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Statutory Rules of Northern Ireland


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STATUTORY RULES OF NORTHERN IRELAND


2006 No. 237

HEALTH AND SAFETY

TRANSPORT

THE RAILWAYS (SAFETY MANAGEMENT) REGULATIONS (NORTHERN IRELAND) 2006

  Made 25th May 2006 
  Coming into operation 30th June 2006 


CONTENTS


PART I

INTRODUCTION
1. Citation and commencement
2. Interpretation

PART II

SAFETY MANAGEMENT, CERTIFICATION AND AUTHORISATION
3. Use of infrastructure
4. Safety management system for railways
5. Safety certificate
6. Amended safety certificate
7. Further safety certificate
8. Safety authorisation
9. Amended safety authorisation
10. Further safety authorisation
11. Notice of changes by holder of a safety certificate or a safety authorisation
12. Direction to apply for an amended safety certificate or safety authorisation
13. Revocation of safety certificate
14. Revocation of safety authorisation
15. General provisions relating to safety certificates and safety authorisations
16. Notification to the European Railway Agency regarding safety certificates and safety authorisations relating to the railway system

PART III

GENERAL DUTIES
17. Risk assessment
18. Annual safety reports
19. Sending, issuing and keeping of documents and making them available for public inspection
20. Co–operation

PART IV

SAFETY CRITICAL WORK
21. Interpretation and application of Part 4
22. Competence and fitness
23. Fatigue
24. Co–operation requirements for safety critical work

PART V

MISCELLANEOUS
25. Appeals
26. Exemptions
27. Defence of due diligence
28. Transitional Provisions

  SCHEDULE 1— SAFETY MANAGEMENT SYSTEM

  SCHEDULE 2— APPLICATION FOR A SAFETY CERTIFICATE

  SCHEDULE 3— COMMON SAFETY INDICATORS

  SCHEDULE 4— WRITTEN SAFETY VERIFICATION SCHEME REQUIREMENTS

  SCHEDULE 5— TRANSITIONAL PROVISIONS

The Department for Regional Development, being the Department concerned [
1],makes the following Regulations in exercise of the powers conferred by sections 17(1), (2), (4), (5), and (6)(b) and 55(2) of, and paragraphs 1(1)(a) and (c),(2) 5, 6, 7(1), 13, 14(1) and 15, of Schedule 3 to, the Health and Safety at Work (Northern Ireland) Order 1978 [2]

     In accordance with Article 46(1)[3] of that Order the Department has consulted with the Health and Safety Executive for Northern Ireland [4] and such other bodies as appeared to the Department to be appropriate.



PART I

INTRODUCTION

Citation and commencement
     1. These Regulations may be cited as the Railways (Safety Management) Regulations (Northern Ireland) 2006 and shall come into force on 30th June 2006.

Interpretation
    
2. —(1) In these Regulations—

but does not include any operation which is a work of engineering construction;

are assessed, as revised and reissued from time to time;

expressed in risk acceptance criteria as revised and reissued from time to time;

except that where the requirements in sub-paragraph (b) consist of common operating rules of the railway it shall not include such rules which regulate matters which are covered by a TSI;

except that it does not include any part which is located within a maintenance or goods depot.

made in relation to an operation on any railway;

falling within regulation 4(4) and related expressions shall be construed accordingly;

and includes an authorised representative established in Northern Ireland of such a person.

and in force;

    (2) Any reference in these Regulations to a person operating a train or a vehicle is a reference to the person operating the train or vehicle for the time being in the course of a business or other undertaking carried on by him, whether for profit or not, but it does not include a self–employed person by reason only that he drives or otherwise controls the movement of a train or vehicle.



PART II

SAFETY MANAGEMENT, CERTIFICATION AND AUTHORISATION

Use of infrastructure
     3. —(1) After 30th June 2006 no person shall operate a train in relation to any infrastructure unless—

except to the extent that he is doing so within an engineering possession.

