Easa Ir-Ops
Easa Ir-Ops
Easa Ir-Ops
001 — 1
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Amended by:
Official Journal
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►M1 Commission Regulation (EU) No 800/2013 of 14 August 2013 L 227 1 24.8.2013
2012R0965 — EN — 25.08.2013 — 001.001 — 2
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COMMISSION REGULATION (EU) No 965/2012
of 5 October 2012
laying down technical requirements and administrative procedures
related to air operations pursuant to Regulation (EC) No 216/2008
of the European Parliament and of the Council
Whereas:
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(6) As this Regulation constitutes an implementing measure referred
to in Articles 8(5) and 10(5) of Regulation (EC) No 216/2008,
Annex III to Council Regulation (EEC) No 3922/91 (1) and
Directive 2004/36/EC of the European Parliament and of the
Council (2) shall be considered repealed in accordance with
Article 69(3) and 69(5) of Regulation (EC) No 216/2008.
However, Annex III should remain in place temporarily until
the transitional periods foreseen in this Regulation have expired
and for those areas for which no implementing measures have yet
been adopted. Similarly, Directive 2004/36/EC should remain
applicable temporarily until the transitional periods foreseen in
this Regulation have expired.
Article 1
Subject matter and scope
2. This Regulation also lays down detailed rules on the conditions for
issuing, maintaining, amending, limiting, suspending or revoking the
certificates of operators of aircraft referred to in Article 4(1)(b) and
(c) of Regulation (EC) No 216/2008 engaged in commercial air
transport operations, the privileges and responsibilities of the holders
of certificates as well as conditions under which operations shall be
prohibited, limited or subject to certain conditions in the interest of
safety.
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3. This Regulation also lays down detailed rules for non-commercial
operations and the conditions and procedures for the declaration by and
for the oversight of operators engaged in the non-commercial operation
of complex motor-powered aircraft.
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►M1 5. ◄ This Regulation shall not apply to air operations within
the scope of Article 1(2)(a) of Regulation (EC) No 216/2008.
Article 2
Definitions
(3) ‘public interest site (PIS)’ means a site used exclusively for oper
ations in the public interest;
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(5) ‘performance-based navigation (PBN)’ means area navigation based
on performance requirements for aircraft operating along an ATS
route, on an instrument approach procedure or in a designated
airspace.
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Additional definitions are laid down in Annex I for the purposes of
Annexes II to ►M1 VII ◄.
Article 3
Oversight capabilities
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4. Member States shall ensure that competent authority personnel do
not perform oversight activities when there is evidence that this could
result directly or indirectly in a conflict of interest, in particular when
relating to family or financial interest.
(a) examine the records, data, procedures and any other material
relevant to the execution of the certification and/or oversight task;
(b) take copies of or extracts from such records, data, procedures and
other material;
Article 4
Ramp inspections
Article 5
Air operations
▼B
(b) ►M1 aeroplanes, helicopters, balloons and sailplanes; ◄ used for
the transport of dangerous goods (DG);
(d) helicopters used for commercial air transport operations with the aid
of night vision imaging systems (NVIS);
▼M1
3. Operators of complex motor-powered aeroplanes and helicopters
involved in non-commercial operations shall declare their capability and
means to discharge their responsibilities associated with the operation of
aircraft and operate the aircraft in accordance with the provisions
specified in Annex III and Annex VI.
▼B
Article 6
Derogations
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A Member State, other than an addressee of Decision C(2009)7633,
which intends to use the derogation provided for in that Decision
shall notify its intention to the Commission and the Agency before
the derogation is implemented. The Commission and the Agency shall
assess to what extent the change or the intended use deviates from the
conditions of Decision C(2009)7633 or impacts on the initial safety
assessment performed in the context of that Decision. If the assessment
shows that the change or the intended use does not correspond to the
initial safety assessment done for Decision C(2009)7633, the Member
State concerned shall submit a new derogation request in accordance
with Article 14(6) of Regulation (EC) No 216/2008.
▼M1
7. By way of derogation from SPA.PBN.100 PBN of Annex V
non-commercial operations with other-than-complex motor-powered
aeroplanes in designated airspace, on routes or in accordance with
procedures where performance-based navigation (PBN) specification
are established shall continue to be operated under the conditions set
out in Member States’ national law until the related implementing rules
are adopted and apply.
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Article 7
Air operator certificates
(a) the national requirements on the basis of which the AOCs were
issued;
Article 8
Flight time limitations
(a) ►M1 for CAT aeroplane operations, ◄ Article 8(4) and Subpart
Q of Annex III to Regulation (EEC) No 3922/91;
▼M1
2. Non-commercial operations with complex motor-powered aero
planes and helicopters shall continue to be conducted in accordance
with applicable national flight time limitation legislation until the
related implementing rules are adopted and apply.
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Article 9
Minimum equipment lists
Article 10
Entry into force
1. This Regulation shall enter into force on the third day following
that of its publication in the Official Journal of the European Union.
It shall apply from 28 October 2012.
2. By way of derogation from the second subparagraph of paragraph
1, Member States may decide not to apply the provisions of Annexes I
to V until 28 October 2014.
When a Member State makes use of that possibility, it shall notify the
Commission and the Agency. This notification shall describe the
reasons for such derogation and its duration as well as the
programme for implementation containing actions envisaged and
related timing.
▼M1
3. By way of derogation from the second subparagraph of paragraph
1, Member States may decide not to apply:
(a) the provisions of Annex III to non-commercial operations with
complex motor-powered aeroplanes and helicopters until
25 August 2016; and
(b) the provisions of Annex V, VI and VII to non-commercial oper
ations with aeroplanes, helicopters, sailplanes and balloons until
25 August 2016.
▼B
This Regulation shall be binding in its entirety and directly applicable in
all Member States.
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ANNEX I
▼M1
Definitions for terms used in Annexes II-VII
▼B
For the purpose of this Regulation, the following definitions shall apply:
(b) ‘child/children’ means persons who are of an age of two years and
above but who are less than 12 years of age;
(7) ‘aided night vision imaging system (NVIS) flight’ means, in the case of
NVIS operations, that portion of a visual flight rules (VFR) flight
performed at night when a crew member is using night vision
goggles (NVG);
(8) ‘aircraft’ means a machine that can derive support in the atmosphere from
the reactions of the air other than the reactions of the air against the earth’s
surface;
▼M1
(11) ‘approach procedure with vertical guidance (APV) operation’ means an
instrument approach which utilises lateral and vertical guidance, but does
not meet the requirements established for precision approach and landing
operations, with a decision height (DH) not lower than 250 ft and a
runway visual range (RVR) of not less than 600 m;
▼B
►M1 (12) ◄ ‘cabin crew member’ means an appropriately qualified crew
member, other than a flight crew or technical crew member, who is
assigned by an operator to perform duties related to the safety of
passengers and flight during operations;
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►M1 (13) ◄ ‘category I (CAT I) approach operation’ means a precision
instrument approach and landing using an instrument landing
system (ILS), microwave landing system (MLS), GLS (ground-based
augmented global navigation satellite system (GNSS/GBAS) landing
system), precision approach radar (PAR) or GNSS using a satellite-
based augmentation system (SBAS) with a decision height (DH) not
lower than 200 ft and with a runway visual range (RVR) not less than
550 m for aeroplanes and 500 m for helicopters;
(a) DH below 200 ft but not lower than 100 ft; and
►M1 (22) ◄ ‘cloud base’ means the height of the base of the lowest observed
or forecast cloud element in the vicinity of an aerodrome or operating site
or within a specified area of operations, normally measured above
aerodrome elevation or, in the case of offshore operations, above mean
sea level;
▼B
►M1 (24) ◄ ‘congested area’ means in relation to a city, town or settlement,
any area which is substantially used for residential, commercial or
recreational purposes;
(a) surface water more than 3 mm (0,125 in) deep, or by slush, or loose
snow, equivalent to more than 3 mm (0,125 in) of water;
(b) snow which has been compressed into a solid mass which resists
further compression and will hold together or break into lumps if
picked up (compacted snow); or
►M1 (26) ◄ ‘contingency fuel’ means the fuel required to compensate for
unforeseen factors that could have an influence on the fuel consumption
to the destination aerodrome;
►M1 (30) ◄ ‘critical phases of flight’ in the case of aeroplanes means the
take-off run, the take-off flight path, the final approach, the missed
approach, the landing, including the landing roll, and any other phases
of flight as determined by the pilot-in-command or commander;
►M1 (31) ◄ ‘critical phases of flight’ in the case of helicopters means taxiing,
hovering, take-off, final approach, missed approach, the landing and any
other phases of flight as determined by the pilot-in-command or
commander;
►M1 (32) ◄ ‘damp runway’ means a runway where the surface is not dry, but
when the moisture on it does not give it a shiny appearance;
►M1 (33) ◄ ‘dangerous goods (DG)’ means articles or substances which are
capable of posing a risk to health, safety, property or the environment and
which are shown in the list of dangerous goods in the technical
instructions or which are classified according to those instructions;
▼B
(b) any occurrence relating to the transport of dangerous goods which
seriously jeopardises an aircraft or its occupants;
►M1 (37) ◄ ‘defined point after take-off (DPATO)’ means the point, within
the take-off and initial climb phase, before which the helicopter’s ability
to continue the flight safely, with the critical engine inoperative, is not
assured and a forced landing may be required;
►M1 (38) ◄ ‘defined point before landing (DPBL)’ means the point within the
approach and landing phase, after which the helicopter’s ability to
continue the flight safely, with the critical engine inoperative, is not
assured and a forced landing may be required;
►M1 (39) ◄ ‘distance DR’ means the horizontal distance that the helicopter
has travelled from the end of the take-off distance available;
►M1 (41) ◄ ‘dry operating mass’ means the total mass of the aircraft ready for
a specific type of operation, excluding usable fuel and traffic load;
►M1 (42) ◄ ‘dry runway’ means a runway which is neither wet nor
contaminated, and includes those paved runways which have been
specially prepared with grooves or porous pavement and maintained to
retain ‘effectively dry’ braking action even when moisture is present;
▼M1
(43) ‘ELA1 aircraft’ means the following manned European Light Aircraft:
(c) a balloon with a maximum design lifting gas or hot air volume of not
more than 3 400 m3 for hot air balloons, 1 050 m3 for gas balloons,
300 m3 for tethered gas balloons;
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(44) ‘ELA2 aircraft’ means the following manned European Light Aircraft:
(c) a balloon;
(d) a Very Light Rotorcraft with a MTOM not exceeding 600 kg which is
of a simple design, designed to carry not more than two occupants, not
powered by turbine and/or rocket engines; restricted to VFR day oper
ations;
▼B
►M1 (45) ◄ ‘elevated final approach and take-off area (elevated FATO)’
means a FATO that is at least 3 m above the surrounding surface;
►M1 (48) ◄ ‘final approach and take-off area (FATO)’ means a defined area
