The post What are the Requirements for Working in Confined Spaces? appeared first on The Hub | High Speed Training.
]]>Under the Confined Spaces Regulations 1997, for a space to be defined as a ‘confined space’ it must have both of the following characteristics present. These characteristics are:
Some examples of confined spaces include:
This is not an exhaustive list. It’s important to note that a confined space does not always always fit the image that springs to mind when hearing the term. Confined spaces can be any size, they can be easy or difficult to get in and out of, and they can be completely or partly enclosed – however, in order to be considered ‘confined’ they must have both of the defining characteristics outlined above.
The main pieces of legislation that regulate work in confined spaces are:
This is the primary legislation governing health and safety at work in the UK. Under this Act, employers must ensure the health, safety and welfare of their employees while they are at work, so far as is reasonably practicable. This duty is wide-ranging, and covers the prevention and control of risks arising from working in confined spaces, including ensuring the work is properly planned, organised, controlled, monitored and reviewed.
Employers must carry out their work activities in a way that does not affect the health and safety of others in the vicinity, such as members of the public.
Under the Act, duties are also placed on anyone who has any extent of control over any premises – such as employers who own or rent premises for which they are responsible, as well as anyone else who has any extent of control over any part of the premises, such as landlords or owners.
It’s important to understand that employers are required to ensure the safety of others affected by their work activities, such as contractors. Where contractors are required to enter confined spaces on their premises, there are duties placed on both the employer and the contractor to ensure that the work can be undertaken safely.
Further key duties are placed on designers, manufacturers, suppliers and importers of articles and substances for use at work. The dutyholder is required to ensure that all equipment and plant provided is safe and accompanied by information and instructions on its safe use and maintenance.
This legislation places further legal duties on employers to manage health and safety in the workplace and applies to all work activities. Under the Regulations, employers must:
In addition, employers and the self-employed that are in control of a premises and engaging the work of any outside organisation, such as contractors, must ensure that they provide the employer of the outside organisation with clear information on the hazards and risks associated with their work activities and work environment.
This includes providing information on the nature and risks of any confined spaces that are present or could be present on the premises, as well as the precautions to be followed. This should begin with the prohibition of entry to the confined space(s), unless entry has been specifically agreed and is covered by a suitable and sufficient risk assessment and written safe system of work.
The Confined Spaces Regulations apply where there is an identified risk of serious injury resulting from work in confined spaces. Note that these Regulations apply in addition to the duties set out under the HSW Act and the MHSW Regulations.
As mentioned above, confined spaces are defined by the Regulations as being a space that is substantially (though not always entirely) enclosed, where one or more of the ‘specified risks’ is present or reasonably foreseeable. These ‘specified risks’ are set out by the Regulations. They are:
You should note that some spaces can become ‘confined’ if the conditions change. For example, if the degree of enclosure is changed or there is another change that introduces the presence or foreseeable risk of one of the specified risks. This also applies in the reverse; so a space may no longer be considered ‘confined’ if the source of any present or foreseeable ‘specified risks’ is removed or the degree of enclosure is reduced.
The Confined Space Regulations are supported by an Approved Code of Practice (ACoP), aimed at those who plan and manage the work in confined spaces, and is designed to support them to apply the Regulations to their work activities.
Employers and the self-employed must ensure that the work carried out under their control is in compliance with the requirements outlined by the Confined Spaces Regulations. This includes ensuring, so far as is reasonably practicable, that anyone else undertaking work under their control does so in compliance with the Regulations, for example contractors. They must ensure that anyone entering a confined space under their control is fully protected in the same way as their employees or themselves.
Employers who hire contractors for entry and work in confined spaces must take all reasonably practicable steps to ensure that the contractor and their employees are competent in their duties.
Under the Confined Spaces Regulations, employers and the self-employed must always, in the first instance, consider if entry to a confined space can be avoided, so far as is reasonably practicable. Ways to avoid entry into a confined space include using remote visual inspections and remote atmospheric sampling. Where avoiding entry is not reasonably practicable, dutyholders must ensure effective safe systems of work are enforced and used and that any work being carried out is done so safely.
A safe system of work should provide a written description of the work to be carried out and the precautions to be enforced. The main factors to be considered in a safe system of work are:
It’s important to note that precautions will differ depending on the nature of the confined space and the activities being carried out. In addition, a written safe system of work will only ever be as good as its implementation.
Under the Confined Spaces Regulations 1997, emergency arrangements must be in place before anyone enters a confined space, and include the following:
Emergency arrangements must cover all risks in the confined space, not just the specified risks, and the ACoP makes it very clear that employers must not rely on public emergency services.
Employers and others in control of work in confined spaces must properly plan for confined space work and ensure that any individuals involved in planning, supervising, monitoring and carrying out the work are competent in their responsibilities. This includes providing the necessary information, instruction and training.
More information on training and selection for work in confined spaces can be found in High Speed Training’s Working in Confined Spaces Training Course.
A permit-to-work system is usually required where there is a foreseeable risk of serious injury as a result of risks from confined spaces. Permit-to-work systems are not a replacement for written safe systems of work or risk assessments. Instead, they support them.
A permit-to-work provides a method for recording actions required to be followed for the safe entry and work in confined spaces, as well as a record of the essential information on risks and emergency information.
Those completing permit-to-work systems must be competent – they must have the required experience, skills, knowledge and training in the work and work equipment being used to complete the permit-to-work safely.
Under health and safety legislation, employees must;:
For employees to be able to carry out their own responsibilities, their employer must have ensured that they are aware of what they are and how to undertake them competently – as well as ensuring the necessary supervision and monitoring arrangements are in place.
