Guidelines For Offshore Marine Operations
Guidelines For Offshore Marine Operations
Guidelines For Offshore Marine Operations
Operations
Revision: 0611-1401
06/11/2013
Contents
"Owners" & Sponsors
Change Records
4
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Preface
Documents Replaced . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Marine Operations Manuals . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
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Introduction
1.1
Acknowledgements . . . . . . . . . . . .
1.2
Purpose & Use . . . . . . . . . . . . . . .
1.3
Document Style and Structure . . . . . .
1.4
Protocols . . . . . . . . . . . . . . . . . .
1.4.1
Delegation of Authorities . . . .
1.4.2
Terminology . . . . . . . . . . .
1.4.3
Verification of Information . . .
1.4.4
Inclusion of Reference Material
1.4.5
Gender Equality . . . . . . . . .
1.5
Hierarchy of Authorities . . . . . . . . . .
1.6
Document Ownership & Management .
1.7
Regional or Local Supplements . . . . . .
1.8
Summary of Contents . . . . . . . . . . .
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Revision:0611-1401
3.2.5
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Facility Manager . . . . . . . . . . . . . . . . . . . . . . . . . . .
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Revision:0611-1401
5.6
5.5.2.1
Risk Assessment . . . . . . . . . .
5.5.2.2
Atmosphere Testing/Tank Entry . . .
5.5.2.3
Emergency Response and Escape .
Dangerous and Noxious Liquid Cargoes . . . . . . . . . .
5.6.1
Vessel Personnel . . . . . . . . . . . . . . . . .
5.6.2
On Shore Personnel . . . . . . . . . . . . . . .
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Revision:0611-1401
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9.7
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9.14
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Revision:0611-1401
10.14.3
10.14.2.1 Control . . . . . . . . . .
10.14.2.2 Atmosphere Testing . . .
10.14.2.3 Simultaneous Operations
10.14.2.4 Shift Hand-Overs . . . . .
Completion of Tank Cleaning . . . .
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Revision:0611-1401
11.7
11.8
11.9
11.10
11.11
Communications . . . . . . . . . . . . . . . . . . . . . . . . .
Vessel Stability . . . . . . . . . . . . . . . . . . . . . . . . . .
Guidance on Bollard Pull and Vessel Working Limits . . . . .
Emergency Release Arrangements . . . . . . . . . . . . . . .
Further Guidance for Particular Anchor Handling Operations
11.11.1 Considerations for Deeper Water . . . . . . . . . .
11.11.2 Breaking Out of Anchors . . . . . . . . . . . . . . .
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Revision:0611-1401
12.10.3
12.10.4
13 Emergencies
13.1
Emergency Preparedness Procedures
13.2
Facility Emergency . . . . . . . . . . .
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Vessel Emergency . . . . . . . . . . .
13.4
Port Emergency . . . . . . . . . . . .
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viii
List of Figures
1
2
3
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Revision:0611-1401
1 The Marine Safety Forum will act on behalf of Oil and Gas UK and the United Kingdom Chamber of Shipping in matters
relating to this document.
Revision:0611-1401
Date
Description
Function
Revision:0611-1401
Change Records
It is intended that this be considered a new document, replacing the present NWEA Guidelines for the Safe Management of Offshore Supply and Rig Move Operations
The change record below is therefore included for future use.
Revision Number
Section
NOTES
1. The above summary of amendments relates to THIS document only.
2. This Note is to be deleted at time of second revision of this document.
Revision:0611-1401
Response Arrangements
It is the intention to develop internet-based arrangements to facilitate transmission and processing of comments or queries from users relating to this document. However, developing
the desired functionality is proving more difficult than first anticipated.
As an interim measure comments or queries may be submitted to the following electronic mail
address:
GOMO.Response@gmail.com
To assist in processing comments received it would be helpful if these can be submitted using
the form which can be requested from this address.
Details of the internet-based arrangements will be included later after these have been developed and tested to the satisfaction of the steering group.
Revision:0611-1401
Preface
Documents Replaced
This document replaces that titled NWEA Guidelines for the Safe Management of Offshore
Supply and Rig Move Operations. This was first issued in 2006 and revised in May, 2009.
Pending their eventual amendment any references to the above guidelines should be construed as references to this document after its formal release.
Revision:0611-1401
1 Introduction
1.1
Acknowledgements
The Steering Group would like to thank those who participated or assisted in the preparation
of these Guidelines, details of which are included in Appendix 1 - A.
1.2
The objective of this document is to provide guidance in the best practices which should be
adopted to ensure the safety of personnel on board all vessels servicing and supporting offshore facilities, and to reduce the risks associated with such operations.
It particularly relates to the following activities:
1. Operations of offshore facilities.
2. Operations of vessels.
Whilst the best practices summarised in this document primarily reflect those adopted in the
North West European Area the authors recognise that its predecessor was becoming widely
used outwith this region and that many, if not all, of the recommendations included do indeed
have global relevance.
Where it has been possible to make recommendations relating to operations outwith its core
area without diluting the original objectives these have been included.
It is recognised, however, that in certain circumstances local or company-specific requirements
may exist. In this event this document should be read in the context of such requirements and
interpreted accordingly.
To facilitate common practices on a global basis, where necessary, this document, together
with included reporting forms, should be used as the basis for preparing procedures for local
practices.
1.3
The principles used in preparing this document, together with the numbering conventions
adopted are described in Appendix 1 - B.
As described in this Appendix general information relating to all activities are included in the
early part of the text following which, where possible, the information flow should follow that of
a typical voyage to and from an offshore facility.
This is summarised in Figure 1.
Revision:0611-1401
1.4
Protocols
The protocols used in the preparation of this document are described below.
1.4.1
Delegation of Authorities
Any references in this document to Facility Manager, OIM, Master, Base Manager or any other
person in authority should be interpreted as also including their nominated deputies.
1.4.2
Terminology
In the context of this document Operator refers to the party responsible for the management
of petroleum activities on behalf of the licensees.
In the context of this document Owner relates to the party responsible for the management
of one or more offshore support vessels and includes those operating tonnage managed on
behalf of others.
1.4.3
Verification of Information
Some information included in the main body of this document has been prepared by the various work groups and subsequently verified by the steering group.
Information included in the appendices to this document has been prepared by others. Where
such information has been subject of an independent peer review it has been accepted as
accurate and has not been subject of any further assessment prior to inclusion in these Guidelines.
1.4.4
References to further information from a wide range of sources, both public and private, have
been included in this document.
In identifying any references to be included the following principles have been adopted:
1. The information included is generally accepted to represent best industrial practice.
2. The information included may be used from time to time as basis of design or in marine
operations manuals.
3. The information included may be referred to from time to time in contracts relating to
marine operations.
4. The information included is subject to regular and rigorous peer review, being updated
as required.
5. The information is included in the public domain, preferably in an electronic format and
free of charge.
UNCONTROLLED WHEN PRINTED
Revision:0611-1401
6. There is no commercial benefit to the source of the information as a result of its inclusion
in this document.
1.4.5
Gender Equality
Any references in this document to the masculine gender relate equally to the feminine gender
and should be interpreted accordingly.
1.5
Hierarchy of Authorities
The context of these Guidelines in the legislative and contractual environment in which marine
operations are conducted is described in Appendix 1 - C.
1.6
The ownership of the document, together with the process of its on-going management are
described in Appendix 1 - D.
1.7
It has been identified that in some instances the preparation of regional or local supplements
to provide further guidance on specific circumstances or requirements within a particular area
may be required.
Any guidance of this nature will not be prepared by the authors of this document, but to promote consistency and ease of use some common principles for the preparation of such regional or local guidance has been developed.
These are described in Appendix 1 - E.
1.8
Summary of Contents
A summary of the contents of this document and how these relate to those of NWEA Guidelines for the Safe Management of Offshore Supply and Rig Move Operations, Version 2 is
included in Appendix 1 - F.
This sub-section and the Appendix will be deleted on the next revision of this document.
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General
3
4
5
6
13
Vessel Procurement
3
4
13
Voyage Planning
9
10
Mobilisation
4
6
13
Loading
3
7.1
9
10
11 (if relevant)
Outward Voyage
7
8
Working at Location
7
8
9
10
11 (if AH Operations)
12 (if relevant)
Inward Voyage
Discharge
3
4
9
10
De-Mobilisation
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2.1
Abbreviations
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2.2
Terminology Definitions
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Flag State: Jurisdiction where a vessel is reg- (or vessel) away from which wind is currently
blowing.
istered.
Logistics Company: Organisation which, on
behalf of its clients, arranges for the transGog (or Gob) Wire: Wire used to control portation of cargo to or from offshore facilities.
movement of main tow line when vessel is enLogistics Service Provider: See Logistics
gaged in towing operations.
Company.
Gypsy: Wheel with machined pockets for
Master: Nominated person having command
hoisting chains fitted on a winch.
or charge of a vessel.
Hold Point: Stage in any operation at which Does not include any pilot.
progress will be assessed to ensure that anticipated objectives at that point have been Mechanical Means of Rescue (Recovery):
achieved and that all conditions are favourable Arrangements installed on a Stand-By Vessel
for safe continuation of activities. Proceeding to facilitate rescue of survivors from the sea
past each hold point may require formal ac- in circumstances where rescue craft cannot
knowledgement in procedures or operational safely be deployed or recovered.
Flagman: See "Banksman".
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Proprietary designs include the Dacon Scoop Pendant: Wire hanging permanently attached to the installation used for chasing out
and Sealift Basket.
anchors.
Mechanical Recovery Device: As for "MePennant wire: Buoy wire; wire from the
chanical Means of Recovery".
seabed up to a buoy on the surface.
Mechanical Stopper: Device for temporarily securing chains or wires to facilitate safe Permanent chaser: Collar through which an
connection or release. Proprietary designs in- anchor chain runs, to which recovery pendant
wire is attached.
clude the Karm Forks and Triplex Stopper.
Near-miss: Undesired circumstance with the Personnel Transfer Basket: Equipment
potential to cause harm, injury, ill health, dam- utilised for transferring personnel by crane.
May also be referred to as Personnel Carrier.
age to equipment or the environment.
Nominated Manager: Nominated persons "in Piggyback anchor: Any additional anchor
charge" of a specified area or task to be per- connected to the primary when the latter anchor has insufficient holding capacity.
formed.
Non-conformity/Non-compliance: A cir- Pigtail: Short chain or wire with open end
cumstance where guidelines, regulation or links.
legislation have not been followed.
Port State: State having jurisdiction over acNorth West European Area: Area which in- tivities in its ports and territorial waters.
cludes the north west European continental
shelf and extending 200 miles from any coast- Radio Silence: Restrictions of limitations to
radio transmissions whilst with a safety zone,
line.
usually relating to handling of explosives on
Offshore Installation Manager: Person in the facility.
charge of an Offshore Installation, also known
Recognised classification society: Classifias Facility Manager.
cation society recognised by IACS to approve
Offshore Support Vessel: Any vessel in- vessel design, construction, outfitting and opvolved in supporting offshore activities which erations.
is not a mobile offshore unit.
Redundancy: The ability or possibility of
Operating Company/Operator: Party that a component or system to maintain or recarries out the management of petroleum ac- establish its function following a failure.
tivities on behalf of licensees.
Risk Assessment: A process of assessing
Owner: In the context of this document refers risk in any operation.
to the owner of an offshore support vessel.
This term may also refer to vessel managers Safety Delegate: Nominated representative
responsible for operating tonnage on behalf of for crew or part of crew or group of workers
with regard to health, safety and environmenothers.
tal matters. May also be referred to as Safety
Pear link: Device for linking two different Representative.
chain dimensions.
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Safety Zone: Established within a radius extending to distance determined by the relevant
legislations beyond the outline of any installation, excluding submarine pipelines.
Sector State: State having special rights and Stinger: In the context of this document the
jurisdiction over the development of marine re- pennant installed on the cranes hook to facilitate the safe connection and release of the
sources within its exclusive economic zone.
lifting rigging on any item of cargo. A suitable
Sharks Jaws: See "Mechanical Stopper" safety hook will be fitted to the lower end of
above.
the pennant.
Ship Owner: Those responsible for normal Supply chain: Base or base company - vesvessel management and operation.
sel or Ship Owner - installation or operating
Shipper: A person who, as principal or agent company.
for another, consigns goods for carriage by Supply service: Supply and/or receipt of
sea.
goods to or from offshore facilities.
Significant Wave Height: Average height of Surfer: Small or medium sized high speed
the highest one third of the waves over a pe- craft used for transportation of personnel or
riod of 20 minutes.
light cargoes in benign areas of operations.
Simultaneous Operations: In the context of Foredeck design is such that craft can be
this document two or more vessels support- docked into "surfer landing" to facilitate safe
ing the same or different operations within the transfer of personnel.
safety zone around an offshore facility.
Surfer Landing (or Ladder): Docking arSocket, Wire Rope: Any manufactured end rangements installed on offshore facilities or
termination fitted to the end of a wire rope to vessels to facilitate access and transfer of perfacilitate the connection of other rigging ele- sonnel using "surfer" - type craft.
ments.
Swivel: Connecting link or device used to preSpooling gear: Arrangement to guide wire vent development of twists in wire or chain cables.
onto drum.
Standby Vessel: Older term for Emergency Tension control: Control facility to enable
winch to be set to pull in or pay out at a speciResponse and Rescue Vessel.
fied tension.
Stand-By Vessel: Any vessel mobilised to
provide response and rescue support at one Toolbox Talk: A meeting of the individuor more offshore facilities. Such support will als due to be involved in an imminent task
primarily involve the rescue of personnel from to review the task, individual responsibilities,
the sea and their subsequent care. It may also equipment required, competency of the indiinclude fire fighting. May also be referred to as viduals, hazards, any Safe Job Analysis or
"Emergency Response and Rescue Vessel", Risk Assessment and/or Permit to Work in
"Safety Stand-By Vessel" or "Stand-By Safety place, simultaneous tasks ongoing which may
affect the task and any other relevant subject.
Vessel".
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General Responsibilities
Operators, Owners and Managers are to ensure that all personnel working for them are familiar
with the relevant contents of these guidelines.
Whilst employers have prime responsibility for ensuring the safety of their worksites, personnel
should also take care of both their own safety and that of their colleagues. They must always
act to prevent accidents and/or incidents, and should be empowered to stop the job in the
event of any safety concerns.
All personnel must participate in relevant safety and working environment training activities.
3.1.1
Management
Operational Responsibilities
Minimum safety requirements that should be identified include, but are not limited to, the following:
3.1.2.1 Operators and Logistics Companies or Service Providers
1. Establish quality assurance programme to ensure that all vessels supporting their operations are maintained and operated in accordance with agreed standards.
2. Provide all relevant information regarding facilities which are to be supported.
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Typical examples of data cards used to present such information are included in Appendix 3 - A.
3. Clear work specification and scope of service.
4. Assess consequences of simultaneous vessel operations (e.g. tank cleaning vs. deck
cargo work).
5. Identified hazards and acceptance criteria.
6. Notification format for non-conformances, accidents, incidents, etc.
7. Operating companys requirements for competence, training and certificates for the workscope
the vessel is to perform.
8. Plan for workscope follow-up.
9. Operational manning, as described in Chapter 5.
10. Lines of communication.
3.1.2.2 Base Operators
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3.2
Individual Responsibilities
The responsibilities of various individuals involved in offshore marine operations are set out
below.
3.2.1
Vessel Owner/Manager
1. Ensure that any non-conformances identified during any inspections associated with a
charterers quality assurance programme are closed out in a timely manner.
2. Communicate the workscope to vessel.
3. Manage vessel operations and manning ensuring:
a. A vessel is appropriately and competently manned and equipped for the intended
workscope.
b. A common working language is used on the vessel.
c. An overall operational plan is prepared for all anticipated onboard operations and
services provided by the vessel.
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d. Prepare operational conditions for vessels (define requirements for safe operation of
vessels under all conditions, and any vessel limitations due to e.g. due to a lack of
technical redundancy, etc.
e. Ensure incidents, accidents and safety observations are recorded, assessed and
handled in accordance with an established reporting system.
4. Ensure an up-to-date copy of these Guidelines is kept on board and ensure the Master,
officers and crew are familiar with the relevant contents.
3.2.2
Vessel Masters
1. Ensure that all officers, crew and all other personnel onboard are aware of the relevant
contents of these guidelines.
2. Are at all times responsible for safety of their crews, vessels and cargo and marine environment protection.
3. In the event of extended operations, either in port or at sea, ensure that all personnel
engaged in such operations have adequate rest periods, and that effective arrangements
for transfer of responsibilities and operational awareness are implemented.
4. Whilst remaining accountable at all times, delegate appropriate responsibilities to other
members of the vessels complement.
5. Ensure that all onshore personnel, including representatives of the base operators, are
aware of the appropriate point(s) of contact on the vessel in relation to any activities being
undertaken on board.
6. Approve loading plans before cargo (both bulk and deck cargo) is loaded on board the
vessel.
7. Review all dangerous goods declarations before any dangerous goods are loaded in port
and offshore.
8. Where relevant, refuse any cargo for which the appropriate MSDS is not provided.
9. Report incidents and non-conformances.
10. Inspect and approve seafastening of cargo.
11. Ensure that berth to berth passage plans are prepared for each voyage.
12. Ensure all applicable field charts and relevant documents are on board.
13. Before entering the safety zone shall obtain permission from the facility manager or authorised representative for maritime operations.
14. Advise facility of any operational limitations due to personnel, plant or environment which
may have an impact on intended workscope.
15. Ensure that all cargo items to be lifted from the vessel to the facility or quayside are
visually inspected and that all potential dropped objects are removed.
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16. After commencement of work, advise facility of any subsequent changes to operational
capability which may have an impact on the continuing workscope.
17. When alongside an offshore facility, if extended interruption of operations occurs, shall
decide whether to move to a safe position pending resumption. The facility manager must
be informed before moving away.
The Master always has the authority to stop any operation which he considers a threat to
the safety of the vessel, other assets or any personnel. Other pressures must not interfere
with his professional judgement and he must inform any relevant parties of conflicts of interest
arising from the actions of others.
3.2.3
Base Managers
1. Ensure time is allowed to perform health and safety requirements including meetings.
2. Before loading prepare required documentation for cargo to be shipped.
3. Ensure that the necessary information is provided to the Master in sufficient time to plan
loading and discharging operations, including ensuring that dangerous goods, noxious
liquids and other hazardous products are handled according to regulatory requirements.
4. Ensure that Master is provided with sufficient information relating to proposed cargo so
that stability calculations can be completed before departure.
5. Ensure that the Master is advised of any intention to load any unusual items onto the
deck of the vessel in sufficient time for any potential risks to be adequately assessed.
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6. Ensure proposed stowage plan is agreed with Master, particularly when any unusual
items are included in the cargo. This plan should be signed of by both parties.
7. Ensure safe passage of all personnel visiting vessels, including security support.
8. Arrange for all outbound cargo to be adequately inspected prior to delivery to the vessel
to ensure that it is adequately prepared for marine transportation and is free from any
loose items or other potential dropped objects.
9. Issue required documentation to the Master for all cargo loaded on board before the
vessel leaves the quayside.
10. Conduct inspection of all load carriers to ensure they are correctly certified and in proper
working order before being lifted on board vessels.
11. Ensure that a cargo checklist has been completed.
12. Are responsible for HSSE compliance on the base.
13. Must agree procedures to be used between all relevant parties.
14. Arrange for all inbound cargo received from offshore to be adequately inspected prior to
dispatch and onward carriage from the base to its eventual destination to ensure that it is
adequately prepared for surface transportation and is free from any loose objects.
3.2.5
Facility Manager
1. Safety of structure and personnel on board, and any operation within the safety zone
affecting HSSE performance on facility and overviews of simultaneous operations.
2. Must ensure operations on the facility do not present a hazard to vessels alongside,
especially where overside discharges may fall on a vessel in the immediate vicinity.
3. Approves commencement of an operation and has authority to stop any operation.
4. Active involvement in the risk assessment of any non-standard operations involving any
vessels supporting the facility.
5. Prepare required documentation before loading is initiated for cargo to be shipped ashore
by the vessel.
6. Preparation of documentation for transporting of dangerous goods before loading onto
vessel.
7. Submit relevant documentation to the vessel Master.
8. Ensure that the necessary information is provided to the Master in sufficient time to plan
loading and discharging operations, including ensuring that dangerous goods, noxious
liquids and other hazardous products are handled according to regulatory requirements.
9. Ensure that the Master is advised of any intention to load any unusual items onto the
deck of the vessel in sufficient time for any potential risks to be adequately assessed.
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10. Ensures optimal turn-around time for performance of planned operations when vessels
enter the safety zone.
11. Ensure that vessels are worked in a timely manner whilst alongside the facility so that
time in close proximity to it is minimised. If idle, vessels should be asked to stand-by
outwith the safety zone.
12. Issue required documentation to the Master for all cargo loaded on board in timely manner before the vessel departs from the facility.
13. In case of an incident or accident within the safety zone the manager must inform the
relevant operating company and the Master of the vessel involved as soon as possible.
14. Must ensure there is a good level of communication between the vessel and the facility. However, all communications should take place at appropriate times and not during
critical operational phases on the vessel, for example, when setting up to commence
work.
The facility manager may delegate these responsibilities as required to other competent persons.
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Terminology
It is assumed that various terms are used through industry, but in this document Risk Assessment (RA) shall be used as the generic term.
Other common terms include:
SJA
JSA
TRA
HAZID
HAZOP
HIRA
4.2
Overview
Good operational risk management is a key component to successful HSSE management. All
parties involved in an operation have a duty to ensure it is carried out properly.
The key levels are:
RA
PTW
TBT
MOC
4.2.1
Risk Assessment
Permit To Work
Tool Box Talk
Management of Change
Risk Assessment
The objective of RA is to identify and mitigate risks to an acceptable level. If the risks cannot
be mitigated to an acceptable level the work should not proceed in its present form.
Each party involved in an operation must have in place an appropriate procedure for carrying
out their own risk assessments, if appropriate.
RAs should include all parties involved in the operations to which they relate.
RA should be performed for the complete process or operation and should include relevant
emergency response arrangements.
Personnel performing the RA must be trained and competent in this matter.
Risk Assessments should identify the following:
1. All hazards associated with the proposed operation.
2. The probability of a hazard causing harm to personnel, assets or environment.
3. The likely extent of the harm that may be caused.
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4. Mitigation measures.
5. Assessment of the residual risk.
Associated with Item 4 above trigger points or any other changes in circumstances which will
prompt the work being stopped or the management of change process being invoked should
be identified.
Personnel performing tasks are required to understand the outcome of the RA, including trigger points or other changes which would require the management of change process to be
initiated.
All relevant parties are responsible for ensuring that the RA is suitable and sufficient for their
own particular tasks.
4.2.2
A permit-to-work system is a formalised and documented process used to control work which
is identified as being potentially hazardous. It is also a means of communication between
facility, vessel or base management and personnel who carry out the hazardous work.
The permit system used should be that adopted by the organisation in charge of the premises
(or vessel) where the work is to be undertaken.
PTW is to:
1. Identify physical or other barrier arrangements to be put in place.
2. Be issued for a specific task, and for time period not exceeding 12 hours or other clearly
specified time limit.
3. Make reference to RA and its outcome.
4. Identify all lock-outs and tag-outs which should be in place before the work commences.
5. Identify restrictions or limitations in concurrent tasks.
6. Be approved and signed off by an issuing authority.
7. Identify correct PPE is in place for the task to which the permit relates.
8. Where relevant, identify appropriate emergency response arrangements for the task to
which the permit relates.
PTW must be effectively communicated to all parties involved.
4.2.3
Immediately prior to the task being carried out personnel involved in the task should carry out
a toolbox talk. This should include (but not limited to):
1. Individual roles
2. Tools, methods and procedures to be used.
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Personnel shall be supplied with PPE appropriate to the tasks being undertaken and as identified within the procedures, risk assessments and other control measures established to ensure
their health and safety.
Personnel should inspect PPE supplied for suitability and damage before use. This should be
used without exception whilst the work is in progress or their supervisor advised as to why the
PPE supplied is unsuitable.
Examples of minimum recommended PPE requirements are shown in the table included in
Appendix 4 - A.
It is the individuals responsibility to:
1. Use PPE correctly.
2. Look after PPE properly.
3. Get PPE checked, maintained or replaced as appropriate.
4.2.5
All accidents, incidents, near misses, non-conformances and observations are to be reported
as per individual company procedures or as otherwise agreed.
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The objective of reporting is to establish the potential severity of the event and to ascertain
whether further investigation should take place to determine immediate and root causes of the
occurrence.
Investigations should be comprehensive and seek to identify and implement actions to prevent
recurrence. The Root Cause Analysis technique is a particularly powerful tool in achieving
these objectives.
Findings should be communicated to the parties involved and industry where relevant.
All accidents or incidents within the safety zone shall be reported as soon as possible to the
Facility and Operating Company Managers, in addition to other statutory requirements.
All accidents or incidents outside the safety zone shall be reported in accordance with applicable regulations, Owners and other applicable procedures, and statutory requirements. As
a courtesy such events should also be reported to the Charterer having regard to potential
reputational impact.
All incidents resulting in pollution of the marine environment, including spills or releases, must
be reported to appropriate regulatory bodies.
4.3
As part of their compliance with the ISM Code Owners will have identified potentially hazardous operations on the vessels for which they are responsible.
Owners or Managers of vessels to which the ISM Code does not apply should ensure that its
provisions relating to HSSE matters are complied with as fully as is practical.
Typically, hazardous operations on shipboard may include, but are not limited to those listed in
Table 1.
Depending on the requirements of the ISM system relating to particular vessels some of these
potential hazards may be grouped together, but the responsible Owner should ensure that
all are addressed using the risk management processes described in the earlier part of this
Chapter.
4.4
Simultaneous Operations
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FURTHER DETAILS
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Introduction
The intention of this Chapter is to make sure that offshore marine operations are performed to
an acceptable standard and in a controlled manner. The competence regimes in the industry
are based on both international and national regulating bodies, in addition to Best Practices
and Guidelines.
This means that while Seafarers shall adhere to their Flag State requirements for their Maritime
Competence, other personnel have to comply with other requirements. This Chapter therefore
focuses on the competencies likely to be involved on mobile units and vessels supporting
offshore operations.
5.1.1
KATE
Competency has been defined as acquisition of knowledge, skills and abilities at a level of
expertise sufficient to be able to perform a task to a required standard.
It can be summarised in the acronym KATE:
Knowledge
Ability
Training
Experience
5.2
5.2.1
Flag State requirements concerning all mandatory training and certification requirements in
order to serve as a Seafarer. E.G: Certificates of Competency, Safety Courses, Medical Certificates and similar.
Compliance STCW requirements will be sufficient for these purposes.
5.2.2
In some instances certification relating to specialist functions may not fall within STCW requirements and may be managed by bodies other than the vessels flag state.
In the case of offshore support vessels this is most relevant in the case of qualifications relating
to the operators of dynamic positioning systems, where the certification regime is managed by
the Nautical Institute and some other agencies.
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5.2.3
Functional Competence
This includes personnel having the required level of competency to support specialist functions
which may not be regulated by the Flag State.
Typically these would include banking cranes, rigging and slinging, winch operations, advanced first aid training on stand-by vessels and many other similar functions.
Such competency levels, which should be based on both theoretical knowledge and practical
experience, relate to the vessels function in the activities it is supporting.
5.2.4
In many cases course attendance will not be sufficient to acquire those skills which also require
practical experience of the work to be undertaken.
Owners should ensure that arrangements are in place to record both the training and experience of personnel in relation to any task which may be undertaken on a facility or vessel.
These arrangements should be in a form that can easily be transferred between employers if
required. Individuals should ensure that such records which relate to them are updated and
verified as new skills are acquired.
In addition to normal operations, any training and experience should also relate to any emergency situations which might arise as the task progresses.
It is the responsibility of the owners or managers of facilities and vessels to ensure that personnel have the necessary competency and experience to undertake any tasks to which they
may be assigned.
Courses relating to any task may be arranged within the employers organisation, including
recorded on the job training, or by a competent external service provider.
These may
include crew resource management and other training courses in a simulated environment.