    (2) After 30th June 2006 no person who is responsible for developing and maintaining infrastructure shall manage and use it, or permit it to be used, for the operation of trains unless—

    (3) Paragraphs (1) and (2) shall not apply where the operation in question is only carried out on a railway on no part of which there is a permitted maximum speed exceeding 40 kilometres per hour and where the operator has furnished the Department with a risk assessment and the Department has approved that risk assessment.

Safety management system for railways
    
4. —(1) The requirements for a safety management system referred to in regulation 3(1)(a) are that—

    (2) The requirements in paragraph (1)(a) and (d) shall be met where the safety management system of a railway operator or of an applicant for a safety certificate or a safety authorisation taken with that of any relevant railway operator is capable of meeting the requirements of the paragraph in question.

    (3) In paragraph (2), "relevant railway operator" means another railway operator whose operation is capable of materially affecting the safety of the operation carried on by the first operator.

    (4) In paragraph 1(d)(iii) where such new or altered vehicles are intended to be first taken into service, then before that taking into service any railway operator shall ensure that it has—

    (5) Where a new or altered vehicle has been authorised under regulation 4(1)(a) of the Interoperability Regulations for the placing into service on any railway, that authorisation shall be treated as satisfying the requirements of paragraph (4).

    (6) In this regulation placing in service shall mean first placed in service for the provision of any railway service, and in ascertaining when this takes place no regard shall be had to any trials or testing that takes place to the relevant vehicle.

    (7) The requirements for a safety management system referred to in regulation 3(2)(a) are the requirements in paragraphs (1) to (6) save that any reference to new or altered vehicles in those paragraphs shall be replaced with a reference to new or altered infrastructure and that it—

and in each case the requirements in sub–paragraphs (a) to (d) shall only apply in relation to any railway operator that operate or will operate a train in relation to the infrastructure of the infrastructure manager or of the applicant for a safety authorisation in question.

Safety certificate
    
5. —(1) An application for a first safety certificate in respect of the operation of a train shall—

    (2) Where—

then that certificate shall be deemed to be Part A of the safety certificate for the operation in respect of which the application is made.

    (3) Subject to regulation 15(6), within four months of the date of receipt of the application, the Department shall—

and in either case shall give reasons for its decision.

    (4) A safety certificate shall—

and reference the information on which the acceptance is based; and

    (5) In paragraph (4)(b)(ii) "requirements" means the TSIs, national safety rules and other safety requirements referred to in paragraph 2(a) of Schedule 2.

Amended safety certificate
    
6. —(1) Where it is proposed that the type or extent of an operation in respect of which a safety certificate has been issued is to be substantially changed then the holder of the safety certificate shall apply to the Department for the safety certificate to be amended accordingly and the substantial change shall not be made until the safety certificate is so amended.

    (2) An application for an amended safety certificate under this regulation shall—

    (3) Where Part A of a safety certificate in respect of which an application is made falls within regulation 5(2) then the Department shall—

except that, in relation to Part B of the safety certificate, he only need provide the details set out in paragraph (2).

    (4) Subject to regulation 15(6), within four months of the date of receipt of the application the Department shall—

and in either case shall give reasons for its decision.

Further safety certificate
    
7. —(1) Before the expiry of a safety certificate the holder of that safety certificate may apply to the Department for a further safety certificate to be issued for the operation in question.

    (2) An application for a further safety certificate shall set out particulars of any changes to any information sent to the Department in respect of the operation in question which remains relevant to that operation.

    (3) Regulation 5(1)(c) and (2) to (4) shall apply to an application for and the issuing of a further safety certificate as they apply to an application for and the issuing of a first safety certificate under regulation 5.

Safety authorisation
    
8. —(1) An application for a first safety authorisation in respect of infrastructure shall—

    (2) Subject to regulation 15(6), within four months of the date of receipt of the application the Department shall—

    (3) A safety authorisation shall—

Amended safety authorisation
    
9. —(1) Where it is proposed that a substantial change is to be made to—

then the holder of the safety authorisation shall apply to the Department for the safety authorisation to be amended accordingly and the substantial change shall not be made until the safety authorisation is so amended.

