); Sacramento Mun. Util. Dist. v. FERC, 474
F.3d 797, 803 (D.C. Cir. 2007) (FERC did not depart from precedent but
distinguished it); Nuvio Corp. v. FCC, 473 F.3d 302, 308 (D.C.
Cir. 2006) (“[The reviewing court] may not disturb its determination where . . . the [FCC] has considered
relevant factors and has articulated a reasoned basis for its conclusion.”); West Coast Media, Inc., v. FCC, 695 F.2d
617, 621 (D.C. Cir. 1982), cert. denied,
464 U.S. 816 (1983) (FCC engaged in “eminently reasonable” decisionmaking
when it distinguished an asserted precedent by merely reciting the factual
differences between the prior case and the one before it).
In Hall v. McLaughlin, the D.C. Circuit
explained that “[r]easoned decisionmaking
requires treating like cases alike,” and that “[d]ivergence
from agency precedent demands an explanation.”
864 F.2d 868, 872 (D.C. Cir. 1989). The court went on to explain, however, that
“[w]here the reviewing court can ascertain that the agency has not in fact
diverged from past decisions, the need for a comprehensive and explicit
statement of its current rationale is less pressing.’ ” Id. Further, where “the circumstances of the
prior cases were sufficiently different from those of the [present] case . . .
the [agency] was justified in declining to follow them,” and the court could
accept even a “laconic explanation as an ‘ample’ articulation of its
reasoning.” Id. at 873 (citing United
Mun. Distribs. Group v. FERC, 732 F.2d 202, 211
(D.C. Cir. 1984)). Here, the evidence shows that Angelica’s current violations took
place under disparate conditions from its previous ones, which render them not
“substantially similar” and thus not repeated.
[25] Section 17(a) originally
provided:
Any employer who
willfully or repeatedly violates the requirements of section 5 of this Act, any
standard, rule, or order promulgated pursuant to section 6 of this Act, or
regulations prescribed pursuant to this Act, may be assessed a civil penalty of
not more than $10,000 for each violation.
Occupational Safety
and Health Act of 1970, 84 Stat. 1590, 1606 (1970). In 1990, this provision was amended to read:
Any employer who willfully or repeatedly
violates the requirements of section 5 of this Act, any standard, rule, or order
promulgated pursuant to section 6 of this Act, or regulations prescribed
pursuant to this Act, may be assessed a civil penalty of not more than $70,000
for each violation, but not less than $5,000 for each willful violation.
Omnibus Budget Reconciliation Act of 1990, Pub.
L. No. 101-508, § 3101 (1990).
[26] George Hyman is a Fourth Circuit
decision—a circuit court to which neither party could appeal in this case. See 29
U.S.C. § 660(a); Kerns Bros. Tree Serv.,
18 BNA OSHC 2064, 2067 (No. 96-1719, 2000) (where it is probable that decision
will be appealed to certain circuit, Commission generally applies law of that
circuit). I therefore disagree with my
colleagues’ reliance on this decision, to the exclusion of all else.
In any event, my
colleagues place undue significance on this decision by relying on the court’s
statement that “[w]e have deliberately avoided setting forth an all-inclusive
and rigid definition of ‘repeatedly’ under the Act . . .” to support their
rejection of “a mechanical application of the test for establishing a repeat
characterization.” George Hyman, 582 F.2d at 841.
However, the following sentences of the court’s opinion—which my
colleagues fail to quote—explain why the
court was so restrained in its holding: “We recognize the desirability of
allowing the Commission flexibility in working out reasonable guidelines in
enforcing the Act. We decide only that
fundamental rules of common sense and fairness, applied in light of the
enforcement scheme contained in [section] 17, should control the meaning
and enforcement of the Act.” Id. In a footnote, the court quoted with favor a
passage from its earlier decision in Brennan
v. Gilles & Cotting, Inc., 504 F.2d 1255,
1263-64 (4th Cir. 1974), which concluded: “ ‘We
decline to freeze interpretation, for further enforcement experience may well
demonstrate the wisdom of distinctions and exceptions, if not outright change.’
” George
Hyman, 582 F.2d at 841 n.12. The Potlatch decision’s test for determining
whether a violation should be characterized as repeated constitutes that
“further enforcement experience.” Thus,
this portion of the George Hyman decision
is largely irrelevant.
Moreover, as noted
in Part B below, the Commission’s decision in Potlatch and the Fourth Circuit’s decisions in Gilles & Cotting and George Hyman were issued long before the
Supreme Court’s decisions in Chevron
and CF&I. Although the Fourth Circuit has yet to
revisit the statutory deference question—the Commission decided Potlatch five months after George Hyman—neither the Commission’s
nor the Secretary’s interpretation of “repeatedly” has varied since then.