for helicopter operations, over which the final phase of the approach
manoeuvre to hover or land is completed, and from which the take-off
manoeuvre is commenced. In the case of helicopters operating in
performance class 1, the defined area includes the rejected take-off area
available;
►M1 (49) ◄ ‘flight data monitoring (FDM)’ means the proactive and
non-punitive use of digital flight data from routine operations to
improve aviation safety;
►M1 (51) ◄ ‘fuel ERA aerodrome’ means an ERA aerodrome selected for the
purpose of reducing contingency fuel;
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▼B
►M1 (52) ◄ ‘GBAS landing system (GLS)’ means an approach landing
system using ground based augmented global navigation satellite
system (GNSS/GBAS) information to provide guidance to the aircraft
based on its lateral and vertical GNSS position. It uses geometric
altitude reference for its final approach slope;
►M1 (55) ◄ ‘head-up display (HUD)’ means a display system which presents
flight information to the pilot’s forward external field of view and which
does not significantly restrict the external view;
►M1 (56) ◄ ‘head-up guidance landing system (HUDLS)’ means the total
airborne system that provides head-up guidance to the pilot during the
approach and landing and/or missed approach procedure. It includes all
sensors, computers, power supplies, indications and controls;
►M1 (60) ◄ ‘HEMS crew member’ means a technical crew member who is
assigned to a HEMS flight for the purpose of attending to any person in
need of medical assistance carried in the helicopter and assisting the pilot
during the mission;
►M1 (62) ◄ ‘HEMS operating base’ means an aerodrome at which the HEMS
crew members and the HEMS helicopter may be on stand-by for HEMS
operations;
►M1 (63) ◄ ‘HEMS operating site’ means a site selected by the commander
during a HEMS flight for helicopter hoist operations, landing and
take-off;
▼B
►M1 (66) ◄ ‘HHO passenger’ means a person who is to be transferred by
means of a helicopter hoist;
►M1 (67) ◄ ‘HHO site’ means a specified area at which a helicopter performs
a hoist transfer;
►M1 (68) ◄ ‘hold-over time (HoT)’ means the estimated time the anti-icing
fluid will prevent the formation of ice and frost and the accumulation of
snow on the protected (treated) surfaces of an aeroplane;
(i) for overwater operations, the open sea areas north of 45N and
south of 45S designated by the authority of the State concerned;
►M1 (70) ◄ ‘landing decision point (LDP)’ means the point used in
determining landing performance from which, an engine failure having
been recognised at this point, the landing may be safely continued or a
balked landing initiated;
►M1 (71) ◄ ‘landing distance available (LDA)’ means the length of the
runway which is declared available by the State of the aerodrome and
suitable for the ground run of an aeroplane landing;
►M1 (72) ◄ ‘landplane’ means a fixed wing aircraft which is designed for
taking off and landing on land and includes amphibians operated as
landplanes;
►M1 (75) ◄ ‘low visibility take-off (LVTO)’ means a take-off with an RVR
lower than 400 m but not less than 75 m;
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▼B
►M1 (76) ◄ ‘lower than standard category I (LTS CAT I) operation’ means a
category I instrument approach and landing operation using category I
DH, with an RVR lower than would normally be associated with the
applicable DH but not lower than 400 m;
►M1 (79) ◄ ‘night’ means the period between the end of evening civil twilight
and the beginning of morning civil twilight or such other period between
sunset and sunrise as may be prescribed by the appropriate authority, as
defined by the Member State;
►M1 (81) ◄ ‘night vision imaging system (NVIS)’ means the integration of all
elements required to successfully and safely use NVGs while operating a
helicopter. The system includes as a minimum: NVGs, NVIS lighting,
helicopter components, training and continuing airworthiness;
(b) the helicopter occupants can be protected from the elements; and
In any case, those parts of a congested area with adequate safe forced
landing areas shall be considered non-hostile;
►M1 (84) ◄ ‘NVIS crew member’ means a technical crew member assigned to
an NVIS flight;
►M1 (85) ◄ ‘NVIS flight’ means a flight under night visual meteorological
conditions (VMC) with the flight crew using NVGs in a helicopter
operating under an NVIS approval;
►M1 (87) ◄ ‘operating site’ means a site, other than an aerodrome, selected by
the operator or pilot-in-command or commander for landing, take-off
and/or external load operations;
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▼B
►M1 (88) ◄ ‘operation in performance class 1’ means an operation that, in the
event of failure of the critical engine, the helicopter is able to land within
the rejected take-off distance available or safely continue the flight to an
appropriate landing area, depending on when the failure occurs;
►M1 (91) ◄ ‘operational control’ means the responsibility for the initiation,
continuation, termination or diversion of a flight in the interest of safety;
►M1 (92) ◄ ‘other than standard category II (OTS CAT II) operation’ means a
precision instrument approach and landing operation using ILS or MLS
where some or all of the elements of the precision approach category II
light system are not available, and with:
(a) DH below 200 ft but not lower than 100 ft; and
►M1 (97) ◄ ‘principal place of business’ means the head office or registered
office of the organisation within which the principal financial functions
and operational control of the activities referred to in this Regulation are
exercised;
►M1 (99) ◄ ‘public interest site (PIS)’ means a site used exclusively for
operations in the public interest;
►M1 (100) ◄ ‘ramp inspection’ means the inspection of aircraft, of flight and
cabin crew qualifications and of flight documentation in order to verify
the compliance with the applicable requirements;
▼B
►M1 (102) ◄ ‘rejected take-off distance available (RTODAH)’ means the
length of the final approach and take-off area declared available and
suitable for helicopters operated in performance class 1 to complete a
rejected take-off;
►M1 (104) ◄ ‘runway visual range (RVR)’ means the range over which the
pilot of an aircraft on the centre line of a runway can see the runway
surface markings or the lights delineating the runway or identifying its
centre line;
►M1 (106) ◄ ‘seaplane’ means a fixed wing aircraft which is designed for
taking off and landing on water and includes amphibians operated as
seaplanes;
►M1 (107) ◄ ‘separate runways’ means runways at the same aerodrome that
are separate landing surfaces. These runways may overlay or cross in
such a way that if one of the runways is blocked, it will not prevent the
planned type of operations on the other runway. Each runway shall have
a separate approach procedure based on a separate navigation aid;
►M1 (108) ◄ ‘special VFR flight’ means a VFR flight cleared by air traffic
control to operate within a control zone in meteorological conditions
below VMC;
►M1 (111) ◄ ‘take-off decision point (TDP)’ means the point used in
determining take-off performance from which, an engine failure having
been recognised at this point, either a rejected take-off may be made or
a take-off safely continued;
▼B
►M1 (115) ◄ ‘take-off flight path’ means the vertical and horizontal path,
with the critical engine inoperative, from a specified point in the
take-off for aeroplanes to 1 500 ft above the surface and for helicopters
to 1 000 ft above the surface;
►M1 (116) ◄ ‘take-off mass’ means the mass including everything and
everyone carried at the commencement of the take-off for helicopters
and take-off run for aeroplanes;
►M1 (117) ◄ ‘take-off run available (TORA)’ means the length of runway
that is declared available by the State of the aerodrome and suitable
for the ground run of an aeroplane taking off;
►M1 (118) ◄ ‘technical crew member’ means a crew member in commercial
air transport HEMS, HHO or NVIS operations other than a flight or
cabin crew member, assigned by the operator to duties in the aircraft
or on the ground for the purpose of assisting the pilot during HEMS,
HHO or NVIS operations, which may require the operation of specialised
on-board equipment;
►M1 (119) ◄ ‘technical instructions (TI)’ means the latest effective edition of
the ‘Technical instructions for the safe transport of dangerous goods by
air’, including the supplement and any addenda, approved and published
by the International Civil Aviation Organisation;
►M1 (120) ◄ ‘traffic load’ means the total mass of passengers, baggage, cargo
and carry-on specialist equipment, including any ballast;
►M1 (121) ◄ ‘unaided NVIS flight’ means, in the case of NVIS operations,
that portion of a VFR flight performed at night when a crew member is
not using NVG;
►M1 (122) ◄ ‘undertaking’ means any natural or legal person, whether
profit-making or not, or any official body whether having its own
personality or not;
►M1 (123) ◄ ‘V1’ means the maximum speed in the take-off at which the
pilot must take the first action to stop the aeroplane within the
accelerate-stop distance. V1 also means the minimum speed in the
take-off, following a failure of the critical engine at VEF, at which the
pilot can continue the take-off and achieve the required height above the
take-off surface within the take-off distance;
►M1 (124) ◄ ‘VEF’ means the speed at which the critical engine is assumed
to fail during take-off;
►M1 (125) ◄ ‘visual approach’ means an approach when either part or all of
an instrument approach procedure is not completed and the approach is
executed with visual reference to the terrain;
▼M1
(126) ‘weather-permissible aerodrome’ means an adequate aerodrome where, for
the anticipated time of use, weather reports, or forecasts, or any
combination thereof, indicate that the weather conditions will be at or
above the required aerodrome operating minima, and the runway surface
condition reports indicate that a safe landing will be possible;
▼B
►M1 (127) ◄ ‘wet lease agreement’ means an agreement between air carriers
pursuant to which the aircraft is operated under the AOC of the lessor;
►M1 (128) ◄ ‘wet runway’ means a runway of which the surface is covered
with water, or equivalent, less than specified by the ‘contaminated
runway’ definition or when there is sufficient moisture on the runway
surface to cause it to appear reflective, but without significant areas of
standing water.
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ANNEX II
SUBPART GEN
GENERAL REQUIREMENTS
SECTION I
General
ARO.GEN.115 Oversight documentation
The competent authority shall provide all legislative acts, standards, rules,
technical publications and related documents to relevant personnel in order to
allow them to perform their tasks and to discharge their responsibilities.
(c) The competent authority shall establish a system to consistently evaluate that
all alternative means of compliance used by itself or by organisations and
persons under its oversight allow the establishment of compliance with
Regulation (EC) No 216/2008 and its Implementing Rules.
(d) The competent authority shall evaluate all alternative means of compliance
proposed by an organisation in accordance with ORO.GEN.120 (b) by
analysing the documentation provided and, if considered necessary,
conducting an inspection of the organisation.
(1) notify the applicant that the alternative means of compliance may be
implemented and, if applicable, amend the approval or certificate of the
applicant accordingly; and
(2) notify the Agency of their content, including copies of all relevant
documentation;
(3) inform other Member States about alternative means of compliance that
were accepted.
(e) When the competent authority itself uses alternative means of compliance to
achieve compliance with Regulation (EC) No 216/2008 and its Imple
menting Rules it shall:
(1) make them available to all organisations and persons under its oversight;
and
▼B
The competent authority shall provide the Agency with a full description of
the alternative means of compliance, including any revisions to procedures
that may be relevant, as well as an assessment demonstrating that the
Implementing Rules are met.
(b) The competent authority shall provide the Agency with safety-significant
information stemming from the occurrence reports it has received.
(b) The Agency shall implement a system to appropriately analyse any relevant
safety information received and without undue delay provide to Member
States and the Commission any information, including recommendations or
corrective actions to be taken, necessary for them to react in a timely
manner to a safety problem involving products, parts, appliances, persons
or organisations subject to Regulation (EC) No 216/2008 and its Imple
menting Rules.
