UNITED STATES OF AMERICA
OCCUPATIONAL SAFETY AND HEALTH REVIEW COMMISSION
SECRETARY
OF LABOR, |
|
Complainant, |
|
v. |
OSHRC
DOCKET NO. 80–1224 |
DANIEL
CONSTRUCTION CO., BOISE CASCADE PROJECT, |
|
Respondent. |
|
December 29, 1981
DECISION
Before: ROWLAND, Chairman; CLEARY and COTTINE,
Commissioners.
BY THE COMMISSION:
A decision
of Administrative Law Judge Ben D. Worcester is before the Commission pursuant
to section 12(j), 29 U.S.C. § 661(i), of the Occupational Safety and Health Act
of 1970, 29 U.S.C. §§ 651–678 (‘the Act’). Judge Worcester affirmed in part and
vacated in part two citations issued by the Secretary of Labor (‘the
Secretary’) to Respondent, Daniel Construction Company (‘Daniel’), following an
inspection of a construction site in Rumford, Maine, where Daniel was engaged
as the general contractor in constructing a paper mill for Boise Cascade
Corporation. The Secretary petitioned for discretionary review of the judge’s
disposition of five citation items or subitems and Commissioner Cottine
directed review on the issues raised by the petition, including the following:
1.
Whether the judge erred in vacating citation 1, item 1, alleging noncompliance
with 29 C.F.R. § 1926.400(a).
2.
Whether the judge erred in vacating citation 1, item 2, alleging noncompliance
with 29 C.F.R. § 1926.451(a)(13), which relates to safe access for scaffolds,
on the grounds that:
(a)
it was conceded that a ladder was available at another location at the time of
the inspection, and
(b)
the employee’s use of diagonals to climb the scaffold was unpreventable
employee misconduct.
3. Whether
the judge erred in vacating citation 2, item 13, which alleged noncompliance
with 29 C.F.R. § 1926.552(c)(15), on the ground that the Respondent performed
regular maintenance on the hoist in question in compliance with 29 C.F.R. §
1926.501(c).
4. Whether
the judge erred in vacating citation 2, items 14 and 15(b), alleging
noncompliance with Articles 230–70(b) and 320–10, respectively, of the National
Electrical Code (NFPA 70–1971), as incorporated by reference in 29 C.F.R. §
1926.400(a).
For
the reasons set forth below, we affirm in part and reverse in part those
portions of the judge’s decision before us on review.
I
Daniel
was charged with a serious violation of the Act based on noncompliance with
Article 110–17(a) of the National Electrical Code, as adopted by the standard
at 29 C.F.R. § 1926.400(a),[1] in that a length of 12–2
NMC conductor with exposed live parts was lying on the ground.
At
the hearing, royal Hoyt, a compliance officer with the Occupational Safety and
Health Administration (‘OSHA’), testified that during the inspection he had
discovered a piece of ‘romex’ wire lying on the ground next to some scrap
lumber. The wire was adjacent to a path of access for employees coming in and
out of the building under construction. The wire had been cut relatively
cleanly and squarely; the insulation was not peeled back, but bare metal was
exposed at the end. Hoyt performed two tests on the wire: the first, with a
biomedical field probe, was positive, indicating that the wire was energized;
the second, with a voltage tester, indicated that the line carried 110 volts.
Hoyt identified the hazard as the potential for electrical shock or
electrocution if someone came in contact with the wire. He observed two
employees in the vicinity. One was operating a backhoe approximately 10 feet
from the wire. A second brushed the wire with his pant leg while walking
towards the inspection party. On cross-examination, though, Hoyt was asked to
demonstrate how he had used the biomedical field probe during the test and,
upon reading the instructions on the back of a similar tester, he changed his
description of the manner in which he had operated the probe.
Henry
Collins, the assistant superintendent for the electrical subcontractor on the
project, testified for Respondent that he had examined the wire some 20 to 30
minutes after the compliance officer left the area and had determined that it
was ‘dead.’ He also stated that the procedure that would be followed in
removing a ‘dead’ wire was to erect black and yellow barricade tape around the
area, turn the circuit breaker off, then sever the cable with a squared-off cut
by a pair of saw cutters, and roll it up. Collins further noted that a cable
that was still energized would be cut in a different manner and added that work
on removing the cable in question had begun an hour before the OSHA inspection.
Two witnesses asserted that barricade tape was erected in the area. However,
Hoyt could not recall passing through any such tape.
In
rebuttal, a second compliance officer, Elmer Creveling, testified that he had
been part of the inspection party when Hoyt conducted the voltage test and that
the voltage tester had registered 110 volts in the line. Creveling also stated
that the romex wire had been cut so that the metal parts at the end of the
wires were visible.
In
his decision, Judge Worcester declared that the testimony of the two compliance
officers lacked credibility, when compared with credible testimony to the
contrary, because of Hoyt’s erroneous description regarding the proper use of
the biomedical field tester. He also noted that the testimony regarding the
presence of barricades was unrebutted. The judge concluded as a matter of law
that the Secretary’s allegation of violation was not established by a preponderance
of the evidence.