While we have covered the key pieces of legislation regulating work in confined spaces, it’s important to note that, depending on the work activities or work environment, other regulations may also apply. For example, the Work at Height Regulations 2005, the Personal Protective Equipment Regulations 1992, or the Control of Asbestos Regulations 2012.
This article has provided a brief overview of the legislation regulating confined space working. For more information, or if you are looking to provide training on confined spaces for yourself or your employees, the following course may be suitable for you: Working in Confined Spaces Training Course.
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]]>The post Working in Confined Spaces Hazards and Control Measures appeared first on The Hub | High Speed Training.
]]>This article will discuss the main hazards associated with working in confined spaces, as well as key elements of general control measures that may be used to control the hazards associated with your work activities.
A space must have two key defining features present in order to be considered a ‘confined space’.These are that the space must be substantially (though not always entirely) enclosed and that one or more of the specified risks must be present or reasonably foreseeable.
As mentioned above, for a space to be ‘confined’ it must have one or more of the specified risks present. There are six specified risks defined by the the Confined Spaces Regulations 1997 and its Approved Code of Practice (ACoP). These are a risk of:
Some examples of confined spaces include:
This list is not exhaustive. For a space to be defined as a ‘confined space’ it must have both of the defining features outlined above. You should note that some spaces can become ‘confined’ if the conditions change. For example, if the degree of enclosure is changed or there is another change that introduces the presence or foreseeable risk of one of the ‘specified risks’. This also applies in reverse; so a space may no longer be considered ‘confined’ if the source of any present or foreseeable ‘specified risks’ is removed or the degree of enclosure is lessened.
This article provides a brief overview of confined spaces – if you require more training on Working in Confined Spaces, take a look at our Working in Confined Spaces Online Training Course.
Further to the specified risks outlined above, it’s vital to understand that there are many other hazards that can also pose risks to those working in confined spaces. These include, but are not limited to:
Confined spaces pose many hazards to those working in them and anyone in the vicinity. Under the Management of Health and Safety at Work (MHSW) Regulations 1999, the Confined Spaces Regulations 1997 and its ACoP, employers have a legal duty to ensure a risk assessment is carried out to assess, control and monitor the risks associated with their work activities so that their employees remain safe from harm.
The rest of this article will explore the key elements of general control measures that may be used to control the risks associated with confined spaces.
This article does not contain an exhaustive list of control measures. The control measures used for your work activities must be tailored to, and suitable for, the specific hazards posed by your work activities and considered in line with the hierarchy of control.
Note that: for employers who employ five or more people, it is a legal requirement that their risk assessment is recorded. The following handy downloadable template can be used to record your risk assessment. The template is an easy to use template that has two columns; one for current controls and one for what further controls may be required:
The Confined Spaces Regulations and its ACoP place a legal duty on dutyholders (employers, the self-employed, and those in control of premises) to avoid the need to enter or work in confined spaces as their first duty.
Where it is reasonably practicable to conduct the work activity from outside of a confined space, the dutyholder has a legal responsibility to prevent entry to the confined space by themselves or others. On every occasion, the dutyholder must consider if it is possible to avoid entry to and work in the confined space.
Methods of avoiding entry to confined spaces include:
Where it is not reasonably practicable to avoid entry into a confined space, employers must ensure a safe system of work is in place. A safe system of work forms part of the risk assessment process for a confined space, it must not replace it. The key elements of a safe system of work are:
If there is any foreseeable risk of reduced oxygen levels, or the presence of natural or man-made hazardous substances in the confined space, testing of the atmosphere must be undertaken before and during entry. Where reasonably practicable, this testing must be undertaken from outside of the confined space. If there is a risk that the atmosphere may deteriorate as the work activities are carried out, atmospheric monitoring may be required throughout the full duration of the work activity to ensure the air in the confined space remains safe to breathe.
Confined spaces must be properly isolated to prevent entry of hazardous or dangerous substances, including gases, vapours, liquids and solids, and to secure mechanical and electrical equipment. Methods of isolation include:
Many confined space work activities are undertaken to clean or remove residues. These activities may be undertaken to keep a confined space clean and free from contamination, or to remove residues that may be hazardous or harmful to health prior to planned work in a confined space. These residues may be natural or man-made. Precautions for work where residues may be present include purging the confined space using an inert gas, using mechanical ventilation, and using protected-low voltage equipment.
Ensuring adequate ventilation is essential prior to entry into a confined space. Considering ventilation of a confined space must take into account:
When using mechanical ventilation, care must be taken to ensure that there is a sufficient supply of breathable air – air must not be drawn from a place where it can become contaminated, such as next to a diesel generator exhaust. In addition, air extracted from the confined space must not be able to re-enter the space.
In order for a fire to start, there must be a source of ignition, fuel and oxygen present. To prevent a fire, these must be removed. Where the presence of a source of ignition, fuel or oxygen is unavoidable, appropriate controls must be enforced to prevent a fire. These controls include:
A permit-to-work system is a written procedure to ensure that specific entry requirements and work activities in a confined space are followed, which is usually required where there is a reasonably foreseeable risk of serious injury occurring from entry or work in a confined space.
Please note that using a permit-to-work system alone does not, in itself, make a work activity safe. It’s a formal written system that forms part of the risk assessment process and contributes to the safe system of work. It does not replace either of them.
Properly planning for emergency situations is essential for work activities involving confined spaces. Failing to do so, can have serious consequences. It is legally required that emergency arrangements are planned and enforced before entry or work in a confined space commences. Rescue arrangements must cover all six of the specified risks, as well as any others identified in the risk assessment that may require a worker to be rescued. Emergency arrangements must form part of the risk assessment process and safe systems of work.
For more information on emergency arrangements for confined space working, take a look at our Working in Confined Spaces Online Training Course.
PPE must only ever be used as a last resort. Where reasonably practicable, avoidance of risk, substitution for safer alternatives and engineering controls must always be in place, followed by the enforcement of safe systems of work, including a permit-to-work.