[27] My colleagues
similarly misread George Hyman, asserting that “[g]iven
the Secretary’s acceptance of the abatement method [in the earlier LOTO
citation], there is no basis here to conclude that Angelica knew its safety
precautions and corrective actions were inadequate . . . .”
[28] In his FMC dissent, Commissioner Barnako repeated his argument that good faith should be factored into a determination of whether a violation is repeated:
In my dissenting opinion in Potlatch Corp . . . I stated that a “defense should be available where the employer can show that it took reasonable, good faith steps after receiving the initial citation to eliminate substantially similar violations from its workplaces.” The majority only considers these good faith factors relevant in determining an appropriate penalty under [section] 17(j) of the Act. Although I agree that these steps are also important for penalty assessment purposes, I would find them relevant to a consideration of whether a respondent was reasonably attempting to comply with its abatement responsibilities under the Act. I believe that good faith attempts at compliance justify a reduction in the characterization of the violation from repeated to serious or nonserious.
FMC Corp., 7 BNA OSHC at 1423 (citation omitted) (emphasis added).
[29] Moreover, the
majority’s singular reliance on “the breadth” of the previous violations, as
compared to the two violations at issue here, as justification for finding the
current violations are not repeated, leads to an absurd result. An employer who previously committed only the
same two discrete violations could be charged with a repeated violation whereas
an employer, such as Angelica here, who previously committed so many violations
that the PRCS and LOTO procedures were rendered—in the words of my colleagues—“substantially ineffective,” could not. This stands the purpose of the repeat
classification on its head. See George Hyman, 582 F.2d at 841 (section
17 “allows for increased fines when the need arises to provide an employer with
added incentive” to comply with the Act).
[30] My colleagues
seek shelter from the inevitable consequences of Chevron deference in this case by arguing that their contrary
conclusion is merely based upon findings of fact and is, therefore,
conclusive. My colleagues completely
ignore that the foundation of my dissent has nothing to do with their findings
of fact—in fact, my colleagues and I have no difference of opinion as to the facts
in this case. Rather, as discussed above,
my dissent rests on my colleagues’ erroneous legal determination that certain
facts—principally those relating to an employer’s good faith effort to abate
any previous violation and the employer’s lack of actual knowledge of the later
violation—are cognizable in determining whether a violation is repeated. It is also, of course, this erroneous legal
determination—not my colleagues’ findings of fact—that radically shifts the
legal test upon which the Secretary, the Commission, and the appellate courts
have relied for almost 40 years. Put
simply, the issue at hand is a legal one that turns entirely on the proper
interpretation of the statutory term “repeatedly”—thus, Chevron is most certainly controlling. Cranesville
Aggregate Cos., 878 F.3d at 33 (applying Chevron deference to Secretary’s interpretation of statute).
[31] The Secretary’s
consistent reliance on the Potlatch
test for alleging repeated violations is also reflected in OSHA’s current Field
Operations Manual; it provides that “[a]n employer may be cited for a repeated
violation if that employer has been cited previously for the same or a
substantially similar condition or hazard and the citation has become a final
order of the Occupational Safety and Health Review Commission . . . . Generally, similar workplace conditions or
hazards can be demonstrated by showing that in both situations the identical
standard was violated . . . .” CPL-02-00-160, ch.
4, ¶¶ VII.A, .B (Aug. 2, 2016).
[32] Notably, the majority opinion lacks any
assessment as to whether the specific violations at issue resulted in
substantially similar hazards, which is what Potlatch requires.
[33] The prior
violation serving as the basis for Item 2b’s repeat characterization, as listed
in the settlement agreement, alleged a violation of § 1910.146(d)(3), the same
subsection of the LOTO standard as was cited in the current citation. The prior
violation serving as the basis for Item 8’s repeat characterization was cited
under § 1910.147(c)(4)(ii), and that violation was unaltered by Angelica’s
subsequent settlement agreement.