5.3
Team Competencies
To accommodate training and personal development the competency of the overall marine
team involved in a particular operation should also be considered.
To promote training and sharing of expertise less experienced personnel should be teamed up
with those having a good understanding of the task being undertaken.
When considering the personal development of a seafarer Owners and Operators should
therefore endeavour to ensure that the individual concerned can work as part of an experienced team.
This is equally important on offshore facilities as on vessels.
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5.4
5.4.1
The STCW convention, together with its subsequent amendments, governs the majority of aspects relating to the employment of seafarers, including qualifications, hours of work, physical
health and other conditions of employment. Compliance with STCW requirements should
therefore be deemed sufficient for maritime personnel serving on offshore support vessels.
All vessels should be manned in order to provide all specified contracted services, unless
otherwise stated in the charter party. The Master must ensure that all personnel comply with
current STCW Hours of Rest regulations at all times, and those relating to the MLC when this
comes into force.
Where, for example as a result of its size, the above provisions do not relate to a particular
vessel they should be complied with as fully as may be practical.
Minimum Safety and Security requirements are governed by Flag State requirements, and
therefore are not addressed in these Guidelines.
It is the Owner or Managers responsibility to man the vessel in such a way that in all circumstances the crew are able to conduct the required operation in a safe manner. Therefore a
thorough assessment of intended operations should be undertaken. Charterers shall provide
Owners with sufficient information in a timely manner to allow these requirements to be met.
The Owner or Manager should assess the proposed manning level in order to ensure that the
level is suitable for the intended activities and, if necessary, make appropriate arrangements
to ensure that all operations likely to be involved can be safely undertaken.
5.4.2
Operational Levels
The introduction of Operational Levels is meant to draw focus from vessel capabilities to the
complexity of the operation itself. This means that competence requirements should reflect
the complexity of the operations within the contract scope of work, instead of, for example,
the DP Class of the vessel. It also means that if an AHTS vessel performs cargo runs, it is the
cargo run that is the essential criteria, and the competence requirement should reflect that.
These Operational Levels relate ONLY to Vessel Crew.
In order to set the right operational level, it is essential that the Charterer specifies in the
scope of work what kind of operations are to be expected during the contract period.
It is not desirable to up man and down man during the operation.
For longer term charterers the intended scope of work for the vessel, together with the process
for managing any changes to the scope throughout the charter period, should normally be
included as part of the charter party.
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5.4.2.1 Operation Level A
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Cargo or anchor handling operations will normally require 2 qualified seamen with appropriate
operational experience.
5.4.2.3 Operation Level C
The requirements of Operational Levels A, B and C in relation to bridge and engine room
personnel are summarised in Table 2.
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Table 2: Vessel competency matrix
MANNING
OPERATIONAL LEVEL
A
2*WATCH KEEPING
Bridge
Engine Room
2xSTCW
As required
a
b
1 unlimited DPO or 1
unlimited DPO
5.4.4
Application
The above recommendations relate to the majority of vessels supporting offshore operations.
However it is recognised that in certain circumstances, particularly in relation to smaller vessels (typically less than 500 GRT) with restricted accommodation, compliance with these recommendations may not be possible.
In such circumstances it is the responsibility of the vessel owner or manager to ensure that
the vessel is adequately manned with appropriate procedures for the function it is required to
support.
Relevant flag state and local requirements should always be complied with.
5.4.5
Due to the nature of MOU moving operations participating personnel must additionally be
familiar with all aspects of such operations as follows:
5.4.5.1 Senior Watch Keepers in Charge of AH Operations
Senior watch keepers in charge of A/H operations require relevant expertise. Watch keepers
allocated to charge of operations with no previous A/H experience should perform at least 5
MOU moving operations accompanied by an A/H experienced Master, or a suitable combination of rig moves and simulator training in accordance with training matrix and experience log,
before they may command an A/H assignment. A/H experience gained in a chief officer role
is acceptable.
Masters having previous A/H experience as Master or Chief Officer, but where this is more
than 5 years ago, should have an overlap period of at least 14 days with an experienced A/H
Master. At least one A/H operation must be performed during this period.
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5.4.5.2 Officers
Officers involved in A/H operations also require relevant expertise. In particular officers must
have a full understanding of all safety aspects of anchor-handling especially with regard to
safe use and limitations of equipment.
Before participating in the A/H team associated with the MOU moving operation, deck or engineer officers with no previous A/H operations experience should undertake a formal offshore
and A/H familiarisation course or programme. This can be a combination of deck and bridge
experience in a real or simulated environment Participation in any such programme should be
recorded.
If supervising A/H work on deck, the officer must have A/H experience and be competent
in A/H procedures and guidelines, A/H equipment set-up and function, and be familiar with
associated hazards and risks.
Officers working on the bridge during A/H and may have tasks affecting the safety of those
working on deck shall be familiar with A/H deck work operations and the associated hazards
and risks.
5.4.5.3 Vessel Winch Operators
Vessel winch operators should be competent in the winch, safety systems, functions and limitations.
Ship Owner should be able to document that appropriate on the job training or a course has
been given. A training certificate should be issued by Shipowner or a course centre.
5.4.5.4 Deck Crew
Personnel assigned independent work on deck during A/H operations should be familiar with
guidelines and procedures for this, and A/H safety. They should also be familiar with the use
of UHF/VHF radio.
Able seamen with no previous A/H experience must be trained in guidelines, procedures and
safe equipment use before assignment to independent A/H work on deck. All training is to be
documented.
At least one member of each deck watch should have performed a minimum of 5 MOU moving
operations.
5.4.5.5 Tow Master(s)
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It is recommended that persons supporting this function should have participated in the moving
of mobile offshore units in the following capacities:
1. In relation to semi-submersible units acted as a stand-alone Barge Supervisor on such
units for a minimum of three (3) rig moves or as assistant Tow Master for a minimum of
five (5) rig moves. Both roles should be supervised by an experienced Tow Master.
2. In relation to self-elevating units acted as a stand-alone Barge Supervisor on such units
for a minimum of three (3) rig moves or as a assistant Tow Master for a minimum of five
(5) rig moves. Both roles should be supervised by an experienced Tow Master.
Recent experience gained as Master or senior watch keeper on vessels which have been
engaged in anchor handling operations of a similar nature should also be taken into account
when assessing the competency of a Tow Master. In this context recent experience should
be taken as being within the previous three years, though earlier experience may also be taken
into account if particularly relevant.
In addition, persons acting as Tow Master should have:
1. Relevant marine knowledge, experience.
2. Where necessary, appropriate qualifications which may include STCW certification.
3. Full understanding of the proposed operation, including any particular risks which might
be involved.
4. Appropriate knowledge of Geotechnical/Soil Conditions.
5. Knowledge of Offshore Meteorology and Forecasting.
6. Knowledge of DP Operations if relevant.
7. Knowledge of relevant international and local rules and regulations.
8. Ability to communicate effectively in English and/or local working language.
5.4.5.6 Marine Representative(s)
Situations have arisen where the same individual is acting on behalf of two or more interested
parties, often involving both the Towmaster and Marine Representative functions.
UNCONTROLLED WHEN PRINTED
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This cannot be considered as good practice, since the roles, responsibilities and reporting
functions of the individual involved are likely to be compromised.
Such situations should therefore be avoided wherever possible.
5.4.5.8 MOU Winch Operator
MOU winch operators should be competent in the winch operation, safety systems, functions
and limitations. MOU Owner shall be able to document that appropriate on the job training
or a course has been given.
5.4.5.9 Crane Operators (including Subsea Functions)
Crane operators must be certified and competent in the crane, safety systems, functions and
limitations.
Operational experience with cranes installed on the vessel or MOU is to be logged, including
operation of any heave compensation and/or other particular features provided.
Vessel or MOU Owner shall be able to document that appropriate training has been given.
For examples of training requirements refer to OMHEC standard or local equivalent.
5.5
5.5.1
All personnel involved in the operation must be able to communicate in English or the agreed
common work language.
The vessel Master is responsible for the safety of the total complement of personnel onboard,
the vessel and its cargo. In order to be satisfied that any third party industrial personnel
onboard are competent for the roles they are expected to perform, employers should ensure
that appropriate documented proof is provided to the Master for such verification.
Contractors are required to adhere to the vessel safety management system, including risk
management processes as described in Chapter 4.
5.5.2
The tank cleaning contractor shall nominate the foreman responsible for supervising the task.
The Foreman, as a minimum, must be able to speak English or the agreed working language,
and should also be able to communicate effectively with the labour under his supervision.
The tank cleaning personnel must be competent in the matters described below.
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5.5.2.1 Risk Assessment
The tank cleaner Foreman should be able to demonstrate to the Master that he understands
the principle and is capable of undertaking a RA relevant to the intended task.
All employees participating in the operation must be able to understand and adhere to the
outcomes of the RA.
5.5.2.2 Atmosphere Testing/Tank Entry
All tanks should be considered as dangerous spaces which, if appropriate precautions are
not taken, would represent a serious risk to personnel required to enter such compartments.
The tank cleaning Foreman must demonstrate to the Master that he is competent and qualified
to perform testing of the atmosphere in the tank to prove that it does not represent a threat to
any personnel who may be required to enter the space. If the foreman is unable to competently
perform atmospheric testing, a suitable chemist or other appropriate professional should be
tasked with verifying the safety of the atmosphere.
He must understand and know the safe and dangerous limits for oxygen, flammable and, if
relevant, the toxicities of the former or intended contents of the tank(s).
5.5.2.3 Emergency Response and Escape
The Tank Cleaning Foreman must demonstrate to the Master that the emergency response
and escape arrangements identified in the risk assessment are in place and available if required.
5.6
The carriage and handling of dangerous and noxious liquid cargoes by ship is governed by
IMO, and implemented by the different Flag States and Coastal States.
There are no specified competence standards covering the freight of dangerous and noxious
liquid cargoes on Offshore Supply Vessels.
Recommended competency levels for handling these cargoes are as follows:
5.6.1
Vessel Personnel
Masters, Chief Engineers and certain other Officers should have received suitable training
relating to SOLAS and MARPOL requirements which includes the relevant parts of the IBC
Code as referred to in A.673 (16) (Guidelines for the transport and handling of limited amounts
of hazardous and noxious liquid substances on offshore support vessels) appropriate to the
vessels to which they are assigned, the IMDG Code and the OSV Code where relevant.
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5.6.2
On Shore Personnel
Personnel working at the onshore base or on the offshore facility with responsibility for declaration and shipment of dangerous or noxious liquid cargoes should have received similar
training so that they have a full knowledge and understanding of the requirements that vessels
must comply with when carrying such cargoes.
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6.1
Maintain radio listening watches on the nominated channel in addition to appropriate emergency and calling channels.
Where practical, communications between the facility deck and the vessel should be conducted on a different channel to that used for general field or control room traffic, particularly
when using VHF communications. This will help to avoid confusion and enable warnings of
potential dangerous situations to be communicated more quickly.
If the vessel-facility communication link suffers failure or major interference, the vessel should
stand off until effective communications are restored.
Before operations commence, ensure there are good radio communication between vessel
and required facility stations.
During operations facilities should avoid unnecessary communications to vessels.
Personal communication to deck areas for example may be by UHF or VHF.
Where headsets are used, any headsets worn on deck must be set at a volume which allows
other sounds (waves, sea, cargo movements, warnings, etc.) to be heard.
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Due to the danger to personnel MF and HF radio transmissions are prohibited while alongside
an offshore facility. If this is necessary, the facility managers permission is required. If this
is refused and the requirement is urgent the Master must ask permission to leave the safety
zone to use these frequencies.
All VHF Radios should be used on low power.
6.1.1
Radio Silence
The facilitys requests for radio silence are to be complied with. Vessels should ensure all
conditions identified by the facility are observed.
6.1.2
New Technology
As technology develops the use of the following communication devices becomes more prolific.
When introducing any new means of communication care should be taken to risk assess the
implication of their use in the circumstances in which they might be employed.
Currently such systems include, but may not be limited to, the following:
1. Smart/Mobile Phones
2. E Mail/Messaging systems
3. Video Conference
4. Satellite Communications
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6.2
General Communications
General communications involving vessels and offshore facilities in the course of a typical
voyage are summarised in Figure 2.
Parties Involved
essential
recommended, particularly for
unusual / dangerous items
Ch
art
ere
r
Ba
se
Op
e ra
(or
Ve
tor
se sse
nio lM
as
r
(m Area watc ter
h
ay
be Co-O keep
o n rd
e
- o ina r)
r o tor
(o r
ffs
no
ho
mi OIM
re)
na
ted
de
pu
ty)
Communications with
Vessels
Voyage Phase
Information Required
confirmation of operating standards
contact details - including telephone numbers
decision making process
particulars of all locations
Start of Charter
(including ports)
Completion of Voyage
(or charter if appropriate)
(if applicable)
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6.3
6.3.1
Operational Meetings
General
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Table 3: Operational Meetings
Responsible
Participants
Vessel
Owner
Offshore Facility
Base
Operator
Logistics Companies
Purpose
Teambuilding through contact and familiarity with each others work location
and tasks
Agenda
Frequency
6.3.2
Operational Meetings
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Masters have a prime responsibility to ensure safe means of access to the vessel for which
they are responsible.
This implies a "duty of care" for all personnel seeking access to or egress from the vessel.
Where vessels are berthed alongside each other this guideline places the responsibility for
ensuring safe means of access between them on the outboard vessel, but both should cooperate to ensure that personnel may transfer from one to the other in safety.
The provision of a safe means of access to ALL vessels, whether alongside the quay or "2nd,
3rd (or more) off" is of the highest importance.
Failure to provide safe means of access will result in a dangerous situation with significant risk
of serious injury or death.
Best practices for ensuring safe access to vessels alongside others include:
1. Same level of safety for all accesses to vessels.
2. Change in height between vessels to be minimised.
3. Gangways and landing areas are to be adequately illuminated and free of trip / slip hazards.
4. Adequately supported hand-rails or -ropes are to be provided.
5. ALL arrangements to be stable and adequately secured.
6. Nets are to be provided and adequately secured.
7. Lifebuoy to be on hand in vicinity to the access.
Personnel should be instructed not to use any unsafe means of access.
7.2
At all times it is the responsibility of the Master to assess the risks associated with any particular activity the vessel may be requested to support. Where necessary, the Chief Engineer
and other responsible parties must also be consulted in making such assessment.
This assessment should include an assessment of any likely degradation in the vessels manoeuvring and station-keeping capability in the event of a failure of any safety critical system(s)
or component(s), particularly in relation to the vessels ability to safely cease cargo operations
and exit the immediate vicinity of the facility should any such failure occur during the anticipated activities.
Any outcomes of this assessment must be advised to the Facility Manager prior to the commencement of operations.
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Factors to be taken into account in making this assessment may include, but are not limited to:
1. Environmental criteria
Thresholds / trigger points at which continuing operations will be further reviewed to be
agreed with the Facility Manager.
2. The position that the vessel will be required to take up during proposed operation in relation to the current environmental conditions at the facility.
Operations which will require a vessel to take up and maintain station on the up-weather
side of an offshore facility will most likely involve additional risk factors which must be
taken into account when undertaking this assessment.
3. The competency of the OOW to manoeuvre the vessel manually in the prevailing circumstances should this become necessary.
4. Exit route from working location to open water clear of the facility and all adjacent structures.
5. Power distribution configuration, particularly relating to vessels with diesel-electric (or
similar) propulsion and manoeuvring arrangements
6. Power utilisation of critical manoeuvring arrangements when in the vicinity of offshore
facilities.
Typically, where a vessel is required to take up and maintain station close to and on
the weather side of a facility the power utilisation of any manoeuvring thruster (including
main propellers) should not exceed 45%
7. Operations in the vicinity of assets considered to be at particular risk or where ability to
safely manoeuvre clear of the facility may be restricted.
Such operations may include, but are not limited to:a. Requirement for vessel to maintain station adjacent to assets containing hydrocarbons which have no or minimal protection
b. Requirement for vessel to maintain station close to multiple facilities located in close
proximity to each other. Typically this would include offshore facilities where additional drilling and/or accommodation units have been established to support particular requirements.
Subsequent to the commencement of operations the Master must continuously monitor all
factors relating to the vessels station keeping capability. Should any of these change such that
the station keeping capability of the vessel changes, the Facility Manager should be advised
without delay, particularly if bulk transfers are in progress or are planned.
If, during the course of operations, the vessel is required to move from one face of an offshore
facility to another the circumstances should be re-assessed taking into account the factors
summarised above.
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If at any time circumstances change to the extent that maintaining station in the current position relative to the facility represents an unacceptable risk the current operation should be
suspended forthwith and the facility manager advised accordingly, the objective being at all
times to minimise the risk of contact between the vessel and the facility.
Any concerns should also be communicated to the Owner and the Charterers representative.
Longer term concerns relating to station keeping at any offshore facility should also be communicated to its Manager and also the vessel Owner.
7.3
Non-Routine Operations
From time to time a requirement may exist for vessels to support operations which, by their
nature, may be unusual or outwith the range of activities normally supported.
These Guidelines do not advocate that such operations should be curtailed or restricted, but
seek to draw attention to the additional risks which may be involved and to recommend that,
when proposed, appropriate specific task-based risk assessments, as described in Chapter 4
of this document are undertaken by the personnel involved.
Operations which may be considered non-routine include, but are not limited to, the following:
7.3.1
Reference should be made to Section 8.11 for guidance relating to procedures if requested to
take up station on the up-weather side of an offshore facility.
If supporting operations at offshore complexes consisting of several structures located in close
proximity to each other, which may or may not be linked by bridges and may also include
mobile offshore units, Masters should be conscious of potential drift on situations developing
in relation to platforms or other units apart from that at which the vessel is presently located.
7.3.2
Certain lifting operations involving the transfer of cargo between a vessel and an offshore
facility should not be considered as routine but should be the subject of a separate specific
risk assessment.
These include, but are not limited to, the following:
1. Operations requiring the use of a cranes main block
2. Operations involving the lifting of long cargo items, particularly where it is necessary to
use two stinger pennants from the cranes hook.
3. Operations which require personnel on the vessel to connect or release lifting rigging
using any means other than safety hooks.
4. Operations involving the lifting of cargo items where rigging has not been pre-installed.
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7.4
The operation of a wide variety of equipment, some of which may be safety critical, on modern
facilities (including vessels) is dependent on software based control arrangements.
It is therefore essential that the management and maintenance of all such control arrangements is subject to the same rigour as any other critical system installed on the facility or
vessel.
Any subsequent changes or updates should then be controlled and recorded in the PM system
as they occur in order that a full audit trail of such amendments can be maintained, as happens
in the case of modifications or repairs to other equipment.
7.5
7.5.1
Any vessel chartered and approved to maintain station by means of dynamic positioning within
the safety zone around any offshore facility, should observe and comply with the guidelines
published by IMO and supplemented by further guidance published by IMCA, MTS or similar
trade associations, as updated from time to time.
It is the responsibility of any Owner responsible for operating any DP vessel within the safety
zone of any offshore facility to ensure that these requirements are understood and complied
with.
7.5.2
It is the responsibility of the owner of any local, radar or optically based reference system
used to support vessels maintaining station by means of dynamic positioning to ensure that it
is correctly sited on the facility and that suitable arrangements have been established for its
care and maintenance.
Where any component of a reference system which forms part of a vessels inventory is passed
to an offshore facility to support operations at that location a document package including
information regarding preferred siting of the component and its care and maintenance should
be transferred at the same time.
Where practical, reflectors used with optically based reference systems should be sited clear
of commonly used walkways or decks where containers are stored since the presence of
retro-reflective material on cargo items or PPE may result in false signals being returned to
the sensor arrangements on the vessel.
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7.5.3
In fog, mist, falling snow, heavy rainstorms or other conditions similarly restricting visibility
the performance of optically based systems may be seriously degraded. Depending on wind
direction discharges from the facility may have a similar effect.
If selected as one of the position reference systems for a vessel maintaining station by means
of dynamic positioning the personnel responsible for monitoring and operation of these arrangements should be aware of the potential for their degradation in such circumstances.
7.6
Simultaneous operations in this context refer to circumstances where two or more vessels are
supporting activities within a facilitys safety zone at the same time or operating elsewhere in
circumstances whereby actions undertaken by one may have affect the other(s).
Any hazards likely to arise during such operations should be addressed using the risk management process, as described in Chapter 4 of these Guidelines.
7.7
Towing Operations
Please refer to Chapters 11 & 12 for further information relating to towing operations.
7.8
Masters must cease operations and move clear of the facility if at any time there is any concern
whatsoever that discharges from any facility are posing a threat to the wellbeing of any personnel on the vessel, affecting visibility or compromising the performance of optical reference
systems.
Any such concerns must be reported immediately to the Facilitys Manager where it should be
followed up as a matter of urgency.
Some facilities may be fitted with auto-dump or auto-vent arrangements designed to automatically empty tanks to sea or purge pressurised systems to atmosphere if certain threshold
values are exceeded. Wherever practical such arrangements must be disabled whenever vessels are approaching or working alongside the facility, and their status advised to the vessel
as part of the pre-operational checks.
Where this is not practical, the status of all relevant systems must be checked by the facility
prior to giving the vessel permission to enter the safety zone to assess the likelihood and
consequences of such an event occurring. The vessel must be advised of the outcome of
this check and the Master, at his sole discretion, will decide whether the facility can be safely
supported in the prevailing circumstances.
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These arrangements should continue to be checked at frequent intervals whilst the vessel
remains alongside.
7.9
7.9.1
Circumstances may arise where it is necessary to transfer personnel to or from a vessel whilst
it is offshore. These may include requirements for personnel to be moved between an offshore
facility and the vessel involved, or between it and another in the vicinity.
The preferred means of effecting such transfers will normally be by helicopter or, where conditions are suitable, by specialised small craft subject to the facilities and / or vessels involved
being suitably equipped and personnel having had the correct training. Alternatively, where the
vessel is providing accommodation support in close proximity to an offshore facility a gangway
or bridge link between the two will normally be provided.
Such transfer methods will be the subject of specific risk assessments and particular requirements, precautions, procedures and, where appropriate, combined operations safety cases
will have been developed. These are therefore seen as being planned activities, consideration
of which is outwith the scope of these Guidelines.
A requirement to transfer personnel may arise, however, when the methods described above
are not available, necessitating the use of other arrangements. The equipment used for this
purpose may include:
1. Transfer baskets or other forms of carrier lifted by a crane on the facility.
2. Other small craft where no such arrangements exist.
The remainder of this sub-section relates to the preparations required and procedures to be
observed when using such equipment.
7.9.2
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of the landing which hold it in place allowing personnel to safely step from one to the other.
Similar arrangements are utilised on many small offshore structures, including wind turbines.
In such circumstances, whilst the full risk management process should be complied with prior
to the commencement of operations, it should not be necessary to undertake this exercise
before each transfer. However, arrangements should be in place to ensure that prior to each
transfer the personnel are properly briefed as to the precautions to be observed.
Furthermore, the original risk assessment should be reviewed at frequent intervals to ensure
that the outcomes remain valid. If, for any reason, this is no longer the case the entire process
should be repeated.
Where other equipment or arrangements are proposed, including the use of lifted transfer
baskets or the use of small craft not specifically designed for the purpose it is unlikely that
such a generic approach will be acceptable. The full risk management process may therefore
be required before each operation, though a series of transfers involving the same equipment
and principal personnel may be considered as a single operation.
7.9.2.2 Authorisation for Personnel Transfers
The personnel transfers described in this section of these Guidelines should be the subject of
approval by the persons in charge of the offshore facilities and/or the vessel(s) involved.
Where transfers by means other than helicopter take place on a regular basis and are considered the safest or most practical means of moving personnel from one location to another
authorisation for each such activity is unlikely to be required. However, as described above, the
original risk assessment should be reviewed at frequent intervals to ensure that the outcomes
remain valid. If, for any reason, it is considered prudent to repeat the entire risk management process further transfers using the method involved should be the subject of renewed
authorisation.
Where other equipment or arrangements are proposed it is unlikely that such a generic approach will be acceptable. Each operation should be individually authorised, though a series
of transfers involving the same equipment and principal personnel may be considered as a
single operation.
7.9.2.3 Consent for Transfer
Personnel requested to transfer between offshore facilities and / or vessels by the methods
described in this section of these Guidelines should be made aware of the risks involved,
together with precautions and procedures to be observed.
On having received the relevant briefing personnel should positively indicate their willingness
to be transferred by means of the method proposed, or, alternatively, refuse without sanction.
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7.9.2.4 Suitability of Equipment
All equipment utilised to transfer personnel between offshore facilities and / or vessels by the
methods described in this section of these Guidelines should be fully fit for purpose and in
compliance with the regulations of the jurisdiction in which the operation takes place.
Further recommendations relating to specific items of equipment are included in the relevant
sections below.
7.9.2.5 Storage and Maintenance of Equipment
All equipment utilised to transfer personnel between offshore facilities and / or vessels by
the methods described in this section of these Guidelines should maintained and stored in
accordance with the manufacturers instructions.
7.9.2.6 Experience and Competency of Supervisors and Operators
Overseeing supervisors and operators of equipment involved in the transfer personnel between offshore facilities and / or vessels by the methods described in this section of these
Guidelines should have had previous experience of the operations involved and have been
assessed as competent to undertake the tasks assigned to them.
This includes, but is not limited to the following functions:
1. Supervisors of operations.
2. Crane Drivers, where transfer is by basket or carrier.
3. Coxswains, where transfer is by small craft.
4. Attendant personnel, including deck or craft crews.
7.9.2.7 Access to and Egress from Transfer Areas
Access and egress routes to or from the transfer area on the offshore facility or vessel should
be clearly marked, dry, and clear of all obstructions or trip hazards. Where necessary, a nonslip coating should be applied to steel decks or other alternative arrangements put in place.
7.9.2.8 Communications
The means of communication between the various personnel involved in the transfer operations will have been identified during the risk management process.
All such means of communication should be in place and their correct operation verified prior
to the commencement of any transfer activities.
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7.9.2.9 Clear View of Transfer Areas
Wherever possible personnel supervising the activities described in this section of these Guidelines should have a clear view of all phases of the entire transfer operation.
Further recommendations relating to specific transfer methods are included in the relevant
sections below.
7.9.2.10
The capacity of any basket, carrier or craft used in the course of the activities described in this
section of these Guidelines will be determined by the manufacturer of the equipment.
This capacity should not be exceeded at any time.
7.9.2.11
Personnel being transferred by any of the methods described in this section of these Guidelines should be provided with appropriate personal protective equipment.
Dependent on the area where the transfer takes place such equipment may include:
1. Watertight immersion suit.
2. Thermal protection.
3. Lifejacket or Buoyancy Aid.
Inflatable lifejackets or buoyancy aids are normally to be preferred.
Inherently buoyant marine lifejackets provided to comply with SOLAS requirements are
bulky and likely to obstruct movement.
4. Personal Locator Beacon, where detection and tracking facilities available
Personnel should be given a briefing regarding the correct donning and use of the equipment.
Before boarding the basket, carrier or craft it should be checked by the person supervising the
transfer.
Personnel should not wear any clothing or carry any items which could restrict their mobility or
interfere with the correct operation of any protective equipment.
In some cases a small quantity of personal effects may be included with the transfer of personnel. However, this will involve additional space and/or weight requirements which should
be taken into account when assessing the available capacity of the basket, carrier or craft.
If carried, such effects should be stowed and secured in such a manner that escape routes
are not obstructed.
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Where the simultaneous carriage of personnel and their effects would compromise the capacity of or obstruct escape from the basket, carrier or craft arrangements should be made for
each to be transferred separately.
In general, the policies, practices and equipment relating to the transportation of personnel by
helicopter are also relevant to the transfers described in this section of these Guidelines.
7.9.2.12
Personnel being transferred by any of the methods described in this section of these Guidelines should comply with the directions of the Supervisor overseeing the operation.
7.9.2.13
Whilst personnel are being transferred by any of the methods described in this section of these
Guidelines suitable rescue facilities should be available at immediate notice.
Where a stand-by vessel is in attendance, if not directly involved in the transfer operation, its
Master should be advised and requested to bring his rescue facilities to an immediate state of
readiness.