On
review, the Secretary states that the judge rested his decision to vacate this
citation on Hoyt’s inaccurate use of the field probe and argues that any
ambiguity regarding the use of the field probe is immaterial because the voltage
tester, with its precise measurement, is the only significant test here and it
established the presence of 110 volts in the line. Moreover, the Secretary
asserts, the testimony of the compliance officers as to the employee exposure
at the time of the inspection was unrebutted. The Secretary adds that
barricades that fail, as here, to prevent employee exposure to the hazard,
cannot satisfy the requirements of the standard.
Daniel
urges that Judge Worcester’s ruling on this issue be affirmed because the Secretary
failed to establish that employees were exposed to a hazard. Daniel also argues
that the Secretary failed to prove that Respondent had knowledge of the
hazardous condition, since from all appearances—the use of the barricades and
the squared-off cutting of the cable—the established procedures for removing
‘dead’ wire were being followed.
It is
well-settled that, in order to establish a violation of section 5(a)(2) of the
Act, the Secretary must prove that the cited employer either knew or could have
known with the exercise of reasonable diligence of the presence of the
noncomplying condition. General Electric
Company, 81 OSAHRC 42/A2, 9 BNA OSHC 1722, 1981 CCH OSHD ¶25,345 (No.
13732, 1981); Prestressed Systems, Inc.,
81 OSAHRC 43/D5, 9 BNA OSHC 1864, 1981 CCH OSHD ¶25,358 (No. 16147, 1981). The
Secretary failed to meet that burden in this case. There is no evidence that
Daniel had actual knowledge of a violative condition here. Moreover, we
conclude on the basis of the record before us that it did not have constructive
knowledge of the cited conditions. The record indicates that the wire was cut
squarely. Its insulation was not peeled back as it would have been had the wire
been energized at the time it was severed. Moreover, the preponderance of the
evidence supports the judge’s finding that the area was marked with barricade
tape. These measures were consistent with Collins’ unrebutted account of the
standard procedures that were followed in removing deenergized wires.
Therefore, even if a Deniel supervisor had observed the condition of the wire,
the supervisor could reasonably have believed, based on the fact that dead-wire
procedures were evidently being followed, that the wire was indeed deenergized
and, thus, that no hazard was present. Accordingly, the Secretary has failed to
prove that Daniel could have known of the violation with the exercise of
reasonable diligence and the citation must be vacated.
II
Daniel
was charged with a serious violation of the Act based on its alleged failure to
comply with the standard at 29 C.F.R. § 1926.451(a)(13)[2] in that an employee
working on a float scaffold was not provided with safe access to that scaffold.
During
the inspection, an employee was observed on a float scaffold 33 feet above the
ground with no visible means of access to or from the scaffold, other than the
diagonal members of the structural steel that was bracing the building wall.
Hoyt described these diagonal members as smooth steel, 8 to 10 inches wide, and
placed at an incline of approximately 45 to 55 degrees from the horizontal. He
identified the hazard as the potential for an employee to fall while using the
diagonals as access to the scaffold. Daniel’s project safety manager, Charles
Briggs, testified that, after their initial observation of the employee on the
scaffold, the inspection party had seen two workers on the ground bring a
ladder to the area below the scaffold at lunchtime and raise it up to the
employee, who then came down the ladder. The employee, Robert Reid, testified
that he had been working on the scaffold when the compliance officers had come
by. He stated that on or about the date of the inspection he had ascended to
the float scaffolds on more than one occasion by climbing on the diagonal
bracing.
In
his decision, Judge Worcester vacated this item, ruling that a ladder was
available and used for descent, although noting that it was undisputed that
there was no ladder present when Hoyt arrived at the location. In addition, the
judge concluded, on the basis of the employee’s admission that he used
diagonals instead of a ladder to climb up to the scaffold, that the employee
had engaged in an isolated incident for which the employer could not be held
accountable.
The
Secretary argues on review that the cited standard requires use, not mere
availability, of ladders for safe access and that Daniel’s noncompliance was
therefore established by the evidence that he employee failed to use a ladder.
Daniel insists that the judge found that the ladder was available and used;
consequently, Daniel was in compliance with the standard. Deniel adds that
Judge Worcester’s decision indicated that he found Reid’s testimony not to be
credible, based on his perception of the employee’s demeanor, and that the
Commission should defer to this credibility determination.
We
conclude that the judge erred in vacating this item. As the judge himself
pointed out, it was undisputed here that there was no ladder present when the
compliance officer arrived at the scene. Moreover, there is no evidence in the
record that Daniel provided any equivalent safe access. Because Daniel did not
provide a ladder at the location and climbing the diagonal members of the
structural steel bracing was not equivalent safe access, we conclude that
Deniel failed to comply with section 1926.451(a)(13).[3] We further conclude, in
light of the potential fall distance of up to 33 feet, that the violation is
properly characterized as serious. Section 17(k) of the Act, 29 U.S.C. §
666(j).
Accordingly,
we reverse the judge’s decision with respect to this item and we affirm the
Secretary’s citation insofar as it alleges a serious violation of the Act based
on noncompliance with the standard at 29 C.F.R. § 1926.451(a)(13).