(c) Upon receiving the information referred to in (a) and (b), the competent
authority shall take adequate measures to address the safety problem.
(d) Measures taken under (c) shall immediately be notified to all persons or
organisations which need to comply with them under Regulation (EC)
No 216/2008 and its Implementing Rules. The competent authority shall
also notify those measures to the Agency and, when combined action is
required, the other Member States concerned.
SECTION II
Management
ARO.GEN.200 Management system
(a) The competent authority shall establish and maintain a management system,
including as a minimum:
(2) a sufficient number of personnel to perform its tasks and discharge its
responsibilities. Such personnel shall be qualified to perform their
allocated tasks and have the necessary knowledge, experience, initial
and recurrent training to ensure continuing competence. A system shall
be in place to plan the availability of personnel, in order to ensure the
proper completion of all tasks;
▼B
(4) a function to monitor compliance of the management system with the
relevant requirements and adequacy of the procedures including the
establishment of an internal audit process and a safety risk management
process. Compliance monitoring shall include a feedback system of
audit findings to the senior management of the competent authority
to ensure implementation of corrective actions as necessary; and
(b) The competent authority shall, for each field of activity, including
management system, appoint one or more persons with the overall respon
sibility for the management of the relevant task(s).
(d) A copy of the procedures related to the management system and their
amendments shall be made available to the Agency for the purpose of
standardisation.
(1) put a system in place to initially and continuously assess that the
qualified entity complies with Annex V to Regulation (EC)
No 216/2008.
(b) The competent authority shall ensure that the internal audit process and
safety risk management process required by ARO.GEN.200(a)(4) covers
all certification or continuing oversight tasks performed on its behalf.
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▼B
ARO.GEN.210 Changes in the management system
(a) The competent authority shall have a system in place to identify changes
that affect its capability to perform its tasks and discharge its responsibilities
as defined in Regulation (EC) No 216/2008 and its Implementing Rules.
This system shall enable it to take action as appropriate to ensure that its
management system remains adequate and effective.
(b) The competent authority shall update its management system to reflect any
change to Regulation (EC) No 216/2008 and its Implementing Rules in a
timely manner, so as to ensure effective implementation.
(c) The competent authority shall notify the Agency of changes affecting its
capability to perform its tasks and discharge its responsibilities as defined in
Regulation (EC) No 216/2008 and its Implementing Rules.
ARO.GEN.220 Record-keeping
(a) The competent authority shall establish a system of record-keeping
providing for adequate storage, accessibility and reliable traceability of:
▼M1
(5) declaration processes and continuing oversight of declared organi
sations;
▼B
►M1 (6) ◄ details of training courses provided by certified organisations,
and if applicable, records relating to FSTDs used for such training;
▼M1
(8) oversight of operations of other-than-complex motor-powered aircraft
by non-commercial operators;
▼B
►M1 (9) ◄ the evaluation and notification to the Agency of alternative
means of compliance proposed by organisations subject to certification
and the assessment of alternative means of compliance used by the
competent authority itself;
(b) The competent authority shall maintain a list of all organisation certificates
it issued ►M1 and declarations it received. ◄
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▼B
(c) All records shall be kept for the minimum period specified in this Regu
lation. In the absence of such indication, records shall be kept for a
minimum period of five years subject to applicable data protection law.
SECTION III
Oversight, certification and enforcement
ARO.GEN.300 Oversight
▼M1
(a) The competent authority shall verify:
▼B
(b) This verification shall:
(2) provide the persons and organisations concerned with the results of
safety oversight activity;
(4) provide the competent authority with the evidence needed in case
further action is required, including the measures foreseen by
ARO.GEN.350 and ARO.GEN.355.
(c) The scope of oversight defined in (a) and (b) shall take into account the
results of past oversight activities and the safety priorities.
(d) Without prejudice to the competences of the Member States and to their
obligations as set out in ARO.RAMP, the scope of the oversight of activities
performed in the territory of a Member State by persons or organisations
established or residing in another Member State shall be determined on the
basis of the safety priorities, as well as of past oversight activities.
(e) Where the activity of a person or organisation involves more than one
Member State or the Agency, the competent authority responsible for the
oversight under (a) may agree to have oversight tasks performed by the
competent authority(ies) of the Member State(s) where the activity takes
place or by the Agency. Any person or organisation subject to such
agreement shall be informed of its existence and of its scope.
(f) The competent authority shall collect and process any information deemed
useful for oversight, including for ramp and unannounced inspections.
▼B
(b) For organisations certified by the competent authority, the oversight
programme shall be developed taking into account the specific nature of
the organisation, the complexity of its activities, the results of past certifi
cation and/or oversight activities required by ARO.GEN and ARO.RAMP
and shall be based on the assessment of associated risks. It shall include
within each oversight planning cycle:
The oversight planning cycle may be reduced if there is evidence that the
safety performance of the organisation has decreased.
(4) all corrective actions have been implemented within the time period
accepted or extended by the competent authority as defined in
ARO.GEN.350(d)(2).
▼M1
(d) For organisations declaring their activity to the competent authority, the
oversight programme shall be developed taking into account the specific
nature of the organisation, the complexity of its activities and the results
of past oversight activities and shall be based on the assessment of
associated risks. It shall include audits and inspections, including ramp
and unannounced inspections, as appropriate;
▼B
►M1 (e) ◄ For persons holding a licence, certificate, rating, or attestation
issued by the competent authority the oversight programme shall include
inspections, including unannounced inspections, as appropriate.
►M1 (f) ◄ The oversight programme shall include records of the dates when
audits, inspections and meetings are due and when such audits, inspections
and meetings have been carried out.
▼B
(b) When satisfied that the organisation is in compliance with the applicable
requirements, the competent authority shall issue the certificate(s), as estab
lished in Appendices I and II. The certificate(s) shall be issued for an
unlimited duration. The privileges and scope of the activities that the organi
sation is approved to conduct shall be specified in the terms of approval
attached to the certificate(s).
The competent authority shall prescribe the conditions under which the
organisation may operate during the change, unless the competent
authority determines that the organisation’s certificate needs to be
suspended.
(b) Without prejudice to any additional enforcement measures, when the organi
sation implements changes requiring prior approval without having received
competent authority approval as defined in (a), the competent authority shall
suspend, limit or revoke the organisation’s certificate.
(c) For changes not requiring prior approval, the competent authority shall
assess the information provided in the notification sent by the organisation
in accordance with ORO.GEN.130 to verify compliance with the applicable
requirements. In case of any non-compliance, the competent authority shall:
(1) notify the organisation about the non-compliance and request further
changes;
▼M1
ARO.GEN.345 Declaration — organisations
(a) Upon receiving a declaration from an organisation carrying out or intending
to carry out activities for which a declaration is required, the competent
authority shall verify that the declaration contains all the information
required by Part-ORO and shall acknowledge receipt of the declaration to
the organisation.
(b) If the declaration does not contain the required information, or contains
information that indicates non-compliance with applicable requirements,
the competent authority shall notify the organisation about the
non-compliance and request further information. If deemed necessary the
competent authority shall carry out an inspection of the organisation. If the
non-compliance is confirmed, the competent authority shall take action as
defined in ARO.GEN.350.
▼B
ARO.GEN.350 Findings and corrective actions — organisations
(a) The competent authority for oversight in accordance with ARO.GEN.300(a)
shall have a system to analyse findings for their safety significance.
(b) A level 1 finding shall be issued by the competent authority when any
significant non-compliance is detected with the applicable requirements of
Regulation (EC) No 216/2008 and its Implementing Rules, with the organi
sation’s procedures and manuals or with the terms of an approval or
certificate ►M1 or with the content of a declaration ◄ which lowers
safety or seriously hazards flight safety.
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The level 1 findings shall include:
(c) A level 2 finding shall be issued by the competent authority when any
non-compliance is detected with the applicable requirements of
Regulation (EC) No 216/2008 and its Implementing Rules, with the organi
sation’s procedures and manuals or with the terms of an approval or
certificate ►M1 or with the content of a declaration ◄ which could
lower safety or hazard flight safety.
(d) When a finding is detected during oversight or by any other means, the
competent authority shall, without prejudice to any additional action
required by Regulation (EC) No 216/2008 and its Implementing Rules,
communicate the finding to the organisation in writing and request
corrective action to address the non-compliance(s) identified. Where
relevant, the competent authority shall inform the State in which the
aircraft is registered.
(1) In the case of level 1 findings the competent authority shall take
immediate and appropriate action to prohibit or limit activities, and if
appropriate, it shall take action to revoke the certificate or specific
approval or to limit or suspend it in whole or in part, depending
upon the extent of the level 1 finding, until successful corrective
action has been taken by the organisation.
(4) The competent authority shall record all findings it has raised or that
have been communicated to it and, where applicable, the enforcement
measures it has applied, as well as all corrective actions and date of
action closure for findings.
▼B
ARO.GEN.355 Findings and enforcement measures — persons
(a) If, during oversight or by any other means, evidence is found by the
competent authority responsible for oversight in accordance with
ARO.GEN.300(a) that shows a non-compliance with the applicable
requirements by a person holding a licence, certificate, rating or attestation
issued in accordance with Regulation (EC) No 216/2008 and its Imple
menting Rules, the competent authority shall act in accordance with
ARA.GEN.355(a) to (d) of Annex VI (Part-ARA) to Commission
Regulation (EU) No 290/2012 (1).
(b) If, during oversight or by any other means, evidence is found showing
a non-compliance with the applicable requirements by a person subject to
the requirements laid down in Regulation (EC) No 216/2008 and its Imple
menting Rules and not holding a licence, certificate, rating or attestation
issued in accordance with that Regulation and its Implementing Rules, the
competent authority that identified the non-compliance shall take any
enforcement measures necessary to prevent the continuation of that
non-compliance.
SUBPART OPS
AIR OPERATIONS
SECTION I
Certification of commercial air transport operators
ARO.OPS.100 Issue of the air operator certificate
(a) The competent authority shall issue the air operator certificate (AOC) when
satisfied that the operator has demonstrated compliance with the elements
required in ORO.AOC.100.
(1) satisfy itself, following the verification by the operator as set out in
ORO.AOC.115, that the third-country operator complies with the applicable
ICAO standards;
(2) liaise with the competent authority of the State of the third-country operator
as necessary.
▼B
(b) The approval of a wet lease-in agreement shall be suspended or revoked
whenever:
(d) When asked for the prior approval of a dry-lease out agreement in
accordance with ORO.AOC.110(e), the competent authority shall ensure:
(1) proper coordination with the competent authority responsible for the
continuing oversight of the aircraft, in accordance with Commission
Regulation (EC) No 2042/2003 (2), or for the operation of the aircraft,
if it is not the same authority;
(2) that the aircraft is timely removed from the operator’s AOC.
SECTION II
Approvals
ARO.OPS.200 Specific approval procedure
(a) Upon receiving an application for the issue of a specific approval or changes
thereof, the competent authority shall assess the application in accordance
with the relevant requirements of Annex V (Part-SPA) and conduct, where
relevant, an appropriate inspection of the operator.