If no such vessel is in attendance, or is itself involved in the transfer operation, alternative
arrangements, which may involve fast rescue boats or craft installed on other vessels, should
be identified and agreed before the persons in charge give the necessary authorisation.
7.9.2.14
Environmental Restrictions
The transfer of personnel by the methods described in this section of the Guidelines should
not be undertaken where the environmental conditions were such that increased risk would be
incurred.
Typically, such operations should not proceed where the prevailing conditions include one or
more of the following:
1. Wind speeds in excess of 20 knots (10 metres / second) at height of 10 metres above
sea level.
2. Significant wave heights in excess of 2.5 metres.
3. Horizontal visibility of less than 500 metres.
4. Heavy accumulations of snow or ice on landing areas, access and egress routes, etc.
Further restrictions relating to specific transfer methods are included in the relevant sections
below.
Furthermore, these operations should not normally take place in hours of darkness. Where
this is deemed essential by the relevant persons in charge additional precautions are likely to
be required, which may include, but are not limited to, the following:
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Record Keeping
The persons in charge on the offshore facility and/or vessel(s) should ensure that full particulars of any transfers as described in this section of these Guidelines is recorded in the relevant
log-books and that the register of personnel on board the facility or vessel(s) is revised as soon
as possible.
7.9.3
Recommendations relating specific preparations required together with the precautions and
procedures to be observed relating to each of the means for effecting personnel transfers
described in this section of these Guidelines are as follows:
7.9.3.1 Use of Transfer Baskets or Carriers lifted by Facility Crane
This sub-section relates to the use of baskets or other carriers lifted by the cranes on an
offshore facility to transfer personnel between it and a vessel close alongside.
Recommendations which should be observed include:
1. Any cranes to be used for this purpose should comply with rules or codes in force within
the jurisdiction where the operation will be undertaken.
These may vary from area to area but particular attention should be paid to hoisting and
braking arrangements.
2. Baskets or carriers to be used for this purpose should also comply with the rules or codes
in force within the jurisdiction where the operation will be undertaken.
3. All equipment to be used for this purpose should be thoroughly inspected by competent
persons at periodic intervals, as required by the rules or codes of the jurisdiction within
which they will be used.
4. In general, baskets or carriers incorporating a rigid frame which provides protection for
occupants are preferable.
Baskets or carriers which do not incorporate this feature may only be acceptable for
emergency use in some jurisdictions.
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5. Baskets or carriers should be rigged or otherwise fitted out in accordance with manufacturers instructions.
6. A basket or carrier should be fitted with sufficient buoyancy to support the unit itself and
its occupants in the event of entering the water.
Buoyancy should be distributed to prevent inversion should such an event occur.
7. Baskets or carriers should be visually inspected by a competent person before each
operation to ensure that all rigging, fixtures and fittings remain fit for purpose and secure.
8. Clear lift-off and landing areas should be identified on facility and vessel.
Such areas should as a minimum:
a. Within a radius from centre of 1.5 x basket diameter be free of obstructions or trip
hazards.
b. Outwith the lift-off / landing area there should be no obstructions extending more
than 4 metres above the deck within 8 metres of its centre and beyond this, within a
distance of 20 metres from the centre within an arc of 180.
9. Appropriately briefed personnel should be in attendance for both lift-off and landing to
assist in controlling the movement of the basket or carrier at these critical phases of the
operation.
In particular, such personnel should be briefed in the use of the attached tag lines.
10. Any other work in the vicinity of the lift-off and landing areas should be suspended whilst
the transfer is in progress.
11. In addition to the environmental restrictions referred to above, transfers of personnel
using baskets or carriers should not proceed when the prevailing conditions include:a. Vertical visibility of less that 100 metres
b. Air temperature of -10 Celsius, particularly if wind is also present.
12. Prior to the commencement of the transfer the Master should confirm that the vessel is
stationary and that its station keeping arrangements are fully operational.
13. Throughout the course of the transfer the crane driver should have a clear and unobstructed view or the carrier or basket and its occupants.
If, for any reason, this is not possible an experienced banksman should direct the crane
driver. The banksman should be clearly identified and visible to the crane driver at all
times.
14. The route of the transfer should be planned so that the basket or carrier is always well
clear of any exhausts, discharges or obstructions.
15. After the basket or carrier is lifted from the deck of the facility the crane should be slewed
so that it is over the water, whereupon it is lowered to a height of approximately 2 metres
above the vessels cargo rail. The basket or carrier should then be moved to a position
over the designated landing area on the vessel before being finally lowered onto its deck.
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Transfers from the vessel to the installation should follow the reverse route.
16. The basket or carrier should always be lowered with the hoisting mechanism engaged.
Free-fall or non-powered lowering should not be used except where the hoisting mechanism fails whilst the basket or carrier is occupied.
17. If considered necessary a person experienced in this method of transfer may accompany
other personnel who may be less familiar with it.
18. A small quantity of personal effects can be carried in some types of baskets or carriers,
but not in others.
If carried, such items should be stowed and secured in such a way that escape routes
from the basket or carrier are not obstructed.
19. Personnel to be transferred should only approach and board the basket when instructed
by the supervisor.
On boarding, personnel should secure themselves in the basket or carrier as instructed
during the preparatory briefing.
20. On landing on the deck of the facility or vessel personnel should release themselves and
disembark the basket only when directed by the supervisor.
They should then clear the immediate area using the route indicated.
21. Personnel not directly involved in the transfer should remain in a safe haven well clear of
the operation, except as otherwise directed by the supervisor.
7.9.3.2 Use of Small Craft
This sub-section relates primarily to the use of other small craft deployed from a larger host
vessel to transfer of personnel between vessels. Such craft may typically include the following:
1. Fast rescue boats mobilised on vessels in compliance with SOLAS requirements.
2. Fast rescue craft or daughter craft mobilised on stand-by vessels.
3. Small work-boats mobilised on a variety of vessels.
Recommendations which should be observed include:
1. Personnel transfers involving only vessels should not take place within the safety zone
around any offshore facility.
2. The relevant facility management teams should be advised of the intention to undertake
any such transfer, together with the Masters of any attendant response and rescue vessel, if itself is not directly involved in the operation.
3. Any craft to be used for this purpose should comply with rules or codes of the host
vessels flag state or those of the jurisdiction where the operation will be undertaken.
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4. Any craft to be used for this purpose should be thoroughly inspected by competent persons at periodic intervals, as required by rules or codes of the host vessels flag state or
those of the jurisdiction where the operation will be undertaken.
5. Any craft used for this purpose should be constructed with a rigid or semi-rigid hull. Fully
inflatable craft are not normally acceptable for this purpose.
6. If permanent fendering or similar arrangements are not incorporated into the hull design
suitable portable fenders should be provided.
7. Sufficient buoyancy to support the craft itself and its occupants in the event of swamping
should be installed.
8. Craft fitted with self-righting arrangements are to be preferred.
9. If practical, where the principal propulsion consists of a single engine and drive train an
auxiliary system should be provided, for use should the principal arrangements fail.
10. Where the vessels involved are equipped with identical craft, with the same means of
deployment and recovery being installed on both, davit to davit transfers are to be preferred.
11. Where fitted, permanent rigid ladders should be used, subject to their being in good
condition. Typically, such arrangements are fitted on cargo barges and similar units.
12. Where such ladders are not fitted or are in poor condition portable ladders may be provided. Portable ladders supplied for this purpose should comply with IMPA requirements.
13. Stanchions, hand-holds and other arrangements to facilitate the safe transit of personnel from the ladder to the deck of the vessel and vice versa should comply with IMPA
requirements.
14. Personnel to be transferred should only board the craft when instructed by the supervisor.
On boarding, personnel should take their seats and secure themselves as instructed
during the preparatory briefing or as directed by the Coxswain.
15. Whilst in transit personnel being transferred should remain seated or move around with
caution.
16. On arrival at facility or vessel personnel should disembark the craft only when directed
by the Coxswain. They should then follow the directions of the supervisor.
17. Personnel not directly involved in the transfer should remain clear of the operation, except
as otherwise directed by the supervisor.
Whilst the recommendations above relate principally to small craft deployed from a larger host
vessel they may also be appropriate for other craft capable of autonomous operation.
7.9.4
Further Guidance
Further guidance relating to the transfer of personnel between offshore facilities and / or vessels may be found in the documents listed in Table 4.
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Table 4: Further Guidance
SOURCE
DOCUMENT PARTICULARS
NUMBER (If Known)
IMCA
M202
TITLE
Transfer of Personnel to and from Offshore Vessels
7.10 Security
The vessel and / or facility is to comply with ISPS where there is a requirement and any
additional coastal or flag state requirements.
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8.1
Safety Zones
Most offshore facilities will be protected by the establishment of a safety zone around the
structure, unit or vessel.
The best practices described in this document have been developed on the presumption that
such a safety zone exists but it should be noted that some offshore facilities, particularly vessels, may not be protected by such a zone. However, it is strongly recommended that when
attendant vessels are approaching any offshore facility the practices described in this Section
should be observed, irrespective of whether a safety zone has been established around the
facility.
8.2
It is the responsibility of vessel Owners and Masters to ensure that the team directing operations on the bridge has the necessary experience for proposed operations such that all
activities can be undertaken in a safe and expeditious manner.
Matters which may require particular consideration include, but are not necessarily limited to
those below:
8.2.1
Competencies
At any time competencies of personnel available within the bridge team should comply with
those identified in the relevant operational level for the current activities, as described in Chapter 5 of these Guidelines.
8.2.2
Distractions
Each member of the bridge team should be able to concentrate on his primary responsibilities.
Other activities should only be undertaken when they will not compromise such responsibilities. Any members of the team who find themselves in a situation where primary responsibilities are being compromised by additional activities should immediately cease such activities,
drawing this to the attention of the senior watchkeeper.
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8.2.3
Situational Awareness
Typically, modern marine equipment installations include a variety of aids to provide bridge
team members with navigational information necessary for the safe operation of the vessel.
However, maintenance of a visual watch at all times remains an important part of the bridge
teams responsibilities and should not be overlooked.
8.2.4
The bridge team should use all means at their disposal to ensure that they remain aware of
prevailing environmental conditions.
They should also be aware of any trigger points which have been identified in relation to any
operations presently being undertaken.
In the event of environmental conditions changing such that the threshold levels in trigger
points are (or are likely to be imminently) exceeded the bridge team should assess whether
current operations can continue or should be suspended until circumstances improve.
8.2.5
Hand-Overs
Adequate arrangements should be in place to ensure that at the change of each watch each
member of the bridge team is able to give his relief a complete briefing regarding the status of
present activities and the vessels current operational status.
In some circumstances, where complex operations are being undertaken clear bridge team
relief procedures should be in place to ensure positive hand-over. Consideration may be
given to arranging for members of the bridge team to be relieved at different times to ensure
continuity of awareness within the team.
Requirements for written record of hand-overs, to be signed off by all watchkeepers, may exist
for some circumstances which should be described in the vessels SMS manual.
8.2.6
In all but the most extraordinary circumstances international legislation relating to hours of
work and rest periods should be complied with.
Certain operations may require an unusually high level of control for extended periods. Personnel involved in such operations are therefore required to maintain an unusually high level
of concentration with the result that early on-set of fatigue is likely. In such circumstances
arrangements should be made for the relevant personnel to be relieved more frequently than
might be normal practice.
Operations where such arrangements might be prudent should be identified at the early planning stage and appropriate measures put in place at that time.
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Operations likely to fall into this category should be risk assessed to ensure that the provisions
of the Manila Amendments to the STCW Convention, 2010 are adhered to.
8.3
Approaching Location
Wherever practical, when approaching any facility vessels should set a course which is off-set
from it, at a tangent to the safety zone, as shown in Figure 3.
This course should take the vessel to a position where it can be set up for intended operations
and the check lists completed in a drift-off situation.
8.4
Following an assessment of the operations to be supported together with the prevailing and
forecast conditions, the most appropriate method of station keeping whilst in the vicinity of the
offshore facility will be selected at the discretion of the Master or senior Watchkeeper on duty
at the time.
Permission to Enter
Safety Zone
Set-Up for Project
Operations
Final Approach
To Facility
1.5 ~2.5
Vessel
Lengths
NOTES
1.
2.
Operating
Location
3.
4.
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The choice of station keeping method should be advised to the facility as part of the pre-entry
process.
8.5
Prior to entering the safety zone at any facility the pre-entry check list for the vessel should be
completed. Completion of these check lists should be viewed as a safety-critical function.
A typical example of such a check list is included as Appendix 8 - A to this document.
Each check list should be signed off by ALL watch-keepers. Copies should be retained on
file for audit for a limited period - c. 3 months.
Where laminated check lists are in use an entry should be made in the vessels log of each
such use, together with a summary of the outcomes.
Electronic copies of signed-off check lists will be acceptable and should be filed in a suitable
manner.
8.6
8.7
Vessels should set up in the vicinity of the face to be worked on the appropriate heading at a
distance from the facility of not less than 1.5 ships lengths in a drift-off situation or 2.5 ships
lengths in drift-on circumstances.
When setting up to work in a drift-on situation the vessel should not be directly up-weather and
/ or up-tide of the facility.
The set-up position should also take into account any obstructions in the vicinity of the intended
working location.
Prior to moving from the setting up to the working location sufficient time should be allowed
to ensure that all station keeping arrangements are stable and environmental factors can be
fully assessed. It is suggested that a minimum of 10 15 minutes is allowed for this or as
otherwise required by vessels operating procedures.
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8.8
Section 8.7 above relates to all vessels, and further requirements may relate to those maintaining station by means of dynamic positioning.
Vessel specific directions and guidance relating to the use of dynamic positioning facilities for
station keeping will be included in operating procedures prepared by the equipment manufacturer and / or Owner. These should be complied with at all times.
Further guidance is included in Section 7.5 of these Guidelines.
8.9
In Operating Position
Whilst alongside the facility power consumption, thruster utilisation and environmental factors
must be monitored on a regular basis, particularly if working on a weather face.
Similarly, actions required to depart from the facility at short notice, should this be necessary,
should be continuously reviewed. The exit route to depart from the immediate vicinity of the
facility should be reviewed at the same time.
If, for any reason, there is any concern regarding the vessel's ability to maintain position operations must be suspended and the vessel manoeuvred to a safe position clear of the facility.
Such action is at the sole discretion of the Master or senior Watchkeeper.
Please also see guidelines relating to Vessel Operational Capability included in Section 7.2
of these Guidelines.
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Furthermore, if departing from the weather side such changes in operating mode must only
be implemented in a drift off position.
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9.1
9.1.1
Cargo Planning
Compliance with Legislation
When planning to load any cargo, on or under deck, on an offshore support vessel it is the
joint responsibility of Charterer, Owner, Master and Base Operator to ensure that the proposed
vessel is fully fit for purpose and in compliance with all relevant requirements relating to the
safe carriage of the goods or products concerned.
Compliance with relevant international legislation, together with the rules or codes of the vessels flag state and those of the regional authorities in its present area of operations is included
in this requirement.
The Charterer, Owner, Base Operator and Master should ensure that all personnel who may
be involved in the loading or discharge of cargo are appropriately qualified and competent in
the handling and carriage of the goods or products involved. This requirement also extends
to other personnel who may be mobilised to provide any support services which might be
necessary, including surveyors and other quality assurance specialists.
Whilst these responsibilities relate particularly to the carriage of dangerous goods and inflammable, noxious or otherwise hazardous liquid products they also relate to all other cargoes
carried on offshore supply vessels
9.1.2
Where there is an intention to ship any unusual cargo items on an offshore supply vessel, the
Base Operator should advise the relevant Master in a timely manner in order that any risks
associated with the shipment can be properly assessed and appropriate preparations made.
Items falling into this category are referred to in Sections 7.3.2 and 9.13 of these Guidelines.
9.1.3
Congestion on the cargo decks of both vessel and offshore facility can result in the development of situations hazardous to personnel or equipment.
Except where rigorous planning of logistics support is in place or where previously agreed
and confirmed in sailing instructions it is considered good practice for a vessel to arrive at an
offshore facility with approximately 10% of its useable deck clear and ready to receive initial
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back-load. This allows sufficient space to be cleared on the facilitys deck before any cargo is
taken up from the vessel. Wherever possible, this clear deck space should be contiguous.
Subject to discussion with the Master this recommendation may be waived at the last facility at
which cargo is back-loaded onto the vessel prior to its return to base when all deck space may
be utilised, but only on the understanding that it will not subsequently be diverted to support
another offshore location on its inward voyage.
9.2
Cargo Plans
In the course of the initial loading at its shore base(s) the Master should ensure that a record
of the cargo loaded on board is maintained. This should show the locations of the blocks of
cargo for each facility to be supported during the forthcoming voyage, together with number of
lifts in each block and other relevant details.
Locations of any unusual cargo items should be clearly indicated.
The cargo plan may be further supported by photographs of the vessels deck.
There is normally a requirement for this plan to be forwarded to the Base Operator on completion of loading, who will subsequently arrange for it to be forwarded to the facilities to be
supported in the course of the subsequent voyage.
The plan should be updated as the voyage progresses.
A typical deck plan is illustrated in Appendix 9 - A of these Guidelines. Other examples,
based on electronic software packages exist, and may be more easily transmitted through the
communications channels in use.
A table or drawing showing the contents of the vessels under-deck cargo tanks should also
be prepared and forwarded to the Base Operator as described above.
9.3
Sailing Instructions
Prior to a vessel being dispatched on any voyage delivering cargoes to one or more offshore
facilities the Base Operator or Logistics Service Provider, in conjunction with the Charterer,
should furnish it with a comprehensive set of sailing instructions.
These instructions may include, but are not limited to the following:
1. Cargo Manifest which includes details of items loaded on the vessel.
2. Any specific information regarding cargoes on board, including:
a. MSD Sheets
b. Particular hazards associated with any cargoes.
c. Particular precautions relating to the care of any cargo.
3. Routing for voyage.
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9.4
Weather Forecasts
Arrangements should be made with a reputable weather forecasting service provider, experienced in the preparation of offshore forecasts, to prepare and promulgate weather forecasts
extending, where practicable, up to 5 days for the relevant locations.
Such forecasts will generally be arranged by the Charterer and should be made available to
Masters of all vessels operating on its behalf.
The weather forecasting service provider may also be able to prepare more specialised information on request, including longer term forecasts, met-ocean statistical analyses, etc. if this
is required for any particular purpose.
It is also the Masters responsibility to ensure that forecasts from other publically available
sources can be received on board and taken into account in voyage planning.
9.5
Dispatch of Vessels
Where forecasts received indicate prolonged periods of adverse weather at the offshore locations to be supported on a particular voyage such that it is unlikely that any of the intended
sites can be worked safely, the Master(s) and Charterer should agree that the dispatch of any
vessels involved should be deferred until anticipated conditions improve.
In the event that a vessel is dispatched in such circumstances the Master may, at his sole
discretion, elect to take an indirect route to reduce the risks to the ship, its personnel and
cargo, or to proceed to a sheltered location to await an improvement in conditions the offshore
locations.
In this context prolonged period should be taken as period exceeding approximately 1 day
where it is unlikely that any work could safely be undertaken at any of the relevant offshore
locations in the forecasted conditions.
9.6
Unsecured objects being dislodged or falling from cargo items represent a risk to personnel,
equipment and the environment throughout the supply chain. At all stages in the supply
chain items should therefore be thoroughly inspected prior to transfer from one stage to the
next. Potential dropped objects identified during these inspections should be removed and
reported.
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Objects which constitute this risk include, but are not limited to:
1. Loose tools used when servicing equipment included in or forming part of the cargo item.
2. Foreign objects in or on containers, including in fork lift pockets.
3. Ice formed when water entrained in a cargo item freezes.
When loading or discharging any deck cargo the personnel involved should therefore move to
a safe haven well clear of the intended load path until it is safe to approach the item, or it is no
longer above the vessels deck.
Where practical and safe to do so items on the deck should be inspected for potential dropped
objects after loading and again before discharge at the offshore facility or onshore base.
Any such objects identified during these inspections should be removed if safe to do so and an
incident report submitted through the appropriate channels. If the object(s) cannot be safely
removed the cargo item should be quarantined pending a full assessment of the risks which
may be involved in discharging it, either at the offshore facility or quayside.
9.7
Failure to correctly secure cargo items shipped in containers, either open or closed, can pose
serious risk to personnel and equipment, including:
1. Injuries being sustained by crew members when attempting to secure the loose items.
2. A change in the centre of gravity of the lift due to the movement of loose items within the
container could result in its being significantly out of level.
This may result in the loss of contents from the container.
Handling of the load, particularly when landing, will also be made much more difficult.
The proper packing and securing of cargo within any container is therefore a safety matter of
the highest importance.
Any person who has reason to believe that the correct procedures have not been followed or
satisfactory arrangements installed should stop the job until remedial measures have been
implemented.
9.8
From time to time refrigerated containers may be used to deliver provisions to offshore facilities. Such containers may have their own self-contained refrigeration unit, but more usually
electrically powered units will require connection to receptacles on vessels which have been
specifically installed for this purpose.
Specific check lists may relate to the carriage of such items which should be completed by the
relevant personnel.
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Where such container(s) are used it is important that they are not isolated for significant periods since the temperature may rise to such an extent that the contents thaw and have to be
condemned.
It is therefore recommended that when preparing to discharge this type of container at an offshore facility the power supply should be isolated, disconnected and removed only from those
items to be delivered to that facility. The power supply may remain connected to refrigerated
containers intended for other destinations.
In some circumstances it may be necessary to isolate, disconnect and remove the power
supply to those containers to be delivered to an offshore facility prior to entering its safety
zone.
9.9
Tubular Cargoes
9.9.1
General Guidance
General guidance relating to best practices when transporting tubular cargoes is included in
Appendix 9 - B attached to this document.
9.9.2
It is recommended that when tubular cargoes remain on the vessel for successive voyages to
an offshore facility the following practices be adopted to prevent incidents:
1. Lifting arrangements should be checked to ensure that they are correctly installed prior
to loading any other similar items on top.
Such checks should include:
a. Correct leads of all parts of lifting arrangements.
b. Presence and correct installation of securing arrangements
(bulldog grips, velcro straps, tie-wraps, etc.).
c. Adequacy and suitability of above securing arrangements.
2. Prior to lifting any bundles from the vessel deck at the offshore facilities a check should
be made of BOTH ends of the lifting slings to ensure that they are correctly set up for the
lift.
Where appropriate a risk assessment of the discharge of such items should be undertaken
and the outcomes included for discussion in the subsequent tool box talk.
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The Master of the vessel proposed for the carriage of any such items should be notified of the
intention to load them on his vessel sufficiently in advance for the potential risks associated
with their loading, carriage and discharge to be fully assessed.
Please refer to Chapter 3 for further information relating to specific responsibilities relating to
this matter.
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10
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9. At facility the Master or senior OOW must ensure he can see bulk hose(s) at all times
and not be distracted away from these. Particular attention should be paid during hydrocarbons transfers that proper consideration is taken of potential hazards when carrying
out concurrent cargo operations.
10. Each party shall give sufficient warning prior to changing over tanks and communicate
when changes have occurred.
11. Do not close valves against a cargo pump
12. If at any point vessel Master, shipper, OIM or any other person have concerns relating to
the safety of the transfer operation it must be terminated.
13. Unregulated compressed air should not be used to clear any bulk hoses back to the
vessel since this may damage tanks.
14. Compressed air should not be used to clear hoses used for the transfer of any hydrocarbon based products since an increased risk of explosion will result.
15. Do not transfer any other liquids using potable water hoses.
16. Before use flush potable water lines through to clear any residues.
17. Hoses must remain afloat at all times through use of sufficient floating devices.
18. Use of self-sealing weak link couplings in the mid-section of the hose string is recommended.
19. Avoid use of heavy sections of reducers or connections at hose ends.
20. The hose from the facility should not be connected to the vessel until both have agreed
that all preparations have been completed and that the transfer can commence immediately after connection has been satisfactorily completed.
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Ensure that:
1. Communications protocols have been agreed and in particular party whose STOP it is.
2. Hoses, manifolds and valves are visually inspected, maintained and replaced as required
and / or in accordance with the planned maintenance system.
3. Slings and lifting points are visually checked and replaced as required.
4. Hoses are lifted by a certified wire strop on a certified hook eye fitting.
5. Under-deck lighting adequately illuminates the transfer hose and vessel.
6. Appropriate flotation systems are intact and in place.
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This includes a requirement to ensure that, where relevant, all elements of the system
have been vented to atmospheric pressure.
2. When transferring dry bulk cargoes to or from vessels personnel responsible for delivering the product should confirm that those responsible for receiving it have completed all
relevant preparations.
Assumptions that preparations have been completed can be dangerous and must be
avoided.Relevant check lists are to be completed as required by the parties involved.
3. When transferring dry bulk cargoes to or from vessels care should be taken when deciding the sequence and manner in which the various valves are opened to avoid the risk of
inadvertently over-pressurising any elements of the system.
4. It will be appreciated that the handling of dry bulk materials involves systems containing large volumes of pressurised air. The stored energy in such systems is therefore
considerable and the potential for serious personal injury in the event of failure is high.
5. All personnel involved in such operations must therefore comply with all relevant procedures and to ensure that all checks have been satisfactorily completed prior to confirming
their readiness to deliver or receive the product.
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3. Once secure, the hose end is lowered inboard of the rail and the crane hook disconnected.
4. When the hook is clear, the crew install the hose on the appropriate connection on the
ship's manifold.
5. Uncoupling is the reverse of the above procedure.
6. After releasing any self-sealing connection it should be visually inspected by the deck
crew to ensure that it is fully closed and is not passing any liquids.
Vessel crews should be reminded that hose couplings should, whenever possible, avoid contact with the ships structure. The integrity of the couplings should be monitored by visual
inspection of the painted line on the couplings, where applied.
In marginal weather greater care than normal is needed by the vessel to avoid over running the
hose especially if deck cargo is also being worked. Consideration should therefore be given
to working bulk only in such circumstances.
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10.9.1 Cargo Fuel (Marine Gas Oil)
Specific national or charterers requirements may apply to the carriage, storage and transfer
of potable water.
The Charterer, Owner and Master should ensure that any such requirements are understood
and complied with.
10.10
Special care must be taken to follow correct procedures when transferring special products
which include but are not limited to methanol and zinc bromide.
Appropriate risk management procedures should be in place when transferring special products. Reference should be made to Chapter 4 of this document, with particular attention being
given to PPE required for personnel involved.
When transferring these products the following should be observed:
10.10.1 Shipper
1. Provide full details of product(s) being shipped, including details of all precautions to be
taken when handling.
2. Staff to be on site throughout to advise on pumping, handling, earthing and discharge of
tanks.
3. Provision of appropriate fire fighting equipment, where relevant.
10.10.2 Operating Company and Base Operator
1. Nominate berth after liaising with harbour authority, fire brigade and harbour police or
security.
2. Ensure sufficient cooling or drenching water is available.
3. Cordon-off area, with signs posted to indicate a hazardous area.
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10.10.3 Master
Whilst the shipper should provide full details of any products being shipped characteristics of
some of the more common chemicals which may be shipped in bulk liquid form are included
below.
10.10.4.1
Methanol
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Zinc Bromide
10.11
Whilst vessels are connected to offshore facilities by hose(s) for the purpose of delivering
bulk commodities to facilities it is important that, in the event of a change in the operating
circumstances developing, personnel on the facility remain available at all times to disconnect
the hose(s) at short notice.
Failure to disconnect the hose(s) in a timely manner should circumstances change during bulk
transfer operations could well result in significant risk of injury to personnel and/or damage to
assets or the environment.
The crane operator and deck crew on the facility shall therefore remain readily available, contactable and nearby throughout transfer operations.
In the event that any such personnel are required to leave the vicinity of operations for any
reason the vessel should be immediately advised. The vessel bridge team in conjunction with
the facility manager should assess current and anticipated operational risks. It is the Masters
decision as to whether the vessel remains connected to the facility pending restoration of the
required level of support.
10.12
10.13
It is recognised that it will be necessary to transfer hydrocarbon or other noxious liquids during
the hours of darkness, particularly in higher latitudes in the winter months.
For clarity, these Guidelines do not advocate that such operations should be curtailed or restricted, but seek to identify the additional risks involved in such transfers and to make appropriate recommendations to manage such risks.