Examples of PPE that are regularly used in confined spaces include safety helmets, gloves, safety footwear, and anti-static clothing. Examples of more specific PPE that may also be used include safety lines, harnesses and, in exceptional cases, the use of breathing apparatus.
A significant majority of confined space incidents occur as a result of inadequate planning, controls and training. These incidents can be avoided by ensuring that the proper planning, controls and training are in place before confined space work commences. As previously mentioned, this article only briefly discusses the controls that may be used for confined space working. For more information, and training for those working in confined spaces, take a look at our Working in Confined Spaces Online Training Course.
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]]>The post A Personal Development Plan (PDP) Guide & Template appeared first on The Hub | High Speed Training.
]]>Personal development is an ongoing process that drives you to improve your knowledge, skills and experience, so that you can achieve your goals. A personal development plan (or PDP) is a method of focussing your goals into achievable steps, which helps you keep track of your personal development.
Your plan may be aimed at your education, career or personal goal, or a mixture of all three – that is up to you to determine. Whatever the case may be, a good plan will provide you with a clear sense of focus. It helps you map out a path towards your goals, strategise a plan to achieve them, record the actionable steps you will take, and set a timeframe for completing them. Focussing your goals into a PDP helps you maintain your vision, keep on track to achieve your targets, and reflect on your progress.
Simply put, a PDP can help you build a clear understanding of what you want to achieve and how you are going to achieve it.
Let us help with your personal development goals this year. Choose from a wide range of business essentials courses, whether it be Leadership and Management, Starting a Business, or Coaching and Mentoring. You could have your CPD recognised certificate in a matter of hours!
A clear plan can also support your positive mental wellbeing and improve your level of satisfaction. It can provide a sense of direction, purposefulness and a feeling of success as you start to fulfil your potential. All of these can have very positive impacts on your mental health.
Therefore, discovering what your goals are, getting organised and giving yourself a sense of direction can be incredibly beneficial. This article will give you an understanding of how to write a personal development plan, as well as provide you with a handy template to support your development journey.
There are seven steps to writing a PDP:
The first step is to set yourself goals. Think about what you want to achieve, whether that’s within a few weeks, within a year, or over your lifetime.
Deciding what you want is not only the first step in planning, it’s also the hardest. Once you’ve figured out what you want to do, that goal will provide clear direction and a structure for your resulting plan.
At this stage, your goals will feel big. You might be wondering how you are ever going to achieve them. Don’t worry – the next step is to prioritise and turn those goals into smaller, actionable steps that will support you on your way to achieving them.
Now that you have your goals, the next stage is to break them down into smaller steps. When doing this, it’s important that your goals are SMART:
Once you have your goals, you’ll need to prioritise them.
In your PDP, you should be setting yourself mini goals to make the big ones happen.
For example, if you wish to pursue a career in academia as a senior lecturer and then a professor, a necessary step to succeeding in this goal is to achieve a PhD. So that would be one of your long-term goals. You then need to break it down into steps, such as:
Knowing when you want to achieve a goal is crucial, and picturing your future is an important source of motivation and inspiration.
Having goals and a set deadline will drive your motivation to achieve them. For example, if your goal is to buy a home, knowing when you want to achieve it will help you calculate exactly how much money you need to save each year in order to get your deposit. The same is true for your skills, knowledge and experience development. As mentioned above, setting realistic and time-bound goals are essential to achieving them.
One good way to understand more about achieving your goals is to speak to those who have previously trodden a similar path. Learning about their experiences can help you understand key barriers to, or methods of, success that may also be applicable to your PDP.
When considering your goals, you should identify your own strengths, consider areas of weakness you can develop, look at the opportunities available to support you in achieving your goals, and any threats that may hinder you in your progress. This is called a SWOT analysis. Note that these threats may be external or they may be core skills that you can develop as part of your PDP.
For example, a lack of motivation could hinder your plans to apply for a PhD. However, once you’ve identified your tendency to procrastinate or lose focus, you can put in place methods that will keep you motivated.
There are also going to be things that you could do, and connections with people or resources you could take advantage of, that will help you on your way. These are your opportunities that you should commit to doing.
For example, if there’s a conference coming up, take advantage of that. Go along and network, stay up to date on the latest knowledge, or even present a paper. These are all opportunities that could help you achieve your goals.
Once you have an idea of what could help or hinder you, this is when you can capitalise on those opportunities you recognised. Make an action plan about how you’ll make that progress.
Whatever it is that hinders you, there’s a way to stop it. Your plan is the first step to making sure you stay on track.
So, why not take a look at how to upskill yourself, develop transferable skills in today’s rapidly changing jobs market, or even discover an online learning opportunity.
The next thing you need to realise is that:
You don’t have to do everything by yourself.
And you shouldn’t. The support network around you is a valuable asset, so use it and don’t underestimate it.
In your PDP, list the people who can help you. This could be a financial advisor, a friend, or a colleague. People are often so happy to help you, more than you might realise.
After you’ve achieved some progress, whether it’s big or small, take time to reflect on how far you’ve come.
Recognising what has gone well is an effective way to bolster your motivation and remain dedicated.
And after a setback, this is another time to take stock.
Wallowing – briefly – is a good way to feel what you need to without holding on to it. Holding onto sadness, anger or frustration, however, will only deter you. These emotions will take you nowhere and will only hinder you.
You should also spend a little time figuring out why it went wrong. Can you identify a skills or knowledge gap?
If you can, then you can get yourself back on track by focussing on your next step. This will reignite your sense of purpose and help you regain control, which is integral to making progress.