▼M1
(b) When satisfied that the operator has demonstrated compliance with the
applicable requirements, the competent authority shall issue or amend the
approval. The approval shall be specified in:
▼B
ARO.OPS.205 Minimum equipment list approval
(a) When receiving an application for initial approval of a minimum equipment
list (MEL) or an amendment thereof from an operator, the competent
authority shall assess each item affected, to verify compliance with the
applicable requirements, before issuing the approval.
(b) The competent authority shall approve the operator’s procedure for the
extension of the applicable rectification intervals B, C and D, if the
conditions specified in ORO.MLR.105(f) are demonstrated by the operator
and verified by the competent authority.
▼B
ARO.OPS.215 Approval of helicopter operations over a hostile environment
located outside a congested area
(a) The Member State shall designate those areas where helicopter operations
may be conducted without an assured safe forced landing capability, as
described in CAT.POL.H.420.
SUBPART RAMP
RAMP INSPECTIONS OF AIRCRAFT OF OPERATORS UNDER THE
REGULATORY OVERSIGHT OF ANOTHER STATE
ARO.RAMP.005 Scope
This Subpart establishes the requirements to be followed by the competent
authority or the Agency when exercising its tasks and responsibilities
regarding the performance of ramp inspections of aircraft used by third
country operators or used by operators under the regulatory oversight of
another Member State when landed at aerodromes located in the territory
subject to the provisions of the Treaty.
ARO.RAMP.100 General
(a) Aircraft, as well as their crew, shall be inspected against the applicable
requirements.
(d) When it so deems necessary, the Agency, in cooperation with the Member
States in whose territory the inspection shall take place, shall conduct ramp
inspections of aircraft to verify compliance with the applicable requirements
for the purpose of:
▼B
(2) standardisation inspections of a Member State; or
(3) aircraft operated into the territory subject to the provisions of the Treaty
by operators included in Annex B of the list of operators subject to an
operating ban pursuant to Regulation (EC) No 2111/2005;
(c) The list shall be produced, in accordance with procedures established by the
Agency, after every update of the Community list of operators subject to an
operating ban pursuant to Regulation (EC) No 2111/2005, and in any case
at least once every four months.
▼B
(C) aircraft condition;
(D) cargo;
(d) The Agency shall develop and maintain training syllabi and promote the
organisation of training courses and workshops for inspectors to improve the
understanding and uniform implementation of this Subpart.
(2) has available training facilities and instructional equipment suitable for
the type of training provided;
(c) The training organisation shall be approved to provide one or more of the
following types of training:
(b) When performing a ramp inspection, the inspector(s) shall make all possible
efforts to avoid an unreasonable delay of the aircraft inspected.
▼B
ARO.RAMP.130 Categorisation of findings
For each inspection item, three categories of possible non-compliance with the
applicable requirements are defined as findings. Such findings shall be
categorised as follows:
(2) inform the competent authority of the State of the operator and, where
relevant, the State in which the aircraft is registered and where the
licence of the flight crew was issued. Where appropriate, the
competent authority or Agency shall request confirmation of their
acceptance of the corrective actions taken by the operator in accordance
with ARO.GEN.350 or ARO.GEN.355.
(c) When the Agency has raised a category 3 finding, it shall request the
competent authority where the aircraft is landed to take the appropriate
measures in accordance with (b).
(b) The competent authority of the State where the aircraft is grounded shall
immediately inform the competent authority of the State of the operator and
of the State in which the aircraft is registered, if relevant, and the Agency in
the case of a grounded aircraft used by a third-country operator.
(c) The competent authority shall, in coordination with the State of the operator
or the State of Registry, prescribe the necessary conditions under which the
aircraft can be allowed to take-off.
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▼B
(d) If the non-compliance affects the validity of the certificate of airworthiness
of the aircraft, the grounding shall only be lifted by the competent authority
when the operator shows evidence that:
ARO.RAMP.145 Reporting
(a) Information collected in accordance with ARO.RAMP.125(a) shall be
entered into the centralised database referred to in ARO.RAMP.150(b)(2),
within 21 calendar days after the inspection.
(b) The competent authority or the Agency shall enter into the centralised
database any information useful for the application of Regulation (EC)
No 216/2008 and its Implementing Rules and for the accomplishment by
the Agency of the tasks assigned to it by this Annex, including the relevant
information referred to in ARO.RAMP.110.
(1) store data from the Member States relevant to the safety information on
aircraft landing at aerodromes located in the territory subject to the
provisions of the Treaty;
▼B
(4) analyse the centralised database and other relevant information
concerning the safety of aircraft and of air operators and, on that basis:
(i) advise the Commission and the competent authorities on
immediate actions or follow-up policy;
(ii) report potential safety problems to the Commission and to the
competent authorities;
(iii) propose coordinated actions to the Commission and to the
competent authorities, when necessary on safety grounds, and
ensure coordination at the technical level of such actions;
(5) liaise with other European institutions and bodies, international organi
sations and third country competent authorities on information
exchange.
ARO.RAMP.155 Annual report
The Agency shall prepare and submit to the Commission an annual report on the
ramp inspection system containing at least the following information:
(a) status of the progress of the system;
(b) status of the inspections performed in the year;
(c) analysis of the inspection results with indication of the categories of
findings;
(d) actions taken during the year;
(e) proposals for further improving the ramp inspection system; and
(f) annexes containing lists of inspections sorted out by State of operation,
aircraft type, operator and ratios per item.
ARO.RAMP.160 Information to the public and protection of information
(a) Member States shall use the information received by them pursuant to
ARO.RAMP.105 and ARO.RAMP.145 solely for the purpose of
Regulation (EC) No 216/2008 and its implementing rules and shall
protect it accordingly.
(b) The Agency shall publish an aggregated information report annually that
shall be available to the public containing the analysis of the information
received in accordance with ARO.RAMP.145. The report shall be simple
and easy to understand, and the source of the information shall be
de-identified.
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▼B
Appendix I
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▼B
Appendix II
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▼B
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▼B
Appendix III
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▼B
Appendix IV
Ramp inspection report
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▼B
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▼B
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▼M1
Appendix V
List of specific approvals
Non-commercial operations
(subject to the conditions specified in the approval and contained in the
operations manual or pilot’s operating handbook)
▼B
ANNEX III
SUBPART GEN
GENERAL REQUIREMENTS
SECTION I
General
ORO.GEN.105 Competent authority
For the purpose of this Annex, the competent authority exercising oversight over
operators subject to a certification ►M1 or declaration ◄ obligation shall be for
operators having their principal place of business in a Member State, the
authority designated by that Member State.
(b) Every flight shall be conducted in accordance with the provisions of the
operations manual.
(c) The operator shall establish and maintain a system for exercising operational
control over any flight operated under the terms of its certificate ►M1 or
declaration. ◄
(d) The operator shall ensure that its aircraft are equipped and its crews are
qualified as required for the area and type of operation.
(e) The operator shall ensure that all personnel assigned to, or directly involved
in, ground and flight operations are properly instructed, have demonstrated
their abilities in their particular duties and are aware of their responsibilities
and the relationship of such duties to the operation as a whole.
(f) The operator shall establish procedures and instructions for the safe
operation of each aircraft type, containing ground staff and crew member
duties and responsibilities for all types of operation on the ground and in
flight. These procedures shall not require crew members to perform any
activities during critical phases of flight other than those required for the
safe operation of the aircraft.
(g) The operator shall ensure that all personnel are made aware that they shall
comply with the laws, regulations and procedures of those States in which
operations are conducted and that are pertinent to the performance of their
duties.
(h) The operator shall establish a checklist system for each aircraft type to be
used by crew members in all phases of flight under normal, abnormal and
emergency conditions to ensure that the operating procedures in the oper
ations manual are followed. The design and utilisation of checklists shall
observe human factors principles and take into account the latest relevant
documentation from the aircraft manufacturer.
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▼B
(i) The operator shall specify flight planning procedures to provide for the safe
conduct of the flight based on considerations of aircraft performance, other
operating limitations and relevant expected conditions on the route to be
followed and at the aerodromes or operating sites concerned. These
procedures shall be included in the operations manual.
(j) The operator shall establish and maintain dangerous goods training
programmes for personnel as required by the technical instructions which
shall be subject to review and approval by the competent authority. Training
programmes shall be commensurate with the responsibilities of personnel.
(b) Applicants for an initial certificate shall provide the competent authority
with documentation demonstrating how they will comply with the
requirements established in Regulation (EC) No 216/2008 and its Imple
menting Rules. Such documentation shall include a procedure describing
how changes not requiring prior approval will be managed and notified to
the competent authority.
▼M1
(c) An operator required to declare its activity shall notify to the competent
authority the list of alternative means of compliance it uses to establish
compliance with Regulation (EC) No 216/2008 and its Implementing Rules.
▼B
ORO.GEN.125 Terms of approval and privileges of an operator
A certified operator shall comply with the scope and privileges defined in the
operations specifications attached to the operator’s certificate.
ORO.GEN.130 Changes
(a) Any change affecting:
▼B
shall require prior approval by the competent authority.
The operator shall provide the competent authority with any relevant docu
mentation.
The operator shall operate under the conditions prescribed by the competent
authority during such changes, as applicable.
(c) All changes not requiring prior approval shall be managed and notified to
the competent authority as defined in the procedure approved by the
competent authority in accordance with ARO.GEN.310(c).
(2) the competent authority being granted access to the operator as defined
in ORO.GEN.140 to determine continued compliance with the relevant
requirements of Regulation (EC) No 216/2008 and its Implementing
Rules; and
ORO.GEN.140 Access
(a) For the purpose of determining compliance with the relevant requirements of
Regulation (EC) No 216/2008 and its Implementing Rules, the operator
shall grant access at any time to any facility, aircraft, document, records,
data, procedures or any other material relevant to its activity subject to
certification ►M1 or declaration, ◄ whether it is contracted or not, to
any person authorised by one of the following authorities:
(b) Access to the aircraft mentioned under (a) shall include the possibility to
enter and remain in the aircraft during flight operations unless otherwise
decided by the commander for the flight crew compartment in accordance
with CAT.GEN.MPA.135 in the interest of safety.
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▼B
ORO.GEN.150 Findings
After receipt of notification of findings, the operator shall:
(b) any relevant mandatory safety information issued by the Agency, including
airworthiness directives.
(b) Without prejudice to point (a) the operator shall report to the competent
authority and to the organisation responsible for the design of the aircraft
any incident, malfunction, technical defect, exceeding of technical limi
tations, occurrence that would highlight inaccurate, incomplete or
ambiguous information contained in data established in accordance with
Commission Regulation (EC) No 1702/2003 (2) or other irregular circum
stance that has or may have endangered the safe operation of the aircraft and
that has not resulted in an accident or serious incident.
(d) Reports shall be made as soon as practicable, but in any case within
72 hours of the operator identifying the condition to which the report
relates, unless exceptional circumstances prevent this.
(e) Where relevant, the operator shall produce a follow-up report to provide
details of actions it intends to take to prevent similar occurrences in the
future, as soon as these actions have been identified. This report shall be
produced in a form and manner established by the competent authority.