It is recognised, for example, that leaks are most likely to occur in the early phases of any
transfer operation as connections become pressurised.
UNCONTROLLED WHEN PRINTED
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Once all aspects of the transfer operation have been stabilised leaks are less likely to occur.
It is therefore recommended that, wherever practical, the following practices may be adopted
in relation to the bulk transfer of hydrocarbons (or other recognised marine pollutants) during
the hours of darkness:
1. Adequate artificial illumination of the operational areas on the facility, the vessel and the
water between them should be provided.
2. Additional high-visibility and / or reflective panels on the hoses (or their buoyancy elements) are recommended.
3. All preparations for the transfer to completed in daylight, where practical.
4. Careful check to be made for leaks, etc on vessel, facility and connecting hose as transfer
commences.
5. Transfer may continue into the hours of darkness, provided that the entire area and associated equipment is adequately illuminated to an acceptable standard.
In the event that the transfer continues a careful watch of the connections and hose
should be maintained throughout.
It is recommended that hydrocarbons or other noxious products should not be transferred
simultaneously in these circumstances.
6. On completion of the transfer extra care should be taken when breaking the connection
and returning the hose to ensure that the risk of spillage on completion of the operation
is also minimised.
General precautions to be observed regarding safety of personnel working on deck during the
hours of darkness should continue to be implemented.
10.14
Tank Cleaning
10.14.1 Preparations
10.14.1.1
Risk Assessment
The Tank Cleaner Foreman must demonstrate to the Master that he understands the principles
and, if necessary, has undertaken a risk assessment relevant to the intended task.
The outcomes of the risk assessment should have been addressed in the subsequent tool box
talk prior to commencing the task.
10.14.1.2
Protective Equipment
Personnel working in the tank shall wear the appropriate PPE as identified in the risk assessment, COSHH or equivalent assessment and MSDS.
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10.14.1.3
All tanks should be considered as dangerous spaces which, if appropriate precautions are
not taken, would represent a serious risk to personnel entering them.
The Tank Cleaning Foreman must demonstrate to the Master that the atmosphere in the tank
has been tested to prove that it does not represent a threat to any personnel who may be
required to enter the space. He must also be able to demonstrate that any equipment utilised
for this purpose has been used in accordance with the manufacturers instructions.
The results of the atmosphere testing should be recorded on the permit or other agreed document.
10.14.1.4
Communications
Communication system between all personnel within tank and at access must be agreed,
tested prior to commencement of cleaning activities and checked at frequent intervals until all
persons have exited the tank on completion of operations.
A stand by person at each tank will almost always be required. This person should be competent and trained to take the necessary action in the event of an emergency.
Effective means of ship/ship and ship/shore communication shall be established and maintained throughout the tank cleaning operation.
10.14.1.5
The Tank Cleaning Foreman must demonstrate to the Master that the emergency response
and escape arrangements identified in the risk assessment are in place and available if required.
10.14.1.6
Check List
A typical example of a check list which should be completed prior to the commencement of
tank cleaning operations is included in Appendix 10 - G.
10.14.2 Operations
10.14.2.1
Control
Although the tank cleaning operation is conducted by a contractor under control of the contractors supervisor the safety of the operation remains the responsibility of the Master. The
operation should be continuously monitored by a designated responsible vessel person who
should stop any operation that he considers unsafe.
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10.14.2.2
Atmosphere Testing
Regular tank atmosphere testing by competent personnel from both the vessel and tankcleaning contractor must be undertaken both prior to commencement of cleaning activities
and checked at frequent intervals until all persons have exited the tank on completion of operations. Equipment utilised to conduct these tests of the tank atmosphere must be used in
accordance with its manufacturers instructions.
10.14.2.3
Simultaneous Operations
Where simultaneous tank cleaning and other operations i.e. cargo operations, are undertaken
then suitable safety precautions must be in place. Interfaces between vessels officers, tank
cleaning and quay supervisors must be kept open and active during the tank cleaning operation.
10.14.2.4
Shift Hand-Overs
Hand over between shifts of vessels and tank-cleaning personnel must be carefully controlled
to ensure continuity. Consideration must be given to holding a further tool box talk.
10.14.3 Completion of Tank Cleaning
On completion of tank cleaning operation the Master must carry out an inspection together with
the tank cleaning contractor supervisor to ensure that the tanks have been properly cleaned
and lines and pumps are thoroughly flushed. If these parties disagree an independent surveyor will carry out an inspection.
The various commonly accepted tank cleaning standards are shown in Appendix 10 - H. The
tank inspection should confirm that the tanks have been cleaned to the appropriate standard.
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11
Vessel(s) in the context of this Chapter means anchor handlers or tugs used to assist the MOU
to move location and to work on, deploy or recover MOU moorings.
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All parties are jointly responsible for ensuring adequate planning (including contingencies).
They should also agree on the risk management procedures to be observed, and are jointly
responsible for ensuring that this is complied with throughout the entire operation.
A management of change process should be included in the risk management procedures.
Any deviation from the Work Specification shall only be permitted in accordance with this
agreed management of change.
Reference should be made to Chapter 4 relating to the risk management process.
Each party involved should determine how its interests will be represented during the operation, and ensure that others are advised of the relevant arrangements.
A Work Specification that covers the entire operation shall be prepared. The Work Specification should be in English unless otherwise agreed.
Identify who will have the responsibility and authority to specify necessary equipment in accordance with the Work Specification.
Ensure that satisfactory anchoring/mooring analyses have been prepared in compliance with
national/industry requirements where relevant.
As early as practicable organise pre work scope meeting, to include risk assessment if required.
Ensure that the work scope has been reviewed and is understood by all personnel that participate in the operation.
Agree party who is will charter vessels and mobilise according to the work scope.
Arrange inspection of selected vessels to verify suitability in accordance with marine assurance protocols agreed between the parties involved.
Inform vessel(s) and MOU about the status of the operation at all times.
Any proposed personnel changes during MOU moving Operations to be arranged so that
relief personnel have sufficient time to be fully briefed on status of work scope by those they
are relieving.
Communicate any changes of the work scope to all the parties involved.
11.2.1 Responsibilities of the Operating Company
11.2.1.1
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2. Obtain an overview of infrastructure on the seabed, sea bottom conditions and any obstructions. Provide charts and location layout drawings showing intended MOU position(s).
3. Provide the necessary charts and drawings in both paper copies and in electronic format.
4. Specify minimum horizontal and vertical clearances to be maintained from such as infrastructure, adjacent moorings and pipelines on the seabed.
5. Ensure that third parties having interests or assets in the vicinity of operations are advised of intended activities, and invited to participate in operational meetings or risk assessments should they so wish.
In addition to the above the operating company shall make all the vessels available for a
common briefing, ideally in port, prior to mobilization. This briefing should be attended by
Masters \ Mates and deck crew of vessels along with MOU owners representatives.
11.2.2 Responsibilities of the MOU Owner
1. Notify authorities of MOU departure and arrival in accordance with local requirements.
2. Ensure MOU is adequately manned by competent personnel taking into account hours
of rest requirements and the scope of work.
3. Provide extra personnel as required to cover 24/7 operation.
4. Ensure arrangements for provision of additional/back-up mooring equipment, if required,
are in place.
11.2.3 Responsibilities of the Person in Charge of the MOU
The person in charge has overall responsibility and the authority for the HSSE management of
the facility and personnel at all times as per statutory requirements and MOU owners' policy.
However, in relation to the movement of the MOU operational responsibility may be delegated
to a suitably qualified person such as the Tow Master who should also consult with vessel and
Masters in the process.
Such responsibilities include, but are not limited to the following:
1. Decision as to when it is safe and practicable to commence operations within the limitations of the MOU operating manual, having consulted with the Operators representative
and the Vessel(s) Master(s).
2. Ensuring that a meeting is held with all relevant personnel on board prior to operation
and minutes accordingly, with an appropriate entry in the log book to that effect.
Masters of AHVs in attendance to support the move should be advised of the outcomes
of this meeting and invited to comment on these.
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3. Ensuring procedures in place to monitor each vessels operation, and to monitor ongoing
status of the operation.
4. Ensure function and monitor for effective communication between all involved parties.
5. Acts as the sole point of contact through which all operation notifications and exterior
communications will pass and ensures that all relevant authorities are kept informed of
the operation, as required.
6. Liaises and communicates with the Operating Company representative on all matters
concerned with the operation and any deviation from the agreed work scope.
11.2.4 Responsibilities of the Vessel Owner
Responsibilities of the vessel owner include but are not limited to:
1. Ensuring that vessels are in good operational order and in compliance with relevant legislation and charter party requirements.
2. Ensuring that vessels are manned by competent personnel taking into account hours of
rest requirements and scope of work including possibility of 24 / 7 working.
3. Ensuring that any proposed personnel changes during MOU moving Operations are arranged to allow sufficient time for a briefing on work scope and experience transfer to be
completed.
4. Ensuring that the vessel is able to calculate and monitor stability information for all stages
of the intended operation.
5. Ensuring that ship specific anchor handling manual or procedures are included in each
vessels safety management system and that such documents are available on board.
6. Ensure that a clearly defined clear-deck policy, when equipment under tension is present,
is understood and implemented on each vessel.
7. Ensuring that details of the vessel(s) provided to brokers and charterers are correct and
current.
11.2.5 Responsibilities of the Vessel Master
The prime responsibility of the Master of any vessel is to safeguard the safety of crew and
equipment on board and environment at all times. The Master shall stop operations that may
put personnel, vessel or environment at risk.
All personnel have the right to call a stop at any time. In multi vessel operations Masters should
avoid allowing perceived Peer pressure to influence the overall decision making process.
Other responsibilities include, but are not limited to:
1. Ensuring that the manning on board is sufficient based on working hour provisions, the
operation work scope and that the crew is rested.
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2. Ensuring that all AH equipment on board or supplied, is in good condition and certificated
as required and meets the requirements of the Work Specification, including, where relevant, the vessels own equipment.
Defects or non conformities to the anchor/mooring equipment found during the operation are to be reported to the Charterer.
3. Ensure compliance with vessel Owners and charterers HSSE policies
4. Reporting to the Person In Charge on the MOU of any accident, incident or vessel deficiency/limitation occurring during the operation.
5. Ensuring that a vessel Risk Analysis has been performed and recorded, in accordance
with the specific work scope, ensure that agreed work scope is communicated to all crew
members involved in operation.
6. Ensuring that the stability of the ship is calculated and recorded, for each step in the work
scope including worst case expected dynamic loads.
7. Ensuring that sufficient consumables are on board for the intended operation.
8. Ensuring that the personnel who will be involved in the operation have been adequately
briefed as to the nature of their duties and responsibilities.
A detailed written Work Specification should provide all necessary information for proposed
operations and describe them in detail.
It should provide common understanding of the operation and should outline framework conditions, using images, animations, organogams and diagrams where possible. It is intended
for use during the planning, execution, verification and demobilisation of the operation.
The suggested contents of the Work Specification are included in Appendix 11 - A.
11.3.1.1
The Work Specification should include, but not be limited to the following information:
1. Identification of key roles, responsibilities and agencies involved.
2. Define health, safety and environmental expectations. Reference should be made to
Chapter 4 relating to risk management process.
3. Statements of HSSE reporting requirements / expectations by all parties.
4. Identify and set trigger and hold points which determine operation start /stop / hold or
Risk Assessment.
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sea height, wind and current velocities to be determined by operational considerations or risk assessment.
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Table 5: Cross Track Distance Limits and Actions
ZONE
LIMITS
TITLE
Green
No action required
Amber
Red
11.3.1.2
It is advisable to keep forces being exerted by the weight and tension of the mooring system
along the fore and aft line of the Vessel(s) by keeping the Vessel(s) on, or close to, the intended
mooring line track and bearing.
Due consideration must be given to any and all effects of any deviation and the prevailing
environmental conditions.
During the planning of the Work Specification loads will be identified to show the expected
forces on the mooring systems and the respective distance from the MOU and cross track
limits set.
For example:
1. When Vessel range from MOU is less than 160m:
No action required as loads are low and the Vessel may be required to deviate off line to
work crane, rack anchor or position correctly for environmental forces.
2. When Vessel range exceeds 160m from the MOU:
Table 5 defines the limits and actions to be taken should the cross track distance exceed certain limits.
11.3.2 Pre Operation Meeting Onshore
11.3.2.1
Participants
The pre-operational meeting onshore should be held well in advance of the commencement
of operations. Written Work Specification for MOU move should be available and agreed with
all relevant parties.
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Appropriate competencies should be made available for this meeting and are likely to include
the persons in the following roles:
1. OIM or MOU designate either in person or participating remotely.
2. Tow Master (preferably nominated for attendance on board MOU during the operation).
3. Representatives from MOU owner operations department.
(Note that in some jurisdictions the MOU Safety Delegate may also be required to attend).
4. Onshore and/or Offshore supervisor for operating company.
5. Onshore logistics representative from operating company.
6. Marine Representative/Superintendent from operating company.
7. Representative from navigation positioning/survey company or contractor.
8. If required, Operating companys navigation/positioning/survey representative.
9. Representative from owner/operator of any third parties having interests in the vicinity of
proposed operations.
10. Representative of Owner(s) or Masters of the vessel(s) involved, if on charter at time of
meeting or where options exist for employment at some future date.This may relate to
some particularly complex moves for which particular vessels are required.
11.3.2.2
Meeting Agenda
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10. Weather and environmental limitations and definition of operational criteria, review and
set trigger/hold points as required.
11. Navigational data and references are confirmed.
12. ROV inspection requirements, where relevant.
13. Review details of anchor pattern and mooring equipment inclusive of maximum calculated loads and dynamic tensions and any pre-tensioning requirements.
14. Pre-lay of anchors, if applicable.
15. Tandem vessel operations, if applicable.
16. Vessel requirements; manning, quantity and technical specifications.
17. Manning on MOU.
18. Anticipated duration of each phase of the of operation.
19. Contingency plans and equipment.
20. Equipment lists for the individual vessels.
21. Sea bed conditions.
22. Communication lines, and contact details.
23. Responsibility and authority to be defined for report or debrief of completion of MOU
operation, should include lessons learned.
24. Move vessel and MOU Operational Equipment General Guidance.
11.3.3 Vessel Equipment
11.3.3.1
Apart from the maintaining its own statutory, and company logs, it is recommended that a
vessel specific towing and anchor handling equipment register is maintained to record the
status of certification, maintenance, hours and type of use.
These records are to be maintained for all current equipment.
This register should include but not be limited to:
1. Tow Wire, and spare if carried
2. Work Wire(s)
3. Chasing Pennant(s)
4. Pig Tail(s)
5. Chafe chain(s) or similar arrangements
6. Stretchers, Surge Chains
7. Shackles, Joining Links of all types
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8. Swivels
9. Running sheaves
10. J Hooks, Chasers
11. Grapnels
11.3.3.2
Inspection of Equipment
It is recommended that all anchor handling equipment, particularly wires used in the course
of operations are inspected after each use. Records of inspection should be included in the
register.
It should be noted that soft eye pennants wear more quickly than hard eye pennants and
require more frequent inspection.
11.3.3.3
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11.3.3.4
Examples of recommended good practice for the anchor handling systems referred to below
can be found in Appendix 11 - B.
Good guidance relating to the handling and use of equipment is also available from the various
anchor and / or equipment manufacturers or suppliers.
1. Permanent chaser pendant/pennant systems
2. Anchor chain mooring connections
3. Pendant buoy systems
4. Working wire chaser terminations on vessel
5. Back-up mooring systems
A meeting shall be held on board the unit prior to commencement of operations. The primary
function of this meeting is to review the Work Specification for MOU move and related HIRA
report to ensure that all relevant parties are in agreement with the procedures proposed.
11.4.1.1
Participants
This meeting shall be repeated if personnel and / or Work Specification should alter.
Except where otherwise agreed it should be presumed that operations will continue on a 24/7
basis.
Recommended participants for this meeting should therefore include, but are not necessarily
limited to the following:
1. OIM and delegate
2. Tow Master(s) (Will normally act as Chairperson)
3. Offshore supervisor(s) for operating company
4. Marine Representative(s) for operating company
5. MOU Marine personnel
6. Party Chief from navigation/positioning/survey contractor
7. Representative(s) from owner/operator of any third party interests if attending on board
the unit
8. Additional specialist personnel as required
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Attendance at the meeting should, however, take into account requirements for adequate rest
periods. The Chair should ensure that the meeting is minuted for reference and records.
Following the meeting Masters of AHVs in attendance to support the move should be briefed
on its outcomes by the senior Tow Master and invited to comment on these.
11.4.1.2
Meeting Agenda
Where required, the Person in Charge, in cooperation with vessels and Marine Representative or Tow Master, should report to the appropriate National and local authorities, adjacent
facilities and to local operations as required as detailed in Work Specification.
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11.5.1 Passage Planning and Navigation
The Master of the towing vessel is responsible for the preparation of a detailed passage plan
and the subsequent safe navigation of the tow. Where appropriate, navigation warnings shall
be broadcast by the lead tug at regular intervals.
The passage plan will be forwarded to the Tow Master on the unit and Masters on other towing
vessels for review/comment prior to the commencement of operations.
Where more than one vessel is utilised to tow the unit a lead tug will be nominated by the Tow
Master. The Master of this vessel will assume the responsibilities described above and shall
also ensure that the other vessel(s) involved comply with the plans.
This does not, however, relieve the Master of any vessel from the responsibility of safeguarding
the safety of personnel and equipment on board own ship.
11.5.2 Operational Planning
The passage plan must be carefully developed with regard to water depth, other offshore and
subsea facilities, and emergency locations or refuges which may be utilised if required.
Close attention should be paid to the length and catenaries of the tow wire and its relation to
environmental conditions, water depth and vertical clearance over any sub-sea assets in the
vicinity of any location or whilst on passage.
Route must keep safe distance from any other facilities. Pass on the side that best assures
tow will drift away from the facility in case of power loss or loss of tow.
The passage plan shall not use facilities as way points.
Regular weather forecasts are essential for operations of this nature. Normally two forecasts,
twice per day from independent providers will be provided.
Communication lines as agreed during the pre-operational meetings should be observed.
Requirements for support vessels should be assessed.
Typically, support vessels tasks include, but are not limited to:
1. Monitoring and plotting ship traffic along the towing route.
2. Use all available means to warn vessels whose course is approaching the tow too closely
or impeding its progress in contravention of the COLREGS.
3. Checking agreed destination location is clear and unobstructed before MOU approach
and arrival.
4. Functioning as reserve or contingency towing vessel, especially in adverse or deteriorating weather.
Retrieval arrangements for the recovery of the main towing gear in the event of its failure
should be fully operational.
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The MOUs emergency towing system should be rigged and ready for immediate use. A safe
procedure for passing this system to a towing vessel in all weather conditions should be agreed
beforehand. Where this involves the mobilisation of any additional equipment this should be
on the unit and checked to be fully operational.
Where an additional vessel is available as reserve towing vessel on passage, this should be
rigged for towing.
11.5.3 The Towing Operation
Requirements below relate to when direction of the tow has been transferred from the Tow
Master to the lead towing vessel. The towing operation will conclude when direction of the
tow has been returned to the Tow Master from the Master of the lead tow vessel. The transfer
of direction should be agreed via radio and the times logged by both MOU and the lead Tow
vessel.
Manoeuvring operations on and off locations are directed by the Tow Master.
11.5.3.1
The MOU is required to monitor the following and report any changes to the lead tow vessel:
1. Compliance with COLREGS on the unit, including lights and shapes on the tow.
2. Towing connections.
3. Weather conditions and forecasts.
4. Integrity of the unit, if relevant.
5. MOU propulsion assistance.
The Vessel is required to monitor the following and report any changes to the MOU:
1. Compliance with COLREGS.
2. Towline, particularly prevention of any chafing or friction. Either use towing sleeve, or
regularly adjust wire length.
3. On passage towing speed and heading, alterations to be made in a controlled manner.
4. Deviations to passage plan.
5. Adjustments to power output.
6. When adjusting tow line length reduce engine power if required to avoid damage to towline.
7. If towing a MOU on anchor chains, the MOU may pay out chain to provide the optimum
towing catenaries.
8. Total tow length and catenaries profile in relation to water depth should be calculated and
any changes communicated between MOU and Tow Vessel.
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9. Whilst towing, clear deck policies to be observed. Should any urgent or emergency work
be required on the after deck whilst towing this should be fully risk assessed.
10. If adverse weather expected the Master to consider whether use of gog wire to control
towing wire would be prudent or advantageous.
11. When towing in adverse weather, dynamic forces are significant. Exercise great caution,
particularly when there is a following sea.
12. Towing logs are to be maintained by the vessel.
11.5.4 Record of Towing Operations
Vessels engaged any towing operations should maintain complete records of such activities.
Particulars of the information to be recorded are included in Section 12.2.3.3 of these Guidelines.
The Work Specification must be carefully developed with regard to water depth, other offshore
and subsea structure(s) and MOU skidding plans to maintain agreed clearances.
During the operation close attention should be paid to Cross Track distances.
Close attention should be paid to the length and catenaries of the mooring and its relation to
the water depth and any sub surface structure.
Regular weather forecasts, normally from two independent sources, should be arranged.
Communication lines as agreed during the pre-operational meetings should be observed.
Assess what support vessels are required. Support vessels tasks include, but are not limited
to:
1. Monitoring and plotting ship traffic within proximity of mooring site.
2. Use all available means to warn vessels whose course is approaching the scene of operations too closely resulting in risk to themselves or other vessels.
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11.6.2 The Offshore Anchor Handling Operation
The MOU is required to monitor the following and report any changes to the anchor handling
vessels:
1. Disconnection and recovery of towing connections and assemblies.
2. Weather conditions and forecast weather window are suitable for operations.
3. Integrity of the unit, if relevant.
4. MOU winch pay-out and recovery speeds.
5. MOU propulsion assistance.
6. Communications between MOU Cranes, Winch Operators, Tow Master and Vessels.
Vessels are required to monitor the following and report any significant changes to the MOU:
1. International Collision regulations.
2. Whilst working on MOU mooring equipment, alterations to heaving in or payout speeds
and changes to vessel heading and power, should be made in a controlled manner.
3. When vessels is heaving in or paying out moorings, reduce engine thrust if required to
avoid damage.
4. Be aware of mooring catenaries and required clearances.
5. When anchor handling in adverse weather, dynamic forces are significant. Exercise great
caution, monitoring environmental conditions continuously.
6. Deployed and recovered equipment is to be visually checked for integrity and any deficiencies advised.
7. Deviations to work scope and equipment used.
8. Safe navigation whilst manoeuvring with anchors.
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11.7 Communications
Reference should be made to Chapter 6 of these Guidelines relating to Communications.
Communications in accordance with the Work Specification should be established and tested
between the MOU work stations, vessel bridge and deck crews and between the various vessels involved in the operation.
During anchor handling activities a common VHF radio channel should be designated for the
use by the MOU and all vessels involved in the operation. This channel should not be used for
other purposes whilst such activities are in progress.
Where several vessels are working together on the same operation, a specific communication
plan for that activity must be established which in particular ensures an effective and coordinated action in the event of any unintended incident.
Communication between vessel workstations where the Master and winch driver will be, and
the anchor handling deck must be decided prior to the operation.
Dependent on vessels equipment and the operation concerned, the best means of communication may be personal UHF radios or by loudspeaker. Whichever means of communication is
decided upon; it should be thoroughly tested prior to starting the operation.
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sured for the vessels certificates in some cases does not allow for the power used by deck
machinery, thrusters and other consumers diverted from the main propulsion.
Allowance for any reduction should be made when considering bollard pull available during
any operation.
Maximum bollard pull is achieved with the cable right astern with rudders amidships A reduction in bollard pull must be allowed for should the angle of the cable lead other than right
astern.
Maximum tension whilst towing must never exceed 50% of MBL of weakest link in the assembly. It is recommended to aim for tension utilization of 30% of the MBL to allow room for peak
loads.
Winch tension controls, where available, may be set with the above recommendations in mind.
For anchor break out operations, the values above may need to be exceeded. This must be
risk assessed and as agreed by all parties.
11.10
To release excessive tension winches and mechanical stoppering devices are fitted with emergency release mechanisms.
Maintenance and testing of these systems should be included as part of the planned maintenance regime and satisfactory operation should be verified before any anchor handling activities.
The vessels crew should be trained and competent in the operation of the emergency release
systems in addition to being familiar with their reaction times and effect.
Instructions giving information on how to operate the emergency winch stops and releases
should be readily available on the vessel.
11.11
Anchor handling operations in deeper water carry significant additional hazards and these may
be location specific. In the context of this document deeper water is considered to be depths
in excess of 300 metres, though it is recognised that this is an arbitrary distinction, and any
assessment of what might be considered as deep water operations will take into account the
capabilities of the vessels supporting such activities.
However, any operations beyond the continental shelf should always be considered as deep
water activities.
Where deep water anchor handling operations are being planned additional factors should be
taken into account in addition to those involved in normal anchor handling operations: These
include, but are not limited to, the following:
UNCONTROLLED WHEN PRINTED
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1. Suitability of vessel(s) for location specific operations taking into account environmental
and other variables.
2. To minimise damage to work wire from joining shackles use longer continuous lengths of
work wire.
Where joining is unavoidable to avoid damage use joining links rather than shackles.
3. All wires to be spooled onto the drum under tension.
4. Use work wire swivels to avoid twisting damage from the inherent high loads of deep
water A/H.
Wires should be de-tensioned using suitable methods after use.
5. Swivels are used to avoid twisting damage in the wire when exposed to high tension.
Swivels are also used to reduce the risk of torsion building up in the wire.
Such torsion could be released when disconnecting work wire from PCP, with risk of
serious injury to personnel.
6. Use of PCP chain tail in the shark jaws is particularly important in deep-water anchor
handling operations.
7. Buoys should not be free launched from deck but deployed in controlled manner to avoid
shock load damage.
8. Whilst deploying chain there may be a requirement for high tension to be used.
Chain contact with the gypsy should therefore be maximised to avoid potentially dangerous slippage. In some circumstances, and where equipment is suitable, both gypsies
may be used.
Dynamic braking or tension control arrangements should be used, if available.
9. Fibre ropes are frequently used in deep water mooring arrangements for a variety of different reasons.
Manufacturers guidelines for the use and handling of these products should always be
complied with.
11.11.2 Breaking Out of Anchors
There is a possibility of damaging the PCP system or the work wire if the wire is overloaded
whilst breaking the anchor loose from the bottom.
It is unsafe to shorten up on the work wire (i.e. heave in on the vessel winch, until the vessel
stern roller is vertically above the anchor position) in an attempt to break out an anchor. Doing
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so is liable to cause the wire, the winch, the anchor or other equipment to fail.
Please refer to Figure 4.
The tension, which during the above mentioned method is used on the wire, is dependent on
following circumstances:
1. Winch pull force, depending on the size of the winch and how many layers are on the
drum. If using one of the bigger winch sizes it is easily possible to exceed the breaking
load of the wire.
2. The vessel buoyancy combined with sea state forces in a sea will exceed the breaking
load of the wire by many times regardless of the capacity of the winch.
The diagram shows the relative vector forces for anchor removal with relation to vessel position
and water depth.
In this illustration 50 is the minimum break loose force and optimum direction.
The vectors show the significantly increased force required as the vessel nears the vertical
pull.
Forces at the anchor can be calculated using the formulae below:
LF = BP / cos(arcsin(WD / WL))
and
UL = BP x tan(arcsin(WD / WL))
where
LF = Line force in work wire
UL = Uplift force at anchor
BP = Bollard Pull being exerted
WD = Water Depth
WL = Wire Length deployed, measured from Stern Roller
Anchors in very soft clay can be buried very deep, penetrations in excess of 100 metres
being recorded is soft, estuarial soils. The material behind the anchor will be disturbed as
it penetrates the seabed.
The best practice is therefore to find the optimum pull position and avoid overloading the
equipment which would result in an unsafe situation. If problems are experienced in breaking
out the anchor consideration should be given to using another vessel to assist, but any such
assistance should be fully risk assessed prior to commencement of operations.
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12
Marine transportations to which this section of the Guidelines relates may include, but are not
limited to, the following:
1. Transportation of unusual items on the deck of own vessel, particularly where the item
involved is large, heavy or, if damaged, would result in significant actual or consequential
loss.