    (2) An application for an amended safety authorisation under this regulation shall provide details of—

    (3) Subject to regulation 15(6), within four months of the date of receipt of the application the Department shall—

and in either case shall give reasons for its decision.

Further safety authorisation
    
10. —(1) Before the expiry of a safety authorisation the holder of that safety authorisation may apply to the Department for a further safety authorisation to be issued for the infrastructure.

    (2) An application for a further safety authorisation shall set out particulars of any changes to any information sent to the Department in respect of the operation in question which remains relevant to that operation.

    (3) Regulations 8(2) and (3) shall apply to an application for and the issuing of a further safety authorisation as they apply to an application for and the issuing of a first safety authorisation under regulation 8.

Notice of changes by holder of a safety certificate or a safety authorisation
    
11. —(1) The holder of a safety certificate or a safety authorisation shall, without delay, notify the Department—

Direction to apply for an amended safety certificate or safety authorisation
    
12. —(1) Where there is a substantial change to any of the relevant statutory provisions which make provision in relation to the safety of railways then the Department may direct the holder of a safety certificate or a safety authorisation to apply to the Department for an amendment to its safety certificate or safety authorisation.

    (2) A direction issued under paragraph (1) shall—

    (3) An application for an amended safety certificate or safety authorisation pursuant to this regulation shall provide details of any changes to any information—

    (4) Regulation 6(2)(c) and (4) shall apply to an application for and the issuing of a notice of amendment to safety certificate under this regulation as they apply to an application for and issuing of an amendment to a safety certificate under regulation 6.

    (5) Regulation 9(3) shall apply to an application for and the issuing of a notice of amendment to a safety authorisation under this regulation as it applies to an application for and issuing of an amendment to a safety authorisation under regulation 9.

Revocation of safety certificate
    
13. —(1) The Department shall revoke—

    (2) In this regulation, "conditions" means in relation to—

    (3) Before revoking any safety certificate or Part A or B of it, the Department shall—

    (4) Where the Department revokes a safety certificate or Part A or Part B of it, it shall send to the holder with the notice of revocation a statement of the reasons why.

    (5) Where—

then the Department shall notify that safety authority as soon as reasonably possible of that revocation.

Revocation of safety authorisation
    
14. —(1) The Department shall revoke a safety authorisation if it is satisfied that the holder is no longer satisfying the conditions of that safety authorisation and there is a significant risk arising as a result.

    (2) In this regulation, "conditions" means—

    (3) Before revoking any safety authorisation, the Department shall—

    (4) Where the Department revokes a safety authorisation, it shall send to the holder with the notice of revocation a statement of the reasons why.

General provisions relating to safety certificates and safety authorisations
    
15. —(1) A railway operator may make one application for an operation in relation to which he requires both a safety certificate and a safety authorisation or an amended safety certificate and an amended safety authorisation but—

except that where the same information is required it need not be stated twice.

    (2) Where—

then he shall at the same time either copy it to any affected party or notify any affected party without delay that the application or further information has been sent and of the address of the website where those documents may be accessed and how they may be accessed and, in either case, shall notify such a party, where the document in question is an application, of the time for making representations to the Department pursuant to paragraph (5).

    (3) Where the Department issues a—

then the Department shall at the same time either copy it and the reasons given for the Department's decision to any affected party or notify any affected party that the relevant document has been issued and of the address of the website where those documents and the reasons given for the decision may be accessed and how they may be accessed and, in either case, shall notify such a party, where the document in question is a notice that it is considering revocation, as mentioned in sub-paragraph (e), of the time for making representations to the Department pursuant to paragraph (5).

    (4) The Department may upon receipt of—

request as soon as reasonably possible such further information as it may reasonably require and the applicant shall provide such information as soon as reasonably possible.

    (5) Where an affected party receives a copy of an application or a notice relating to revocation pursuant to paragraph (2)(a) or (3)(e) then—

    (6) The period of 4 months for the Department to make a decision referred to in regulations 5(3), 6(4), 8(2) and 9(3) shall not start to run—

whichever is the later and in any event shall not start to run until 31 October 2006.