III
Daniel
was charged with an other than serious violation of the Act based on
noncompliance with the standard at 29 C.F.R. §1926.552(c)(15)[4] in that a
personnel/material hoist was overdue for required inspection and testing of all
functions and safety devices.
In
his decision, Judge Worcester found that regular maintenance of the hoist was
performed under the supervision of the manufacturer as often as once a month.
In his view, this satisfied the standard’s requirement that an inspection and
test of all functions and safety devices be made by a competent person at intervals
of no more than three months.
We
have reviewed the pertinent portions of the record and have considered the
parties’ arguments concerning this item, which arguments are essentially the
same as those made before the judge. We conclude that the judge properly
vacated the citation for the reason he assigned.[5]
Accordingly,
we affirm the vacation of the Secretary’s citation insofar as it alleges
noncompliance with the standard at 29 C.F.R. § 1926.552(c)(15).
IV
Daniel
was charged with noncompliance with Article 230–70(b) of the National
Electrical Code, as adopted by 29 C.F.R. § 1926.400(a), note 1 supra, in that a temporary electrical
booth elevated on concrete blocks was not provided with steps for immediate
access.[6]
At
the hearing, Hoyt testified that he had observed a temporary electrical service
panel enclosure, elevated above ground level approximately 3 to 4 feet and
resting on several concrete blocks. The service booth housed various electrical
circuit breakers and controls for both temporary and permanent wiring within
the building under construction. There were no stairs, ladders or other
equivalent means of access into the elevated service enclosure. Hoyt identified
the hazard as the absence of a form of immediate access to the booth in order
to shut down an electrical source in the event of an emergency, such that the
delay could increase the probability or the extent of an electrical fire. Many
employees were exposed to this alleged hazard, because the service panel
controlled electrical service throughout the building. Hoyt admitted that he
never actually entered the enclosure.
Bob
Porter, a heavy industrial division safety manager for Daniel, testified that
the penal booth was elevated because a crew was preparing to pour concrete on
the floor, which would have been impossible had the booth been resting on the
ground. He explained that the booth was suspended from the ceiling by two
cables; the concrete blocks were used as dunnage to protect the workers when
they installed reinforcing steel underneath the suspended booth. He maintained
that access to the booth was possible, despite its elevation.
In
his decision, Judge Worcester ruled that Article 230–70(b) of the National
Electrical Code is irrelevant to the situation described by the compliance
officer. The judge referred to Article 230–70(b) as ‘a safety standard which
requires, when there is an emergency, that a means for disconnection of
energized wires such as switches or circuit breakers be installed.’ He observed
that neither the absence of loose blocks to step upon as a means of access to
disconnectors in a temporary electrical service booth nor open wiring used to
supply a temporary receptacle come within the purview of Article 230–70(b);
thus, there was no violation of 29 C.F.R. § 1926.400(a). In addition, the judge
specifically stated that there was no convincing proof that access to
disconnect switches was impeded. On review, the Secretary contends that he
established noncompliance with Article 230–70(b) because access to the panel
booth was impeded. Daniel responds that the booth was easily accessible.
The
standard requires that disconnecting means shall be located at a readily
accessible point nearest the entrance of the conductors, either inside or
outside the building or structure.[7] The NEC defines ‘readily
accessible,’ in Article 100, as ‘capable of being reached quickly, for
operation, renewal, or inspections, without requiring those to whom ready
access is requisite to climb over or remove obstacles or to resort to portable ladders,
chairs, etc.’ The compliance officer stated that the booth was elevated
approximately 3 to 4 feet above ground level and gave his opinion that the
booth was not readily accessible; Daniel’s official gave his opinion that it
was. A photographic exhibit shows the floor of the booth at approximately
waist-height of the workers. There is no other evidence. On these facts, we
conclude that the Secretary has not established that the booth was not readily
accessible.
For
the reasons stated, we affirm Judge Worcester’s order vacating this item.
V
Daniel
was charged with noncompliance with Article 320–10 of the National Electrical
Code, as adopted by 29 C.F.R. § 1926.400(a), note 1 supra, in that open wiring
used to supply a temporary receptacle was not separated at least 2 inches from
metal conduit, piping or other conducting material.[8]
At
the hearing one of the compliance officers, Creveling, testified that he
observed two unprotected wires running through a junction box mounted on a wall
in the building. Using a biomedical field probe, he determined that one of the
wires was energized. The wires were hanging close to some metal brackets which
were stacked against the wall. On each side of the junction box, the wires were
in contact with the fixtures used to clamp the box to the beam. Creveling
observed two employees within 8 feet of the box and described the area as one
of free access by employees. The area was not barricaded. He stated his opinion
that the conditions presented a hazard because a person storing the iron
brackets could crush the wire’s covering with the brackets and could be exposed
to a 110-volt shock. Daniel’s witness, Collins, testified that the open
conductors were separated at least 2 inches from metal conduit, piping or other
conducting material, except at the point where the wires entered the box.
Collins added that the wires were protected by ‘20 amp breakers’ in a circuit
breaker box.