2. Towage of a cargo barge onto which such items have been loaded and secured.
3. Towage of any other vessel or floating object.
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12.2.2 Excluded Operations
It is not anticipated that this section of the Guidelines will relate to the following operations:
1. Logistics operations associated with the normal delivery or return of containers or similar
cargo items to or from an offshore facility.
2. Operations associated with moving a MOU from one offshore location to another, or to or
from port facilities.
12.2.3 Towing Operations
12.2.3.1
The Master of the towing vessel is responsible for the preparation of a detailed passage plan
and the subsequent safe navigation of the tow. Where appropriate, navigation warnings shall
be broadcast by the tug at regular intervals.
Where more than one vessel is utilised to tow the unit a lead tug will be nominated by the
person in charge of the operation, which may be a Tow Master if present. The Master of this
vessel will assume the responsibilities described above and shall also ensure that the other
vessel(s) involved comply with the plans.
This does not, however, relieve the Master of any vessel from the responsibility of safeguarding
the safety of personnel and equipment on board own ship.
The passage plan must be carefully developed with regard to water depth, other offshore and
subsea facilities, and emergency locations or refuges which may be utilised if required.
Close attention should be paid to the length and catenaries of the tow wire and its relation to
environmental conditions, water depth and vertical clearance over any sub-sea assets in the
vicinity of any location or whilst on passage.
Route must keep safe distance from any other facilities. Pass on the side that best assures
tow will drift away from the facility in case of power loss or loss of tow.
The passage plan shall not use facilities as way points.
Regular weather forecasts should be provided. Normally two forecasts, twice per day, each
prepared independently, are required.
Communication lines as agreed during any pre-operational meetings should be observed.
12.2.3.2
Retrieval arrangements for the recovery of the towed objects main towing gear in the event of
its failure should be fully operational.
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The towed objects emergency towing system should be rigged and ready for immediate use.
Arrangements for this system to be recovered by a towing vessel in all weather conditions
without the necessity of boarding the tow should be deployed.
Where the mobilisation of any additional equipment to facilitate this is required, all such equipment should be readily available on board and checked to ensure it is fully operational.
12.2.3.3
Vessels engaged in any towing operations should maintain complete records of such activities.
These records should normally consist of two parts, as follows:
1.Daily Log
Information should be recorded at regular intervals whilst actually engaged in the towing operation, as follows:
1. Date and time of log entry.
2. Name of towed object.
3. Position, actual or estimated.
4. Power setting(s) on main propellers or thrusters.
5. Length of tow-line deployed.
6. Relevant weather conditions, for example particulars of wind, sea and swell.
7. Any changes to towing configuration in foregoing period.
This information should be recorded more frequently in periods of severe weather.
2.Voyage Summary
On completion of each towing operation a voyage summary should be prepared. This summary should include the following information:
1. Particulars of towed object, including name and description.
2. Date and place of commencement of tow
3. Date and place of completion of tow
4. Distance
5. Average speed throughout tow
6. Brief description of towing arrangements used
7. Brief description of weather experienced during tow
8. Brief description of any relevant incidents occurring during tow
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Lifting operations to which this section of the Guidelines relates may include, but are not limited
to, the following:
1. Installation operations, involving use of equipment installed on vessel to lift items of equipment from deck of own or other vessel or barge for installation on an offshore facility.
2. Installation operations, involving use of equipment installed on vessel to lift items of equipment from deck of own or other vessel or barge for installation as part of a sub-surface
facility.
3. Removal or de-commissioning operations, involving use of equipment installed on the
vessel to lift items of equipment from an offshore facility onto deck of own or other vessel
or barge.
4. Removal or de-commissioning operations, involving use of equipment installed on the
vessel to lift items of equipment from a sub-surface facility onto deck of own or other
vessel or barge.
5. Any other operations involving use of the equipment installed on the vessel to support
project related activities on an offshore facility, either above of below the sea surface, or
on another vessel.
12.3.2 Excluded Operations
It is not anticipated that this section of the Guidelines will relate to the following operations:
1. Logistics operations associated with the normal delivery or return of containers or similar
cargo items to or from an offshore facility.
2. Lifting activities which may be required during MOU operations.
3. Internal lifting operations on the deck of own vessel, except where the item to be lifted is
unusually large, heavy or, if damaged, would result in significant actual or consequential
loss.
12.3.3 Particular Requirements for Sub-Surface Lifting Operations
In some areas of the world requirements relating to lifting operations below the surface of the
sea may be different to those involved where the activities are undertaken only in air.
Such differences may include:
1. Specifications of Equipment involved.
2. Competencies of Personnel involved.
3. Operational Planning and Execution.
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It is the responsibility of all parties involved to ascertain the requirements for undertaking subsurface lifting activities in the current area of operations and ensure that these are complied
with.
The documents included in the list above are regularly reviewed and revised by the publishers.
The latest revisions, which, with the exception of the document published by DNV, are available
on the internet web sites of the relevant organisations should always be referred to when
planning or executing any of the operations to which they relate.
114
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Table 6: Further General Guidance
SOURCE
DOCUMENT PARTICULARS
NUMBER (If Known)
DNV
TITLE
Rules for Planning and Execution of Marine Operations
GL Noble
Denton
13
GL Noble
Denton
21
GL Noble
Denton
27
GL Noble
Denton
30
IMCA
M187
Lifting Operations
IMCA
M171
Crane Specifications
IMCA
M193
IMCA
M194
IMCA
M203
Simultaneous Operations
IMO
MSC 494
115
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12.7.1 General Requirements
The planning and execution of any operations referred to in 12.1(5) above which supported
by offshore vessels will involve the development of task-specific procedures for the work to be
undertaken. The contents of such procedures are outwith the scope of this document.
However, when any vessel supporting such operations is approaching or operating in the
vicinity of any offshore facility, irrespective of whether a formal safety zone around it has been
established, all relevant recommendations included in these Guidelines should be observed.
A note to this effect should be included in the procedures referred to above.
At many offshore facilities elements of the arrangements for emergencies which the Operator
must establish to ensure the safety of the workforce on board in the event of an incident is
supported by vessels mobilised to provide response and rescue services.
The primary functions of vessels mobilised for this purpose include the following:
1. Rescuing personnel who have inadvertently entered the water in the vicinity of an offshore
facility and providing suitable facilities for their subsequent care.
2. Monitoring the movements of other marine traffic in the vicinity of the facility and taking
appropriate action where risk of collision with it is though to exist.
3. Acting as contingency command and control station should an incident on the facility
result in its own arrangements being disabled.
Except otherwise advised these functions are to be supported on a continuous basis and no
other activities should be undertaken by or on board the vessel which would compromise its
ability to do so.
In the event of any incident on the vessel which may result in it not being able to fulfil any of
the functions above the management of the facility which it is supporting must be immediately
be advised of this fact in order that appropriate alternative arrangements can be made.
12.8.2 General Requirements
Vessels mobilised to provide emergency response and rescue services should comply with the
requirements relating to such support which exist in the jurisdiction in which they are operating.
It is the responsibility of all parties involved to ascertain the requirements for vessels providing
support of this nature in the current area of operations and ensure that these are complied
with.
116
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Table 7: Response and Rescue Support Guidance
SOURCE
DOCUMENT PARTICULARS
NUMBER (If Known)
DMA
TITLE
Guidelines for Standby Vessels
ERRVA
ERRVA
NOGEPA
6&7
NOROGA
Where no such requirements exist, the documents listed in Table 7 may provide useful guidance in ensuring that adequate standards for response and rescue support are established
and maintained.
12.8.3 Response Criteria
The jurisdiction under whose regime the facility is operating may establish criteria relating to
time taken to rescue personnel from the water and transfer them to a place of safety in a variety
of incident scenarios. Alternatively, it may require the Operator of the facility to establish such
criteria.
It is in the interests of both the Charterer and Owner of the vessel to ensure that such criteria
can be complied with.
Facilities and equipment should therefore be provided for the on-going training of the personnel involved. Exercises to ensure that personnel remain familiar with the equipment and
procedures involved should be arranged at frequent intervals. Where possible such exercises
should be undertaken in typical environmental conditions which may be experienced at the
location, always on the understanding that personnel or equipment should not be subject to
un-necessary risk.
Full records of any exercises undertaken should be retained for subsequent inspection by
interested parties. From time to time there may also be a requirement for such exercises to be
observed and recorded by an independent witness.
12.8.4 Adverse Weather Criteria
Facility operations which can be supported by a typical emergency response and rescue vessel will be dependent on the prevailing environmental conditions. The criteria under which the
various levels of support can be provided will normally be agreed on an industry-wide basis
for the area in which the facility is located.
Where this is not the case, such criteria should be agreed between the Charterer and the
Owner, in consultation with experienced Masters, at the time of taking the vessel on hire.
UNCONTROLLED WHEN PRINTED
117
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Typical adverse weather criteria for a conventional SBV, equipped with FRCs and or Daughter
Craft for rescuing personnel from the water in lower sea states and a mechanical means
or recovery in the more severe conditions when rescue craft cannot safely be deployed or
recovered are included in Appendix 12 - A.
It should be noted, however, that in a long period, regular swell rescue craft may be safely
deployed and recovered in higher sea states than indicated. On the other hand it may be
that such craft cannot be safely used where waves are of short period and / or confused at
lesser heights than those indicated. In such circumstances other means of recovery should
be considered.
Furthermore, familiarity with the equipment and techniques involved in the rescue of personnel
from the sea gained from suitable training together with frequent exercises in more challenging
conditions may well enable the criteria set out in the Appendix to be extended. In addition,
other technologies are available which may not be subject to the same environmental limitations.
The Master of the SBV will decide which equipment and techniques are most appropriate for
use, based on circumstances associated with the emergency itself and the prevailing environmental conditions.
12.8.5 SBV Operational Capability
Section 7.2 of these Guidelines relates to the factors to be taken into account when assessing the operational capability of any vessel, including those providing response and rescue
support.
However, with particular regard to vessels providing such support it should also be borne in
mind that the vessel is effectively an integral part of the facilitys emergency response arrangements. A reduction in its operational capability, particularly where this involves loss of
manoeuvrability or ability to deploy and recover its rescue equipment, may therefore compromise any commitments to the relevant authorities or the workforce made by the facility
Operator to maintain an acceptable standard of emergency response arrangements.
Any reduction in the operational capability of a vessel providing response and rescue support
at an offshore facility should therefore be notified to the Manager at the earliest opportunity in
order that suitable alternative arrangements can be established without delay.
12.8.6 Weather Side Working
Sections 7.3.1 and 8.11 of these Guidelines relates to the factors to be taken into account
when assessing setting up and working on the weather side of an offshore facility and relates
also to vessels providing response and rescue support.
In assessing whether the vessel can provide effective support on the weather side of the facility
the Master should bear in mind any potential impact on the deployment of rescue equipment.
118
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In general, any request to take up station directly up-wind or up-current of the facility should be
challenged, since in most instances equally effective support can be provided from a position
where the vessel has more freedom to manoeuvre and is not in a drift-on situation.
12.8.7 Work Parties Outwith Perimeter of Facility
From time to time it may be necessary for work to be undertaken on the facility outwith its
normal barriered perimeter, which may include any scaffolding assembled and maintained in
accordance with the relevant rules. Such work may be referred to by a variety of terms,
including overside, outboard, overboard, etc.
Such work generally involves an increased risk of personnel entering the water. Therefore,
when in progress a higher state of readiness should be maintained on the vessel providing
response and rescue support. This may be referred to as providing close stand-by support.
When requested to provide such support the Master should take the following actions:
1. Establish details of personnel at risk, including numbers and locations.
2. Ensure that personnel and equipment on the vessel are at the required state of readiness.
3. Ensure that the vessel is maintained in a position relative to the facility and the environment such that rescue facilities can be deployed in the most expeditious manner.
4. Ensure that the terminology to be used has been agreed and understood by all involved.
5. Ensure that communication have been established and are maintained with the watchmen responsible for monitoring the activities of each work party.
It is not the responsibility of the vessel to maintain a visual watch of the various work-sites.
Any request to maintain such a watch should be challenged, since this could compromise the
safe navigation of the vessel and would be impossible where several work-sites are involved.
12.8.8 Sharing of SBV Support Services
Where several offshore facilities are located within close proximity of each other the services of
one vessel may be shared between them. This may include situations where several Operators
are also involved.
In such circumstances clear procedures and protocols should be developed and agreed between all the parties involved, including the vessel Owner, to ensure that the primary functions
referred to above can be supported at all the facilities involved.
For clarity the agreed procedures and protocols should be consolidated into a vessel sharing
manual, contents of which should include as a minimum:
1. Details of the parties involved.
2. Details of ownership of manual, control and distribution
3. Details of facilities involved in the vessel sharing
119
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In some instances vessels mobilised to provide response and rescue services may be constructed, outfitted, equipped and manned to support other functions.
Such functions may include:
1. Cargo carrying, both deck and bulk goods.
2. Fire fighting capability.
3. Oil recovery and pollution prevention.
120
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Additional activities associated with other such functions may be undertaken simultaneously
with providing such services provided that the vessels ability to fully support the primary roles
referred to above are never compromised.
The planning of and procedures describing any operation requiring the support of a vessel
which is simultaneously providing emergency response and rescue support should always
recognise this requirement.
Where a vessel is supporting any additional activities whilst simultaneously providing response
and rescue support the relevant recommendations in these Guidelines relating to such activities should be observed.
From time to time a requirement may be identified for a vessel to be chartered to maintain
watch over an asset or equipment associated with offshore operations. Such a requirement
includes warning other vessels in the vicinity should their activities or actions be thought to
pose a risk to facilities involved.
Such vessels may include:
1. Guard vessels chartered for the purpose of protecting and monitoring marine traffic in the
vicinity of fixed assets of any type.
2. Chase vessels chartered for the purpose of protecting the array of streamers deployed in
the course of seismic survey operations.
3. Any other vessels chartered for similar purposes.
Vessels mobilised for this purpose should comply with the requirements relating to such support which exist in the jurisdiction in which they are operating.
It is the responsibility of all parties involved to ascertain the requirements for vessels providing
support of this nature in the current area of operations and ensure that these are complied
with.
Where no such requirements exist the documents listed in Table 8 may provide useful guidance
in ensuring that adequate standards for this support are established and maintained.
12.9.2 Other Requirements
In addition to the requirements relating to the outfitting and equipping of vessels set out in the
above documents it is also recommended that, if not required by legislation, where a single
watch keeper is likely to be on duty for extended periods, a watch alarm should also be fitted.
This alarm should be fitted with the following features:
1. Positive response by watchkeeper required at periods not exceeding 15 minutes.
121
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Table 8: Guard and Chase Vessel Guidance
SOURCE
DOCUMENT PARTICULARS
NUMBER (If Known)
TITLE
ERRVA
ERRVA
NOGEPA
6&7
SFF,
NFFO
Where vessels are taken on hire to support any asset protection, guarding or monitoring requirements the following information should be provided:
1. Full particulars of the assets to be protected, guarded or monitored, including plans of
any surface and/or sub-sea architecture.
2. Reporting protocols and relevant contact arrangements.
3. Actions to be taken in the event that an approaching vessel is assessed as posing a
threat to the assets being guarded or monitored.
This information should also be provided to any ERRV which may be required to guard or
monitor assets in the vicinity of the offshore facility being supported.
12.9.4 Operational Categories
It should be noted that some of the vessels to which this section of the Guidelines relates may
be operated under the provisions relating to small water craft referred to below.
12.10
From time to time operations either off- or near-shore may be supported by smaller vessels or
water craft.
122
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12.10.1 Vessels or Craft Included
This section of the Guidelines does not relate to the following craft:
1. Fast rescue boats mobilised on any vessel in compliance with the International Life Saving Appliance Code, as modified from time to time
2. Fast rescue craft mobilised on any Emergency Response and Rescue Vessel.
3. Daughter craft mobilised on any Emergency Response and Rescue Vessel to provide
extended rescue and response support which are operated under the provisions of a
Loadline Exemption or similar arrangements.
4. Small work-boats deployed from a larger vessel to support its operations, for example
buoy boats associated with the maintenance of seismic cable arrays.
Craft of this type are likely to operate under provisions attached to the vessel from which they
are deployed or dispensation from the relevant flag state.
12.10.3 Construction, Operational and Competency Requirements
Small craft mobilised to support either off- or near-shore operations should comply with the
requirements relating to such support which exist in the jurisdiction in which they are operating.
It is the responsibility of all parties involved to ascertain the requirements for such craft in the
current area of operations and ensure that these are complied with.
Where no such requirements exist the documents listed in Table 9 may provide useful guidance
in ensuring that adequate standards are established and maintained.
Other guidance exists, but that prepared by the MCA which is referred to above is unique in
that matters relating to construction, operation and competencies are addressed in a single
document.
It should also be noted that where small craft are mobilised to provide response and rescue
support additional requirements are likely to exist.
123
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Table 9: Small Vessel and Water Craft Guidance
SOURCE
DOCUMENT PARTICULARS
NUMBER (If Known)
MCA
MGN 280
OGP
TITLE
Small Vessels in Commercial Use Code
Watercraft Guidelines
Where small craft are taken on hire to support any operations the following information should
be provided:
1. Full particulars of the nature of operations to be supported.
2. Reporting protocols and arrangements.
3. Actions to be taken in the event of an emergency or other unforeseen events.
124
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13
Emergencies
125
Revision:0611-1401
with relevant procedures from Port Authority and base company in this respect.
126
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14
Document Particulars
Number
Country
of Origin
Application
(Note 3)
Available From
Originator
Sponsor
(Note 2)
DNV
NO
ERRVA,
O&GUK
UK
2,3
www.marinesafetyforum.org/
ERRVA,
O&GUK
UK
www.marinesafetyforum.org/
0013
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
0021
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
127
Revision:0611-1401
Document Particulars
Number
Country
of Origin
Application
(Note 3)
Available From
Originator
Sponsor
(Note 2)
0027
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
0028
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
0030
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
0032
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
MGN
13-2
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
MGN
14-2
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
GLND
UK
http://www.gl-nobledenton.com/
en/rules_guidelines.php
HSE
UK
2,3
http://www.hse.gov.uk/offshore/
index.htm
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
LOLER - Guidance
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
HSE
UK
2,3
http://www.hse.gov.uk/offshore/
index.htm
OTO1997
- 058
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
OTO2001
- 040
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
OIS 1
128
Revision:0611-1401
Country
of Origin
Application
(Note 3)
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
Document Particulars
Number
Available From
Originator
Sponsor
(Note 2)
RR 049
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
RR108
Performance Capabilities of
Daughter Craft Crews
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
RR569
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
HSE
UK
http://www.hse.gov.uk/offshore/
index.htm
D 035
IMCA
UK
http://www.imca-int.com/
M 103
IMCA
UK
http://www.imca-int.com/
M 109
IMCA
UK
http://www.imca-int.com/
M 117
IMCA
UK
http://www.imca-int.com/
M 125
IMCA
UK
http://www.imca-int.com/
M 125a
IMCA
UK
http://www.imca-int.com/
M 131
IMCA
UK
http://www.imca-int.com/
M 139
IMCA
UK
http://www.imca-int.com/
M 141
IMCA
UK
http://www.imca-int.com/
129
Revision:0611-1401
Document Particulars
Number
Country
of Origin
Application
(Note 3)
Available From
Originator
Sponsor
(Note 2)
M 149
IMCA
UK
http://www.imca-int.com/
M 163
IMCA
UK
http://www.imca-int.com/
M 171
IMCA
UK
http://www.imca-int.com/
M 182
IMCA
UK
http://www.imca-int.com/
M 187
Lifting Operations
IMCA
UK
http://www.imca-int.com/
M 189
IMCA
UK
http://www.imca-int.com/
M 193
IMCA
UK
http://www.imca-int.com/
M 194
IMCA
UK
http://www.imca-int.com/
M 202
IMCA
UK
http://www.imca-int.com/
M 203
Simultaneous Operations
IMCA
UK
http://www.imca-int.com/
A 893,
Annex 25
IMO
MSC 494
IMO
MSC 645
IMO
MCA
UK
2,3
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
130
Revision:0611-1401
Country
of Origin
Document Particulars
Application
(Note 3)
Available From
Originator
Sponsor
(Note 2)
Number
MGN 280
- 3(M)
MCA
UK
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
MGN 282
MCA
UK
2,3
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
MGN 283
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
2,3
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
2,3
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
http://www.dft.gov.uk/mca/
mcga07home/shipsandcargoes/mcgashipsregsandguidance.htm
MGN
XXX
(Draft)
MSCP 01
MSN
1767
MCA
MCA
MCA
MCA
UK
UK
UK
UK
MCA
UK
2,3
MSF
UK
www.marinesafetyforum.org/
MSF
UK
www.marinesafetyforum.org/
MSF
UK
www.marinesafetyforum.org/
SF - 06.32Cherry Picking
MSF
UK
2.3
www.marinesafetyforum.org/
SF - 07.29Ships Access in
Harbour
MSF
UK
www.marinesafetyforum.org/
131
Revision:0611-1401
Document Particulars
Number
Country
of Origin
Application
(Note 3)
Available From
Originator
Sponsor
(Note 2)
MSF
UK
www.marinesafetyforum.org/
SF - 10.21Permits to Work
MSF
UK
www.marinesafetyforum.org/
MSF
UK
2,3
www.marinesafetyforum.org/
DP Operations Guidance
MTS
US
NMD
NO
2,3
IG6
NOGEPA
NL
2,3
OPS 013
O&GUK
UK
2,3
Watercraft Guidelines
OGP
PGS
STEP
CHANGE
UK
STEP
CHANGE
UK
2,3
UKOOA
UK
2,3
Guidelines for Anchor Handling in Vicinity of UKCS Installations, Pipelines and their
Sub Sea Equipment
http://www.mtsociety.org
(Registration required).
http://www.nogepa.nl/en/Home
/OliegasinNederland/
Veiligheidgezondheid/
Industrierichtlijnen.aspx
www.marinesafetyforum.org/
132
Revision:0611-1401
Country
of Origin
Document Particulars
Number
Application
(Note 3)
Available From
Originator
Sponsor
(Note 2)
133
Appendix 1-A
Persons & Organisations Contributing to these
Guidelines
APPENDIX 1 - A
PERSONS AND ORGANISATIONS CONTRIBUTING TO THESE GUIDELINES
STEERING GROUP
The Steering Group responsible for moderating the outcomes of the various work
groups and the preparation of this document included the following individuals:-
Name
Representing
Ole Steinar
Andersen
Statoil a/s
Gustav
Bretton-Meyer
Terry
Brown
Mike
Close*
GL Noble Denton
Bjorn Inge
Furuli
Ane
Heidema
Iain
Hepplewhite
Andy
Holt
SBS Marine
Soren
Jeppsen
Per Sund
Lindtner
Seadrill Management
Fergus
Mack
Neil Trier
Madsen
Tor Stle
Moen
Stig
Rabben
Chairman
WORK GROUPS
The various work groups were comprised of the following individuals:-
Work Group 1
Name
Terry
Representing
Brown*
APPENDIX 1 - A
PERSONS AND ORGANISATIONS CONTRIBUTING TO THESE GUIDELINES
Name
Representing
Knut Idar
Haugland**
Statoil a/s
Iain
Hepplewhite
Soren
Jeppsen
Per Sund
Lindtner
Seadrill Management
Neil Trier
Madsen
Stig
Rabben
Chairman
**
Co-Opted
Work Group 2
(Competencies)
Name
Representing
Ole Steinar
Andersen
Statoil a/s
Gustav
Bretton-Meyer
Bjorn Inge
Furuli*
Ane
Heidema
Iain
Hepplewhite
Andy
Holt
SBS Marine
Neil Trier
Madsen
Work Group 3
Chairman
Name
Representing
Gustav
Bretton-Meyer
Mike
Close*
GL Noble Denton
Iain
Hepplewhite
APPENDIX 1 - A
PERSONS AND ORGANISATIONS CONTRIBUTING TO THESE GUIDELINES
Name
Representing
Andy
Holt
SBS Marine
Fergus
Mack
Kjetil
Vea**
Statoil a/s
Neil Trier
Madsen
Chairman
**
Co-Opted
Work Group 4
Name
Representing
Ole Steinar
Andersen
Statoil a/s
Terry
Brown
Ane
Heidema*
Andy
Holt
SBS Marine
Per Sund
Lindtner
Seadrill Management
Fergus
Mack
Neil Trier
Madsen
Tor Stle
Moen
Chairman
Stavanger
APPENDIX 1 - A
PERSONS AND ORGANISATIONS CONTRIBUTING TO THESE GUIDELINES
GL Noble Denton
Aberdeen
Aberdeen
Kbenhavn
Aberdeen
Statoil a/s
Bergen
Appendix 1-B
Document Style and Structure
GOMO APPENDIX 1 - B
DOCUMENT STYLE AND STRUCTURE
1
1.1
STRUCTURE
The structure of this document is based on the following principles:1. Principal guidance should be included in the main body of the document.
2. General guidance relating to all operations, particularly that relating to the
safe management of activities will be included in the early chapters of the
document.
3. Where possible, the information included in the document should follow the
flow of a typical voyage to and from an offshore facility.
4. Supporting information and / or procedures relating to specific operations will
be included as Appendices.
5. To facilitate citing of references from this document a maximum of 3
paragraph hierarchy levels has been used wherever possible.
Lists are all numbered, with no bulleted points being included.
1.2
NUMBERING CONVENTIONS
1.2.1
Figures
Figures are assigned a numeric designation based on the sequence they appear in
the relevant chapter, as follows:NN - YY
Where:NN
YY
Figure 2 - 1
Figure 2 - 2
Thus:-
GOMO APPENDIX 1 - B
DOCUMENT STYLE AND STRUCTURE
1.2.2
Appendices
Appendices are assigned an alpha-numeric designation as follows:NN - AA
Where:NN
AA
Appendix 9 - A
Appendix 9 - B
Thus:-
This convention has been adopted for two principal reasons, as follows:1. The order of the appendices relates more closely to that of the main
document.
2. Further appendices can be added in the appropriate place at later dates
without causing major disruption to general structure of the document.
1.2.2.1
Figures in Appendices
Figures in Appendices are assigned a numeric designation based on the sequence
they appear in the relevant Appendix, as follows:NN - AA - XX
Where:NN - AA
XX
Thus:Figure 12 - A - 1 =
Figure 12 - A - 2 =
Appendix 1-C
Hierarchy of Authorities
GOMO APPENDIX 1 - C
HIERARCHY OF AUTHORITIES
1
HIERARCHY OF AUTHORITY
The hierarchy of authority of this document in the overall maritime environment is
summarised in the diagram below.
GUIDELINES for OFFSHORE MARINE OPERATIONS
( GOMO )
Hierarchy of Authorities
FEED BACK
(See Appendix 1 - D)
Figure 1 - C - 1
GOMO APPENDIX 1 - C
HIERARCHY OF AUTHORITIES
1.1
Pillars 1 ~ 3 have been ratified and are currently in force. Following ratification in
2012 pillar 4 will be implemented in 2013.
Subsidiary legislation flows from each of the pillars referred to above.
1.2
FLAG STATE
In addition to international regulations flowing from the IMO as described above the
state where the vessel is registered may have further, supplementary rules.
These are likely to include those developed by Classification Societies acting on
behalf of the flag state.
1.3
1.4
GOMO APPENDIX 1 - C
HIERARCHY OF AUTHORITIES
Such requirements may be summarised in the charterers marine operations manual
or in any relevant project-specific procedures
It is the responsibility of the charterer to ensure that Owners and Masters are made
aware of any such specific requirements.
Appendix 1-D
Document Ownership and Management
GOMO APPENDIX 1 - D
DOCUMENT OWNERSHIP AND MANAGEMENT
CONTENTS
1
ORGANOGRAM
2.1
2.2
2.3
CONTRIBUTORS
2.4
ENDORSERS
2.5
WORK GROUPS
GOMO APPENDIX 1 - D
DOCUMENT OWNERSHIP AND MANAGEMENT
1
ORGANOGRAM
The organogram for the ownership of this document and its revision arrangements
is shown below.