    (7) An employer who makes an application for a safety certificate or safety authorisation, an amended safety certificate or safety authorisation or sends a notice to the Department under regulation 11 shall, in relation to its preparation, consult—

    (8) In this regulation, "affected party" means for a document sent or issued in relation to—

Notification to the European Railway Agency regarding safety certificates and safety authorisations relating to the railway system
     16. —(1) The Department shall notify the European Railway Agency of the issuing, amendment or revocation of—

pursuant to these Regulations within one month of such issue, amendment or revocation.

    (2) A notice under paragraph (1) shall include the following information in relation to the safety certificate or safety authorisation—



PART III

GENERAL DUTIES

Risk assessment
    
17. —(1) A railway operator shall—

    (2) When carrying out an assessment or a review under paragraph (1) or (3), a railway operator shall apply the CSMs to the extent that the operation is carried out on the railway.

    (3) Any assessment under paragraph (1) shall be reviewed by any railway operator who made it if—

the railway operator concerned shall make them, and he shall implement any changes to the measures identified pursuant to paragraph (1) as a result of the review.

    (4) The railway operator shall record in relation to any assessment or review under this regulation—

    (5) Every railway operator shall make and give effect to such arrangements as are appropriate, having regard to the nature of his activities and the size of the undertaking, for the effective planning, organisation, control, monitoring and review of the measures identified in paragraph (1) or (3) and shall record such arrangements.

Annual safety reports
    
18. —(1) Subject to paragraph (2), any railway operator who is subject to the prohibition in regulation 3(1)(b) and (2)(b) shall send to the Department an annual safety report relating to the previous calendar year which shall contain—

    (2) The first annual report required under paragraph (1) shall be sent by 31st August 2007 and subsequent reports by 31st August in each subsequent calendar year.

    (3) Subject to paragraph (4), the Department shall publish and send to the European Railway Agency an annual report relating to the previous calendar year which shall contain information on the following in relation to any railway—

    (4) The first annual report required under paragraph (3) shall be sent to the European Railway Agency by 30th September 2007 and subsequent reports by 30th September in each subsequent calendar year.

    (5) Where the Department discovers, after sending an annual report, that there were errors or omissions in it then it shall send a corrected report for that year to the European Railway Agency at the first convenient opportunity and in any event by no later than the time the next annual report is due to be sent.

Sending, issuing and keeping of documents and making them available for public inspection
    
19. —(1) Any application, notice, report or any other information sent to the Department or records made pursuant to these Regulations shall be in writing and in English.

    (2) Any certificate, authorisation, notice, direction, request for information, statement or report issued by the Department pursuant to these Regulations shall be in writing, and in English.

    (3) An applicant who makes an application in respect of a safety certificate or a safety authorisation pursuant to regulations 5, 7, 8 or 10 shall when sending the application, notify the Department of an address in Northern Ireland for the purposes of this regulation (“notified address“)

    (4) Subject to paragraphs (5) and (6), a railway operator shall keep at the notified address in relation to the operation in question—

or a hard or electronic copy of such documents.

    (5) The documents referred to in paragraph (4) shall be kept as long as they—

    (6) The documents kept pursuant to paragraph (4)(d) or (f) shall be kept for 5 years and the documents kept pursuant to sub–paragraphs (a), (b), (d) and (e) of paragraph (4) shall, subject to paragraph (7), be made available for public inspection at the notified address at reasonable times and on reasonable notice.

    (7) Nothing in paragraph (6) shall require the disclosure of any information—

    (8) A person who has a notified address may subsequently notify the Department of a different address in Northern Ireland and in this case references in this regulation to the notified address shall be construed as a reference to the last address notified under this paragraph.

Co–operation
    
20. —(1) Every person to whom this paragraph applies shall co–operate as far as is necessary with any railway operator to enable him to comply with the provisions of these Regulations.

    (2) Paragraph (1) applies to—

    (3) Every railway operator shall co–operate, insofar as is reasonable, with any other railway operator who operates on the same railway where that other railway operator is taking action to achieve the safe operation of that railway.