In
his decision, Judge Worcester noted that the compliance officer’s testimony
regarding the condition of the wire was undisputed by Respondent. Nevertheless,
the judge observed that whenever temporary wiring enters a junction box it must
pass through an opening in the box, which opening is likely to be less than 4
inches in diameter. Referring to the failure of the Secretary’s witnesses to
explain how energized conductors could be insulated from contact with the very
junction boxes they were entering, Judge Worcester determined that the NEC
provision relied upon by the Secretary, Article 320–10, was not applicable
here. Therefore, he dismissed this item of the citation.
The
Secretary argues on review that Judge Worcester erred when he dismissed the
citation on the basis that the standard must be unenforceable because a 2-inch
separation would not ordinarily be maintained between an open conductor and the
junction box at the point of entry. The Secretary faults this reasoning: first,
because the NEC covers this very situation at Article 270–7(b);[9] and, second, because the
condition of the junction box was never at issue here, only the relationship
between the open conductor and the metal clamps.
Daniel’s
fundamental argument is that the Secretary failed to show that the conductors
posed a hazard. Daniel states that the photographic exhibits show that it would
have been virtually impossible for the materials stacked against the wall to
have damaged these conductors in any way. Accordingly, if any violation
occurred, it was de minimis.
The
Secretary presented unrebutted evidence that at least one energized wire on
both sides of a junction box directly contacted the metal fixtures used to
clamp the box to a beam. Accordingly, the Secretary established Daniel’s
noncompliance with Article 320–10 of the National Electrical Code. Judge
Worcester’s reference to the opening into the junction box is irrelevant, for
the issue here was the failure to maintain a 2-inch separation between the
conductor and the metal clamp, which was a ‘conducting material.’ This,
Respondent failed to do. Nevertheless, the Commission has found violations to
be de minimis when the hazard involved bears such a negligible relationship to
employee safety as to render inappropriate the imposition of an abatement
requirement or the assessment of a penalty. Bethlehem
Steel Corporation, 81 OSAHRC ——, 9 BNA OSHC 2177, 1981 CCH OSHD ¶25,645
(No. 77–617, 1981). There is no evidence that the wire at issue was actually
damaged. Moreover, an employee could only sustain a shock if the wire’s
protective covering were damaged at the point where it was in contact with
either of the metal clamps and the employee then reached behind the stacked
brackets and touched one of the clamps. As noted by Daniel, the positioning of
the wires behind the horizontal bar to which the junction box was attached
minimized the possibility that they might be damaged at the point where they
contacted the clamps. Furthermore, the wires themselves were additionally
protected by circuit breakers. Thus, the record establishes that the
possibility of injury was too remote and too speculative to warrant the
imposition of a penalty or the entry of an abatement requirement and, hence,
the de minimis classification is appropriate.[10]
Accordingly,
we modify the judge’s decision as follows. Item 1 of citation 1 and items 13
and 14 of citation 2 are vacated. Subitem 15(b) of citation 2 is affirmed,
although only as a de minimis violation. Finally, item 2 of citation 1 is
affirmed and, in light of the statutory criteria prescribed in section 17(j) of
the Act, 29 U.S.C. § 666(i), we assess a penalty of $550.
SO ORDERED.
FOR THE COMMISSION:
Ray H. Darling, Jr.
Executive Secretary
DATED: DEC 29, 1981
UNITED STATES OF AMERICA
OCCUPATIONAL SAFETY AND HEALTH REVIEW COMMISSION
SECRETARY
OF LABOR, |
|
Complainant, |
|
v. |
OSHRC
DOCKET NO. 80–1224 |
DANIEL
CONSTRUCTION CO., BOISE CASCADE PROJECT, |
|
Respondent. |
|
November 13, 1980
APPEARANCES:
Michael D. Felsen, Esq. and Constance
Franklin, Atty. of Boston, Mass., for Complainant
George Harper, Esq. and Carl Carruth, Esq.
of Greenville, South Carolina, for Respondent
DECISION
WORCESTER, Judge:
On
January 23, 1980, pursuant to the provisions of 29 U.S.C. section 657 (section
6, The Occupational Safety and Health Act of 1970, 29 U.S.C. section 651 et
seq., hereinafter called the Act), the complaint, Secretary of Labor, caused an
inspection to be made of a construction project in Rumford, Maine, where Daniel
Construction Co., as general contractor, was one of the contractors engaged in
the construction of a paper mill. It is conceded that the Respondent filed a
timely notice of contest and that Daniel is an employer within the meaning of
the Act subject to the jurisdiction of this Commission.
When
this proceeding came on for trial in Portland, Maine, on August 19, 1980, the
Secretary moved to withdraw Items 2, 3, 6, 11(d), 15(a) and 16 of Citation 2.
At the same time the Respondent Daniel moved to withdraw its notice of contest
of Items 4 and 7 of Citation 2. No penalties were involved. Accordingly, the
alleged violations described in the items withdrawn are vacated. Items 4 and 7
of Citation 2 are deemed to have become a final order by operation of law
constituting violations as described therein without penalty.
The
Validity of the Construction Safety Standards
Daniel
in its answer and its post hearing brief contends that the Contract Work Hours
and Safety Standards Act (86 Stat. 96; 40 U.S.C. 327) now commonly known as the
Construction Safety Act (CCA), as amended in 1969, which was incorporated by
reference in the Department of Labor’s promulgation of standards in 36 F.R.