Continue to reflect on your progress. You can gain significant insight from your reflections and this can help you grow. Remember that you should update your plan where necessary. Don’t overload it at any one time but, once you have achieved your small steps, reflect and then update your plan to focus on your next move.
In this article, we have discussed how you can create your own personal development plan, so you should now feel ready to start considering your goals and developing your own plan. To help you produce an effective personal development plan, we have created an editable template that you can use. Take a look at our example PDP, and download your free template below:
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]]>The post What is Effective Communication in Construction? appeared first on The Hub | High Speed Training.
]]>Communication takes many forms, including verbal (both face-to-face and distanced, such as over the phone), non-verbal (conveying and understanding non-verbal cues such as body language), written, and visual (such as graphs and visual signage). All these forms of communication are essential and it’s important to understand their importance and know how to use them effectively.
Our Health and Safety training courses provide you and your workforce with a thorough understanding of the different aspects of health and safety you may encounter.
There are several costly impacts that poor communication can have on an organisation and the success of its projects, including:
Poor communication can have serious impacts on an organisation and its employees in many ways. Therefore, it’s essential to maintain effective communication across an organisation, to limit any negative repercussions. However, there can often be barriers to communication, especially in the construction sector, which poses unique challenges that need to be overcome.
If you are experiencing poor communication in your organisation, a good place to start is to understand why this might be the case. Detailed below are some common barriers to effective communication within the construction industry. It’s important to note that this is not an exhaustive list.
There are several ways that you can help to improve communication in your workplace. When considering how to do this, think about the following:
Throughout this article we have emphasised the importance of communication in the construction workforce. Effective communication is essential to the successful and safe completion of your projects. Therefore, you should consider communication as a key skill that you want your employees to demonstrate.
Communication skills may easily be forgotten, as they are seemingly not as important as health and safety or specific speciality skills, but they underpin safe working on your site. High Speed Training offers Communication Skills Training, that can help you train your workers in communication and teach them how to apply their communication skills to reduce communication barriers in your workplace.
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]]>The post What is Hot Work and Do I Need a Permit? appeared first on The Hub | High Speed Training.
]]>Employers have a legal duty to ensure that risks in their workplace are assessed, controlled and monitored so that their employees remain safe from harm – including those from hot work. Employers must identify the hazards in their workplace and implement suitable controls to reduce the risks to as low as is reasonably practicable.
The HSE defines hot work as the: ‘use of open fires, flames and work involving the application of heat by means of tools or equipment.’ Common types of hot work include:
This is not an exhaustive list, but it does include the most common examples of hot work. All hot work can pose significant health and safety risks when carried out without proper controls.
Our Hot Work course examines the different types of hot work and the risks associated with them. It also explains the legal duties on employers and duty holders, and the responsibilities employees have to ensure their safety and the safety of others.
Hot work can present numerous types of hazards to workers and the environment around them. However, the most common and significant risk of hot work is fire and explosions. Without the proper safety procedures, all types of hot work can easily ignite a fire.
The consequences of these hazards can be severe and costly for any business. Injuries can result in workers taking time off work, while a serious fire could damage the building irreparably. Both of these could even lead to legal consequences under certain circumstances. Therefore, it’s crucial to understand how to implement appropriate safety controls.
Further hazards include, but are not limited to, the following:
It’s important to note that the hazards associated with hot work will depend on the specific work activity and the environment in which it is being undertaken.
A variety of industries may require hot work in their premises as part of routine work activities, though it is also frequently carried out as part of contractual work. However, no matter the reason for, or duration of, the hot work being undertaken, it’s essential that the hazards have been assessed and appropriate controls have been enforced.
As previously mentioned, employers have a legal duty to ensure that risks in their workplace are assessed, controlled and monitored so that their employees remain safe from harm, including the risks from hot work activities. Control methods must be selected in line with the hierarchy of control which is outlined below:
Hot work must be avoided, so far as is reasonably practicable. ‘So far as is reasonably practicable’ means that, for any risk that is more than negligible or insignificant, then the duty holder has to weigh the risk against the time, money and trouble required to control it. The level of action should be proportionate to the risk. So, where risks are higher, such as hot work, then the actions taken must be more comprehensive. Therefore, you should consider every possible alternative for completing a task before deciding to proceed with hot work.
The need for hot work can be eliminated or substituted for safer alternatives in many ways. For example, replacing tanks and silos instead of repairing them, substituting welding for bolting methods, or substituting torch cutting for the use of hand-held hydraulic shears.
In some situations, hot work will be unavoidable. If this is the case, the duty holder must ensure that an effective safe system of work is enforced and used, to ensure that the work activity will be carried out safely and without risk to health.
Safe systems of work are part of the risk assessment process. The information contained within an SSoW should reflect and build on the information developed in the risk assessment process. The key information contained in a safe system of work are outlined below:
A permit-to-work system is a written procedure to ensure that specific work activities are adhered to. Key information about permit-to-work systems is outlined below:
It is essential to note that a permit-to-work, alone, does not make a work activity safe. It is an extension of the safe system of work and must not be used as a replacement.
Our Permit to Work Training explains the duties of everyone responsible for the permit, from the point of issue to the work’s completion. If you work in an industry that often carries out high risk work, it’s crucial that you know what a permit should cover.
As previously mentioned, a permit-to-work system is a written procedure to ensure that specific work activities are adhered to. A permit-to-work will usually contain the following information:
After avoiding the risks associated with hot work and implementing safe systems of work, it’s important to set up and maintain any necessary emergency arrangements. Emergency arrangements must be well planned and set out by a competent person, and must be appropriate to the hazards generated by the specific work activities and environment.
Emergency arrangements must make up part of the risk assessment process and safe systems of work – no work should be commenced until the appropriate emergency arrangements are enforced. The complexity of the emergency arrangements will depend on the specific hazards identified.