    (4) In paragraph (2) "duty holder" means any railway operator referred to in paragraph (1).



PART IV

SAFETY CRITICAL WORK

Interpretation and application of Part 4
    
21. —(1) In this Part—

which could significantly affect the health or safety of persons on any railway;

    (2) Any reference in this Part to a safety critical worker or a controller of safety critical work supervising and checking the work of another person is to a safety critical worker or a controller of safety critical work who has been assessed as competent in the tasks to which that supervisor and checking relates.

    (3) Any reference in this Part to a person controlling the carrying out of safety critical work is a reference to a person managing, supervising or controlling that work in connection with the carrying on by him of a trade, business or other undertaking whether or not for profit).

    (4) This Part shall not apply to or in relation to—

    (5) This part shall not apply were the operation in question is only carried out on a railway on no part of which there is a permitted maximum speed exceeding 40 kilometres per hour.

Competence and fitness
    
22. —(1) Every controller of safety critical work shall, so far as is reasonably practicable, ensure that a person under his management, supervision or control with the exception of where that person is receiving practical training in a safety critical task, only carries out safety critical work where—

    (2) Every controller of safety critical work shall without unreasonable delay review any person's competence or fitness assessment where—

and where, as a result of any such review a reassessment of competence or fitness is required, that reassessment of competence or fitness shall be carried out to ensure that the requirements of paragraph (1) are met.

    (3) Where a reassessment of competence or fitness under paragraph (2) is required, the controller of safety critical work shall, so far as is reasonably practicable ensure that, as a result, the health and safety of persons on any railway is not prejudiced.

Fatigue
    
23. —(1) Every controller of safety critical work shall have in place arrangements to ensure, so far as is reasonably practicable, that a safety critical worker under his management, supervision or control does not carry out safety critical work in circumstances where he is so fatigued or where he would be liable to become so fatigued that his health or safety or the health or safety of other persons on a railway could be significantly affected.

    (2) The arrangements in paragraph (1) shall be reviewed by the controller of safety critical work where he has reason to doubt the effectiveness of those arrangements.

Co–operation requirements for safety critical work
    
24. —(1) Every controller of safety critical work to whom this Part applies shall co–operate as far as is necessary with any other controller of safety critical work or any operator to enable that other controller of safety critical work to comply with the provisions of this Part.

    (2) Every person carrying out safety critical work shall, as regards any requirement imposed on any controller of safety critical work under this Part, co–operate with that controller of safety critical work so far as is necessary to enable that requirement to be performed or complied with.



PART V

MISCELLANEOUS

Appeals
    
25. —(1) A person who is aggrieved by a—

For the purposes of paragraph (1), a failure by the Department to make a decision on whether or not to issue or amend a safety certificate or safety authorisation within the four month period for making a decision calculated in accordance with regulation 17(7) shall be treated as a refusal of the application.

    (2) The Deregulation (Model Appeals Provisions) Order (Northern Ireland) 1997[
11] shall apply to an appeal under paragraph (1)

    (3) Where an appeal is made under paragraphs (1)(a) or (1)(c), the decision in question shall be suspended pending the final determination of the appeal..

Exemptions
     26. —(1) Subject to paragraph (2) the Department may, by a certificate in writing, exempt any person or class of persons, any railway or part of any railway from any requirement or prohibition imposed by these Regulations.

    (2) The Department shall not grant any such exemption unless, having regard to the circumstances of the case, and in particular to—

it is satisfied that the health and safety of persons who are likely to be affected by the exemption will not be prejudiced in consequence of it.

    (3) Any such exemption may be granted pursuant to paragraph (1) subject to conditions and with or without limit of time and may be revoked by a certificate in writing at any time.

Defence of due diligence
    
27. —(1) Subject to the following provisions of this regulation, in any proceedings against any person for an offence under regulation 4(4) it shall be a defence for that person to show that he took all reasonable steps and exercised all due diligence to avoid committing the offence.

    (2) Where in any proceedings against any person for such an offence the defence provided in paragraph (1) involves an allegation that the commission of the offence was due to—

that person shall not, without the leave of the court, be entitled to rely on the defence unless, within a period ending seven clear days before the hearing of the proceedings, he has served a notice under paragraph (3) on the person bringing the proceedings.