GUIDELINES for OFFSHORE MARINE OPERATIONS
( GOMO )
Ownership & Future Revision Arrangements
NSA
NOROGA
NOGEPA
DSA
O&GUK
UK CoS
MSF
PERMANENT
STEERING GROUP
(See 2.2 below)
CONTRIBUTORS
(See 2.3 below)
FEED BACK
(See 2.5 below)
ENDORSERS
(See 2.4 below)
WORK GROUPS
(See 2.5 below)
Figure 1 - D - 1
GOMO APPENDIX 1 - D
DOCUMENT OWNERSHIP AND MANAGEMENT
2
2.1
2.2
GOMO APPENDIX 1 - D
DOCUMENT OWNERSHIP AND MANAGEMENT
2.2.1
2.3
CONTRIBUTORS
Contributors to this document are anticipated to include those trade associations or
organisations having a particular interest in operations in support of the offshore or
marine renewables industries.
Whilst not part of the formal revision process their contributions will be invited and
they will be included in subsequent document review.
2.4
ENDORSERS
Endorsers of this document are anticipated to include contributors as described
above and also relevant government agencies or other trade organisations.
Where appropriate, endorsers may be invited to give permission for their logo to
appear on the document.
2.5
WORK GROUPS
The requirement for one or more work-groups to review or develop guidance relating
to any matter of particular concern will be identified by the steering group.
The terms of reference and objectives for each work group will be developed by the
steering group.
Each work group will normally be led by a nominated member of the steering group,
who may co-opt any other external expertise considered necessary to deliver the
objectives as described above.
The group leader will be responsible for keeping the steering group appraised of
progress or of any problems encountered which may adversely impact on the
delivery of the groups objectives.
On the delivery of its objectives to the satisfaction of the steering group the work
group will disband.
Appendix 1-E
Preparation, Format and Contents of Regional or Local
Supplements
GOMO APPENDIX 1 - E
PREPARATION, FORMAT AND CONTENTS OF REGIONAL OR LOCAL SUPPLEMENTS
1
INTRODUCTION
It has been identified that in some instances additional guidance specifically relating
to operations within a particular region or national area of interest may be required.
As noted in Section 1.7 of this document the team responsible for it will not prepare
such regional or local guidance which should be seen as supplementary to it but in
the interests of ensuring consistency and minimising the risk of misunderstandings
by users will suggest some general principles which should be adopted in the
preparation of such guidance.
These principles are set out in this Appendix.
2.1
PREPARATION
Guidance to be included in any regional or local supplements to this document
(GOMO) should be prepared by a SINGLE regional or national industry body, which
has the competencies and resources to do so.
It should relate to all marine activities undertaken in support of offshore operations
within the area to which the guidance relates.
It should not be prepared or viewed as specific requirements of a particular
Charterer or Operator, but should relate to all responsible for chartering or managing
vessels or other marine craft operating in the area.
The particular requirements of any Charterer or Operator should continue to be
addressed through the normal chartering process, as at present.
2.2
MANAGEMENT
The guidance referred to in this Appendix should be prepared and published as a
controlled document.
A process for review and revision at regular intervals as appropriate to the
circumstances relating to the area to which the guidance relates should be
established.
GOMO APPENDIX 1 - E
PREPARATION, FORMAT AND CONTENTS OF REGIONAL OR LOCAL SUPPLEMENTS
3
Appendix 1-F
Summary of Contents
GOMO APPENDIX 1 - F
SUMMARY OF CONTENTS
SUMMARY OF CONTENTS OF THIS DOCUMENT
CONTENTS IN RELATION TO DOCUMENT REPLACED
As explained above it is intended that this be considered a new document, replacing
the previous NWEA Guidelines for the Safe Management of Offshore Supply and
Rig Move Operations.
However, to promote continuity a summary of the contents of this document,
together with a comparison of that which it replaces, is included below.
The numbers relate to the chapters in this document.
1
INTRODUCTION
General information relating to purpose and use of document, together with
protocols adopted.
Extensive references to appendices for further information relating to style and
structure, hierarchy of authorities and document management, together with the
regional supplements
GOMO APPENDIX 1 - F
SUMMARY OF CONTENTS
6
10
11
GOMO APPENDIX 1 - F
SUMMARY OF CONTENTS
12
13
EMERGENCIES
This chapter is self-explanatory.
Whilst it relates in part to Section 10 of the former document a more general; view
relating to primacies and the responsibilities for the various parties involved to
ensure that appropriate emergency response arrangements are in place is adopted.
14
APPENDICES
The appendices included in this document are summarised in the table below, which
also includes their relationship to those in the existing document.
APPENDIX DETAILS
(This Document)
NUMBER
REMARKS
(Existing
Document)
NUMBER
TITLE
1-A
Personnel and
Organisations Contributing
to these Guidelines
New
1-B
New
1-C
Hierarchy of Authorities
New
1-D
New
1-E
New
1-F
Summary of Contents
New
3-A
Examples of Platform,
MOU Data Cards
3-B
GOMO APPENDIX 1 - F
SUMMARY OF CONTENTS
APPENDIX DETAILS
(This Document)
NUMBER
TITLE
NUMBER
REMARKS
(Existing
Document)
4-A
Minimum Personal
Protective Equipment,
Typical Examples
New
7-A
Guidance on Operations in
Environmentally Extreme
Conditions
New
8-A
9-A
9-B
Transport of Tubular
Cargoes
New
9-C
New
10 - A
Flowcharts Illustrating
Handling of Bulk Cargoes
in Port and at Offshore
Facility
In main body of
former document
10 - B
10 - C
10 - D
10 - E
Carriage of Oil
Contaminated Cargoes on
Offshore Support Vessels
10 - F
10 - G
Tank Standards
Section 5.1.2.3 of
existing document
11 - A
New
11 - B
In main body of
former document new material also
added.
GOMO APPENDIX 1 - F
SUMMARY OF CONTENTS
APPENDIX DETAILS
NUMBER
(This Document)
NUMBER
12 - A
REMARKS
(Existing
Document)
TITLE
Adverse Weather Criteria,
Response and Rescue
Support
New
OTHER APPENDICES
(Existing Document)
Now included
Chapter 8
Segregation Tables
Deleted
Deleted
Communications with
Vessels
Now included
Chapter 6
Deleted
References
Now included
Chapter 14
in
in
in
Omitted - to be
included in Regional
Supplements
National Addenda
NOTES
1.
2.
Appendix 3-A
Examples of Platform, MOU Data Cards
GOMO APPENDIX 3 - A
EXAMPLES OF PLATFORM, MOU DATA CARDS
Page 1
GOMO APPENDIX 3 - A
EXAMPLES OF PLATFORM, MOU DATA CARDS
Page 2
GOMO APPENDIX 3 - A
EXAMPLES OF PLATFORM, MOU DATA CARDS
MOU Example
To Follow
Appendix 3-B
Examples of Base Operator and Port Data Cards
GOMO APPENDIX 3 - B
EXAMPLES OF BASE OPERATOR AND PORT DATA CARDS
GOMO APPENDIX 3 - B
EXAMPLES OF BASE OPERATOR AND PORT DATA CARDS
PORT DATA CARD, Example
Appendix 4-A
Minimum Personal Protective Equipment, Typical
Examples
GOMO APPENDIX 4 - A
MINIMUM PERSONAL PROTECTIVE EQUIPMENT, TYPICAL EXAMPLES
Appendix 7-A
Guidance on Operations in Environmentally Extreme
Conditions
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
CONTENTS
2.1
PERSONNEL CONSIDERATIONS
2.2
2.3
2.4
2.5
2.6
2.7
2.8
2.9
2.10
SAFETY SYSTEMS
2.11
2.12
2.13
2.14
2.15
3.1
3.2
3.3
3.4
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
1
2.1
PERSONNEL CONSIDERATIONS
Working in cold weather environments has significant implications on human
capabilities, and unless proper precautions are made, these can be hazardous to a
persons health. In recognition of these implications on human health and
performance due to working in cold climes,
1. Basic information on human performance and health hazards when working
in cold conditions
2. Guidance for design or selection of clothing
3. Information that can be used to help generate cold weather operations safety
and operating procedures
4. Information that can be used to preserve the health of persons working in
cold environments
5. The information that follows is provided for those owners, or operators to
consider in the course of ship operation.
2.2
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
Safe manual materials handling tasks require the use of sense of touch, hand
dexterity, strength, and coordination. Decreases in the ability to produce force,
exhibit fine control over objects, and sustain muscular work loads occur in cold
working environment.
Work in cold environments is related to an increased risk for musculoskeletal injury.
Motor function impairments of the arms and hands will occur long before cognitive or
hypothermic-related disabilities occur. Impaired cognitive performance will lead to
poor decision-making and increased risk for accident.
Persons suffering from arthritis or rheumatism will generally experience increased
levels of pain during cold weather operations.
2.3
m/s
knots
WIND SPEED
BEAUFORT
(Approximate)
Force
1
2.5
5
7.5
10
12.5
15
17.5
20
22.5
2
5
10
15
20
25
30
35
40
45
AIR TEMPERATURE
(Celsius)
Description
1
2
3
4
5
6
7
Light Air
Light Breeze
Gentle Breeze
Moderate Breeze
Fresh Breeze
Strong Breeze
Near Gale
Gale
Severe Gale
10
-5
-10
-15
-20
-25
-30
-35
-40
-45
-50
10
9
8
7
6
6
5
5
5
4
5
3
1
0
0
-1
-2
-2
-2
-3
-1
-3
-5
-6
-7
-8
-8
-9
-9
-10
-6
-9
-11
-13
-14
-15
-15
-16
-16
-17
-12
-15
-17
-19
-20
-21
-22
-23
-23
-24
-17
-21
-24
-26
-27
-28
-29
-30
-31
-31
-23
-27
-30
-32
-34
-35
-36
-37
-38
-38
-29
-33
-36
-38
-40
-42
-43
-44
-45
-45
-34
-39
-42
-45
-47
-48
-50
-51
-52
-53
-40
-45
-49
-51
-53
-55
-56
-58
-59
-60
-45
-50
-55
-58
-60
-62
-63
-65
-66
-67
-51
-56
-61
-64
-67
-69
-70
-72
-73
-74
-56
-62
-67
-71
-73
-75
-77
-78
-80
-81
Figure 7 - A - 1
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
2.4
2.5
2.5.1
Hypothermia
Hypothermia is a rapid, progressive mental and physical collapse due to the bodys
warming mechanisms failing to maintain normal body temperatures.
While hypothermia is often associated with immersion in cold water, it can also
occur in air when suitable cold weather protection is not employed. Conditions of
extremely low dry-ambient temperature or mildly cold ambient temperatures with
wind and dampness can lead to a general cooling effect on the body. If metabolic
heat production is less than the gradient of heat loss to the environment
hypothermia becomes an issue.
2.6
2.7
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
Specific guidance is to be provided covering:
1. Hand Protection
2. Head and Eye Protection
3. Foot Protection
2.8
2.9
2.10
SAFETY SYSTEMS
Cold environments present many significant challenges to the design and use of
emergency, evacuation, and rescue devices. Much of the hardware devised for such
use is designed for more temperate climates. Fire mains can freeze. Materials (such
as used in life vests) become brittle. Working devices (such as sheaves, blocks, and
davits) can freeze in place refusing to move.
2.11
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
2.12
2.13
2.14
2.15
3.1
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
Operations should be planned or equipment provided so that the risk of personnel
being exposed to excessive or extended radiation is minimised.
3.2
3.3
3.4
GOMO APPENDIX 7 - A
GUIDANCE ON OPERATIONS IN ENVIRONMENTALLY EXTREME CONDITIONS
critical systems are designed and manufactured accordingly, or are adequately
protected to ensure their continuing operability.
A programme of regular inspection and testing of safety critical systems when
operating outwith the normal temperature range should also be implemented to
ensure that such systems remain available if required.
Appendix 8-A
Safety Zone Entry Check Lists
GOMO APPENDIX 8 - A
SAFETY ZONE ENTRY CHECK LISTS
1
1.1
Vessel
Facility
Date & Time
Status
Yes
No
ALL VESSELS
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
TIME
FROM
FUNCTION
NAME
NAME
SIGNATURE
SIGNATURE
POSITION / RANK
POSITION / RANK
Uncontrolled when printed
COMMENTS
GOMO APPENDIX 8 - A
SAFETY ZONE ENTRY CHECK LISTS
1.2
YES / NO
4
5
6
10
STATUS
Yes
No
COMMENTS
NOTES
1. As a contingency, 10% of usable cargo deck of one clear bay is normally considered to
be sufficient for back load cargoes.
GOMO APPENDIX 8 - A
SAFETY ZONE ENTRY CHECK LISTS
1.3
ALL VESSELS
1
2
3
Status
Yes/No
Comments
GOMO APPENDIX 8 - A
SAFETY ZONE ENTRY CHECK LISTS
2
2.1
STATUS
Yes
No
ALL VESSELS
1
2
3
4
5
6
7
8
9
10
COMMENTS
TIME
NAME
NAME
SIGNATURE
SIGNATURE
POSITION
POSITION
GOMO APPENDIX 8 - A
SAFETY ZONE ENTRY CHECK LISTS
2.2
YES / NO
5
6
7
10
11
STATUS
Yes
No
COMMENTS
Appendix 9-A
Deck Cargo Plan, Typical Example
GOMO APPENDIX 9 - A
DECK CARGO PLAN, TYPICAL EXAMPLE
Appendix 9-B
Transport of Tubular Cargoes
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
CONTENTS
1
GENERAL
1.1
PURPOSE
1.2
CARGO REQUIREMENTS
LOADING AT BASE
TRANSPORT
OFFLOADING AT INSTALLATION
10
OFFLOADING AT BASE
11
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
GENERAL
1.1
PURPOSE
The purpose of this document is to describe the recommended practice for safe transportation and
handling of tubular cargo on offshore service vessels. Important interface issues in relation to bases and
installations are included.
According to governing regulations, it is the responsibility of the captain to make sure that the cargo is
properly secured before the departure. This document does not in any way or manner exempt the captain
from this responsibility, but is intended to serve as the recommended practice for handling of tubular
cargo on vessels in connection with cargo handling at bases and offshore as well as during transport.
1.2
Figure 9 - B - 1
Round objects which are shipped not in separate cargo carriers but using slings to
bundle one or more such objects together in a bundle.
Marine risers
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
Figure 9 - B - 2
to
Figure 9 - B - 3
Figure 9 - B - 4
Drill pipe
to
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
Figure 9 - B - 5
Teles ope
Slip joint
Figure 9 - B - 6
o e e ts o a floati g rig
Drill collars
Collars used to increase the weight of the drill bit during drilling. Has the same outside diameter across
the entire length
Figure 9 - B - 7
/ to
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
Figure 9 - B - 8
Figure 9 - B - 9
Pup joint:
Short casing / tubing joints used as "space out" for connecting pipelines
sections of a pre-determined length.
Centralizer:
Device fitted on the outside of the casing / liner to align it in the centre of the
bore hole during cementing.
CARGO REQUIREMENTS
1.
2.
3.
4.
The slinging shall be in accordance with national requirements & branch standards, and proper
secured with wire clamps or similar ex. Welcro bands.
Units shorter than 6 metres should be transported in a cargo units
Slinging of tubular cargo must ensure the bundles remain stable.
Tu ular argo should prefera ly e u dled i odd u ers he pra ti a le
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
5.
6.
7.
8.
As regards / /
asi gs fitted ith e traliser, o sider ha i g o ly tubular in each
bundle as it may be difficult to split them on the pipe deck
The slinger must take into consideration the WLL of the slings and the weight of each tubular
when slinging the bundles.
Certified lifting points fitted on the tubulars shall be used during loading of large and heavy
dimensions if they cannot be strapped in a prudent manner or handled in certified cargo carriers
Inspect for loose/damaged protectors during all phases before lifting the cargo
LOADING AT BASE
1.
2.
3.
4.
5.
6.
7.
A representative from the vessel, preferably an officer responsible for loading, must monitor and
supervise during the loading operation
It is important to ensure bundles are stowed as close together as possible to avoid the risk of
shifting cargo during the voyage
When loading large dimensions with one tubular in each bundle, evaluate whether to fit wedges
below each tubular joint to avoid the risk of shifting cargo during transportation or offloading.
If wedges are used, these should be nailed to a wood deck if possible to reduce the risk of
shifting
Large dimensions must never be loaded on top of smaller dimensions
When stacking cargo, take into consideration the strength of the deck, as well as the working
height for seamen. Two metres is normally the maximum stacking height
Vessels must always be loaded in a manner that make it possible easy securing of remaining
cargo on board in case of interrupted offloading offshore
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
8.
If possible, tanks and other frame/skid-type cargo units shall not be positioned just fore or aft of
tubular cargo due to the risk of snagging
9. Slings on bundles must be extended and laid across the tubulars to avoid becoming wedged
between the bundles.
10. Determine the appropriate placement in relation to openings and escape routes in cargo rails,
etc.
11. Cargo units shall not be used as the only barrier to secure tubular cargo on vessel decks
TRANSPORT
1.
2.
The risk of shifting cargo is normally highest during the voyage/ sailing to from an installation
In the event of marginal weather conditions , the risk of shifting tubular cargo must be taken into
account when selecting the time of departure, route and speed
Communications
Positioning of the vessel
Distribution of work / roles between the seamen on deck when two pendants / hooks are used
Operation-specific issues such as the weather, type of tubulars, location, any securing
arrangements
Conduct a Pre-Job Talk between the vessel and the crane operator to clarify the following as a minimum:
5.
6.
7.
8.
9.
Communications
How many bundles for each lift (recommended 2 bundles)
Any use of tag lines during offloading to the installation
Positioning of the vessel as regards vessel movements, reach and line of sight from the crane
Operation-specific issues, including risk of snagging
OFFLOADING AT INSTALLATION
1.
2.
3.
4.
5.
6.
7.
Pay special attention during removal of any lashings used during the voyage out to the field
It is important to use correct footwear (protective footwear covering the ankles) if anyone has to
walk on top of tubular cargo.
Focus on correct dogging. Recommended 2 eyes in each hook depending on lifting equipment
The deck crew, hook and cargo on the vessel deck must be within line of sight of the crane
operator
Good radio discipline is important Talk here the hook is
Avoid the use of tag lines if possible. If tag lines must be used, fasten and prepare these before
dogging of the individual lifts
The risk of snagging on the vessel deck and cargo rails, as well as in potential blind zones, must
be taken into account during positioning of the vessel
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
8
Vessels must be informed of the type, quantity and weight to be returned well before loading
starts
2. The vessel crew must prepare the necessary hawsers as well as chains and pipe supports
3. All tubular cargo to be returned to a vessel should be washed first to avoid slippery tubulars on
the vessel deck
4. It is important to use correct footwear (protective footwear covering the ankles) if anyone has to
walk on top of tubular cargo.
5. Tubulars shorter than 6 metres should be shipped in baskets
6. If possible, avoid tubular cargo where the crew of the vessel must unhook / hook lifting yokes
7. Tag lines should not be used during loading of return cargo onto vessels
8. The crew of the vessel must never touch lifts of tubulars or walk underneath such lifts before the
lift has been landed properly
9. Slings on bundles must be extended and laid across the tubulars to avoid becoming wedged
between the bundles.
10. During loading of return cargo, pay special attention to rolling cargo. In connection with large
dimensions and if the vessel is rolling, any vessel without ASFA or equivalent must use wedges to
secure large dimension cargo before unhooking it. It may be useful to have the vessel list
somewhat towards the side where the first lifts will be landed
10
OFFLOADING AT BASE
1.
2.
11
The deck crew must be careful during removal of sea lashings upon arrival at the base
If other cargo is placed adjacent to tubular cargo upon arrival at the base, pay special attention
during offloading of this cargo.
Loading of tubulars for pipeline installation projects are normally handled by the pipelaying contractor
chartering and employing the vessel, and not by the technical developer.
1.
2.
Lifting beams are normally used during offloading of this type of tubulars, and they are lifted by
inserting each end of the tubulars to be lifted into the lifting equipment
During loading of large quantities of tubulars onto pipelaying vessels, take into consideration that
the seamen need a safe workplace as well as the maximum total cargo that the vessel can hold.
In the event of large heights, start loading from the middle to avoid work towards the outer
perimeter of the cargo deck (risk of falling overboard?)
GOMO APPENDIX 9 - B
TRANSPORT OF TUBULAR CARGOES
3.
4.
Hull loads and reduced stability resulting from weight of tubulars, including water inside and
between them, must be included in the stability calculations.
The Monsvik method for loading of tubulars prevents very large open spaces between the
pipeline bays. The distance down to the deck with 4 or 5 tubulars stacked on top of each other
may be several metres. A fall may prove fatal.
Figure 9 - B - 10
Appendix 9-C
Guidelines on Makeup and Use of Tag Lines
GOMO APPENDIX 9 - C
GUIDELINES ON MAKEUP AND USE OF TAG LINES
TAG LINES
1.1
DESCRIPTION
In certain circumstances light, soft lines may be used to assist in the handling of
long and / or fragile items of cargo. These are often referred to as tag lines.
It must be recognised that whilst such aids may assist operations their use does
introduce some additional risks, as described below.
1.2
RISKS
Additional risks associated with the use of tag lines include the following:1. Potential injuries from dropped objects as a result of personnel handling
cargo having to work in closer proximity to suspended loads than would
normally be the case.
2. Potential injuries resulting from personnel handling cargo being dragged
across the handling area through a heavy load rotating in an uncontrolled
manner and the tag line being fouled in limbs or clothing.
3. Potential injuries resulting from tag lines being secured to adjacent fixed
structures parting and whipping back as a result of a heavy load rotating in
an uncontrolled manner.
1.3
MITIGATION OF RISKS
1.3.1
Make-Up of Lines
1.3.2
1.
2.
Apart from the knot attaching the line to the cargo, there must be no other
joints or knots in the line.
3.
In Use
Whilst in use, precautions should be observed as follows:1.
Tag lines are an aid to positioning the load when landing, and as such must
only be used when weather conditions would permit the lifting of the item
without the use of such arrangements. It must not be assumed that in
conditions more severe than this the use of tag lines will allow the operation to
be completed safely.
2.
At all times personnel handling tag lines must work at a horizontal distance
from the load equivalent to its height above the handling area, maintaining an
angle between the line and the horizontal of not more than 45.
GOMO APPENDIX 9 - C
GUIDELINES ON MAKEUP AND USE OF TAG LINES
3.
All sections of the line, including slack must be kept in front of the body,
between the handler and the load.
4.
Where two or more persons are handling the same line, ALL must work on the
same side of the line. Any slack must be kept in front of the group.
5.
Tag lines must be held in such a manner that they can be quickly and totally
released. They must not be looped around wrists, or other parts of the body.
6.
Particular care must be taken when using tag lines whilst wearing gloves, to
ensure that the line does not foul the glove.
7.
8.
Appendix 10-A
Flowcharts Illustrating Handling of Bulk Cargoes in Port
and at Offshore Facility
GOMO APPENDIX 10 - A
FLOWCHARTS ILLUSTRATING HANDLING OF BULK CARGOES IN PORT AND AT
OFFSHORE FACILITY
BULK TRANSFER OPERATIONS IN PORT
Bulk Transfer Operations in Port
Base
Vessel
Agree plan
between parties
Precommencement
checks
Notes
-
product to be loaded;
tanks to be used;
load/discharge rates required/possible;
procedures for topping off tanks;
procedure for emergency stops;
stoppage of all external hot work and revocation of hot work permits if a
hydrocarbon based product is to be loaded
Prepare and
inspect bulk tanks
Request
information
A deck officer or separate surveyor must ensure, and log, that tanks
are ready for product and quantity to be shipped. Check:
1. Clean and empty
2. Air distribution slides and tank access seals in good condition
Shipper double-checks bulk tanks on board are prepared before
commencing loading
Start pumping at
slow rate.
No
Cease pumping
Yes
Fix problems
Completed
GOMO APPENDIX 10 - A
FLOWCHARTS ILLUSTRATING HANDLING OF BULK CARGOES IN PORT AND AT
OFFSHORE FACILITY
BULK TRANSFER OPERATIONS AT THE OFFSHORE FACILITY
Bulk Transfer Operations at Installation
Installation
Vessel
Precommencement
checks
Notes
-
Start pumping at
slow rate.
Cease pumping
Fix problems
Completed?
Appendix 10-B
Bulk Cargo Transfer Check List
GOMO APPENDIX 10 - B
BULK CARGO TRANSFER CHECK LIST
2.
3.
4.
5.
6.
7.
8.
9.
10.
11.
12.
13.
14.
5.
6.
2.
3.
4.
GOMO APPENDIX 10 - B
BULK CARGO TRANSFER CHECK LIST
DRY BULK TRANSFER CHECK LIST
Pre-Start Check List
LOADING
1.
2.
3.
3.
4.
4.
8.
5.
6.
7.
8.
9.
2.
5.
6.
7.
9.
10.
11.
14.
15.
16.
12.
13.
LOADING
Check List
1.
2.
2.
3.
3.
6.
5.
6.
DISCHARGING
Check List
4.
4.
5.
Appendix 10-C
Bulk Hose Best Practice Guidelines
GUIDELINES
CONTENTS
ABBREVIATIONS
INTRODUCTION
GENERAL REQUIREMENTS
INSTALLATION PROCEDURES
TRANSFER HOSES
HOSE STRING
10
11
12
WEEKLY INSPECTIONS
13
AFTER STORMS
14
15
15
15
POLLUTION SAFETY
16
16
17
PRE-BUNKERING CHECKLIST
21
BENEFITS
22
ACKNOWLEDGEMENTS
24
-2-
ABBREVIATIONS
BOSVA
COSHH
EMS
EPDM
GPA
ID
Identification
LOLER
NWEA
O&G UK
OIM
PMR
PSS
SOPEP
STL
SWL
-3-
INTRODUCTION
Background
Integra is an initiative that was established by Sparrows and Sigma 3 in 2006 to deliver best
practices in crane and deck operations in the offshore industry. It was quickly realised during
their offshore visits that there was a need to produce guidance to manage bulk hose systems
safely and at the same time create a common practice throughout the industry. The key elements
required in coaching personnel to recognise and eliminate hazardous risks to themselves and
others are contained within management systems. These systems eliminate damage to plant and
equipment, providing safer operations and stricter controls of environmental issues.
We recognised minimum standards of controls and guidance are in place to manage and
maintain bulk hose systems, including hose hang-off points on installation structures. We also
acknowledged the difficulties in being prescriptive due to the differences in installation layouts
and working practices. To make positive changes in our operations we have collated
information from the workforce on how to manage work involving bulk hose systems. The
following guidelines indicate best practices which will reduce the number of hose failure
incidents in the industry and the resulting exposure to the environment.
Environmental Issues
With the evidence available it was identified that 21% of spills to the sea were hose related
incidents. The most common bulk hose failures are due to abrasion to the outer cover of the
hoses rubbing on the installation structures, resulting in leakage from the hose string. The wear
on the hose is accelerated when the hose radius exceeds the recommended minimum bend
radius criteria causing premature failure. Both examples can cause the hose to leak into the sea
if not controlled by a robust hose management system. All environmentally sensitive products
should have suitable hose connections or similar self sealing connection on the hose end.
-4-
GENERAL REQUIREMENTS
The following recommendations apply to any hose which carries products, including products
that are harmful to the environment if containment is lost.
It is recommended by hose manufacturers, based on information taken from previous incidents
on installations that a bulk hose should be changed out approximately every two years due to
internal fatigue to the hose layers. When the hose is not in use an end cap, commonly known as a
blank, should be used on the connection that marries the hose to the vessel manifold, and where
possible protect the hose ends with a waterproof cover preventing contamination, corrosion or
damage to the hose connection.
When hose strings are suspended from the installation, they should be suspended well clear of
the sea and restrained to the installation minimising movement and abrasion to the hoses outer
cover, preventing the waves from twisting the hoses. Where the hose may contact any part of the
installation structures all contact points on the hose should be covered with a form of protection.
Floatation collars can be used or alternatively, sections of redundant hose can be fitted to the
structures at impact abrasion points. Floatation collars should be used either side of the hose
couplings to prevent the coupling damaging an adjacent hose in the fingers.