7340, on April 17, 1971, as 29 CFR 1518.1 et seq. was unlawfully adopted. Part
1518.1 has subsequently been redesignated as Part 1926, (see Part 1518 issued
under sec. 1, 83 Stat. 96, 97, adding sec. 107 to Public Law 87–581, 76 Stat.
357; 40 U.S.C. 333.)
This
contention cannot be sustained if the grant of authority to the Secretary in
section 6(a) of the Act (29 U.S.C.A. 655(a)) which provides in part:
Sec. 6(a) Without regard to Chapter 5 of
title 5, United States Code, or to the other subsections of this section, the
Secretary shall, as soon as practicable during the period beginning with the
effective date of this Act and ending two years after such date, by rule
promulgate as an occupational safety or health standard any established Federal
standard.
This section authorized the Secretary to proceed as he
did.
Chapter
5, Title 5, section 551 et seq., popularly known as the Administrative
Procedure Act, in sec. 553 entitled ‘Rule Making’ defines the term ‘established
Federal standard’ as an occupational safety and health standard established by
an agency of the United States and presently in effect or contained in any Act
of Congress in force on the date of enactment of the Act. 29 U.S.C.A. 652(10).
Daniel
contends that notwithstanding the fact the Secretary published a notice of
proposed rule making on February 2, 1971, and had held six informal regional
hearings for the purpose of receiving oral and written comments on the proposed
rules that Part 1926, of Title 29 was not lawfully promulgated, citing 29
U.S.C.A. 553(d) which states that:
(d) The required publication or service of
a substantive rule shall be made not less than 30 days before its effective
date, except—
(1) a substantive rule which grants or
recognizes an exemption or relieves a restriction;
(2) interpretative rules and statements of
policy; or
(3) as otherwise provided by the agency
for good cause found and published with the rule.
The
Respondent Daniel contends that OSHA, in its April 17, 1971, Federal Register
notice attempted to circumvent section 553(d)(3) by making a regulation effective
retroactively, saying that the Secretary based his finding of good cause on the
unilateral, unsubstantiated statement that affected parties could comply with
the new standard within ten days.
The
Respondent takes the position that the Secretary of Labor, in order to avoid
compliance with the rule making provision of the APA requiring notice,
unlawfully sought to incorporate the regulatory provisions of section 107 of
the CSA by publishing 29 CFR, Part 1518 (now 29 CFR, Part 1926) on April 17, 1971,
just ten days before the Occupational Safety and Health Act of 1970 became
effective. This was done under a claim that the 30 days public notice
provisions were inapplicable. These standards were subsequently propertied to
be adopted as OSHA standards under the authority of section 6(a) of the OSH
Act.
Daniel
contends that the standards are null, void and unenforceable because of the
Secretary’s assertion of exemption is based upon an erroneous construction of
section 553(d) of the APA.
Daniel
says that Congress intended to impose upon an administrative agency seeking to
utilize the 5 U.S.C.A. 553(d) exemption a heavy burden of showing public
necessity for an early effective date where sanctions are to be imposed and
that the Secretary arbitrarily found good cause contrary to the fundamental
principles of fairness. This, it is argues, requires dismissal of this
proceeding citing United States v.
Gavrilovic, 551 F.2d 1099, 1105 (8th Cir. 1977); United States Chamber of Commerce v. Secretary of Labor, —— F.2d
——, No. 78–2221 (D.C. Cir. 1980).
The
Court in Nat Indus. Constructors v.
Secretary of Labor, 503 F.2d 1048, 1053 footnote 9 (8th Cir. 1978) said in
part:
We cannot ignore the Secretary’s timing in
these cases. The Construction Safety Act regulations became effective one day
prior to April 28, 1971, the effective date of OSHA. Had they been published in
the Federal Register for thirty days, the Secretary could not have summarily
adopted them as ‘existing Federal standards’ under section 6(a) of OSHA.
But,
the Court held that although they would have great difficulty upholding the
Secretary’s claim of good cause, under these circumstances, an employer is
barred from raising the issue in an enforcement proceeding. This view was
approved by the court in National
Industrial Constructors v. Secretary of Labor, 583 F.2d 1048, 1053 (8th
Cir. 1978). On the other hand the 9th Cir. rejected this view, see Marshall v. Union Oil of Cal., 616 F.2d
113, 118 (1980) where the court said that 29 CFR 6(f) which gives any person
adversely affected by a standard issued under this section the right to
challenge its validity within 60 days does not bar an employer from raising
this issue during an enforcement proceeding.
I do
not consider the case of Nader v. Sawhill,
514 F.2d 1064, Temporary Emerging Court of Appeals (1975) holding that that the
record must show clear error of judgment before agency action can be declared
to be arbitrary and capricious to be significant except in the law of appellate
procedure. The same may be said of Texaco,
Inc. v. Federal Emergency Administration, 531 F.2d 1071 (Temporary Emerging
Court of Appeals 1976) also cited by Daniel.