    (3) a notice under this paragraph shall give such information identifying, or assisting in the identification of, the person who committed the act or default or gave the information as is in the possession of the person serving the notice at the time he serves it.

    (4) A person shall not be entitled to rely on the defence provided by paragraph (1) by reason of his reliance on information supplied to another, unless he shows that it was reasonable in all the circumstances for him to have relied upon the information, having regard in particular—

Transitional Provisions
    
28. The provisions of Schedule 5 shall have effect.



Sealed with the Official Seal of the Department for Regional Development on


25 May 2006.

L.S.


B. R. D. White
A senior officer of the Department


SCHEDULE 1
Regulation 4 (1) (c)


SAFETY MANAGEMENT SYSTEM


Requirements on the safety management system
     1. The safety management system shall—

Basic elements of the safety management system
     2. The basic elements of a safety management system are—

and procedures to ensure compliance with the requirements listed in this paragraph throughout the life–cycle of any relevant equipment or operation which is subject to the requirement in question.

which gives rise to new risks in relation to any infrastructure or the operation being carried out;



SCHEDULE 2
Regulation 5(1)(b)


APPLICATION FOR A SAFETY CERTIFICATE - INFORMATION TO BE INCLUDED FOR A SAFETY CERTIFICATE APPLICATION


     1. The following information shall be included in relation to Part A of a safety certificate—

     2. The following information shall be included in relation to Part B of a safety certificate—

and where information is submitted concerning an interoperability constituent or a subsystem which is subject to and complies with the requirements of the Interoperability Regulations then only brief details need be supplied concerning compliance of such constituents or subsystems with relevant TSIs and other requirements of those Regulations and in this paragraph "interoperability constituent" and "subsystem" shall have the same meaning as in those Regulations.



SCHEDULE 3
Regulation 18(1)(c)


COMMON SAFETY INDICATORS


Indicators relating to accidents
     1. Total and relative, to vehicle kilometres, number of—

    (2) The provisions of Regulation 91/2003 of the European Parliament and the Council of 16th December 2002 on rail transport statistics [12] shall be applied to any information provided under this paragraph.

Indicators relating to incidents and near–misses
     2. Total and relative, to vehicle kilometres, number of—

Indicators relating to consequences of accidents
     3. —(1) Total and relative—

    (2) In calculating the costs under sub–paragraph (1)(a), the amount of any indemnity or compensation recovered or expected to be recovered from third parties shall be deducted except for any relevant compensation recovered under insurance policies held by any railway operator.

Indicators relating to technical safety of infrastructure and its implementation
     4. The—

Indicators relating to the management of safety
     5. Internal audits carried out by any railway operator pursuant to the procedures referred to in paragraph 2(k) of Schedule 1 and the number of such audits which have been carried out and that number expressed as a percentage of the audits which were planned for that year.



SCHEDULE 4
Regulation 4(4)(a)


WRITTEN SAFETY VERIFICATION SCHEME REQUIREMENTS


Information to be included in a safety verification scheme
     1. The arrangements for the selection, appointment and retention of the competent person, which arrangements should provide for:

     2. The arrangements for the examination provide for:

     3. The arrangements for the review and revision of the verification scheme.

     4. The arrangements for the making and preservation of records showing—

     5. The arrangements for communicating the matters contained in sub–paragraphs (1) to (4) of this Schedule to an appropriate level in the management system of any railway operator [or responsible person as the case may be.



SCHEDULE 5
Regulation 29


TRANSITIONAL PROVISIONS


     1. Where a person is undertaking a relevant operation on 30th June 2006 it shall, to the extent that the operation is undertaken in the same place as it was on that date, be sufficient compliance by him with the appropriate provisions of regulations 3(1) and (2) if the safety requirements referred to in those provisions are prepared and accepted within 2 years after that date.