To prevent excessive load on a suspended hose string, the hose should be drained back to the
vessel or installation once offloading is completed. Hoses should be suspended from sound
structures or certified lifting/hang-off points on the installation to prevent kinking in the hose
string. If required the LOLER Competent Person or equivalent, or structural engineer, should be
consulted for guidance. Hoses should never be suspended or supported by wire slings as they
may cut into the hose and damage the hose structure. The LOLER Competent Person should be
consulted for selection of correctly certified and appropriate slings.
When replacing a length of hose in a string, the string must be brought in board and barriers
erected round the hose indicating no unauthorised entry during the replacement of the hose
and/or floatation collars. Once a hammer lug union is installed and tightened it should be marked
across both faces with paint or similar permanent marker to monitor the fitting is continually taut
and fit for purpose.
Care should be taken when using cutting tools to remove packaging from a new hose. It is
imperative that no damage comes to the hose section during unpacking.
Prior to commencing any offloading operations the hose string should be visually inspected
for damage using the list below as a minimum check:
Signs of kinked, cracked, crushed, flattened or twisted areas in the hose sections
-5-
On completion of bunkering operations the hose should be re-examined for any damage
that may have occurred during the transfer operation
INSTALLATION PROCEDURES
Documents should be in place clearly specifying how the site will control the maintenance
and inspection of all bunkering hose strings and associated equipment i.e. lifting equipment
and support mountings. This document should be approved by the relevant Technical
Department and entered into their pertinent system for review as per the Company
Procedures. The appointed system owner is responsible for ensuring all relevant persons
know of and understand the procedure. It is recommended a competent/responsible person
carries out frequent lifting equipment audits to confirm this.
The system owner should indicate who is responsible for ensuring the procedure is being
adhered to and act as focal point on all matters relating to bulk hoses maintenance and
inspection.
On locations where bunkering of drilling products takes place, an interface should exist
with the Drilling Department and Operations Departments where responsibilities are
clearly defined, documented and agreed i.e. who is responsible for inspection and changeout of drilling product hose assemblies. The role of Service Team Leaders, Barge
Engineers or Deck Foreman should be considered for System Owner positions.
Guidance based on information gathered from the hose manufacturers on the life span of
in-service hoses before mandatory change-out is required. Identify the time periods
between physical and visual inspections including pre and post use checks of the
equipment. This decision is addressed with relevant parties such as Suppliers and Company
Technical Authorities. An Electronic Maintenance System (EMS) would be ideal to
populate/generate change-out dates and inspection dates, and guidance on the required
documents e.g. Permits to Work, COSHH and Method Statements to carry out the work
scope safely. On completion of any parts being changed-out, documents and identification
(ID) of equipment must be updated in the hose register. In the case of replacement hose
assemblies already stored offshore, a guidance note on the correct procedure of storage and
shelf life should be obtained from suppliers.
To assist in the managing, ordering and replacement of bulk hose equipment, drawings
which may be electronic or hard copy, consisting of the following, would ensure the correct
parts are ordered and installed at all times:
The correct hose lifters (hooky hooks) and their SWL
The type of delivery coupling, be it self-sealing or hammer lug unions
The correct type and quantity of floatation aids/collars and their positions in relation to
the string and joining couplings
Describe the type and SWL of the hose lifting assembly used for transferring the hose
string during operations
-6-
In the case of strings being made up from both hard and soft wall sections their chosen
positions should be identified in the drawings
Identify all components by part numbers
Method Statements, Lifting Plans and Risk Assessments must be in place and available for the
work party. The System Owner and work party should review these documents before use,
however if on completion of the task lessons were learned, the documents should be updated
accordingly by identifying the changes in the procedures.
-7-
BAD PRACTICES
The hose should be suspended avoiding sharp bends and protrusions when in a hang-off position
GOOD PRACTICES
There are alternative systems available such as portable saddles which support the arc of
a hose when in storage. The structure from which the hose is to be suspended must be
surveyed by a competent person to ensure the hang-off point is of sound structure.
Portable Saddles
-8-
Permanent
structure used to
support bulk
hoses forms a
perfect arc
enhancing the life
span of the hose.
TRANSFER HOSES
Historically many installations preferred to work supply vessels with three hard wall sections of
hose. This was until evidence indicated that when using hard wall hose strings considerable
problems were caused for the supply vessel deck crews.
The supply vessel crews found it was difficult to manipulate the hose into position when
connecting hard wall hoses to vessels manifolds. Other examples were found when the
installation deck crew were repairing or making up these hose strings. Installation and vessel
crews reviewed the hazards caused when using hard wall hoses and agreed the first and second
section of the hose suspended from the installation manifold could be hard walled, and the last
section which is offered to the supply vessel to be of soft wall material, which would help reduce
the incidents that the deck crew were experiencing when making up hose strings, specifically
when connecting the installation hose to the vessel manifold.
-9-
this hose is susceptible to mechanical damage. The hose carries a brown lazy spiral stripe for
identification.
HOSE STRING
A hose string can be made up of 3 or 4 lengths of 15.2mtr, 16.3mtr or 18.3mtr lengths of hose
joined together by quick release self sealing couplings (hammer unions). The hose comes
complete with a hose lifting assembly that consists of a hooky hook, lifting sling not less than 2
metres in length and a safety pin shackle. The pin used to secure the nut must be a split pin
and not an R clip. R clips can spring off the pin affecting the security of the shackle.
When ordering new hose sections stipulate the direction of the lifting eye, as the hooky hook can
be installed on the hose with the lifting eye facing up or down on the hose. If the hose is stored
in a support frame then the eye in the hooky hook should be facing upwards, if using any other
type of hose support then the eye on the lifter can be either way on the hose.
- 10 -
- 11 -
Hose
Hose
Floats per
Colour
Application
Dia
Section
Code
Potable Water
Dry Cement
Diesel Fuel
Dry Barite
Methanol
Drill Water
10
10
13
Connection
Blue
Red
Yellow
Brown
Orange
Purple
Green
The above information is a recommendation from North West European Area Guidelines. As a
minimum requirement for best practice, a float either side of any coupling that is in the water
during bunkering operations would be advised.
Trials of floating type bulk hoses have recently been carried out on some installations and have
proved to be very successful, with positive feedback from all concerned platform and supply vessel
personnel.
As a result of these trials a major operator decided that this type of hose shall be used in the future.
Therefore whenever a bulk hose section has been deemed to be no longer fit for purpose, the
replacement ordered shall be of the floating type if the section, when in use, will be floating in the
- 12 -
water. It should be made clear at this point that we do not expect all installation bulk hoses to be
changed out en masse but on an as and when required basis.
Each installation shall consider that when a new drilling campaign is due to begin and the associated
bulk hose sections are ordered, to only order the new type for sections that when in use will be floating
in the water. The new type of hose shall be used for every type of bulk cargo transfer.
The pre and post use inspection of the new type hoses carried out by the Deck Crew shall remain the
same. An appointed contractor will receive instructions from the manufacturer on the inspection
criteria to be carried out by them. See page 19 for examples of floating hoses in use
The ideal make up of the bulk hose string shall be either 3 or 4 standard lengths (18.3 metres)
depending on the installation needs and the elevation of the manifold. There is no requirement to have
the first section of bulk hose leading from the manifold and not coming into contact with water, to be
of the floating type.
A typical hose string of 3 lengths would be:
Length 1: Hard wall
Length 2: Floating hose
Length 3: Soft wall (outboard/vessel end)
WEEKLY INSPECTIONS
A regular inspection PMR/Work Order signifies a competent person has assessed the hose and
lifting equipment and that it is in good working order. This person records the findings
electronically in a controlled register. This system indicates to any 3rd party auditors that a sound
maintenance strategy is in place to manage bulk hose assemblies.
Check all lifting slings, shackles and hooky hooks are in good condition and display current
lifting colour codes.
Check the hose for any physical damage for chafing, cuts, blisters, splitting, perishing,
lacerations or other forms of deterioration.
Renew any damaged hoses in the string and where minor damage is evident record details on the
check sheet.
Check markings across the hammer lug union line up as this indicates the fitting is tight on the
coupling.
Check hoses are protected from platform structure and stowed properly in hang-off points.
Check that hang-off point structures shows no sign of deflection or excessive corrosion.
Consider inspecting hoses inboard once per trip as there are blind spots on the installation
structure that restrict visual inspections.
- 13 -
Check gates on the bunkering station hang-off points (fingers) are lubricated and easy to open
and close.
A record of visual and routine inspections should be available for history and evidence of hose
checks:
LOCATION
LIFTING
EQUIPMENT
HOSE
LIFTING
SLINGS
HOSE
LIFTING
SHACKLES
I/D No
I/D No
HOSE LIFTING
HOOKY HOOKS
I/D No
CHECKED BY
COMMENTS
SIGNATURE
DATE
AFTER STORMS
A visual inspection should be carried out to confirm hoses show no signs of physical damage.
Examples would be chafing, splitting, perishing or any other form of deterioration. It is not uncommon
for hoses to become twisted around each other if they were not far enough out of the water when
exposed to severe weather, making it an operationally difficult when realigning the bulk hoses.
- 14 -
Correct colour coded hooky hooks, slings and shackles with proper split pins are attached to the
hose. Hoses must show no signs of physical damage to fabric by chafing, splitting, perishing,
blistering, deep lacerations or any other forms of deterioration.
Check installation manifold couplings are tight and ready for operation.
When using certain types of hose fittings remove the end screw dust cap before lowering the hose
to the vessel, and on return to the installation replace the dust cap and check it is secured to an
anchor point.
Check gates on the bunkering station hang-off points (fingers) are maintained, lubricated and easy
to open and close.
The preferred way to visually check a hose is to place oneself in a safe position at the hose station and
direct the crane operator to slowly raise the hose, allowing you to visually inspect the hose for wear.
Never allow the hose to be lifted close to the crane hoist rope safety cut-out. A similar method can be
used to check the hose for damage when returning the hose to its hang-off point.
Note Take care to avoid the hose being lifted immediately over the head of the person doing the
inspection.
- 15 -
and the crew disconnect the crane hook. Once the hook is clear the ships crew will connect the hose to
the appropriate manifold. The ships crew should be reminded that the hose coupling should, wherever
possible, avoid contact with the ships structure and should monitor the integrity of the hose coupling
during transfer.
Note: In marginal weather great care is required by the vessel master to avoid over-running the hose
especially if the cargo is also being transferred. Consideration should be given to the connecting of bulk
hoses only at this time. During hose work deck foremen must listen to all communications on selected
radio channels, which can be transmitted to the control room and platform crane operator should a hose
assembly leak or significant changes in weather conditions occur.
POLLUTION SAFETY
During fuelling operations there is always the risk of pollution, this may be due to hose and/or
instrument leaks, hose wear, mechanical breakdown or if a hose becomes fouled in the vessels
propeller. It is important that an individual is appointed to visually check and operationally check the
hose remains functional during bunkering operations.
If an oil sheen is detected on the surface of the water then bunkering operations must cease immediately.
The incident must be reported to the control room and the cause investigated.
The vessel Captain, crane operator and deck crews to confirm radio communication prior to
operations.
The person appointed to supervise the bunkering process must ensure he can see the bulk hose(s)
at all times, and that he is familiar with the alignment of valves and tank levels. He should not
allow other distractions during the operation.
The vessel bridge or equivalent and OIM/Bargemaster or equivalent should confirm quantities
discharged and received at regular intervals, to ensure that there are no leaks within the
respective systems.
The vessel deck crew and installation crane operator must be readily available and close at hand
throughout any transfer operation.
Sufficient warning/instructions shall be given by each party prior to changing over the tanks.
If at any stage in the operation the vessel Captain or provider is in any doubt as to the integrity of
the operation, then that operation shall be suspended until integrity can be reinstated.
When pumping is finished, both the receiver and provider shall set their line to allow the hose to
be drained back to the vessels tank. In suitable conditions the crane may also be used to lift the
hose to aid draining. In the case of dry bulk, purge air should be used to empty the hose and clear
the line.
- 16 -
Hoses used for potable water must not be used for transferring other bulk liquids. Potable water
lines should be flushed through prior to transferring water to avoid any residues within the lines
contaminating the installations supplies.
During periods of darkness adequate lighting must be available over the hose and support vessel
throughout the operation.
To identify hoses they may be fitted with high visibility bands, tape or alternative means.
Hoses are normally colour coded for manufacturers identification and approval, frequently by
way of spiral coloured bands within the hose structure. Ensure the management system is aware
of the markings on the hoses.
The manufacturers colour coding of the hose should not be confused; any markings on receivers
or structure should adopt the universal colour coding as described in Annex K, Section 4.18 of
the North West European Area Guidelines (NWEA) to identify bulk hose products.
All bulk hoses used offshore are to be of sufficient length and good condition; unapproved
repairs shall not be carried out, and in the interests of safety the hose should be disposed of
immediately.
In the event that the crane operator has to leave his cab, he should first inform the Captain of the
vessel but must remain in radio contact so that he is on immediate call.
Any bulk hose should be disconnected from the vessel as soon as possible after the bunkering
has been completed and retrieved to the platform, unless other wise agreed by the Captain of the
vessel.
If a connection other than a self sealing quick release coupling is used, particular care must be
exercised when disconnecting the load hose and a drip tray must be in place.
All manifold valves have been checked and confirmed to be in good condition.
The person in charge of the operation performs no other duties during the transfer(s).
- 17 -
The sling shall be signed out of the rigging loft and attached before each use, and detached and
returned to the rigging loft for correct storage after every use.
The sling will be attached to the bulk hose using the double wrap and choke method.
The attachment point for the endless sling will be approximately 7 metres from the end of the
bulk hose offered to the supply vessel; this distance will be confirmed by the vessel master.
The endless round sling must only be attached to the bulk hose by a competent Rigger or a
competent Slinger/Loadhandler.
- 18 -
Check SWL.
2.
3.
4.
5.
6.
Check there has been no ingress of foreign bodies into the fibres.
When checking the round sling, should any cuts be found in the outer protective cover then the sling
should be condemned i.e. DO NOT USE as the inner strength core may be damaged.
When the bunkering operation is complete the round sling shall be removed and returned to the
rigging loft for storage.
Requirement
This requires three pins reasonably spaced out on the upper rail or taff rail on each side of the vessel to
be welded in place, adjacent to the bulk hose manifolds.
These pins are used to hook the eye of an endless webbing strop on to a 3te SWL and ca. 2-3 metres
long webbing sling when attaching the hose to the vessel.
Method
The vessel Captain may ask for the sling on each hose to be adjusted for his manifold and hang-off
points prior to coming alongside. This may vary according to the distance from the hang-off position
of the required product manifold on the vessel. Under instruction the crane operator will transfer the
hose from the installation to the vessel in the normal fashion. During the lowering of the hose as the
hang-off strop nears the vessels side rail, the crew will retrieve the eye of the strop by hand, or if
necessary by boat hook, and fit the eye of the sling over one of the pins. Care must be taken by the
vessel crew to avoid positioning themselves under the suspended hose during this operation. The
crane operator, upon instruction, continues to lower the hoist rope until the sling takes the weight of
the hose, the vessel deck crew then signal him to lower the hose end into the safe haven where they
unhook the hose end, allowing the crew the freedom to manoeuvre the hose end onto the manifold.
On completion of transferring bulk the vessel deck crew drain the line and remove the manifold
connection. The connection is moved away from the manifold by the crew prior to signalling the crane
operator to lower his pennant to the deck crew. The hose end is attached to the crane hook via the
- 19 -
lifting sling, and once everyone is in a safe position the crane operator is given the signal to raise the
sling until the hose and hang-off strop are clear of the vessel. This modification eliminates unnecessary
risk to crews when transferring the hose back to the installation.
A final inspection should be carried out on the hose and lifting assemblies prior to and after use,
recording findings on a check list (see template on next page).
- 20 -
Pre-bunkering Checklist
Hose Inspected
Tick
Diesel
Pot Water
Methanol
Oil Based Mud
Barite
Dry Cement
Drill Water
Hose fabric is in good condition and shows no sign of perishing
Hose end caps are fitted after bulk transfers
Adequate floatation collars are fitted to hose string
Hoses are suspended correctly and nor tangled
Hose lifters (hooky hooks) are present, colour coded and fit for purpose
Inspect the quick release coupling prior to and after use. Where available test
against a blank coupling
Hose lifting assembly is present, colour coded and SWL
Hoses protective covers preventing abrasion on structure are still serviceable
This list is not exhaustive and can be developed for specific operations.
Comments
Checked/Signed
Date
Vessel Name
- 21 -
BENEFITS
1.
2.
3.
4.
5.
Securing the hose is simple and very effective in comparison to making the hose fast by lashing
it to the ships side rail.
Crew exposure to a suspended load is vastly reduced and minimal.
Fingers are not exposed to the same risk when lashing the hose.
Passing the hose back is much safer, as personnel involvement after hooking the hose end on is
virtually eliminated.
Minimum alterations required to operate this system.
- 22 -
This eliminates the need to use floatation aids on the hose string.
- 23 -
ACKNOWLEDGEMENTS
Ewen Kerr
CEO
Baricon
Brian Smith
Contracts Manager
Sparrows Offshore
Diarmid McAllister-Hall
HSE Advisor
Shell
Kevin Allan
Shell
Kenneth Lawtie
Sigma3
David Cooper
Sparrows Offshore
George Stewart
Safety Coach
Sparrows Offshore
Pietro Fong
Sparrows Offshore
- 24 -
Appendix 10-D
Bulk Hose Handling and Securing Alternative Method
GOMO APPENDIX 10 - D
BULK HOSE HANDLING & SECURING - ALTERNATIVE METHOD
An alternative method of handling bulk hoses to that described in Appendix 10 - C is
summarised below. This method also requires minimal modifications to the vessel and has
been used satisfactorily in various areas.
Modifications / Preparations on the vessel include the following:1. A rubber coating or similar arrangements should be installed on the cargo rails to
provide friction so that movement in the hose(s) is prevented until secured to the
manifold.
2.
A sufficiently large area must be allocated and marked on the deck of the vessel so that
the hose can be positioned by the crane without assistance from the vessels deck
crew.
3. Similar arrangements are required at all bulk handling stations where this method will be
used.
4. The hose must have sufficient buoyancy elements, which must be clearly visible to
vessel personnel
In order to reduce the risks associated with bulk hose handling when using this method the
following precautions should be observed:1. A pre-job talk should be held between crane driver and vessel personnel.
2. The hose should be delivered with the crane hook connected to the end of the hose.
Where this is not possible, i.e. where the hook is connected to the hose at some
distance from the end, the free end must be secured to prevent uncontrolled movement.
3. Personnel on the deck of the vessel must not be in the allocated landing zone whilst
the crane is handling the hose. After the hose is landed within the zone the crane hook
is disconnected.
4. After the hook has been disconnected the hose is connected to the appropriate manifold
prior to the commencement of the bulk transfer operation.
Appendix 10-E
Hose Markings and Connections
GOMO APPENDIX 10 - E
HOSE MARKINGS & CONNECTIONS
1.1
HOSE MARKINGS
Hoses and hose terminations should be product-identified via high visibility bands,
tape or other means.
Below is the colour coding to be used for the Hose End Coupling (colour refers to
coupling and not hose) which is passed to the supply vessel.
Hose
Application
Dry Cement
Dry Barytes
& Bentonite
Potable
Water
Diesel /
Marine Gas
Oil
Pressure
Rating
(Hoses &
Couplings)
Male
Min 12 bar
Female
Min 12 bar
Female
Min 12 bar
Female
Min 12 bar
Female
Min 12 bar
4 hammer lug
(figure 100)
Female
Min 12 bar
4 quick
release selfsealing
coupling
Male
Standard
Connection
Yellow
5 hammer lug
union
(figure 50)
Orange
Blue
(Orange
hose)
Brown
Base Oil
White
Drill Water
Green
Oil Based
Mud
Vessel
Coupling
Coupling
Colour
Black
5 hammer lug
union
(figure 50)
4 hammer lug
(figure 100)
4 quick
release selfsealing
coupling
4 quick
release selfsealing
coupling.
Min 24 bar
Outline
GOMO APPENDIX 10 - E
HOSE MARKINGS & CONNECTIONS
Hose
Application
Brine
Coupling
Colour
Red
Glycol
(If separated)
Scale
Inhibitor
(If separated)
Drill cuttings
(If separated)
Methanol
Water Based
Mud
(If separated)
Rig Slop
(If separated)
Standard
Connection
Vessel
Coupling
4 quick
release selfsealing
coupling
Male
Purple
4 quick
release selfsealing
coupling
No colour
4 quick
release selfsealing
coupling
No colour
5 hammer lug
union
(figure 50)
Pressure
Rating
(Hoses &
Couplings)
Outline
Min 24 bar
Male
Min 12 bar
Male
Min 12 bar
Male
Min 24 bar
Black and
Yellow
(Tigerstripes)
4 quick
release selfsealing
coupling
Male
Min 12 bar
Cyan
4 quick
release selfsealing
coupling
Male
Min 24 bar
Dark Grey
4 quick
release selfsealing
coupling
Male
Min 24 bar
NOTES
1.
2.
3.
In some areas the same hose may be used for all classes of mud, being
flushed between product changes.
4.
Further information regarding hose types, testing, flotation etc can be found
in Appendix 10 - C attached to these Guidelines.
GOMO APPENDIX 10 - E
HOSE MARKINGS & CONNECTIONS
1.2
HOSE CONNECTIONS
Some examples of hose connections are illustrated in the table below.
Description
Picture
Appendix 10-F
Carriage of Oil Contaminated Cargoes on Offshore
Support Vessels
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
CONTENTS
OBJECTIVE
BACKGROUND
4.1
ANNEX 10 - F - 1
8.1
FLASH POINT
8.2
8.3
8.3.1
8.4
11
8.5
APPEARANCE
11
8.6
ODOUR
11
8.7
CONCLUSIONS
11
12
10
13
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
OBJECTIVE
To provide specific advice for the safe transportation, offshore handling, tank cleaning, onshore handling
and onshore disposal or treatment of wet bulk backloads contaminated during drilling and other
operations. This guidance is aimed at offshore installations, Offshore Support Vessels and appropriate
onshore staff (e.g. Surveyors, Tank Cleaners, Base Operators, and Waste Processors). In particular,
analytical tests must be carried out and made available to the Ship's Master prior to backloading,
confirming that Flash point exceeds 60C and that the appropriate steps to avoid H2S generation have
been carried out.
BACKGROUND
Industry, in conjunction with the Chamber of Shipping and the Marine Safety Forum has produced this
Good Practice document to assist operators in better describing the wet bulk backload cargoes they wish
to transfer to shore for processing, using the bulk mud tanks on Offshore Support Vessels (OSVs).
In the course of well operations, water based fluids such as seawater, brine or water based mud may
become contaminated, commonly with oil based mud or base oil from oil based mud, (herein after called
wet bulk waste) which cannot be legally discharged to the marine environment. These contaminated
fluids are returned to shore for treatment or disposal.
Operations giving rise to such fluids include:
Well bore cleanup operations where oil base mud is displaced from the wellbore to seawater or
completion brine.
Operations where water base mud becomes contaminated with oil base mud during
displacements.
Cementing operations with associated spacers.
Pit cleaning operations.
Drilling operations where wellbore fluids are contaminated with oil based mud, crude oil, or
condensate.
Other tank cleaning operations where fluid chemical components cannot be discharged because
of the Offshore Chemical Regulations.
Rig floor drains where the fluid is oil contaminated.
Any of the above fluids may also be contaminated with hydrogen sulphide (H2S), typically from
sulphate reducing bacteria (SRB) activity
When fluids are severely contaminated and of small volume, then general industry practice is to transport
to shore in Tote tanks or similar type carrying units. For fluids that are lightly contaminated, general
industry practice has been to backload to the mud tanks on the OSVs. It is this latter practice in particular
that has raised grave concerns for the following reasons.
a) It is difficult to accurately describe the chemical make up of the fluid and hence provide a Material
Safety Data Sheet (MSDS) sheet that adequately describes the material.
b) Gas testing on OSVs returning to shore with this cargo has found on a significant number of
occasions, high levels of H2S in the atmosphere above the cargo. Lower Explosive Limit (LEL) tests
also revealed an explosive atmosphere in excess of that which the OSV has the capability to safely
transport.
c) The mud tanks on the OSVs are not designed or classified to contain and transport wet bulk cargo
with a flash point of less than 60C. The pump rooms and pumping systems for the discharge of the
product tanks are not intrinsically safe. This classification is only found onboard specialist type OSVs.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
The reason for the very high LEL % values that have been recorded is contamination with crude oil and
condensate. The bulk mud tanks on standard OSVs are not designed for this purpose and under NO
CIRCUMSTANCES should fluids contaminated with the mentioned products be backloaded to an OSV's
mud tanks.
Recognising the relatively complex nature of the cargo, this Good Practice document has addressed the
issue by recognising that a series of tests should be undertaken on the material intended for backload to
provide an indicative view of the constituent make up and reactive qualities of the material. It must be
recognised that because of the segregation issues described in section 3.0 below, these tests can only be
indicative.
The tests can be performed either on the rig or onshore but must be performed by a competent person as
determined by the Operator. The rate at which these fluids are generated during certain operations on the
rig may preclude sending samples to shore for testing necessitating rig based testing. In either case, the
results of the tests must be made available to the Master of the OSV prior to the backloading hose
connection taking place. Once tests have been carried out no more fluid should be added to the intended
cargo on the offshore installation. If any further additions are made a further test will be required.
The results of these tests will allow the Master to establish if the backload is acceptable for carriage
onboard the OSV. Acceptance is based on the reported analytical information and the measured physical
properties, the known nature of the chemical make up and the previous cargo carried in the OSVs tanks.
A generic risk assessment will be available onboard the OSV and updated when new, improved or
different information and circumstances become apparent. Offshore installation staff should be aware that
in certain circumstances the Master of the OSV may require advice from the OSVs onshore technical
advisors and that a response from onshore may take time to progress. If there is any doubt regarding
results repeat the tests and review.
The backload hose should not be sent to the OSV and connected up unless there is an agreement
between the OSV Master and the Installation OIM/Operating DSV that the backload is acceptable
for transportation.
The final wet bulk waste may contain components and formulated mixtures including:
Water (both seawater and potable water)
Oil base mud
Base oil
Water base mud
Well bore cleanup detergents
Completion brine (including corrosion inhibitors, biocide etc)
Cement spacers
Rig wash
Brines containing various salts.
Other substances e.g. glycol, pipe dope etc
The major component is normally seawater. The proportions of the other constituents are variable. The
wet bulk waste is likely to be heterogeneous in that oil mud will separate to the bottom, base oil to the top,
with seawater in between. OSV motion will not normally be sufficient to mix and stabilise the cargo to a
homogeneous form.
The components and formulated mixtures may arise from different wellbore operations. The volumes of
each component are normally known, although the degree of volumetric accuracy is variable depending
on how and where this material is stored on the rig prior to backloading to the OSV.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
During discharge to onshore storage tanks and road tankers the make up of the initial discharge may be
different in composition to that discharged later due to separation of components during transportation.
This may result in higher concentrations of an individual component being transported in road tankers.
Example
Oil based mud or contaminated wet bulk waste containing:
Seawater
Mineral oil base mud
Cement spacer with surfactants
Base oil
75% (volumes)
10%
10%
5%
The above mixture will separate, leaving the base oil on the surface, the seawater below this and the
mineral oil mud on the bottom. The cement spacer will mix with the seawater although the surfactants will
also mix with base oil and oil mud.
During transfer operations from the OSV to road tankers the initial fluid comprises the heavy oil mud,
followed by the lighter seawater and finally the base oil. In the event of a hose rupture or spillage, all
component fluids should be treated as oil contaminated and should be contained, preventing discharge to
the sea.
A wet bulk waste may contain a significant number of chemicals for which Material Safety Data Sheets
(MSDS) are available offshore. It is not practicable, however, to develop a description of the wet bulk
waste from such an array of documents. Although MSDS will be available for formulated mixtures, there
may still be uncertainty in describing the properties of the wet bulk waste. As a precaution the following
tests should be carried out, prior to backloading, in order to assist confirmation of the potential hazards:
pH
Salinity (Chlorides)
Retort
Flash point
Noxious gases
Bulk density
Numerical range 0 - 14
mg/l
Oil content
volume %
Water content
volume %
Solids content
volume %
(closed cup oC)
LEL Explosive gases,
H2S,
Oxygen
Specific gravity
As described in section 2.0, tests may be carried out offshore on the installation by trained and competent
personnel or samples sent onshore for analysis by the Waste Processor or other competent laboratory.