SECTION 2
Management
ORO.GEN.200 Management system
(a) The operator shall establish, implement and maintain a management system
that includes:
▼B
(2) a description of the overall philosophies and principles of the operator
with regard to safety, referred to as the safety policy;
(7) any additional requirements that are prescribed in the relevant Subparts
of this Annex or other applicable Annexes.
(b) The management system shall correspond to the size of the operator and the
nature and complexity of its activities, taking into account the hazards and
associated risks inherent in these activities.
(b) When the certified operator contracts any part of its activity to an organi
sation that is not itself certified in accordance with this Part to carry out
such activity, the contracted organisation shall work under the approval of
the operator. The contracting organisation shall ensure that the competent
authority is given access to the contracted organisation, to determine
continued compliance with the applicable requirements.
(b) A person or group of persons shall be nominated by the operator, with the
responsibility of ensuring that the operator remains in compliance with the
applicable requirements. Such person(s) shall be ultimately responsible to
the accountable manager.
(c) The operator shall have sufficient qualified personnel for the planned tasks
and activities to be performed in accordance with the applicable require
ments.
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▼B
(d) The operator shall maintain appropriate experience, qualification and
training records to show compliance with point (c).
(e) The operator shall ensure that all personnel are aware of the rules and
procedures relevant to the exercise of their duties.
ORO.GEN.220 Record-keeping
(a) The operator shall establish a system of record-keeping that allows adequate
storage and reliable traceability of all activities developed, covering in
particular all the elements indicated in ORO.GEN.200.
(b) The format of the records shall be specified in the operator’s procedures.
(c) Records shall be stored in a manner that ensures protection from damage,
alteration and theft.
SUBPART AOC
AIR OPERATOR CERTIFICATION
ORO.AOC.100 Application for an air operator certificate
(a) Without prejudice to Regulation (EC) No 1008/2008 of the European
Parliament and the Council (1), prior to commencing commercial air oper
ations, the operator shall apply for and obtain an air operator
certificate (AOC) issued by the competent authority.
(b) The operator shall provide the following information to the competent auth
ority:
(1) the official name and business name, address, and mailing address of
the applicant;
(7) a statement that all the documentation sent to the competent authority
have been verified by the applicant and found in compliance with the
applicable requirements.
▼B
(2) all aircraft operated have a certificate of airworthiness (CofA) in
accordance with Regulation (EC) No 1702/2003; and
(3) its organisation and management are suitable and properly matched to
the scale and scope of the operation.
(b) The operator certified in accordance with this Part shall only wet lease-in
aircraft from an operator that is not subject to an operating ban pursuant to
Regulation (EC) No 2111/2005.
Wet lease-in
(c) The applicant for the approval of the wet lease-in of an aircraft of a third
country operator shall demonstrate to the competent authority that:
(1) the third country operator holds a valid AOC issued in accordance with
ICAO Annex 6;
(2) the safety standards of the third country operator with regard to
continuing airworthiness and air operations are equivalent to the
applicable requirements established by Regulation (EC)
No 2042/2003 and this Regulation; and
(3) the aircraft has a standard CofA issued in accordance with ICAO
Annex 8.
Dry lease-in
(d) An applicant for the approval of the dry lease-in of an aircraft registered in a
third country shall demonstrate to the competent authority that:
(1) an operational need has been identified that cannot be satisfied through
leasing an aircraft registered in the EU;
(2) the duration of the dry lease-in does not exceed seven months in any
12 consecutive month period; and
Dry lease-out
(e) The operator certified in accordance with this Part intending to dry lease-out
one of its aircraft shall apply for prior approval by the competent authority.
The application shall be accompanied by copies of the intended lease
agreement or description of the lease provisions, except financial arrange
ments, and all other relevant documentation.
Wet lease-out
(f) Prior to the wet lease-out of an aircraft, the operator certified in accordance
with this Part shall notify the competent authority.
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▼B
ORO.AOC.115 Code-share agreements
(a) Without prejudice to applicable EU safety requirements for third country
operators and aircraft, an operator certified in accordance with this Part shall
enter into a code-share agreement with a third country operator only after:
(1) having verified that the third country operator complies with the
applicable ICAO standards; and
(b) When implementing the code-share agreement the operator shall monitor
and regularly assess the ongoing compliance of the third country operator
with the applicable ICAO standards.
(c) The operator certified in accordance with this Part shall not sell and issue
tickets for a flight operated by a third country operator when the third
country operator is subject to an operating ban pursuant to
Regulation (EC) No 2111/2005 or is failing to maintain compliance with
the applicable ICAO standards.
(3) the name(s) and address(es) of the training site(s) at which the training
is to be conducted;
(5) the syllabi and associated programmes for the training course.
▼B
(iii) supplying the competent authority with all relevant information
and documentation related to the attestations it will issue and
their holders, for the purpose of record-keeping, oversight and
enforcement actions by that authority.
(c) The approvals referred to in (a) and (b) shall be specified in the operations
specifications.
▼B
ORO.AOC.130 Flight data monitoring — aeroplanes
(a) The operator shall establish and maintain a flight data monitoring system,
which shall be integrated in its management system, for aeroplanes with a
maximum certificated take-off mass of more than 27 000 kg.
(b) The flight data monitoring system shall be non-punitive and contain
adequate safeguards to protect the source(s) of the data.
▼B
(2) All personnel assigned to, or directly involved in, ground and flight
operations shall:
(a) make use of appropriate ground handling facilities to ensure the safe
handling of its flights;
(b) arrange operational support facilities at the main operating base, appropriate
for the area and type of operation; and
(c) ensure that the available working space at each operating base is sufficient
for personnel whose actions may affect the safety of flight operations.
Consideration shall be given to the needs of ground crew, personnel
concerned with operational control, the storage and display of essential
records and flight planning by crews.
▼M1
SUBPART DEC
DECLARATION
ORO.DEC.100 Declaration
The non-commercial operator of complex motor-powered aircraft shall:
(a) provide the competent authority with all relevant information prior to
commencing operations, using the form contained in Appendix I to this
Annex;
(c) maintain compliance with the applicable requirements and with the
information given in the declaration;
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▼M1
(d) notify the competent authority without delay of any changes to its
declaration or the means of compliance it uses through submission of an
amended declaration using the form contained in Appendix I to this Annex;
and
▼B
SUBPART MLR
MANUALS, LOGS AND RECORDS
ORO.MLR.100 Operations manual — general
(a) The operator shall establish an operations manual (OM) as specified under
8.b of Annex IV to Regulation (EC) No 216/2008.
▼M1
(b) The content of the OM shall reflect the requirements set out in this Annex,
Annex IV (Part-CAT), Annex V (Part-SPA) and Annex VI (Part-NCC), as
applicable, and shall not contravene the conditions contained in the oper
ations specifications to the air operator certificate (AOC) or the declaration
and its list of specific approvals, as applicable.
▼B
(c) The OM may be issued in separate parts.
(d) All operations personnel shall have easy access to the portions of the OM
that are relevant to their duties.
(e) The OM shall be kept up to date. All personnel shall be made aware of the
changes that are relevant to their duties.
(f) Each crew member shall be provided with a personal copy of the relevant
sections of the OM pertaining to their duties. Each holder of an OM, or
appropriate parts of it, shall be responsible for keeping their copy up to date
with the amendments or revisions supplied by the operator.
(i) The operator shall incorporate all amendments and revisions required by the
competent authority.
(j) The operator shall ensure that information taken from approved documents,
and any amendment thereof, is correctly reflected in the OM. This does not
prevent the operator from publishing more conservative data and procedures
in the OM.
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▼B
(k) The operator shall ensure that all personnel are able to understand the
language in which those parts of the OM which pertain to their duties
and responsibilities are written. The content of the OM shall be presented
in a form that can be used without difficulty and observes human factors
principles.
(d) Part D: Training, comprising all training instructions for personnel required
for a safe operation.
(b) The MEL and any amendment thereto shall be approved by the competent
authority.
(c) The operator shall amend the MEL after any applicable change to the
MMEL within the acceptable timescales.
(1) a preamble, including guidance and definitions for flight crews and
maintenance personnel using the MEL;
(2) the revision status of the MMEL upon which the MEL is based and the
revision status of the MEL;
(3) only operate the aircraft after expiry of the rectification interval
specified in the MEL when:
(ii) the rectification interval has been extended in accordance with (f).
(f) Subject to approval of the competent authority, the operator may use a
procedure for the one time extension of category B, C and D rectification
intervals, provided that:
(1) the extension of the rectification interval is within the scope of the
MMEL for the aircraft type;
2012R0965 — EN — 25.08.2013 — 001.001 — 58
▼B
(2) the extension of the rectification interval is, as a maximum, of the same
duration as the rectification interval specified in the MEL;
(g) The operator shall establish the operational and maintenance procedures
referenced in the MEL taking into account the operational and maintenance
procedures referenced in the MMEL. These procedures shall be part of the
operator’s manuals or the MEL.
(h) The operator shall amend the operational and maintenance procedures
referenced in the MEL after any applicable change to the operational and
maintenance procedures referenced in the MMEL.
(i) Unless otherwise specified in the MEL, the operator shall complete:
(1) the operational procedures referenced in the MEL when planning for
and/or operating with the listed item inoperative; and
▼B
ORO.MLR.115 Record-keeping
▼M1
(a) The following records shall be stored for at least 5 years:
▼B
(b) The following information used for the preparation and execution of a flight,
and associated reports, shall be stored for three months:
(6) flight report(s) for recording details of any occurrence, or any event
that the commander/pilot-in-command deems necessary to report or
record;
(c) Personnel records shall be stored for the periods indicated below:
Flight crew licence and cabin crew As long as the crew member is
attestation exercising the privileges of the
licence or attestation for the aircraft
operator
▼B
(e) The operator shall preserve the information used for the preparation and
execution of a flight and personnel training records, even if the operator
ceases to be the operator of that aircraft or the employer of that crew
member, provided this is within the timescales prescribed in (c).
(f) If a crew member becomes a crew member for another operator, the
operator shall make the crew member’s records available to the new
operator, provided this is within the timescales prescribed in (c).
SUBPART SEC
SECURITY
ORO.SEC.100.A Flight crew compartment security
(a) In an aeroplane which is equipped with a flight crew compartment door, this
door shall be capable of being locked, and means shall be provided by
which the cabin crew can notify the flight crew in the event of suspicious
activity or security breaches in the cabin.
(c) In all aeroplanes which are equipped with a flight crew compartment door in
accordance with point (b) above:
(1) this door shall be closed prior to engine start for take-off and will be
locked when required by security procedures or by the pilot-in-
command until engine shut down after landing, except when deemed
necessary for authorised persons to access or egress in compliance with
national civil aviation security programmes; and
(2) means shall be provided for monitoring from either pilot’s station the
entire door area outside the flight crew compartment to identify persons
requesting entry and to detect suspicious behaviour or potential threat.
SUBPART FC
FLIGHT CREW
ORO.FC.005 Scope
▼M1
This Subpart establishes requirements to be met by the operator related to flight
crew training, experience and qualification and comprises:
▼M1
SECTION 1
Common requirements
▼B
ORO.FC.100 Composition of flight crew
(a) The composition of the flight crew and the number of flight crew members
at designated crew stations shall be not less than the minimum specified in
the aircraft flight manual or operating limitations prescribed for the aircraft.
