150.15—What must the operations manual include?
The operations manual required by § 150.10 must identify the deepwater port and include the information required in this section.
(c)
Engineering and construction information, including all defined codes and standards used for the port structure and systems. The operator must include schematics of all applicable systems. Schematics must show the location of valves, gauges, system working pressure, relief settings, monitoring systems, and other pertinent information.
(2)
Communication alerts and notices between the deepwater port and arriving and departing vessels; and
(3)
Mandatory time intervals or communication schedules for maintaining a live radio watch, and monitoring frequencies for communication with vessels and aircraft.
(e) Facility plan.
A layout plan for the mooring areas, navigation aids, cargo transfer locations, and control stations.
(h)
Calculations, with supporting data or other documentation, to show that the charted water depth at each proposed mooring location is sufficient to provide at least a net under keel clearance of 5 feet, at the mean low water condition.
(i) Tanker navigation procedures.
The procedures for tanker navigation, including the information required in paragraphs (i)(1) through (i)(9) of this section.
(1)
The operating limits, maneuvering capability, draft, net under keel clearance, tonnage, length, and breadth of the tanker that will be accommodated at each designated mooring.
(2)
The speed limits proposed for tankers in the safety zone and area to be avoided around the port.
(3)
Any special navigation or communication equipment that may be required for operating in the safety zone and area to be avoided.
(4)
The measures for routing vessels, including a description of the radar navigation system to be used in operation of the deepwater port:
(iv)
Procedures for surveillance of vessels approaching, departing, navigating, and transiting the safety zone and area to be avoided;
(v)
Advisories to each tanker underway in the safety zone regarding the vessel's position, port conditions, and status of adjacent vessel traffic;
(vi)
Notices that must be made, as outlined in § 150.325, by the tanker master regarding the vessel's characteristics and status; and
(vii)
Rules for navigating, mooring, and anchoring in a safety zone, area to be avoided, and anchorage area.
(6)
The procedures for clearing tankers, support vessels, and other vessels and aircraft during emergency and routine conditions.
(7)
Weather limits for tankers, including a detailed description of how to forecast the wind, wave, and current conditions for:
(j) Personnel.
The duties, title, qualifications, and training of all port personnel responsible for managing and carrying out the following port activities and functions:
(k)
The personnel assigned to supervisory positions must be designated, in writing, by the licensee and have the appropriate experience and training to satisfactorily perform their duties. The Commandant (CG-5) will review and approve the qualifications for all proposed supervisory positions.
(l) Cargo transfer procedures.
The procedures for cargo transfer must comply with the applicable requirements of parts 154 and 156 for oil, and subpart B (Operations) to part 127 for natural gas, respectively, of this chapter, including the requirements specified in paragraphs (l)(1) through (l)(10) of this section.
(1)
The requirements for oil transfers in accordance with subpart A to part 156 of this chapter regarding:
(ii)
Inspection of transfer site and equipment such as hoses, connectors, closure devices, monitoring devices, and containment;
(iii)
Connecting and disconnecting transfer equipment, including a floating hose string for a single point mooring (SPM);
(2)
The requirements for natural gas transfers in accordance with subpart B to part 127 of this chapter regarding:
(ii)
Inspection of transfer site and equipment such as hoses, connectors, closure devices, leak monitoring devices, and containment;
(iii)
Connecting and disconnecting of transfer equipment, including to a floating hose string for a SPM;
(4)
The duties, title, qualifications, and training of personnel of the port designated as the person in charge and responsible for managing cargo transfers, including ballasting operations if applicable to the port, in accordance with subpart D of part 154 for oil, and subpart B (Operations) of part 127 for natural gas, respectively, of this chapter.
(5)
Minimum requirements for watch personnel on board the vessel during transfer operations, such as personnel necessary for checking mooring gear, monitoring communications, and maintaining propulsion and steering on standby.
(8)
The maximum relief valve settings, the maximum available working pressure, and hydraulic shock to the system without relief valves, or both.
(9)
Equipment necessary to discharge cargo to the port complex without harm to the environment or to persons involved in the cargo transfer, including piping, adapters, bolted flanges, and quick-disconnect coupling.
(10)
A description of the method used to water and de-water the single point mooring hoses when required.
(1)
A list and description of any extraordinary equipment or assistance available to vessels with inadequate pumping capacity, small cargoes, small diameter piping, or inadequate crane capacity; and
(2)
A description of special storage or delivery arrangements for unusual cargoes; for example, cool-down requirements for transfer system components prior to transfer of liquefied natural gas.
(n) Maintenance procedures.
A maintenance program to document service and repair of key equipment such as:
(p) Occupational health and safety training procedures.
Policy and procedures to address occupational health and safety requirements outlined in §§ 150.600 to 150.632 of this subpart, including:
(1)
Employee training in safety and hazard awareness, and proper use of personnel protective equipment;
(2)
Physical safety measures in the workplace, such as housekeeping and illumination of walking and working areas;
(16)
Initial and periodic training and certification to be documented for each port employee and for visitors, where appropriate; for example, safety orientation training.
(3)
Names and numbers of persons in charge of any OCS facility that, due to close proximity, could be affected by an incident at the deepwater port.
(r)
Quantity, type, location, and use of safety and fire protection equipment, including the fire plan.
(w)
Individual and team training for incident response, in accordance with 46 CFR 109.213, to cover:
(v)
Identification of at least one employee trained and certified at the basic level as an emergency medical technician; and
(vi)
Identification of at least two employees trained and certified as offshore competent persons in prevention of inadvertent entry into hazardous confined spaces.
(x) Security procedures.
Deepwater port operators must develop a deepwater port security plan comparable to those required by 33 CFR part 106. The plan must address at least:
(1)
Access controls for goods and materials and access controls for personnel that require positive and verifiable identification;
(3)
Risk identification and procedures for detecting and deterring terrorist or subversive activity, such as security lighting and remotely-alarmed restricted areas;
(4)
Internal and external notification and response requirements in the event of a perceived threat or an attack on the port;
(6)
Contingency response for events that could affect nearby existing OCS oil and gas facilities, such as explosions, fires, or product spills.
(z)
Recordkeeping of maintenance procedures, tests, and emergency drills outlined elsewhere in the operations manual.
(aa) Environmental procedures.
A program for maintaining compliance with license conditions and applicable environmental laws, by periodic monitoring of the environmental effects of the port and its operations, including:
(2)
A routine re-examination, not less than once every five years, of the physical, chemical, and biological factors contained in the port's environmental impact analysis and baseline study submitted with the license application; and
(3)
A risk management plan, addressing the potential for an uncontrolled release; or provision for more detailed studies following any uncontrolled release or other unusual event that adversely affects the environment.