The analysis and treatment should be carried out in a timely fashion on representative samples of each
wet bulk waste intended for backloading to an OSV. If backloading is delayed for any reason, such as bad
weather, it should be noted on the analysis form attached as Annexe 10 - F - 2 to this Appendix and the
volume and the pH of the Wet Bulk Waste should be monitored daily. If there is any doubt regarding
results repeat the tests and review.
Results of the tests along with the analysts signature and date completed should be entered on the
Annexe 10 - F - 2 analysis form and attached to the appropriate Waste Consignment Note e.g. SEPA C
note.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
4.1
Test
Flashpoint
Indicator
Potentialfor
explosion
Rangeofresults
Interpretation
>60C
Potentialfor
explosion
LEL
Poisonousgas
Mustbezero
Measureofacidityor 9.510.5
alkalinity
H2S
pH
Oil%volume
Solids%
content
Themajor
componentrequiring
backload
Potentialneedfor
tankcleaning
Agreeswith
componentsin
Annexe10F2
Agreeswith
componentsin
Annexe10F2
Indicationofbacterialactivity
TokeepH2Sinsolution
COSHHPersonnelProtectionEquipment
andpersonnelexposure
IfpHgreaterthan11discusswithOSV
Master
ConfirmretortagreeswithAnnex10F
2andwasteconsignmentnote
ConfirmretortagreeswithAnnex10F
2componentsandwasteconsignment
note.Tankresiduecouldformasource
ofSRBandH2Sovertime.
More detailed Procedures are provided in Annexe 10 - F - I attached to this Appendix. Test results should
be consistent with the information on the Annexe 10 - F - 2 analysis form.
No Wet Bulk Waste should be backloaded until an Annexe 10 - F - 2 analysis form has been
received onboard confirming that it is acceptable for transportation.
There is no onus on the OSV to carry out further tests. Tank hatches should not be removed offshore
because of associated risks to vessel and personnel
Tests on board the OSV at the time of backloading are only possible if sampling ports are available.
Consideration should be given to installing suitable sampling ports onboard OSVs to allow the use of the
LEL/ H2S meter. (Usually this can be dropped from the vent system using the extended sniffer hose).
Loading on top of bulk fluids already in ships tanks should be avoided. Wet Bulk Waste should where
possible be backloaded to a suitable clean tank. Where this is not possible further guidance should be
sought from operators competent person and with reference to operators procedures.
The potential for biological activity resulting in H2S in the dead volume and sludge must be risk assessed.
Should the overall pH be reduced through mixing of the fluids H2S breakout can occur.
Wet Bulk Waste should be discharged from the OSV as soon as possible. The need to clean the tanks
should be reviewed on each trip to minimise the risk of biological activity and H2S build up from any solid
residue.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
Experience has shown that round tripping untreated Wet Bulk Waste increases the risk of H2S breakout
occurring due to the additional time Sulphate Reducing Bacteria (SRBs) have to be active.
IMPORTANT:
Where Wet Bulk Waste is to be round tripped a sample should be obtained from the tank and the pH
checked to ensure no change has occurred since analysis. The volume of Wet Bulk Waste should also be
checked to determine if any ingress has occurred (seawater ingress into the tank will reduce the pH and
introduce a food source for bacteria) Where a change has occurred further guidance should be sought
from operators competent person and with reference to operators procedures.
A gas test for LEL and H2S must always be performed on the OSV tanks containing the
backloaded material prior to offloading in port as a matter of standard procedure.
Waste Processors should also check the Annexe 10 - F - 2 analysis form parameters onshore. Prior to
discharge, the ullage air space in the tank will be sampled by the Waste Processor, preferably in
conjunction with the Surveyor, for LEL and H2S, to confirm that no change of condition has occurred.
Undertaking these tests will confirm that the Wet Bulk Waste is safe to offload.
A sample from the offloaded material should be taken and compared to the original analysis. In the event
that there is a significant divergence between offshore analysis and onshore analysis, the Waste
Processor should raise a non-conformance. If there is any doubt regarding results repeat the tests and
review. The Offshore Operator, the Offshore location, the OSV Master, Base Operator, Surveyor, and
Tank Cleaners should be advised accordingly.
Note.
If the wet bulk waste is backloaded into tanks already containing oil based mud residues as can be the
case, then the onshore test results will be different to those measured on the rig.
Material Safety Data Sheets (MSDS) documentation of the components and mixtures must be made
available to the OSV Master. IMDG manuals are carried on the OSV for all types of chemical materials
shipped.
A Waste consignment note appropriate to the area of operations, e.g. EA or SEPA C is generated to
accompany the wet bulk waste being backloaded. This should reference the attached Annexe 10 - F - 2
analysis form.
The completed Annexe 10 - F - 2 analysis form is reviewed signed and dated by the Operators
Representative to confirm the backload is safe to transfer.
The Waste Consignment note along with duly completed, signed and dated Annex 10 - F - 2 analysis
form is to be made available to the Ships Master prior to backload operations for review and comment.
Once it is agreed to backload, a copy is forwarded to the Waste Processor onshore by the offshore
Installation which will include volume of Wet Bulk Waste and estimated time of arrival in port. This will
allow planning to ensure in most cases the Wet Bulk Waste is discharged in a timely and efficient manner
reducing delays in port and likelihood of round tripping.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
A dangerous goods certificate must be provided by the Offshore Installation based on the requirements of
the individual component MSDS.
The Waste Processor checks the samples drawn onshore, comparing the analytical results to those
obtained from the offshore analysis. In the event of a discrepancy the Offshore Operator, the Offshore
location, the OSV Master, Base Operator, Surveyor, and Tank Cleaners should be advised accordingly.
Test results should be also be provided to tank cleaning companies in the event tank cleaning is required
Whilst every effort has been made to ensure the accuracy of the information contained in this
Appendix and its Annexes, neither, the Chamber of Shipping nor the Marine Safety Forum nor any
of their member companies will assume liability for any use made thereof.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
ANNEX 10 - F - 1
8.1
FLASH POINT
The minimum acceptable flash Point (Pensky Martin Closed Cup or equivalent) of 60C is
applicable to wet bulk wastes and will determine whether the material is safe for transportation via the
OSVs tanks. SOLAS regulations determine that materials with a flash point below 60C cannot be
backloaded to a OSVs mud tanks unless the OSV is certified for carriage where additional systems of
inerting the environment onboard the OSV will be in place. Generally, OSVs do not have the intrinsically
safe systems required for the carriage of produced or unrefined hydrocarbons.
Sampling should be set up to detect the worst case situation, particularly where there is potential for
crude oil or condensate contamination where the oil will rise to the surface of the tank. Drilling rigs will
normally have robust ventilation in the area used to store oil contaminated fluids and this may mask the
condition experienced onboard an OSV when carrying hydrocarbon contaminated product. OSV storage
tanks are not normally vented. Air sampling from above the drilling rig mud pits may understate explosive
gases.
Sampling should reflect the conditions in the OSV tanks i.e. no agitation. Base oils typically have flash
points in the range 70 - 100C. If the only oil component in a bulk waste is base oil then the flash point
cannot be lower than that of the base oil itself. If the flash point is relatively low (60 -70C) an explanation
must be provided on the Annex 10 - F - 2 before the form is presented to the OSV Master. Prior to
sampling, the installation pit should be left without agitation for at least 30 minutes and then surface
sampled. If there is any doubt regarding results repeat the tests and review.
This sample can then be split and one part used for Flash Point testing and the other for Noxious gases.
Flash point is tested as per Closed cup Flash Point equipment manufacturers instructions.
8.2
The LEL gas detector will confirm potential flash point problems. Note that the LEL meter is used in
harbour to check vapour condition in the ullage air space above the tank prior to discharge. The test
carried out prior to backloading should reflect the conditions in the ships tanks i.e. there will be no
agitation and no forced ventilation unless it is specifically required or requested (unlike rig mud pits).
The Noxious gas test is modified to simulate the unvented ships tanks. The sample is placed in a closed
container with a sampling port on top and left to equilibrate for 30 minutes. A tube is then connected from
the port to the gas analyser and the sample analysed. This method simulates the unvented ships tank.
The above Procedure has been agreed with gas analyser manufacturers and Service companies carrying
out the test offshore.
The flash point and LEL results should be consistent with each other. LEL gas meters are normally set so
that the alarm goes off in the range 10 - 20% LEL methane equivalent. Any number above 25% would be
considered high. Other gases potentially present can have a different LEL range than methane. If there is
any doubt regarding results repeat the tests and review.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
8.3
H2S can occur in wellbore fluids but this source would normally be identified by rig equipment and
appropriate measures taken to neutralise and remove the H2S.
In surface tanks and facilities H2S most commonly arises from the activity of sulphate reducing bacteria
(SRB). SRB will become active provided there is a "food" source and low oxygen conditions. This would
be typical of stagnant oil contaminated fluid stored for a long time. This environment can arise on both
installations and OSVs in tanks and manifolds. Disturbing stagnant fluids or mixing low pH fluid into a high
pH fluid containing H2S could cause the release of H2S into the void space above the tank.
Hydrogen Sulphide is a heavier than air and an extremely poisonous gas. Maximum exposure limit is 10
ppm over an 8 hour period. The LEL gas meters currently being used also tests for the presence of H2S.
H2S is a known danger during drilling operations. Offshore sensors and routine offshore analysis methods
will detect if H2S is a potential problem in bulk waste backloads. In the event of a positive test another
sample should be collected to confirm the result. If this second result is positive further work may be
required to determine the source of the H2S. A test using a Garrett Gas train (if available) will determine
the levels of H2S dissolved in the liquid.
The SRB organisms thrive in a pH range of 5.5 - 8.0. The lower the pH the greater the breakout of H2S.
The backload MUST be treated on the installation to prevent breakout of H2S in the OSV tanks. Biocides
kill the bacteria but do not remove dissolved H2S. H2S scavengers will remove dissolved H2S but do not
stop biological activity. Caustic soda (or similar alkaline materials) will raise the pH and prevent H2S gas
breakout.
In the event H2S is detected, tests should be carried out offshore to determine the best treatment prior to
backloading. If H2S is detected but no H2S scavenger is added to remove the dissolved H2S, this should
be noted in the conclusions section of the Annex 10 - F - 2 analysis form.
After treatment a final headspace H2S test should be carried out to confirm zero H2S and noted on the
Annex 10 - F - 2 analysis form before the hose is connected to the OSV for backload.
8.3.1
Collection of Sample
The sample should be taken from below the surface of the unagitated tank to simulate the unagitated
OSV tank. Most oil will be in the top layer and will give a worst case oil content.
1.
2.
3.
Leave tank or pit unagitated for 30 minutes before taking a 2.5 litre sample.
Fill the sample into container provided, up to the marked line and replace screw cap lid
If a magnetic stirred is available, mix for 1 hour before proceeding to gas detection. Two large
magnetic fleas included in kit.
4.
Ensure batteries have been fully charged. If not, place in charger and allow charging for 12 hours.
Switch instrument on in a clean air environment
The detector will beep and run a set of self-checks once these are complete the screen will display 3
levels on the screen
H2S: 000 ppm
O2: 20.9 %
LEL: 000 %
The pump automatically starts and continues to run until the unit is switched off.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
5.
6.
7.
8.
Remove the plugs in the sample container lid and place the sampling hose into the head space
Any combustible gas will be registered on the LEL monitor.
After 5 minutes remove the hose and switch detector off by holding down the on/off button for 5
seconds; (the unit will beep 4 times before switching off)
Any gases detected should be reported on the Annex 10 - F - 2.
Calibration
1.
2.
3.
4.
8.3.1.1
The sample for the following analyses should be taken from the middle of the pit immediately after
adequate agitation.
8.3.1.2
pH
Seawater pH is typically 8.3. Oil mud is alkaline and could raise the pH slightly. Cement contaminant is
highly alkaline. In general alkaline pH (above 7) protects from corrosion. Highly alkaline materials can be
caustic and require care in handling. Cement and sodium silicate can lead to high pH.
Low pH (less than 4) is highly acidic and an explanation should be provided on the Annex 10 - F - 2
analysis form. Acids such as citric acid or acidizing chemicals such as hydrochloric acid can lead to low
pH.
Low pH Wet Bulk Waste is very uncommon and would require large quantities of alkaline material to
increase pH above 9.5. In this unlikely event further guidance should be sought from operators
competent person.
Note that low pH (less than 9) means any H2S present will already have broken out as a gas.
The pH range of 4 11 is the acceptable range for transportation of any bulk fluids to avoid damage to
OSV tank coatings and seals. Some OSV tanks may be capable of carrying fluids out with this pH range;
this should be discussed with the OSV Master prior to backloading.
Wet Bulk Waste will be treated to have a pH of 9.5 10.5 as this is the range that H2S will remain in
solution.
8.3.1.3
Salinity Chlorides
Seawater is typically 20500 mg/l chlorides. Oil mud contains some calcium chloride increasing this level
slightly. Sodium chloride brine can contain up to 189000 mg/l. Results should agree with the composition.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
8.3.1.4
This should match the estimated composition (volume %) on the Annex 10 - F - 2 analysis form. Note;
that it may be difficult to get representative samples if the liquid tends to separate. Some divergence is
expected e g. if oil is noted as 5%, the range could be 3 - 10%. If separation is likely a range is preferred
e.g. 5 - 10%. The solids component can form a residue in the OSV tank and a potential location for SRB
activity and H2S.
8.4
Common water based fluids cover the range 1.03 (seawater), sodium chloride (1.2), and calcium chloride
(1.33). Rarely used brines such as caesium formate can reach 2.2. Oil mud is typically 1.1 - 1.5 but can
exceed 2.0. Mixtures will have intermediate values, most tending to 1.03 as seawater is the major
component. Note that if mixtures separate the top half can be a different density than the bottom half.
8.5
APPEARANCE
General description confirming if cloudy, clear and colour. Should be consistent with Waste Consignment
Note description.
8.6
ODOUR
8.7
CONCLUSIONS
Should demonstrate the various parameters measured are in agreement with one another.
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
ANNEX10F2(ANALYSISFORM)
TOBECOMPLETEDANDPROVIDEDTOOSVMASTERPRIORTOBACKLOADING
NOBOXESTOBEMARKEDN/A
SampleReference
Date
Producer
WasteCompany
WasteNoteNo.
SampleDescription
Vessel
OffshoreAsset
WellNameandNumber
TotalNumberofBarrels
WASTECOMPONENTS
ComponentName
Concentration
Units
%volume
%volume
%volume
%volume
%volume
%volume
%volume
%volume
Test
Salinity(Chloride)
Method
Titration
Units
mg/l
FlashPoint(OilFraction)
ClosedCupFlash
Point
MSDSAvailable
LABORATORYANALYSISRESULTS
GasTest(H2S)
GasTest(LEL)
GasMeter
RangeofResults/Guidance
Mustbe>60Ctobackload.Iftheflashpointislow(<70C)thenan
explanationshouldbeprovided.
MustbeZero.Indicationofbacterialactivity.
ppm
GasTest(Oxygen)
pH
Results
<25%.Ideallyzero.Meteralarmtypicallysetto1020%LEL.Should
beconsistentwithflashpoint
%
%
411istheacceptablerangeforOSVtankcoatings,
MUST be9.510.5tokeepanyH2Sinsolution
pHMeter
Water
Retort
%volume
OilContent
Retort
%volume
Solids
Retort
%volume
BulkSpecificGravity
ConfirmretortagreeswithAppendix10F,Section4components
andwasteconsignmentnote
Confirmretortagreeswithappendix10F,Section4components
andwasteconsignmentnote
<2.5.If>2.5seekfurtherguidanceonVesselcapability
S.G.
Appearance
Odour
Date&TimeofAnalysis
Conclusions:
Analysistobeconductedbyapersoncompetenttodoso
ThisliquidhasbeenanalysedasperGOMOAppendix10FanditismyopinionthatitissafeforcarriageinastandardcleanOSVbulktank.
Comment(Yes/No/Details)
ThisliquidhasbeenanalysedasperGOMOAppendix10Fandwillbeloadedintoatankwithresidues/existingcargo.Compatibilityhasbeen
riskassessedandfoundtobesafeforcarriage.
H2SAvoidance
Detailsofmandatorywetbulkwastetreatmentwithbiocide(chemical/qty)
DetailsofwetbulkwastetreatmentinordertoproduceapHofbetween9.5and10.5(chemical/qty)
HaswastehandlingfacilitybeeninformedofvolumeandETAonshore?(yes/no)
Doeswastehandlingfacilityhavethecapabilitytotakeoffwasteatfirstportcall?(yes/no)
Name
Signature
Date
Analyst
OperatorsRepresentative
FURTHERGUIDANCEAVAILABLEFROMOTHERINDUSTRYSOURCES
GOMOAPPENDIX10F
CARRIAGEOFOILCONTAMINATEDCARGOESONOFFSHORESUPPORTVESSELS
10
RequestfromOffshore
OffshoretoconfirmtoMarineLogisticsCo
ordinator/MarineControllerestimatedquantities
requiredtobebackloaded
ConfirmationofSpace
Consultationwithonshorewasterepresentative
toadviseonplannedbackloadandformulatea
planfordischargeatnextportcall
Suitableplantobeinplacebeforeproceeding
AppointSuitableVessel/Tank
RefertoSections3&6oftheGuidelines
Analysis&Treatment
AsperAppendixI0F/Operators'Requirements
/IndustryBestPractice
BackloadtoVessel
RefertoSection10oftheGuidelines
DischargeOnshore
RefertoSection10oftheGuidelines
No
TankCleaningmustbecarriedoutbeforethe
tank(s)usedagain
Yes
RoundTrippinginExceptional
Circumstances
RefertoSections3,6&10oftheGuidelines
NO
WrittenRequestObtained
YES
NO
Hasvolumeinvessels'tank(s)
changed?
YES
NO
HasthepHchanged?
YES
Onshorewastemanagementcompanyto
testthepHandconfirmwithVesselMaster
thatthevolumehasnotchangedasper
Sections3&6ofGuidelines
Determinewhy.FurtherGuidancetobe
soughtfromoperator'scompetent
personwithreferencetooperator's
procedures
Key
Responsibilities
OffshoreAsset
OnshoreRepresentative
OnshoreWasteRepresentative
IfnochangeisobservedtothepHortank
volumeWetBulkWastecanberound
tripped
Vessels'Master
Appendix 10-G
Tank Cleaning Check List
GOMO APPENDIX 10 - G
TANK CLEANING CHECK LIST
Checklist No:
Vessel Name:
Vessel Permit No:
SAFETY CHECKS
1
1.1
1.2
1.3
1.4
Yes N/A
7.1
7.2
7.3
7.4
7.5
7.6
7.7
7.8
7.9
7.10
7.11
Yes N/A 7.12
Hazards:
Noise
Toxic
Chemical
Corrosive
Explosive
Flammable
Electrical
Static Electricity
Fall from Height
Overhead Hazards
Potential Dropped Objects
Entrapment
7.13
7.14
Suction
7.15
7.16
7.17
8
8.1
Yes N/A 8.2
8.3
8.4
8.5
8.6
8.7
8.8
8.9
8.10
8.11
8.12
9
9.1
9.2
9.3
Yes N/A 9.4
Yes N/A
3.2
4
4.1
4.2
4.3
4.4
4.5
4.6
4.7
4.8
4.9
4.10
4.11
4.12
4.13
4.14
5
5.1
5.2
5.3
Plant Required:
6.1
Compressor
6.2
Safety Barriers/Signs
Vessel Bridge
6.3
Pressure Washers
6.4
Lighting
Base Operator
6.5
Vacuum Tankers
6.6
6.7
6.8
Others (Specify):
3.1
10.
11.1
11.2
Yes
No
30 minutes
9.5
11.3
1 hour
Yes N/A
Yes N/A
Yes N/A
Contact Nos.
Emergency Services
Yes
No
GOMO APPENDIX 10 - G
TANK CLEANING CHECK LIST
Declaration
I have personally checked the above conditions and consider it safe to enter provided that the conditions laid down are adhered to:
Tank Cleaning
Contractor
Signed
Print Name
Date
Signed
Print Name
Date
Client/Vessel Master
(or Designate)
Appendix 10-H
Tank Cleaning Standards
GOMO APPENDIX 10 - H
TANK CLEANING STANDARDS
Tank inspections should confirm that the tanks have been cleaned to the following standards as
required:-
Brine Standard
Cargo lines and pumps are flushed through with clean water and lines drained. Tank
bottoms and internal structure (stringers, frames, etc.) are clear of mud solids, semisolids and all evidence of previous cargo. The tank may require cleaning with
detergent to achieve the highest standard of cleanliness possible. All traces of water
and detergent removed from tank.
Water Based Mud Standard
Cargo lines and pumps are flushed through with clean water and lines drained. Tank
bottoms and internal structure (stringers, frames, etc.) are clear of mud solids, semisolids and all evidence of previous cargo. The tank may require cleaning with
detergent to achieve the highest standard of cleanliness possible. All traces of water
and detergent removed from tank.
Oil Based Mud Standard
Tank bottoms and internal structure (stringers, frames, etc.) are clear of mud solids
and semi-solids. Cargo lines are flushed through with clean water and lines drained.
Pump suctions are checked and clean. Tank must be empty and clear of all water /
mud mixtures.
Pump out Standard
Pump out residues from tank and wipe tank floor using rubber mops or equivalent.
Check suction pipes to ensure they are clear. No requirement for washing.
Dry Bulk Tanks
Tanks to be brushed down and residues removed by vacuum tanker, eductor
system or equivalent. Slides to be checked for dryness and condition and elephant
foot suction checked to be clear.
Appendix 11-A
Guidelines for the Content of MOU Move and Anchor
Handling Workscope
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 1
General
Following onto the Bourbon Dolphin casualty the Marine Safety Forum
formed several working groups to review the procedures and working
practises that were currently in place for MOU move operations.
These guidelines should be read in conjunction with the North West
European Area Guidelines for the Safe Management of Offshore Supply
and Anchor Handling Operations
This document is a Guideline to assist in producing an industry standard
format for MOU Move and Anchor Handling Workscopes
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 2
Abbreviations
AH
Anchor Handling
AHV
DP
Dynamical Positioning
HIRA
HSE
MCA
MOU
MOC
Management of Change
MOU
OSD
PIC
Person In Charge
SIMOPS
Simultaneous operations
SMS
SWL
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 3
FORMAT:
The document should be prefaced with a table of contents:
1. COVER SHEET
2. TABLE OF CONTENTS & ABBREVIATIONS USED
3. INTRODUCTION
4. HEALTH SAFETY AND ENVIRONMENT
5. DESCRIPTION OF UNIT
6. SUPPORT
7. DEPARTURE LOCATION
8. TOWING
9. ARRIVAL LOCATION
10. APPENDICIES ITEMS PENETRATION FLOW CHART
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 4
1.
2.
3.
Introduction
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 5
Prior to jacking operations
Trigger points are defined as occurrences or events which would trigger a
discussion as to whether it is safe to continue with the current operation
Examples:
4.
5.
supporting
Description of MOU
Unit type, i.e. Semi Submersible, Jack Up, Barge, FPSO
Critical dimensions and key information taken from MOU Operations
Manual
Mooring size, type and length, system of numbering of anchor lines
and anchor patterns for both departure and arrival locations
Anchor types, weight and quantity
Towing gear arrangement Maximum Working Load, based on
percentage of Maximum Break Load of weakest component
Propulsion systems (size and type of thrusters, DP on MOU/MODU)
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 6
Draft and freeboard at both locations and during the tow. This
should include such as jack up leg protrusion below the hull
Where appropriate the MOU data card to be made available to
Vessel Masters
Detail any environmental limits for MOU operations
6.
Support
7.
Departure Location
8.
Positions/coordinates
To contain topographical diagrams of sea bed showing sub sea
structures, pipelines and obstructions, slopes and such as sand hills
and shallows
Drawings of current and proposed anchor patterns showing all
mooring arrangements
Schedule for mooring recovery
Details of any skidding operations within mooring patterns
Water depths
Bottom type
Catenary curves
Soils data and penetration curves for Jack Ups
Leg extraction procedures for Jack Ups
Positioning tolerances & closest points of approach
Confirm minimum distances horizontal/vertical to installations and
pipelines for anchors and mooring lines, including elevated catenary
Towing
9.
Arrival Location(s)
Positions/coordinates
To contain topographical diagrams of sea bed showing sub sea
structures, piplelines and obstructions, slopes and such as sand
hills and shallows
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 7
On Shore Planning
On shore MOU Move Meeting to be held where operational procedures and
responsibilities will be reviewed and agreed upon.
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 8
10.
Appendices
Cross tracking limits shall define the allowable vessel deviation off the
intended mooring line, considering the distance from the MOU and amount
of mooring deployed.
A Traffic Light alert system is recommended:
Example:
ZONE
LIMITS
ACTION
Green
Amber
Red
No action
required
Vessel instructed
to regain line,
assistance from
rig provided if
required. Review
environmental
forces being
experienced
Mooring operation
suspended until
Vessel regains
amber zone and
movement toward
intended track
confirmed.
PIC notified
Guideline for the Content of MOU Move and Anchor Handling Workscopes - April 2012
Page 9
Appendix 11-B
Anchor Handling Systems, Set Up and Handling
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
1
The diagrams below apply to PCP components. In general a swivel should not be used
in the pendant system, only on the working wire. Illustrated below are PCPs, alone and
with anchor.
1.
2.
3.
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
4.
5.
6.
7.
Buoy requirements:
Able to withstand collision with a vessel
Load bearing capacity based on water depth and equipment weight
Shall have sufficient buoyancy related to weight
Marked in accordance with applicable regulatory requirements
Fixed pigtail
Shackle rated to a minimum of 110 tonnes
Pigtail length 20 / 6 metres with minimum dimension 2 " / 70mm
An open common link is recommended for eyes at bottom end of pigtail
Pigtail is connected to a connecting link at the bottom
8.
9.
Shackle requirements:
Minimum 110 tonnes.
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
40 / 12 metre chain tail at both ends (towards primary anchor and towards buoy
or piggyback)
Certified chain tails 3" / 76 mm
Minimum requirement ORQ certified chain, breaking load approx. 400 tonnes
Open common link at both ends
Piggyback lifting yoke shall follow the piggyback anchor.
Either a connecting link or 120-tonne shackle may be used in the system,
provided shackle is placed so it cannot enter winch on A/H vessel.
12. Recommended pennant wire colour codes; socket colour codes identify wire
length.
600 ft.
Orange
500 ft. Blue
400 ft.
Green
300 ft.
Red
200 ft.
Yellow
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
2
Recommended design of a pennant buoy system with associated equipment: soft eye
or socket.
NOTE: Open end link here means open common link.
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
3
1.
Use an appropriate rated swivel in the working wire to prevent wire spinning.
2.
3.
4.
5.
Use correct wire length for the water depth, i.e. 1 times water depth
PeeWee/C
R socket
Pear link
Pear link
Swivel
7000 kN
Concave
Two chain
links- with
stud
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
4
PIGGYBACK SYSTEM
NOTE: Open end link here means open common link. The wire breaking load between
piggyback anchor and primary anchor shall be a minimum of 70% of the holding tension
of the primary anchor. The wire between the piggyback and primary anchor shall be
Uncontrolled when printed
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
fastened to pad eye or bridle. Piggyback anchor shall be appropriate to sea bottom
conditions based on the site survey.
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
5
CHASING PENDANT
GOMO APPENDIX 11 - B
ANCHOR HANDLING SYSTEMS, SET UP AND HANDLING
5.2 Releasing Chasing Pendant
Appendix 12-A
Adverse Weather Criteria, Response and Rescue
Support
GOMO APPENDIX 12 - A
ADVERSE WEATHER CRITERIA, RESPONSE AND RESCUE SUPPORT
GOMO APPENDIX 12 - A
ADVERSE WEATHER CRITERIA, RESPONSE AND RESCUE SUPPORT