(b) The flight crew shall include additional flight crew members when required
by the type of operation and shall not be reduced below the number
specified in the operations manual.
(c) All flight crew members shall hold a licence and ratings issued or accepted
in accordance with Commission Regulation (EU) No 1178/2011 (1) and
appropriate to the duties assigned to them.
(d) The flight crew member may be relieved in flight of his/her duties at the
controls by another suitably qualified flight crew member.
(e) When engaging the services of flight crew members who are working on a
freelance or part-time basis, the operator shall verify that all applicable
requirements of this Subpart and the relevant elements of Annex I (Part-
FCL) to Regulation (EU) No 1178/2011, including the requirements on
recent experience, are complied with, taking into account all services
rendered by the flight crew member to other operator(s) to determine in
particular:
(2) the applicable flight and duty time limitations and rest requirements.
(b) The operator shall only designate a flight crew member to act as pilot-in-
command/commander if he/she has:
(2) adequate knowledge of the route or area to be flown and of the aero
dromes, including alternate aerodromes, facilities and procedures to be
used;
▼B
(d) In the case of performance class B aeroplanes involved in commercial air
transport operations under VFR by day, (c) shall not apply.
(b) Elements of CRM training shall be included in the aircraft type or class
training and recurrent training as well as in the command course.
(1) when changing to an aircraft for which a new type or class rating is
required;
(b) The operator conversion training course shall include training on the
equipment installed on the aircraft as relevant to flight crew members’ roles.
(b) The operations manual shall specify when such differences or familiarisation
training is required.
▼B
ORO.FC.140 Operation on more than one type or variant
(a) Flight crew members operating more than one type or variant of aircraft
shall comply with the requirements prescribed in this Subpart for each type
or variant, unless credits related to the training, checking, and recent
experience requirements are defined in the data established in accordance
with Regulation (EC) No 1702/2003 for the relevant types or variants.
(b) When establishing the training programmes and syllabi, the operator shall
include the mandatory elements for the relevant type as defined in the data
established in accordance with Regulation (EC) No 1702/2003.
(c) ►M1 In the case of commercial air transport operations, ◄ training and
checking programmes, including syllabi and use of individual flight simu
lation training devices (FSTDs), shall be approved by the competent auth
ority.
(d) The FSTD shall replicate the aircraft used by the operator, as far as prac
ticable. Differences between the FSTD and the aircraft shall be described
and addressed through a briefing or training, as appropriate.
(e) The operator shall establish a system to adequately monitor changes to the
FSTD and to ensure that those changes do not affect the adequacy of the
training programmes.
▼M1
SECTION 2
Additional requirements for commercial air transport operations
▼B
ORO.FC.200 Composition of flight crew
(a) There shall not be more than one inexperienced flight crew member in any
flight crew.
(b) The commander may delegate the conduct of the flight to another pilot
suitably qualified in accordance with Annex I (Part-FCL) to
Regulation (EU) No 1178/2011 provided that the requirements of
ORO.FC.105(b)(1), (b)(2) and (c) are complied with.
(1) The minimum flight crew shall be two pilots for all turbo-propeller
aeroplanes with a maximum operational passenger seating
configuration (MOPSC) of more than nine and all turbojet aeroplanes.
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▼B
(2) Aeroplanes other than those covered by (c)(1) shall be operated with a
minimum crew of two pilots, unless the requirements of ORO.FC.202
are complied with, in which case they may be operated by a single
pilot.
(1) For all operations of helicopters with an MOPSC of more than 19 and
for operations under IFR of helicopters with an MOPSC of more
than 9:
(2) for operations only above flight level (FL) 200, a pilot who complies
with the following minimum qualifications:
(i) ATPL;
(2) for operations only above FL 200, a cruise relief co-pilot that complies
with the following minimum qualifications:
▼B
ORO.FC.202 Single-pilot operations under IFR or at night
In order to be able to fly under IFR or at night with a minimum flight crew of
one pilot, as foreseen in ORO.FC.200(c)(2) and (d)(2), the following shall be
complied with:
(a) The operator shall include in the operations manual a pilot’s conversion and
recurrent training programme that includes the additional requirements for
a single-pilot operation. The pilot shall have undertaken training on the
operator’s procedures, in particular regarding:
(c) For aeroplane operations under IFR the pilot shall have:
(1) a minimum of 50 hours flight time under IFR on the relevant type or
class of aeroplane, of which 10 hours are as commander; and
(2) completed during the preceding 90 days on the relevant type or class of
aeroplane:
(2) completed during the preceding 90 days on the relevant type or class of
aeroplane:
(i) three take-offs and landings at night in the single pilot role; or
(e) For helicopter operations under IFR the pilot shall have:
▼B
(3) completed during the preceding 90 days:
(b) Initial CRM training shall be conducted by at least one suitably qualified
CRM trainer who may be assisted by experts in order to address specific
areas.
(c) If the flight crew member has not previously received theoretical training in
human factors to the ATPL level, he/she shall complete, before or combined
with the initial CRM training, a theoretical course provided by the operator
and based on the human performance and limitations syllabus for the ATPL
as established in Annex I (Part-FCL) to Regulation (EU) No 1178/2011.
(b) Once an operator conversion course has been commenced, the flight crew
member shall not be assigned to flying duties on another type or class of
aircraft until the course is completed or terminated. Crew members operating
only performance class B aeroplanes may be assigned to flights on other
types of performance class B aeroplanes during conversion courses to the
extent necessary to maintain the operation.
(c) The amount of training required by the flight crew member for the oper
ator’s conversion course shall be determined in accordance with the
standards of qualification and experience specified in the operations
manual, taking into account his/her previous training and experience.
2012R0965 — EN — 25.08.2013 — 001.001 — 67
▼B
(d) The flight crew member shall complete:
(1) the operator proficiency check and the emergency and safety equipment
training and checking before commencing line flying under
supervision (LIFUS); and
(2) the line check upon completion of line flying under supervision. For
performance class B aeroplanes, LIFUS may be performed on any
aeroplane within the applicable class.
(e) In the case of aeroplanes, pilots that have been issued a type rating based on
a zero flight-time training (ZFTT) course shall:
(1) commence line flying under supervision not later than 21 days after the
completion of the skill test or after appropriate training provided by the
operator. The content of such training shall be described in the oper
ations manual;
(2) complete six take-offs and landings in a FSTD not later than 21 days
after the completion of the skill test under the supervision of a type
rating instructor for aeroplanes (TRI(A)) occupying the other pilot seat.
The number of take-offs and landings may be reduced when credits are
defined in the data established in accordance with Regulation (EC)
No 1702/2003. If these take-offs and landings have not been
performed within 21 days, the operator shall provide refresher
training. The content of such training shall be described in the oper
ations manual;
(3) conduct the first four take-offs and landings of the LIFUS in the
aeroplane under the supervision of a TRI(A) occupying the other
pilot seat. The number of take-offs and landings may be reduced
when credits are defined in the data established in accordance with
Regulation (EC) No 1702/2003.
(2) When the flight crew member will be required to operate under IFR,
the operator proficiency check shall be conducted without external
visual reference, as appropriate.
(3) The validity period of the operator proficiency check shall be six
calendar months. For operations under VFR by day of performance
class B aeroplanes conducted during seasons not longer than eight
consecutive months, one operator proficiency check shall be sufficient.
The proficiency check shall be undertaken before commencing
commercial air transport operations.
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▼B
(4) The flight crew member involved in operations by day and over routes
navigated by reference to visual landmarks with an other-than-complex
motor-powered helicopter may complete the operator proficiency check
in only one of the relevant types held. The operator proficiency check
shall be performed each time on the type least recently used for the
proficiency check. The relevant helicopter types that may be grouped
for the purpose of the operator proficiency check shall be contained in
the operations manual.
(2) Each flight crew member shall undergo specific modular CRM training.
All major topics of CRM training shall be covered by distributing
modular training sessions as evenly as possible over each three-year
period.
(f) Each flight crew member shall undergo ground training and flight training in
an FSTD or an aircraft, or a combination of FSTD and aircraft training, at
least every 12 calendar months.
(g) The validity periods mentioned in (b)(3), (c) and (d) shall be counted from
the end of the month when the check was taken.
(h) When the training or checks required above are undertaken within the last
three months of the validity period, the new validity period shall be counted
from the original expiry date.
2012R0965 — EN — 25.08.2013 — 001.001 — 69
▼B
ORO.FC.235 Pilot qualification to operate in either pilot’s seat
(a) Commanders whose duties require them to operate in either pilot seat and
carry out the duties of a co-pilot, or commanders required to conduct
training or checking duties, shall complete additional training and
checking as specified in the operations manual. The check may be
conducted together with the operator proficiency check prescribed in
ORO.FC.230(b).
(b) The additional training and checking shall include at least the following:
(c) In the case of helicopters, commanders shall also complete their proficiency
checks from left- and right-hand seats, on alternate proficiency checks,
provided that when the type rating proficiency check is combined with
the operator proficiency check the commander completes his/her training
or checking from the normally occupied seat.
(d) When engine-out manoeuvres are carried out in an aircraft, the engine
failure shall be simulated.
(e) When operating in the co-pilot’s seat, the checks required by ORO.FC.230
for operating in the commander’s seat shall, in addition, be valid and
current.
(f) The pilot relieving the commander shall have demonstrated, concurrent with
the operator proficiency checks prescribed in ORO.FC.230(b), practice of
drills and procedures that would not, normally, be his/her responsibility.
Where the differences between left- and right-hand seats are not significant,
practice may be conducted in either seat.
(g) The pilot other than the commander occupying the commander’s seat shall
demonstrate practice of drills and procedures, concurrent with the operator
proficiency checks prescribed in ORO.FC.230(b), which are the
commander’s responsibility acting as pilot monitoring. Where the
differences between left- and right-hand seats are not significant, practice
may be conducted in either seat.
(2) the minimum experience level on one type or variant before beginning
training for and operation of another type or variant;
(3) the process whereby flight crew qualified on one type or variant will be
trained and qualified on another type or variant; and
(4) all applicable recent experience requirements for each type or variant.
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▼B
(b) When a flight crew member operates both helicopters and aeroplanes, that
flight crew member shall be limited to operations on only one type of
aeroplane and one type of helicopter.
(c) Point (a) shall not apply to operations of performance class B aeroplane if
they are limited to single-pilot classes of reciprocating engine aeroplanes
under VFR by day. Point (b) shall not apply to operations of performance
class B aeroplane if they are limited to single-pilot classes of reciprocating
engine aeroplanes.
(b) The ATQP shall contain training and checking that establishes and
maintains at least an equivalent level of proficiency achieved by
complying with the provisions of ORO.FC.220 and ORO.FC.230. The
level of flight crew training and qualification proficiency shall be demon
strated prior to being granted the ATQP approval by the competent auth
ority.
(c) The operator applying for an ATQP approval shall provide the competent
authority with an implementation plan, including a description of the level
of flight crew training and qualification proficiency to be achieved.