However,
the First Circuit has not spoken on this issue. For that reason and in
consideration of the fact that there is a conflict of views in other circuits
the rule pronounced by the Review Commission in Secretary of Labor v. Daniel Construction Co., OSHRC Nos. 7672 and
7734, 5 BNA OSHC 1005, 1007, February 10, 1977, is controlling. In that
proceeding the Commission rejected the contention of Respondent that the
adoption of the Construction Safety Act (40 U.S.C. 333 et seq.) as an
occupational safety and health standard under authority of section 6(a) of the
OSH Act was invalid.
The
Commission said that the making of the CSA standards applicable earlier than 30
days after publication was consistent with the objective of the Construction
Safety Act which was to promote employee safety. This, said the Commission,
constituted good cause as defined by section 553(d) of the Administrative
Procedure Act.
Accordingly,
I find and conclude as a matter of law that Part 1926, Title 29 of the Code of
Federal Regulations was lawfully promulgated by the Secretary. The Respondent’s
argument to the contrary is accordingly rejected.
At
the conclusion of the case for the Secretary, the Respondent moved for
dismissal of Items 1, 12, 13 and 15(b) of Citation 2. Ruling was reserved. The
Secretary failed to sustain the burden of proof of violation in each item. For
that reason the motion will be granted and the citations named together with
the proposed penalty of $150 mentioned in Item 13 will be vacated.
Citation
2, Item 1
The
Secretary’s proof that there was combustible gas in the area and that the fire
extinguishers were not within 50 feet is not convincing. There was no violation
of 29 C.F.R. 1926.150(c)(1)(VI).
The
Secretary’s witness Hoyt, purporting to speak for himself and everyone else
present (saying that the ‘inspection party’ observed no fire extinguishers) was
the chief source for this citation. Not even under the liberal rules of
administrative procedure can a witness’ conclusion as to what was in the minds
of other persons in a group be the basis of a finding of fact. Viewing Hoyt’s
testimony in its most favorable light, the most it proves is that Hoyt didn’t
see any fire extinguishers, but he made no measurements and offered no
explanation for his failure to do so. There is not even a prima facie case of
violation of 1926.150(c)(1)(VI).
Even
if it were assumed arguendo that there was a prima facie case, and that this
portion of Respondent’s motion could be denied, the testimony of the
Respondent’s witness, Briggs, that there were 520 fire extinguishers at the
site, some within 50 feet of the worksite involved, is sufficient to sustain
vacation of this allegation. Hoyt had an opportunity to rebut this assertion.
He did not.
Citation
2, Item 12
The
doorway mentioned was not part of a stairway. It was located across a landing
opposite the top of the stairway. In any event it is common knowledge that
there are many tripping hazards in a building under construction which
construction employees must be wary of. The rebar installed in the doorway for
stabilization until the area was enclosed is an example. There was no violation
of 29 C.F.R. 1926.501(c).
Citation
2, Item 13
Regular
maintenance of the hoist referred to in Item 13 was performed under the
supervision of the manufacturer as often as once a month. This is convincing
proof of compliance with the provisions of sec. 501(c) which says only that an
inspection and test of all functions and safety devices shall be made by a
competent person at intervals of no more than three months.
Citation
2, Item 15(b)
The
Secretary’s inspection observed open wiring running into a junction box. He
said that because it was not protected by some type of covering there was a
risk of physical damage to the line. This could result in exposure of employees
to contact with energized wires. It was alleged that this was a violation of 29
C.F.R. 1926.400(a) which incorporates Article 320–10 of the National Electrical
Code by reference which requires that open conductors be separated at least 2
inches from other electric current conducting material. These wires were not so
protected.
The
Respondent does not dispute this testimony but argues that Article 320–10 is
inapplicable to temporary wiring.
This
Commission has ruled (see Secretary of
Labor v. Berthe Electric Co., Inc., CCH OSHA para. 19753 (1975)) that all
NEC requirements apply to both permanent and temporary wiring unless
specifically excluded by Article 305.
Accordingly,
it is my conclusion, and matter of law, that 29 C.F.R. 1926.400(a) is
applicable to both permanent and temporary wiring systems. However, it is
obvious that whenever temporary wiring enters a junction box that it must pass
through an opening in the box which most likely would be less than four inches
in diameter. If there is an approved method of insulating energized conduits
from contact with junction boxes as used here, the Secretary’s witnesses didn’t
mention it. No doubt this could be done, but the NEC provision relied upon by
the Secretary, Art. 320–10, does not appear to be applicable.
The
Respondent’s motion to dismiss Items 1, 12, 13 and 15(b) of Citation 2 is granted.
Citation
1, Item 1
It is
alleged that an energized wire was lying in a work area where employees could
have come in contact with it. The Secretary’s witness, Hoyt, testified that
upon observing the wire, he used a biomedical field probe which indicated to
him that the wire was energized. He then used a voltage tester which indicated
to him that the conductor was carrying 110 volts. The Secretary’s witness,
Creveling, corroborated Hoyt’s statement that he used a voltage tester as did
Daniel’s project safety manager, Briggs, who was also present. However, without
expressing any doubt as to the veracity of Hoyt and Creveling, it cannot be
denied that their testimony lacks credibility when in conflict with credible
testimony to the contrary because of Hoyt’s admitted erroneous description of
the proper method of using the biomedical field tester. (Tr. II, 93–95)
It
cannot be denied that Hoyt attempted to test the line. Daniel’s project safety
officer testified that he saw it done. However, there is the unrebutted
testimony from the same witness, Briggs, that the inspection party passed
through two barricades, after first being cleared to enter by a carpenter
foreman, before reaching the site where the wire was observed (Tr. II, p. 189).