Essential components to consider when deciding on emergency arrangements include:
As described in this article, hot work can present significant risks. Employers have a legal duty to ensure these risks are assessed, controlled and monitored to keep their employees safe from harm. Where necessary and used properly, a permit-to-work is an extension of the safe system of work and risk assessment carried out for your work activities. It must never be considered a substitution for a safe system of work or a risk assessment, and must be followed by everyone involved.
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]]>The post Dust Hazards in Construction: Importance of Managing Risks & RPE appeared first on The Hub | High Speed Training.
]]>This article will look at one of the most common risks in the construction industry: dusts hazards. It will explain what construction dusts are, why it’s important to control exposure, and what actions employers should take to appropriately manage the risks posed by dusts in their workplaces and associated with their work activities.
One significant hazard that those working in construction are exposed to is dust. Exposure to construction dust can result in a range of serious ill health impacts, in permanent disability, and even death in those affected. These health hazards include asthma, Chronic Obstructive Pulmonary Disease (COPD), lung cancer, and silicosis. Therefore, it’s essential that risks from construction dusts are properly assessed and controlled.
Construction dust is the generic name given to dust that is found on a construction site. It usually refers to three main types of dusts:
Exposure to construction dusts can have serious ill health impacts on anyone exposed. These include:
Exposure to construction dust can have serious impacts on anyone exposed. Therefore, there are three main regulations that regulate exposure to dusts in the workplace. These are the Health and Safety at Work, etc Act 1974 (HSW Act), the Management of Health and Safety at Work Regulations 1999 (MHSWR) and the Control of Substances Hazardous to Health Regulations 2002 (COSHH). These regulations place key duties on employers to control exposure to hazardous substances in their workplaces.
Note: Some hazardous substances are not covered under COSHH as they have their own specific regulations, such as lead and asbestos.
Therefore, as an employer, your legal responsibilities include:
It’s important to note that this list of responsibilities is not exhaustive and that everyone involved in construction activities has legal responsibilities placed on them.
Our Respirable Crystalline Silica (RCS) will provide you with more information on the legal responsibilities posed on various parties.
It’s important to remember that everyone involved in construction work has legal responsibilities to manage the hazards associated with their work activities. This includes principal designers, principal contractors, designers and contractors, small builders and employees.
The HSE recommends that you use the ACR model to assess the hazards associated with your work activities and to effectively manage the risks.
The ACR model involves three key steps:
One: Assess the risks – identify the hazards associated with your workplace and work activities and assess the risks. You must consider:
Two: Control the risks – select controls to effectively eliminate or reduce the risks associated with your workplace and work activities. You must consider controls in line with the hierarchy of control. The hierarchy of control is outlined below:
Three: Review the controls – regularly review the controls used to eliminate or reduce the risks, to ensure they are in good working order and are effective.
It’s vital to understand that respiratory protective equipment (RPE) should only ever be used as a last resort. It should never be your first consideration when deciding on controls to eliminate or reduce the risks associated with dusts in your workplace.
There is a legal duty to use methods of elimination, substitution, engineering and administrative controls to eliminate or reduce exposure to dusts. However, there will be situations where using one, or a combination, of those won’t reduce exposure to below the relevant workplace exposure limit (WEL). If this is the case, adequate and suitable RPE should also be used to reduce exposure to below the WEL.
There are two main types of respirators:
Respirators can be either tight-fitting (these have to be face-fit tested to ensure that they can make a good seal with the wearers face) and loose-fitting (these do not require face-fit testing).
It is essential to note that there are very important conditions for RPE use. Any RPE has to be selected carefully to ensure it is adequate and suitable for specific hazards posed by a work activity, suitable for the work environment and specific to the user (e.g. the correct size). More information can be found in the following HSE guidance document: Respiratory Protective Equipment at Work
Construction dust exposure poses significant hazards to workers. As described in this article, it’s important that you effectively manage the risks in your workplace. You can find more information on your legal responsibilities, common health hazards, suitable control measures and the ACR model in our Respirable Crystalline Silica (RCS) Awareness Training Course.
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]]>The post What is an IIRSM Approval & What Does It Mean? appeared first on The Hub | High Speed Training.
]]>There are various different types of accreditations, approvals, and endorsements available to online training companies. One type of approval that we display on a selection of our risk-based courses is Approval from the International Institute for Risk and Safety Management (IIRSM).
However, it’s not always clear what these types of approvals mean or why they are beneficial for us and our learners. In this article, we will explain who IIRSM are and how we work with them to ensure that our content meets their high standards.
The International Institute for Risk and Safety Management, also known as IIRSM, is an independent, educational charity that promotes risk management with the aim of improving employee and organisational wellbeing.
IIRSM provides support to their global community of over 8000 members working in a range of risk-related disciplines. Risk management is vital for ensuring a safe working environment, maintaining a positive reputation, and ensuring a profitable business. Therefore, IIRSM work to support their members with professional advice and guidance, as well as offering training organisations an opportunity to apply for Approval through their Training Approval Scheme.
To ensure that a course meets their quality standards, IIRSM’s Training Approval process assesses the course’s learning experience and technical content, the competence of any subject matter experts involved in course development, and the course quality.
When we applied for Approval through IIRSM’s Training Approval Scheme, we worked with them to submit an application that provided the details of the courses, proof of subject matter expert qualifications, and supporting materials. Our application form then underwent a comprehensive review by IIRSM’s assessors to ensure that our courses met their assessment criteria.
During this process, we received feedback on our courses from IIRSM. We then liaised with them to ensure that our courses provide a high-quality, accurate training experience that allows our learners to effectively manage the risks in their workplaces.