(e) After two years of operating with an approved ATQP, the operator may,
with the approval of the competent authority, extend the validity periods of
the checks in ORO.FC.230 as follows:
(2) Line check to 24 calendar months. The validity period shall be counted
from the end of the month when the check was taken. When the check
is undertaken within the last six months of the validity period, the new
validity period shall be counted from the original expiry date.
2012R0965 — EN — 25.08.2013 — 001.001 — 71
▼B
(3) Emergency and safety equipment checking to 24 calendar months. The
validity period shall be counted from the end of the month when the
check was taken. When the check is undertaken within the last six
months of the validity period, the new validity period shall be
counted from the original expiry date.
(b) For operations under VFR by day of performance class B aeroplanes (a)(1)
shall not apply.
(1) when operating under IFR, he/she has a minimum of 700 hours total
flight time on helicopters, including 300 hours as pilot-in-command.
These hours shall include 100 hours under IFR. The 300 hours as
pilot-in-command may be substituted by hours operating as co-pilot
within an established multi-pilot crew system prescribed in the oper
ations manual on the basis of two hours of flight time as co-pilot for
one hour flight time as pilot-in command;
SUBPART CC
CABIN CREW
ORO.CC.005 Scope
▼M1
This Subpart establishes the requirements to be met by the operator when
operating an aircraft with cabin crew and comprises:
▼M1
(b) Section 2 specifying additional requirements only applicable to commercial
air transport operations.
▼B
SECTION 1
▼M1
Common requirements
▼B
ORO.CC.100 Number and composition of cabin crew
(a) The number and composition of cabin crew shall be determined in
accordance with 7.a of Annex IV to Regulation (EC) No 216/2008,
taking into account operational factors or circumstances of the particular
flight to be operated. At least one cabin crew member shall be assigned
for the operation of aircraft with an MOPSC of more than 19 when carrying
one or more passenger(s).
(b) For the purpose of complying with (a), the minimum number of cabin crew
shall be the greater of the following:
(1) the number of cabin crew members established during the aircraft
certification process in accordance with the applicable certification
specifications, for the aircraft cabin configuration used by the
operator; or
(2) if the number under (1) has not been established, the number of cabin
crew established during the aircraft certification process for the
maximum certified passenger seating configuration reduced by 1 for
every whole multiple of 50 passenger seats of the aircraft cabin
configuration used by the operator falling below the maximum
certified seating capacity; or
(3) one cabin crew member for every 50, or fraction of 50, passenger seats
installed on the same deck of the aircraft to be operated.
(c) For operations where more than one cabin crew member is assigned, the
operator shall nominate one cabin crew member to be responsible to the
pilot-in-command/commander.
(b) Before assigning to duties cabin crew members who are working on a
freelance or part-time basis, the operator shall verify that all applicable
requirements of this Subpart are complied with, taking into account all
services rendered by the cabin crew member to any other operator(s), to
determine in particular:
(1) the total number of aircraft types and variants operated; and
(2) the applicable flight and duty time limitations and rest requirements.
2012R0965 — EN — 25.08.2013 — 001.001 — 73
▼B
(c) Operating cabin crew members, as well as their role with regard to the
safety of passengers and flight, shall be clearly identified to the passengers.
(b) Each training course shall include theoretical and practical instruction
together with individual or collective practice, as relevant to each training
subject, in order that the cabin crew member achieves and maintains the
adequate level of proficiency in accordance with this Subpart.
(d) During or following completion of all training required by this Subpart, each
cabin crew member shall undergo a check covering all training elements of
the relevant training programme, except for crew resource
management (CRM) training. Checks shall be performed by personnel
appropriately qualified to verify that the cabin crew member has achieved
and/or maintains the required level of proficiency.
(e) CRM training courses and CRM modules where applicable shall be
conducted by a cabin crew CRM instructor. When CRM elements are
integrated in other training, a cabin crew CRM instructor shall manage
the definition and implementation of the syllabus.
(b) Elements of the initial training programme may be combined with the first
aircraft type specific training and operator conversion training, provided that
the requirements of CC.TRA.220 are met and any such element(s) are
recorded as elements of the initial training course in the training records
of the cabin crew members concerned.
▼B
(2) assigned by that operator to operate on another aircraft type.
(b) When establishing the aircraft type specific and the operator conversion
training programmes and syllabi, the operator shall include, where available,
the mandatory elements for the relevant type as defined in the data estab
lished in accordance with Regulation (EC) No 1702/2003.
(2) cover at least the following aircraft type specific training elements:
(ii) all safety equipment and systems installed relevant to cabin crew
duties;
(d) The operator conversion training programme for each aircraft type to be
operated shall:
(ii) location, removal and use of all portable safety and emergency
equipment carried on-board;
(v) fire and smoke training including the use of all related
fire-fighting and protective equipment representative of that
carried on-board;
2012R0965 — EN — 25.08.2013 — 001.001 — 75
▼B
(vi) evacuation procedures;
ORO.CC.135 Familiarisation
After completion of aircraft type specific training and operator conversion
training on an aircraft type, each cabin crew member shall complete appropriate
supervised familiarisation on the type before being assigned to operate as a
member of the minimum number of cabin crew required in accordance with
ORO.CC.100.
(b) Recurrent training shall cover the actions assigned to each member of the
cabin crew in normal and emergency procedures and drills relevant to each
aircraft type and/or variant to be operated.
▼B
(2) Recurrent training shall also include at intervals not exceeding three
years:
(iv) demonstration of the use of the life-raft, or slide raft, where fitted.
(2) Recurrent training shall also include at intervals not exceeding three
years:
▼B
(iv) by each cabin crew member:
(2) If the recurrent training and checking required in (a) are undertaken
within the last three calendar months of the validity period, the new
validity period shall be counted from the original expiry date.
(3) For the additional triennial training elements specified in (c)(2) and
(d)(2), the validity period shall be 36 calendar months counted from
the end of the month when the checks were taken.
(1) has not performed any flying duties, he/she shall, before being reas
signed to such duties, complete refresher training and checking for each
aircraft type to be operated; or
(2) has not performed flying duties on one particular aircraft type, he/she
shall, before being reassigned to duties, complete on that aircraft type:
(b) The refresher training programme for each aircraft type shall at least cover:
(3) operation and actual opening, by each cabin crew member, of each type
or variant of normal and emergency exits and of the flight crew
compartment security door in the normal and emergency modes;
(4) demonstration of the operation of all other exits including the flight
crew compartment windows;
(5) location and handling of all relevant safety and emergency equipment
installed or carried on-board.
(c) The operator may elect to replace refresher training by recurrent training if
the reinstatement of the cabin crew member’s flying duties commences
within the validity period of the last recurrent training and checking. If
that validity period has expired, refresher training may only be replaced
by aircraft type specific and operator conversion training as specified in
ORO.CC.125.
2012R0965 — EN — 25.08.2013 — 001.001 — 78
▼B
SECTION 2
Additional requirements for commercial air transport operations
ORO.CC.200 Senior cabin crew member
(a) When more than one cabin crew member is required, the composition of the
cabin crew shall include a senior cabin crew member nominated by the
operator.
(b) The operator shall nominate cabin crew members to the position of senior
cabin crew member only if they:
(1) have at least one year of experience as operating cabin crew member;
and
(2) have successfully completed a senior cabin crew training course and
the associated check.
(c) The senior cabin crew training course shall cover all duties and responsi
bilities of senior cabin crew members and shall include at least the following
elements:
(d) The senior cabin crew member shall be responsible to the commander for
the conduct and coordination of normal and emergency procedures specified
in the operations manual, including for discontinuing non-safety-related
duties for safety or security purposes.
(e) The operator shall establish procedures to select the most appropriately
qualified cabin crew member to act as senior cabin crew member if the
nominated senior cabin crew member becomes unable to operate. Changes
to these procedures shall be notified to the competent authority.
(b) Subject to the conditions specified in (c), this number may be reduced:
▼B
(c) Conditions:
(2) the reduced cabin crew includes a senior cabin crew member as
specified in ORO.CC. 200;
(3) at least one cabin crew member is required for every 50, or fraction of
50, passengers present on the same deck of the aircraft;
(4) in the case of normal ground operations with aircraft requiring more
than one cabin crew member, the number determined in accordance
with (c)(3) shall be increased to include one cabin crew member per
pair of floor level emergency exits.
(b) are qualified on the type or variant in accordance with this Subpart;
(c) comply with the other applicable requirements of this Subpart and Annex IV
(Part-CAT);
(b) After a cabin crew member has successfully completed a training course and
the associated check, the operator shall:
(1) update the cabin crew member’s training records in accordance with
ORO.MLR.115; and
(2) provide him/her with a list showing updated validity periods as relevant
to the aircraft type(s) and variant(s) on which the cabin crew member is
qualified to operate.
▼B
(b) For the purpose of (a) and for cabin crew training and qualifications, the
operator shall determine:
(1) each aircraft as a type or a variant taking into account, where available,
the relevant data established in accordance with Regulation (EC)
No 1702/2003 for the relevant aircraft type or variant; and
(2) variants of an aircraft type to be different types if they are not similar
in the following aspects:
(b) Cabin crew members who have no previous operating experience as single
cabin crew member shall only be assigned to such type of operation after
they have:
(c) The following additional training elements shall be covered with particular
emphasis to reflect single cabin crew operations:
(4) documentation;
▼B
SUBPART TC
TECHNICAL CREW IN HEMS, HHO OR NVIS OPERATIONS
ORO.TC.100 Scope
This Subpart establishes the requirements to be met by the operator when
operating an aircraft with technical crew members in commercial air transport
helicopter emergency medical service (HEMS), night vision imaging
system (NVIS) operations or helicopter hoist operations (HHO).
(2) are physically and mentally fit to safely discharge assigned duties and
responsibilities;
(b) Before assigning to duties technical crew members who are self-employed
and/or working on a freelance or part-time basis, the operator shall verify
that all applicable requirements of this Subpart are complied with, taking
into account all services rendered by the technical crew member to other
operator(s) to determine in particular:
(2) the applicable flight and duty time limitations and rest requirements.
(c) Training and checking shall be conducted for each training course by
personnel suitably qualified and experienced in the subject to be covered.
The operator shall inform the competent authority about the personnel
conducting the checks.
▼B
(c) survival training on ground and in water, appropriate to the type and area of
operation;
(d) aero-medical aspects and first-aid;
(e) communication and relevant CRM elements of ORO.FC.115 and
ORO.FC.215.
ORO.TC.120 Operator conversion training
Each technical crew member shall complete:
(a) operator conversion training, including relevant CRM elements,
(1) before being first assigned by the operator as a technical crew member;
or
(2) when changing to a different aircraft type or class, if any of the
equipment or procedures mentioned in (b) are different.
(b) Operator conversion training shall include:
(1) the location and use of all safety and survival equipment carried on the
aircraft;
(2) all normal and emergency procedures;
(3) on-board equipment used to carry out duties in the aircraft or on the
ground for the purpose of assisting the pilot during HEMS, HHO or
NVIS operations.