Hoyt denied that there were any barricades present (Tr. II, p. 90).
In
view of Hoyt’s previously noted careless attention to critical facts as opposed
to the Respondent’s witness Briggs prompt and unqualified admission against
interest that Hoyt had in fact used a testing device in his presence, it is
concluded as a matter of law that the Secretary’s allegation of violation in
Item 1, Citation 1 is not established by a preponderance of the evidence.
Citation
1, Item 2
It is
not disputed that, although there was no ladder present when Hoyt arrived at
the location where two men were working on a scaffold, it was conceded that a
ladder was available and used for descent. I consider the employee’s admission
that he used diagonals instead of a ladder to climb up to the scaffold to be an
isolated incident for which the employer cannot be held accountable for. There
was no violation of 29 C.F.R. 1926.451(a)(13).
Citation
1, Item 3
The
two welders working upon the scaffold were wearing safety belts and lanyards,
but they were not tied off to a life line. This constitutes a violation of 29
C.F.R. 1926.451(w)(6). However, the Secretary’s evidence failed to show, upon
consideration of the criteria established by the provisions of 29 U.S.C.A.
666(i) what facts justify a penalty of $400. Accordingly, a penalty of no more
than $100 is considered to be reasonable.
Citation
2, Item 5
The
bench grinder referred to in the citation was not in use when observed. The
compliance officer said that it looked new. The Respondent’s equipment and supply
manager agreed that a work rest not only is required but necessary. He said the
could not use a bench grinder without it, but this grinder had not yet been
operated. There was no violation of 29 C.F.R. 1926.303(c)(2).
Citation
2, Item 8
It is
obvious that use of a rope which could be severed if the flame from the welding
equipment on the scaffold came too close to it created a hazard proscribed by
section 451(a)(18). It is equally clear that the provisions of sec. 1926.451(w)
which appear to approve the use of manila rope on float scaffolds are not
applicable when welding is being done. A violation was shown.
Citation
2, Items 9 and 10
The
openings described in Items 9 and 10 were created for the performance of work
which could only be done through these means of access. There was no violation
of 29 C.F.R. 1926, section 500(b)(1) and 500(b)(8).
Citation
2, Item 11
There
was evidence showing that there was some minor sagging of wire rope barricades.
However, the Secretary’s witnesses neglected to find out if any of the workmen
observed in this area were Respondent’s employees (Tr. 121, 124, 127). There
were several contractors on the project. The burden of proof of violation of 29
C.F.R. 1926.500(d)(1) has not been satisfied.
Citation
2, Item 14
Assuming
without deciding that section 230–70(b), National Electrical Code, NFPA
70–1971, was lawfully adopted by reference in 29 C.F.R. 1926.400(a), it is
irrelevant to the situation described by the compliance officer. Section
230–70(b) is a safety standard which requires, when there is an emergency, that
a means for disconnection of energized wires such as switches or circuit
breakers be installed. Neither the absence of loose blocks to step upon as a
means of access to disconnectors in a temporary electrical service booth (if
indeed access to disconnect switches was impeded and there is no convincing
proof that it was) nor open wiring used to supply a temporary receptacle come
within the purview of section 230–70(b), NEC. There was no violation of 29
C.F.R. 1926.400(a).
ORDER
Upon
consideration of the foregoing findings of fact and conclusions of law, it is
ordered that Citation 1, Item 3 be affirmed with a penalty of $100 being
assessed for this violation; that Citation 2, Item 8 be affirmed without
penalty; and that all other items in Citations 1 and 2, except Citation 2,
Items 4 and 7 which have become final, be vacated.
BEN D. WORCESTER
Judge, OSHRC
Dated: November 13, 1980
Boston, Massachusetts
[1] The standard at
29 C.F.R. § 1926.400(a) provides:
All
electrical work, installation, and wire capacities shall be in accordance with
the pertinent provisions of the National Electrical Code, NFPA 70–1971; ANSI
C1–1971 (Rev. of C1–1968), unless otherwise provided by regulations of this
part.
Article
110–17(a) of the National Electrical Code provides:
Except
as elsewhere required or permitted by this Code, live parts of electrical
equipment operating at 50 volts or more shall be guarded against accidental
contact by approved cabinets or other forms of approved enclosures, or any of
the following means:
(1)
By location in a room, vault, or similar enclosure which is accessible only to
qualified persons.
(2)
By suitable permanent, substantial partitions or screens so arranged that only
qualified persons will have access to the space wit in reach of the live parts.
Any openings in such partitions or screens shall be so sized and located that
persons are not likely to come into accidental contact with the live parts or
to bring conducting objects into contact with them.