Applying for external accreditations, endorsements and approvals, such as IIRSM Approval, helps to assure our customers that our courses are independently assessed and reflect industry best practices. IIRSM are an educational charity who champion and set standards for risk management. Therefore, we have worked with IIRSM to independently assess a range of our risk-based courses to ensure they meet IIRSM’s quality standards.
Gaining IIRSM approval demonstrates that we work with professional organisations to ensure that we provide our customers with training that will help them to be engaged, effective and safe in their chosen careers. We consider our IIRSM Training Approval as a trust signal for our customers, so they can be sure the content has been independently assessed and that it meets IIRSM’s set standards.
Several of our courses have been independently recognised by the International Institute of Risk and Safety Management as meeting the standards of its Training Approval Scheme. A full list of High Speed Training’s courses that have been approved by IIRSM is detailed below.
We have worked with IIRSM to approve a selection of our Financial Services and Business Skills courses. These courses address risks such as bribery, money laundering and cyber security. They provide an introduction to key financial and business risks that organisations face and explain how these risks can be managed. Our courses approved by IIRSM in this sector are:
Risk Management is a key focus for our Health and Safety courses. Therefore, we have worked with IIRSM to approve a selection of ours.
For example, our Respirable Crystalline Silica Awareness training course has recently been approved by IIRSM. Respirable crystalline silica (RCS) dust exposure poses significant risks to those working in construction, mining, and other dust producing industries. Therefore, it’s essential that workers understand how to manage the risks associated with their work activities. This course teaches our learners how to assess and manage the risks associated with RCS dust. We worked alongside IIRSM to approve our content and ensure that it meets their independent standards.
Further High Speed Training health and safety courses that have been approved by IIRSM are:
Learners who take any of our IIRSM Approved courses are entitled to:
For more information about IIRSM, their membership options and their member benefits, you can visit their website here: IIRSM.
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]]>The post Using the Assess, Control and Review (ACR) Model to Measure & Control Silica Dust Hazards appeared first on The Hub | High Speed Training.
]]>If these silica dust particles are small enough to penetrate deeply into the lungs when breathed in, they are known as respirable crystalline silica (RCS) dust. RCS dust can have serious health impacts for anyone breathing them in, including the development of illnesses such as silicosis, Chronic Obstructive Pulmonary Diseases (COPDs) and lung cancer. Therefore, it’s essential that the hazards associated with RCS exposure are effectively controlled to reduce the risks for workers and anyone in the vicinity.
Due to its hazardous nature, RCS is considered a hazardous substance and is covered under the Control of Substances Hazardous to Health Regulations 2002 (COSHH) (as amended). Therefore, employers have a legal duty to control respirable crystalline silica exposure.
However, everyone involved in construction activities has a responsibility to manage the hazards associated with their work. This includes employers, principal designers and principle contractors, designers and contractors, small builders and employees. To help you assess the risks in your workplace when carrying out a risk assessment, the HSE recommends that you use the Assess, Control, Review (ACR) model.
The ACR model involves three key steps that will help you to assess the health hazards in your workplace and take steps to manage them before starting work:
These stages will be further outlined below.
When assessing the risks involved with your work activities, you must consider the following:
Once you have identified the hazards and assessed the risks, you will need to select methods to control them. You should select control measures in line with the hierarchy of control:
You must consider the hierarchy when you select controls to eliminate or reduce the risks associated with work activities. You should always aim to prevent the risks from occurring at all, before attempting to control them.
RCS has a long-term exposure limit of 0.1 mg/m³ averaged over an eight-hour time period. It’s essential that the levels of dust are monitored in the workplace and controls are used to protect workers if the RCS concentration in the air exceeds 0.1 mg/m³. PPE should only ever be used as a last resort if you are unable to reduce the exposure to below 0.1 mg/m³ using elimination, substitution, engineering or administrative controls.
It’s important to be aware that there are very important conditions attached to the use of RPE and suitable respiratory protection must be chosen carefully to suit the wearer and the specific hazards faced.
Note: The types of controls outlined above are only a few examples of effective control measures that can be used to eliminate or reduce the risks associated with RCS producing work activities. Any control measures that you choose to use must be properly tailored to your workplace and work activities.
The third and final step of the ACR model is to review the controls. To do this, you must ensure appropriate:
The HSE recommends that you should use the ACR Model when assessing the risks associated with different work activities. The information below demonstrates how you should use the ACR Model in practice.
You can use the ACR model to assess, control and review the risks associated with dry sweeping dust and debris:
1. Assess: Dry sweeping dust and debris is a very high risk activity. This is because sweeping up can push significant quantities of respirable dust into the air and expose workers, and anyone in the vicinity, to high levels of dust. The level of risk and specific hazards will depend on the volume and type of dust being swept. The risk associated with this activity will increase if the dust or debris contains RCS or wood dust, it occurs over a long time frame or is carried out in an enclosed space.
2. Control: Dry sweeping dusts and debris is very hazardous and should be avoided as far as possible. You should first consider methods to eliminate or substitute the hazard for a less risky process before work begins. You should:
These preventative actions will help to eliminate most of the dust. However, you may still have dust and debris that needs to be cleared. If this is the case you should use appropriate control measures to reduce the risks associated with clearing construction waste, including:
3. Review: Step three of the ACR model is to review the preventative and control measures that you have selected to ensure that they are adequately reducing the risks associated with your work activities. To do this, you should:
Uncontrolled dust exposure can have significant impacts on employee health. Therefore, it’s essential to consider how you can prevent or reduce these hazards. The ACR model is the recommended method of considering the risks associated with different work tasks and how you can prevent and control the hazards.
In this article we have used the example of dry sweeping dust and debris, however, the ACR model can be applied to any workplace activity including:
By using the ACR model, everyone involved in your work activities will be able to consider the associated risks and hazards, and manage them to make your workplace safer for you, other employees, and anyone in the vicinity.