[34] The allegations set forth in the relevant item
from the 2004 citations were as follows:
The provisions of the employer’s written confined space entry program were not being
implemented for protection
of employee(s) who enter tunnel washers to remove jammed/clogged laundry. Among the critical deficiencies noted were;
1) failure to test the atmosphere of the space(s)
for air contaminant and specify acceptable entry conditions,
2) failure to isolate the space(s) from thermal and mechanical energy sources,
3) failure to control entry through use of written authorization permits,
4) failure to provide training
to all employee(s) who enter confined spaces,
or act as attendants, and
5) failure to
provide for means of rescue/retrieval in event of emergency
[35] The allegations
set forth in the relevant item from the 2004 citations were as follows:
a) Production area. Written procedures for
lockout/tagout were not site specific. Procedures shall include at a minimum:
Types of machines requiring
maintenance/service
Types of energy sources for those machines
Location of those energy sources
Means for isolating specific energy
sources
Employees are exposed while performing
maintenance/servicing including clearing jams on machinery such as but not
limited to tunnel washers.
[36] The Citation and
Notification of Penalty (“Citation”) issued September 30, 2008, alleged fifteen
serious violations and one other-than-serious violation, with a total proposed
penalty of $23,250. In her Complaint
dated December 23, 2008, the Secretary amended four items to allege repeat
violations and increased the penalty accordingly. She also withdrew two
of the items, i.e., Citation 1, Item
2a and Citation 2, Item 1. Angelica
argues that it was prejudiced by the amended Citation. However, the Commission has held that
amendments made long before the hearing will generally not result in
prejudice. See United Cotton Goods, Inc., 10 BNA OSHC 1389, 1390 n.5 (No.
77-1894, 1982). Here, the Secretary
amended the Citation in her Complaint and Angelica has not demonstrated how it
was prejudiced. Angelica’s argument is
rejected, and the Citation as amended is accepted.
[37]
Angelica set forth the following defenses in its Answer: 1) the amendment to
reclassify certain items as repeat deprives it of due process and 2) these
items are time barred. Angelica has also
alleged it is entitled to the legal fees and expenses it incurred in defending
against the amended citation items.
While most of the items in this case are being vacated, as set out
below, I conclude Angelica is not entitled to an award for its fees and
expenses.
[38] OSHA’s inspection
began on June 5, 2008, and according to the Citation continued through
September 19, 2008. CO Rawson’s
testimony shows she visited Angelica’s facility on June 5, June 12, and July 8,
2008. (Rawson Dep. 68, 281-82).
[39] These factors
are: “(1) the declarant does not have time to realize his own self-interest or
feel pressure from the employer against whom the statement is made; (2) the
statement involves a matter of the declarant’s work about which it can be
assumed the declarant is well-informed and not likely to speak carelessly; (3)
the employer against whom the statement is made is expected to have access to
evidence which explains or rebuts the matter asserted.” Regina
at 1048-49 (citation omitted).
[40] “The Commission stated in Continental Electric Co., (citations omitted), ‘[a]s an out of court declaration, the employee's statement [to the Secretary's industrial hygienist] inherently has less probative value than would the employee's own testimony and is not necessarily entitled to dispositive weight.’” Regina at 1049.
[41] As noted above,
the two prior settlement agreements were included in the stipulated record.
[42] CO Rawson stated the employee, Mr. Papke,
had safety glasses, a face shield, gloves, and cotton uniforms. She further stated that she saw the safety
glasses, face shield, and chemical-resistant apron on the second day of her
inspection. (Rawson Dep. 92-93, 308).
[43] For example, the Secretary did not offer as evidence the material safety data sheet (“MSDS”) for the 50% sodium hydroxide solution, which might have included a PPE recommendation.
[44] The original
Citation listed five instances. The
Secretary has withdrawn Instances (a) and (e) of this item.
[45] 54 Fed. Reg.
36,644, 36,770 (Sep. 1, 1989).
[46] There is no indication that CO Rawson referred to any inspection notes during her deposition testimony, and the record does not include any deposition testimony for Maintenance Manager Barnes.
[47] See http://www.osha.gov/pls/oshaweb/owadisp.show_document?p_table=INTERPRETATIONS&p_id=25949
[48] The Secretary
also notes that the valves feeding the CBW were not labeled and Angelica’s
written procedures did not tell an employee the location of each valve. (S. Br. 41).
Mr. McDonough testified that employees knew the valves’ locations based
on training and experience. (McDonough
Dep. 115-19). I find that the Secretary
has not shown why Angelica’s written instructions, when coupled with its
on-the-job training, were insufficient.
[49] In view of my disposition of this instance, it is not necessary to address whether the interpretation letter, which deals with solenoid valves that cannot be locked out, would apply to this instance.
[50] 29 C.F.R. §
1910.146(d)(5) requires, in pertinent part: “Evaluate permit space conditions
as follows when entry operations are conducted: (i)
Test conditions in the permit required space to determine if acceptable entry
conditions exist . . . .”