(3)
By location on a suitable balcony, gallery, or platform so elevated and
arranged as to exclude unqualified persons.
(4)
By elevation at least 8 feet above the floor or other working surface.
[2] The standard at
29 C.F.R. § 1926.451(a)(13) provides:
§
1926.451 Scaffolding.
(a)
General requirements.
(13)
An access ladder or equivalent safe access shall be provided.
[3] Respondent’s
assertion in its brief that Judge Worcester found Reid’s testimony not to be
credible is not supported. The judge made no implicit or explicit credibility
determination against the employee. He merely characterized Reid’s admitted
resort to the bracing as a means of ascending to the scaffold as an isolated
incident of employee misconduct for which Daniel should not be held
accountable. The Commission has recognized unpreventable employee misconduct as
an affirmative defense to a charge of violation where an employer establishes
that the action of its employee was a departure from a work rule that the employer
effectively communicated and uniformly enforced. See Frank Swidzinski Co., 81 OSAHRC 4/E14, 9 BNA OSHC 1230, 1981
CCH OSHD ¶ 25,129, (No. 76–4627, 1981). Here, the affirmative defense—raised
not by Respondent, but by the judge sua sponte—is without foundation in the
record. There is no evidence that a pertinent work rule existed and, to the
contrary, the record indicates both that Reid climbed the bracing on more than
one occasion and also that he was never reprimanded for doing so. Accordingly,
the defense has not been established.
Chairman Rowland agrees that the
judge erred in finding that Daniel cannot be held responsible for its
employee’s failure to use a ladder as a means of access to the scaffold.
However, Chairman Rowland does not join in the majority’s reliance on the
‘affirmative defense’ of unpreventable employee misconduct as the basis for
rejecting the judge’s finding. Rather, Chairman Rowland concludes that Daniel
could have anticipated the employee’s actions because Daniel knew or should
have known that no ladder was available for use by the employee. Therefore, in
the Chairman’s view, it is unnecessary to consider whether under Daniel’s work
rules the employee would have been required to use a ladder had one been
provided.
[4] The standard at
29 C.F.R. § 1926.552(c)(15) provides:
Following assembly and erection of
hoists, and before being put in service, an inspection and test of all
functions and safety devices shall be made under the supervision of a competent
person. A similar test and inspection is required following major alteration of
an existing installation. All hoists shall be inspected and tested at not more
than 3-month intervals. Records shall be maintained and kept on file for the
duration of the job.
[5] The judge’s
reference in his decision to § 1926.501(c), which reference is reiterated in
the direction for review, appears to be merely a citation error. Section
1926.501(c), a standard governing stairways, was at issue concerning a separate
item in the Secretary’s original citation. It has nothing to do with personnel
hoists. We conclude that the judge was referring to the requirements of the
cited standard, § 1926.552(c)(15). We also note that the judge overstated the
role of the manufacturer in declaring that the regular maintenance of the hoist
was performed under the ‘supervision’ of the manufacturer. Nevertheless, the
record clearly indicates that Respondent’s mechanic was trained by the
manufacturer’s representative and acted in accordance with the manufacturer’s
recommendations. These minor inaccuracies in the judge’s decision do not
detract from his correct conclusion that Respondent complied with the
requirements of the standard.
[6] Article 230–70(b)
of the National Electrical Code provides, in pertinent part:
The
disconnecting means shall be located at a readily accessible point nearest to
the entrance of the conductors, either inside or outside the building or
structure. Sufficient access and working space shall be provided about the
disconnecting means.
[7] The Secretary correctly
points out the judge’s apparent reliance upon the terms of Article 230–70(a) of
the National Electrical Code as the basis of his decision, rather than upon
Article 230–70(b), which was cited by the Secretary. Article 230–70(a)
provides:
Means
shall be provided for disconnecting all conductors in the building or other
structure from the service-entrance conductors.
Article 230–70(a) was never at
issue here.
[8] Article 320–10 of
the National Electrical Code provides:
Open
conductors shall be separated at least two inches from metallic conduit,
piping, or other conducting material, and from any exposed lighting, power or
signal conductor, or shall be separated therefrom by a continuous and firmly
fixed nonconductor additional to the insulation of the conductor. Where any
insulating tube is used, it shall be secured at the ends. Deviation from this
requirement may, when necessary, be allowed by the authority enforcing this
Code.
[9] The Secretary
probably intended to refer here to Article 370–7(b); there is no Article
270–7(b) in the NEC.
[10] Commissioner Cottine dissents to the de minimis classification of the violation. The photographs in evidence show that the conductor wires lay over solidly attached metal clamps in a position where they were exposed to being struck and having their insulation damaged. The compliance officer testified that ‘a person storing the iron brackets . . . could mash the hot wire against the metal [clamps], crush the covering and be exposed to shock from the hundred and ten volts.’ In Commissioner Cottine’s view, this hazard has more than a negligible relationship to employee safety, and abatement of the hazard should be required. See Southwestern Electric Power Co., 80 OSAHRC 81/C7, 8 BNA OSHC 1974, 1980 CCH OSHD ¶24,730 (No. 77–3391, 1980) (Cottine, Commissioner, dissenting).