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]]>The post Guide to the Incoterms 2020 – Key Changes Explained appeared first on The Hub | High Speed Training.
]]>Incoterms help to make international trading easier by providing standard terms that are uniformly recognised across the world. These trade terms are frequently used in domestic and international trade contracts.
It’s important to note that, while the Incoterms 2020 have been published, parties can continue to use previous revisions of the Incoterms, as long as they are decided upon in their agreements.
The commonality of Incoterms in trading contracts makes it important for you to understand what they mean and the responsibilities of the various involved parties.
Incoterms 2020 are made up of 11 different Incoterms. The update resulted in a couple of key changes, which are outlined in the dropdowns below. This article will detail all 11 of the Incoterms 2020 to help you understand more about them.
Note that one incoterm had a change of name to better reflect the content of the incoterm – DAT (Delivered at Terminal) was updated to DPU (Delivered at Place Unloaded).
For more information on Incoterms 2010, visit the following article: Beginner’s Guide to the 11 Types of Incoterms 2010
EXW means that the seller has delivered when they place or deliver suitably packaged goods at the disposal of the buyer at an agreed-upon place (i.e. the works, factory, warehouse, etc.). The goods are not cleared for export.
The seller is not required to load the goods onto a collecting vehicle and, if they do, it is at the buyer’s expense. EXW is the only Incoterm where the goods are not required to be cleared for export, although the seller has the duty to assist the buyer (at the buyer’s expense) with any needed documentation and export approvals.
After collection, the buyer must provide the seller with proof that they collected the goods. From collection, the buyer is responsible for all risks, costs and clearances. Simply put, the buyer arranges the full shipment, and they are liable and responsible for almost all the stages.
FCA means that the seller fulfils their obligation to deliver when the goods are handed, suitably packaged and cleared for export, to the carrier (an approved person selected by the buyer) or the buyer at a place named by the buyer. Responsibility for the goods passes from seller to buyer at this named place.
The named place may be the seller’s premises. While the seller is responsible for loading the goods, they have no responsibility for unloading them if the goods are delivered to a named place that is not the seller’s premises.
The seller may procure a freight contract at the buyer’s request or, if the buyer fails to procure one by the date of a scheduled delivery, the seller may procure one on their own initiative. The costs and risks of this freight contract fall on the buyer. The buyer must be informed of delivery arrangements by the seller in time for the buyer to arrange insurance.
As of the Incoterms 2020, FCA has been revised with regards to the bill of lading. The buyer and seller can now agree in their contract that the buyers must instruct the carrier to supply the seller with a bill of lading with an on-board notation. This will allow the seller to meet the terms of a letter of credit.
CPT stands for when the seller delivers the goods to a carrier, or a person nominated by the buyer, at a destination jointly agreed upon by the seller and buyer. The seller is responsible for paying the freight charges to transport the goods to the named location. Responsibility for the goods being transported transfers from the seller to the buyer the moment the goods are delivered to the carrier.
If multiple carriers are used, risk passes as soon as the goods are delivered to the first carrier. The seller’s only responsibility is to arrange freight to the destination. They are not responsible for insuring the goods shipment as it is being transported.
The seller should ensure that they make it clear on their quotation that their responsibility for the goods ends at loading and, from this point forward, the buyer should arrange appropriate insurance.
CIP means that the seller is only responsible for the delivery of goods to a carrier or another approved person (selected by the seller) at an agreed location. However, the seller is responsible for paying the freight and insurance charges to the selected destination.
CIP states that, even though the seller is responsible for freight and insurance, the risk of damage or loss of the transported goods transfers from the seller to the buyer the moment the first carrier receives the goods.
Incoterms 2020 has increased the level of insurance the seller must obtain, and must now be compliant with the Institute Cargo Clauses (A) or similar clauses.
Under Incoterms 2010, the seller is only obliged to procure the minimum level of insurance coverage. However, in both cases, the buyer should consider if they want additional insurance; if so, they are responsible for arranging it themselves.
The Incoterms 2020 has updated DAT (Delivered at Terminal) to DPU (Delivered at Place Unloaded).
DPU is a term indicating that the seller delivers when the goods are unloaded at an agreed upon port or destination. The seller is responsible for all risk and costs up until this point, as well as for clearing the goods for export and arranging someone to unload the shipment. Once unloaded, the responsibility for the costs and risks transfers to the buyer, including any import costs.
The key point to note here is the name change from DAT to DPU reflects that the destination place for the goods can be any place, not simply a ‘terminal’.
DAT is a term indicating that the seller delivers when the goods are unloaded at the destination terminal.‘Terminal’ can refer to a container yard, quayside, warehouse or another part of the cargo terminal. The terminal should be agreed upon accurately in advance to ensure no confusion over the location.
While there is no requirement for insurance, the delivery is not complete until the goods are unloaded at the agreed destination. Therefore, the seller should be wary of the risks that not securing insurance could pose.
DAP means that the seller delivers the goods when they arrive at the pre-agreed destination, ready for unloading.
It is the buyer’s responsibility to cover any import customs clearance costs and pay any import duties or taxes. Additionally, while there is no requirement for insurance, the delivery is not complete until the goods are unloaded at the agreed destination. Therefore, the seller should be wary of the risks of not securing insurance.
DDP means that the seller delivers the goods to the buyer, cleared for import and ready for unloading, at the agreed location or destination. The seller maintains responsibility for all the costs and risks involved in delivering the goods to the location. Where applicable, this includes pre-shipment inspection costs and import ‘duty’ for the country of destination. Import duty may involve customs formalities, the payment of these formalities, customs duties and taxes. Simply put, the seller organises the whole shipment.
DDP holds the maximum obligation for the seller. While there is no requirement for insurance, the delivery is not complete until the goods have been unloaded at the destination. Therefore, the seller should be wary of the risks that not securing insurance could pose.