[51] Entry supervisor means the person (such
as the employer, foreman, or crew chief) responsible for determining if
acceptable entry conditions are present at a permit space where entry is
planned, for authorizing entry and overseeing entry operations, and for
terminating entry as required by this section.
NOTE: An entry supervisor also
may serve as an attendant or as an authorized entrant, as
long as that person is trained and equipped as required by this section
for each role he or she fills. Also, the
duties of entry supervisor may be passed from one individual to another during the course of an entry operation. 29 C.F.R. § 1910.146(b).
[52] It seems the Secretary may also be arguing that Angelica’s
permit is not compliant because it only shows a space for a signature and not
an additional space for a printed name.
(S. Br. 50-51). However, this is
not required by the plain language of the cited standard. It requires that the individual be identified
– a signature could meet that requirement.
Additionally, I note that Sample D-2 of Appendix D does not provide a
separate space for the printed name and a signature, nor does it specify
whether a name appear in printed form or as a signature.
[53] “In issuing its final rule, OSHA determined that the identity of the person conducting the testing provides a vital accountability function of promoting ‘individual responsibility’ for testing functions.” 58 Fed. Reg. 4,462, 4,506 (Jan. 14, 1993).
[54] “Duties of authorized entrants. The employer shall ensure that all authorized
entrants: (1)
Know the hazards that may be faced during entry, including information on the
mode, signs or symptoms, and consequences of the exposure; (2) Properly use
equipment as required by paragraph (d)(4) of this section . . . .” 29 C.F.R. § 1910.146(h).
[55] The Secretary also alleges that authorized entrants were not provided sufficient information about the requirements for atmospheric testing. (S. Br. 56). Because the Secretary is unclear about which requirements she is referring to, I will not address this allegation. Further, if the Secretary is referring to lack of training in the use of atmospheric testing equipment itself, no evidence was provided this was a normal duty for an authorized entrant. To the contrary, provisions in the confined spaces standard imply that a party other than the entrant could conduct the testing. See 29 C.F.R. §§ 1910.146(c)(5)(ii)(C) and 1910.146(d)(3)(ii).
[56] Citation 1, Items 6(a)-6(c), discussed below, address the
content of Angelica’s rescue plan.
[57] The duties for an
entry supervisor are set forth at 29 C.F.R. § 1910.146(j).
[58] Mr. McDonough testified that he believed employees had demonstrated proficiency because three employees successfully demonstrated use of the PHD monitor to him. (McDonough Dep. 145). The Secretary asserts that Mr. McDonough’s deposition testimony about these three employees is irrelevant because this demonstration was conducted after the inspection and after additional training had been provided to employees. (S. Br. 56). To support this contention, the Secretary notes that Mr. McDonough began his employment after the start of OSHA’s inspection. Id. However, the Citation lists this violation as occurring “on or about June 12, 2008.” (Rawson Exh. 14). Mr. McDonough began his employment with Angelica on June 10, 2008. (McDonough Dep. 37). Because this is the only evidence the Secretary presents to dispute the validity of McDonough’s testimony, I find the Secretary’s argument unpersuasive.
[59] Additionally, the
Secretary relies on CO Rawson’s conclusion, based on employee interviews, that
training was insufficient for Angelica’s entry supervisors. (S. Br. 59).
The Secretary did not provide evidence to support CO Rawson’s
conclusion.
[60] 29 C.F.R. §
1910.146(k)(1)(iii) provides, in pertinent part: “(iii) Select a rescue team or
service from those evaluated that: (A) Has the capability to reach the
victim(s) within a time frame that is appropriate for the permit space
hazard(s) identified; (B) Is equipped for and proficient in performing the
needed rescue services . . . .”
[61] The CO’s
testimony as to what she learned about the BSFD’s ability to retrieve an
entrant is set out above.
[62] The Secretary
offered a hand-drawn diagram of the fenced wash area to show exposure. (McDonough Exh.
2). However, she does not describe the
path an employee would travel or his proximity to a moving shuttle. This diagram, therefore, was not helpful to
resolve this citation item.
[63]
The Secretary provided a hand-drawn diagram of the fenced wash area; the
diagram, however, does not include the distance between machines and the
employee’s path of travel to demonstrate exposure to moving equipment. (See McDonough
Exh. 2).
[64] The Secretary
points to CO Rawson’s testimony that Angelica’s procedures were too
general. (S. Br. 111). In her testimony, the CO said she learned,
through employee interviews, that the lockout methods varied from one employee
to another. (Rawson Dep. 270). However, there was no evidence indicating the
nature of the questions asked, the answers, or how the answers varied. Further, the CO admitted she did not ask the
employees to perform a lockout using Angelica’s written procedures. (Rawson Dep. 269-271). I find the CO’s testimony unpersuasive.