     2. Where a relevant operation is not being undertaken on 30th June 2006 in consequence of normal operating schedules, maintenance, repair or an emergency, the operation shall nevertheless be treated for the same purposes of paragraph 1 as being undertaken on that date.

     3. In this Schedule "relevant operation" means the activity which would, apart from this Schedule, be prohibited by those regulations.



EXPLANATORY NOTE

(This note is not part of the Regulations)


These Regulations impose prohibitions and requirements in relation to safety on Northern Ireland railways.

Part 2 and regulation 18 of the Regulations implement, insofar as they apply to any railway in relation to Northern Ireland, Directive 2004/49/EC (O.J. No. L164, 30.04.04 p.44) of the European Parliament and the Council of 29th April 2004, on safety on the Community's railways and amending Council Directive 95/18/EC on the licensing of transport undertakings and Directive 2001/14/EC on the allocation of infrastructure capacity and the levying of charges for use of infrastructure and safety certification ("the Rail Safety Directive"), except in relation to access to training facilities, placing in service of in–use rolling stock and accident and incident investigation.

Part 1 contains the interpretation provisions. Part 2 contains prohibitions in relation to the operation of trains or vehicles on any railways and the management and use of infrastructure unless a person has established and is maintaining a safety management system and in specified cases has a safety certificate in relation to the operation of vehicles or a safety authorisation in relation to the management and use of infrastructure. Part 2 also makes provision in relation to the requirements for a safety management system and the issuing, amendment and revocation of safety certificates and authorisations and for the giving of notices to the Department.

Part 3 provides for general duties on any railway operators subject to the duties in Part 2 to carry out risk assessment, co–operate with each other and certain other persons and to prepare an annual safety report to the Department. It makes provision in relation to annual reports to the European Railway Agency and for the issuing, keeping and public inspection of documents.

Part 4 makes provision in relation to the carrying out of safety critical work on any railways. It imposes obligations on those controlling the carrying out of such work to ensure that it is only carried out by fit and competent persons, that safety critical workers do not carry out work when fatigued and related co–operation requirements.

Part 5 makes provision for appeals in relation to decisions relating to safety certificates and authorisations, for transitional provisions in relation to compliance with the provisions of regulations (3)(1) and (2), for the granting of exemptions and for a defence in relation to the safety verification requirements in regulation 4.

Technical Specifications for Interoperability are published in the Official Journal of the European Communities. Common Safety Methods and Common Safety Targets are to be developed pursuant to the Rail Safety Directive and shall be published in the Official Journal of the European Communities.


Notes:

[1] See Article 2(2) of S.I. 1978/1039 (N.I.9)back

[2] SR 1978 No. (N.I.9); the general purposes of Part II referred to in Article 17(1) were extended by section 1 of the Railway Safety Act (Northern Ireland) 2002; Article 55 was amended by SI 1998/2795 (N.I. 18) Article 6(1) and Schedule 1 paragraph 19.back

[3] Article 46 was amended by S.I. 1998/2795 (N.I. 18), Article 6(1) and Schedule 1, paragraph 18.back

[4] Formerly known as the Health and Safety Agency for Northern Ireland which was established under Article 12 of the Health and Safety at Work (Northern Ireland) Order 1978 (S.I. 1978/1039 (N.I. 9)). Article 3(1) of the Health and Safety at Work (Amendment) (Northern Ireland) Order 1998 (S.I.1998/2795 (N.I. 18)) changed its name to the Health and Safety Executive for Northern Ireland.back

[5] O.J. No.L 110, 20.4.2001, p1 as amended by Directive 2004/50/EC of the European Parliament and the Council of 29th April 2004 (O.J. L164, 30.4.2004, p114back

[6] O.J. No.L164 of 30.4.04, p1back

[7] S.I.2006 No.397back

[8] 1967 c.37 (N.I.); section 66 was substituted by S.I. 1984/1986 (N.I. 15) Art 15 and amended by S.I. 1990/994 (N.I. 7) Sch. 2back

[9] S.R.1979 No 437back

[10] S.R. 1996 No.511back

[11] S.R. 1997 No. 269back

[12] O.J. No. L14 of 21.1.03, p1back



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