FAS stands for when the seller delivers the goods, packaged suitably and cleared for export, by placing them beside the vessel at the agreed upon port of shipment. At this point, responsibility for the goods passes from the seller to the buyer. The buyer maintains responsibility for loading the goods and any further costs.
The seller may procure a freight contract at the buyer’s request or, if the buyer fails to procure one by the date of a scheduled delivery, the seller may procure one on their own initiative. The buyer is responsible for the cost and risk associated with the freight contract.
FOB means that the seller delivers the goods, suitably packaged and cleared for export, once they are safely loaded on the ship at the agreed upon shipping port. At this point, responsibility for the goods transfers to the buyer. The seller may procure a freight contract at the buyer’s request or, if the buyer has failed to procure one by the date of a scheduled delivery, the seller may procure one on their own initiative. The buyer is responsible for the cost and risk of this freight contract.
The seller must inform the buyer of delivery arrangements in good time to sort out insurance for the shipment.
FOB is a frequently misused term. If a supplier insists FOB needs to be used for containerised goods, the buyer should make certain that the selected insurance covers the goods ‘warehouse to warehouse’.
CFR means that the seller delivers when the suitably packaged goods, cleared for export, are safely loaded on the ship at the agreed upon shipping port.
The seller is responsible for pre-paying the freight contract. Once the goods are safely stowed on board, responsibility for them transfers to the buyer, despite the seller paying for the freight contract to the selected destination port. The buyer must be informed of the delivery arrangements with enough time to organise insurance.
CIF means that the seller delivers when the suitably packaged goods, cleared for export, are safely stowed on board the ship at the selected port of shipment. This incoterm can only be used for maritime transport. The seller must prepay the freight contract and insurance.
Despite the seller paying for the freight contract to the selected destination port, once the goods are safely stowed on board, responsibility for them transfers to the buyer.
As with Incoterms 2010, in Incoterms 2020 the seller is only obliged to procure the minimum level of insurance coverage. This minimum level of coverage is not usually adequate for manufactured goods. In this event, the buyer and seller are at liberty to negotiate a higher level of coverage.
It’s important to understand the key responsibilities outlined by each Incoterm and choose the one that is most suited to your needs. Our guide to the Incoterms 2020 should be a useful resource to help you understand your responsibilities when reading over national and international trade contracts.
This resource is meant to only act as a brief introduction to Incoterms 2020. Also, remember that all revisions of the Incoterms can still be used, including Incoterms 2010, as long as they have been clearly decided upon in your agreement. Further information on Incoterms can be found directly from the ICC. It’s important to fully understand the rules outlined by the Incoterms to avoid any unplanned costs to the buyers and seller.
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]]>The post What is Respirable Crystalline Silica (RCS) Dust and Why is it Dangerous? appeared first on The Hub | High Speed Training.
]]>This article will explain what respirable crystalline silica (RCS) dust is, the hazards associated with exposure and your responsibilities for controlling RCS dust exposure in your workplace.
Silica, or silica dioxide, is a natural substance found in most sand, rocks and clay, as well as several products such as concrete, brick, mortar and some plastics.
Construction and mineral processing activities, including drilling, sanding and grinding, can result in the production of silica-containing dusts. Silica dust particles that are small enough to penetrate deeply into the lungs when breathed in are known as respirable crystalline silica (RCS) dust.
Regular, uncontrolled exposure to silica dust can cause severe health impacts for workers and anyone in the vicinity. This may include:
RCS exposure can have significant health impacts, many of which can be seriously life changing. Approximately 19,000 new cases of breathing or lung problems that are believed to be caused, or made worse, by work activities arise every year. RCS exposure will be a major contributor to this number and results in approximately 600 deaths annually.
Therefore, it’s essential that you understand the risks and hazards associated with RCS so that you can effectively manage them.
Many professions are at an increased risk of RCS dust exposure due to the activities they carry out at work. These professions include:
Please note that this is not an exhaustive list of workers who may be exposed to RCS dusts.
Respirable crystalline silica is a hazardous substance that can have serious impacts on people’s health. Therefore, RCS has a set Workplace Exposure Limit (WEL) to protect the health of workers. The WEL represents the legal, safe maximum concentration that workers can be exposed to over the stated time-frame.
RCS has a long-term exposure limit of 0.1 mg/m3 averaged over an eight-hour time period. Employers are required by law to ensure that RCS exposure is monitored and that the WEL is not exceeded. Control measures may be required to reduce RCS dust exposure to below the WEL.
The volume of silica present in different silica-containing materials varies significantly. The table below, from the HSE guide: Control of Exposure to Silica Dust, displays the range:
Material | Percentage Content of Silica (%) |
---|---|
Sandstone | 70 – 90 |
Concrete, mortar | 25 – 70 |
Tile | 30 – 45 |
Granite | 20 – 45 (typically 30) |
Slate | 20 – 40 |
Brick | Up to 30 |
Limestone | 2 |
Marble | 2 |
However, even if a substance has a low silica content, exposure to a large amount of dust of any type can result in serious health impacts. Different types of dusts will have different WEL values.
Everyone involved in work activities that produce dust plays an important role in ensuring that the associated hazards are managed.
Employers are required by law to:
You can find further practical guidance and advice on controlling hazardous substances in the workplace in the Control of Substances Hazardous to Health (COSHH) Approved Code of Practice (ACoP): COSHH ACoP.
Employees, whether full-time or part-time, have a legal duty to ensure their own health and safety while at work. This includes:
For construction specific projects, further duties are outlined for the clients, principle designers, principle contractors, designers, contractors, and small builders. For more information on these further duties take a look at our Respirable Crystalline Silica Awareness Course.
What to Read Next:
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