[65]
The preamble to the final rule for the LOTO standard sets out the
following. “In
this final standard, OSHA has retained the word “specific” when detailing the
elements of the procedure. This was done
to emphasize the need to have a detailed procedure, one which clearly and specifically
outlines the steps to be followed.
Overgeneralization can result in a document which has little or no
utility to the employee who must follow the procedure. However, whereas the procedure is required to
be written in detail, this does not mean that a separate procedure must be
written for each and every machine or piece of equipment. . .
. The written energy control procedure required by this standard need
not be overly complicated or detailed, depending on the complexity of the
equipment and the control measures to be utilized.” 54 Fed. Reg. 36,644, 36,670 (Sept. 1,
1989).
[66] The Secretary asserts that Mr. Malter,
Angelica’s expert, found that Angelica’s lockout procedures for the press and
shuttles were not sufficiently detailed.
(S. Br. 104). However, a review
of Mr. Malter’s testimony shows that he was referring
only to the shuttles, not the press; in particular, he
indicated he had not seen specific procedures for the shuttles in the
information he reviewed. (Malter Dep. 175-78).
I have reviewed the exhibits attached to Mr. Malter’s
deposition and find that the lockout/tagout surveys specific to the shuttles
were not included. I find, therefore,
that the information Mr. Malter reviewed was
incomplete and do not credit his opinion related to the lockout procedures for
the shuttles.
[67] See
http://www.osha.gov/pls/oshaweb/owadisp.show_document?p_table=INTERPRETATIONS&p_id=25576.
[68] Angelica’s program consists of: a ten-page general step-by-step lockout procedure; a three-page shuttle safety procedure, which includes lockout; an eight-page overview of the lockout program; a six-page document specific to the CBW; and, finally, the lockout surveys for each particular machine. (Stip. Fact 47; McDonough Exh. 5-10).
[69] Instance (b) for
this item was withdrawn; it alleged a lack of training for employees cleaning
in the wash area.
[70] Item 7, above,
addressed whether Angelica’s lockout procedures were enforced.
[71] There is no
indication that CO Rawson consulted her interview notes during her deposition;
she also did not identify the employees she interviewed, and there was no
related documentation in the stipulated record.
[72] This is the same work activity discussed in Item 1, above. The CO did not observe the solution transfer, instead she interviewed the employee who performed this work; further, Mr. McDonough confirmed that this transfer process occurred. (Rawson Dep. 91-99, 308; McDonough Dep. 203).
[73] I also note that
the ANSI standard is not among the documents that are included in the record.
[74] See Bridgeport Brass Co., 11 BNA OSHC 2255 (No. 82-899, 1984). There, an employee transferring sulfuric acid
outside the building had to walk 16 feet to the building’s entrance, go through
the entrance door, and then walk another 7 feet to the eyewash station. Id.
at 2256. The Commission found the Secretary did not
provide evidence to show that there was an “unreasonable impediment” to reach
the location of the eyewash and shower. Id.at 2256.
[75] The Citation stated that subparagraph (B) of 29 C.F.R. § 1910.1030(f)(1)(ii) had been violated. In her brief, the Secretary cites to 29 CF.R § 1910.1030(f)(1)(ii). (S. Br. 128). Angelica did not object, and the language in the original Citation is consistent with the allegation that a violation occurred because employees incurred expenses when getting the HBV vaccination series. Angelica has thus suffered no prejudice in its defense of this item.
[76] Mr. McDonough
began his employment as Angelica’s environmental
safety and health manager on June 10, 2008, which was five days after OSHA
began its inspection. (McDonough Dep.
37, 166).
[77] The exact date of
this injury was not provided. However,
Mr. McDonough testified that Mr. W. received his second shot in the HBV series
in mid-April, about a month after the incident.
(McDonough Dep. 214-20).
[78] The
originally-issued citation alleged a violation of 29 C.F.R. § 1910.146(c)(4);
in the settlement agreement, this was changed to a six-item citation of the
following: 29 C.F.R. §§ 1910.146(d)(5),
1910.146(d)(3), 1910.146(e)(1), 1910.146(g)(1), 1910.146(d)(9) and 1910.146(d)(14).
[79] It appears the prior violation was based on a lack of a written testing program; the current violation is related to expired gas in a meter. (S. Br. 84).
[80] As noted above,
the Secretary amended Item 3 to repeat, but it has been affirmed as serious.
The Secretary’s formula for the proposed serious violations in this case was
applied to arrive at the penalty of $2,125.