ORO.TC.125 Differences training
(a) Each technical crew member shall complete differences training when
changing equipment or procedures on types or variants currently operated.
(b) The operator shall specify in the operations manual when such differences
training is required.
ORO.TC.130 Familiarisation flights
Following completion of the operator conversion training, each technical crew
member shall undertake familiarisation flights prior to operating as a required
technical crew member in HEMS, HHO or NVIS operations.
ORO.TC.135 Recurrent training
(a) Within every 12-month period, each technical crew member shall undergo
recurrent training relevant to the type or class of aircraft and equipment that
the technical crew member operates. Elements of CRM shall be integrated
into all appropriate phases of the recurrent training.
(b) Recurrent training shall include theoretical and practical instruction and
practice.
ORO.TC.140 Refresher training
(a) Each technical crew member who has not undertaken duties in the previous
six months shall complete the refresher training specified in the operations
manual.
(b) The technical crew member who has not performed flying duties on one
particular aircraft type or class during the preceding six months shall, before
being assigned on that type or class, complete either:
(1) refresher training on the type or class; or
(2) two familiarisation sectors on the aircraft type or class.
2012R0965 — EN — 25.08.2013 — 001.001 — 83
▼M1
Appendix
DECLARATION
in accordance with Commission Regulation (EU) No 965/2012 on Air
operations
Operator
Name:
Place in which the operator is established or residing and place from which
the operations are directed:
Name and contact details of the accountable manager:
Aircraft operation
Type(s) of operation:
□ Part-NCC: (specify if passenger and/or cargo)
Statements
□ All flight crew members and cabin crew members, as applicable, are
trained in accordance with the applicable requirements.
□ (If applicable)
The operator has implemented and demonstrated conformance to an offi
cially recognised industry standard.
Reference of the standard:
Certification body:
Date of the last conformance audit:
□ Any change in the operation that affects the information disclosed in this
declaration will be notified to the competent authority.
▼B
ANNEX IV
SECTION 1
Motor-powered aircraft
CAT.GEN.MPA.100 Crew responsibilities
(a) The crew member shall be responsible for the proper execution of his/her
duties that are:
(1) related to the safety of the aircraft and its occupants; and
(1) report to the commander any fault, failure, malfunction or defect which
the crew member believes may affect the airworthiness or safe
operation of the aircraft including emergency systems, if not already
reported by another crew member;
(2) report to the commander any incident that endangered, or could have
endangered, the safety of the operation, if not already reported by
another crew member;
(4) comply with all flight and duty time limitations (FTL) and rest
requirements applicable to their activities;
(i) maintain his/her individual records regarding flight and duty times
and rest periods as referred to in applicable FTL requirements; and
(ii) provide each operator with the data needed to schedule activities in
accordance with the applicable FTL requirements.
(2) until a reasonable time period has elapsed after deep water diving or
following blood donation;
▼B
(5) if he/she knows or suspects that he/she is suffering from fatigue as
referred to in 7.f of Annex IV to Regulation (EC) No 216/2008 or feels
otherwise unfit, to the extent that the flight may be endangered.
(1) be responsible for the safety of all crew members, passengers and cargo
on board, as soon as the commander arrives on board the aircraft, until
the commander leaves the aircraft at the end of the flight;
(i) for aeroplanes, from the moment the aeroplane is first ready to
move for the purpose of taxiing prior to take-off, until the
moment it finally comes to rest at the end of the flight and the
engine(s) used as primary propulsion unit(s) is(are) shut down;
(3) have authority to give all commands and take any appropriate actions
for the purpose of securing the safety of the aircraft and of persons
and/or property carried therein in accordance with 7.c of Annex IV to
Regulation (EC) No 216/2008;
(4) have authority to disembark any person, or any part of the cargo, that
may represent a potential hazard to the safety of the aircraft or its
occupants;
(5) not allow a person to be carried in the aircraft who appears to be under
the influence of alcohol or drugs to the extent that the safety of the
aircraft or its occupants is likely to be endangered;
(7) ensure that all passengers are briefed on the location of emergency
exits and the location and use of relevant safety and emergency
equipment;
(8) ensure that all operational procedures and checklists are complied with
in accordance with the operations manual;
(9) not permit any crew member to perform any activity during critical
phases of flight, except duties required for the safe operation of the
aircraft;
▼B
(11) decide on acceptance of the aircraft with unserviceabilities in
accordance with the configuration deviation list (CDL) or the
minimum equipment list (MEL);
(12) ensure that the pre-flight inspection has been carried out in accordance
with the requirements of Annex I (Part-M) to Regulation (EC)
No 2042/2003;
(b) The commander, or the pilot to whom conduct of the flight has been
delegated, shall, in an emergency situation that requires immediate
decision and action, take any action he/she considers necessary under the
circumstances in accordance with 7.d of Annex IV to Regulation (EC)
No 216/2008. In such cases he/she may deviate from rules, operational
procedures and methods in the interest of safety.
(a) are not confused by the passengers with operating cabin crew members;
▼B
(3) has received instruction in respect of aerodrome layout, routes, signs,
marking, lights, air traffic control (ATC) signals and instructions,
phraseology and procedures;
(1) admission to the flight crew compartment does not cause distraction or
interference with the operation of the flight; and
(2) all persons carried in the flight crew compartment are made familiar
with the relevant safety procedures.
(c) The commander shall make the final decision regarding the admission to the
flight crew compartment.
▼B
(b) Where an approval has been granted, the operator shall ensure that weapons
of war and munitions of war are:
(c) The operator shall ensure that, before a flight begins, the commander is
notified of the details and location on board the aircraft of any weapons
of war and munitions of war intended to be carried.
(b) The operator accepting the carriage of sporting weapons shall ensure that
they are:
(2) in the case of firearms or other weapons that can contain ammunition,
unloaded.
(a) for the purpose of taking action necessary for the safety of the aircraft or of
any person, animal or goods therein; or
(b) to a part of the aircraft in which cargo or supplies are carried, being a part
that is designed to enable a person to have access thereto while the aircraft
is in flight.
▼B
CAT.GEN.MPA.175 Endangering safety
The operator shall take all reasonable measures to ensure that no person reck
lessly or negligently acts or omits to act so as to:
(4) the noise certificate, including an English translation, where one has
been provided by the authority responsible for issuing the noise
certificate;
(6) the operations specifications relevant to the aircraft type, issued with
the AOC;
(12) current and suitable aeronautical charts for the route of the proposed
flight and all routes along which it is reasonable to expect that the
flight may be diverted;
(13) procedures and visual signals information for use by intercepting and
intercepted aircraft;
(14) information concerning search and rescue services for the area of the
intended flight, which shall be easily accessible in the flight crew
compartment;
(15) the current parts of the operations manual that are relevant to the duties
of the crew members, which shall be easily accessible to the crew
members;
▼B
(22) notification of special categories of passenger (SCPs) and special loads,
if applicable; and
(b) Notwithstanding (a), for operations under visual flight rules (VFR) by day
with other-than-complex motor-powered aircraft taking off and landing at
the same aerodrome or operating site within 24 hours, or remaining within a
local area specified in the operations manual, the following documents and
information may be retained at the aerodrome or operating site instead:
(1) information relevant to the flight and appropriate for the type of
operation is preserved on the ground;
(2) the information is retained until it has been duplicated at the place at
which it will be stored; or, if this is impracticable
▼B
(b) The operator shall conduct operational checks and evaluations of flight data
recorder (FDR) recordings, cockpit voice recorder (CVR) recordings and
data link recordings to ensure the continued serviceability of the recorders.
(c) The operator shall save the recordings for the period of operating time of the
FDR as required by CAT.IDE.A.190 or CAT.IDE.H.190, except that, for the
purpose of testing and maintaining the FDR, up to one hour of the oldest
recorded material at the time of testing may be erased.
(d) The operator shall keep and maintain up-to-date documentation that presents
the necessary information to convert FDR raw data into parameters
expressed in engineering units.
(e) The operator shall make available any flight recorder recording that has
been preserved, if so determined by the competent authority.
(1) CVR recordings shall only be used for purposes other than for the
investigation of an accident or an incident subject to mandatory
reporting, if all crew members and maintenance personnel concerned
consent.
(2) FDR recordings or data link recordings shall only be used for purposes
other than for the investigation of an accident or an incident which is
subject to mandatory reporting, if such records are:
(ii) de-identified; or
(1) they are not subject to the technical instructions in accordance with Part
1 of those instructions; or
(c) An operator shall establish procedures to ensure that all reasonable measures
are taken to prevent dangerous goods from being carried on board inadver
tently.
(d) The operator shall provide personnel with the necessary information
enabling them to carry out their responsibilities, as required by the
technical instructions.
(e) The operator shall, in accordance with the technical instructions, report
without delay to the competent authority and the appropriate authority of
the State of occurrence in the event of:
▼B
(2) the discovery of undeclared or misdeclared dangerous goods in cargo
or mail; or
(f) The operator shall ensure that passengers are provided with information
about dangerous goods in accordance with the technical instructions.
(g) The operator shall ensure that notices giving information about the transport
of dangerous goods are provided at acceptance points for cargo as required
by the technical instructions.
SUBPART B
OPERATING PROCEDURES
SECTION 1
Motor-powered aircraft
CAT.OP.MPA.100 Use of air traffic services
(a) The operator shall ensure that:
(1) air traffic services (ATS) appropriate to the airspace and the applicable
rules of the air are used for all flights whenever available;
(b) Notwithstanding (a), the use of ATS is not required unless mandated by air
space requirements for:
(2) helicopters.
(b) An isolated aerodrome is one for which the alternate and final fuel reserve
required to the nearest adequate destination alternate aerodrome is more
than:
(1) for aeroplanes with reciprocating engines, fuel to fly for 45 minutes
plus 15 % of the flying time planned to be spent at cruising level or
two hours, whichever is less; or
2012R0965 — EN — 25.08.2013 — 001.001 — 93
▼B
(2) for aeroplanes with turbine engines, fuel to fly for two hours at normal
cruise consumption above the destination aerodrome, including final
reserve fuel.
(c) When establishing aerodrome operating minima, the operator shall take the
following into account:
(4) the adequacy and performance of the available visual and non-visual
ground aids;
(5) the equipment available on the aircraft for the purpose of navigation
and/or control of the flight path during the take-off, the approach, the
flare, the landing, rollout and the missed approach;
(d) The operator shall specify the method of determining aerodrome operating
minima in the operations manual.
(e) The minima for a specific approach and landing procedure shall only be
used if all the following conditions are met:
(1) the ground equipment shown on the chart required for the intended
procedure is operative;
2012R0965 — EN — 25.08.2013 — 001.001 — 94
▼B
(2) the aircraft systems required for the type of approach are operative;
(2) Notwithstanding (1), another approach flight technique may be used for
a particular approach/runway combination if approved by the
competent authority. In such cases, the applicable minimum runway
visual range (RVR):
(1) the radar provides course guidance to ensure obstacle clearance; and
(2) either:
(b) ARAs to rigs or vessels under way shall only be conducted in multi-crew
operations.
(c) The decision range shall provide adequate obstacle clearance in the missed
approach from any destination for which an ARA is planned.
(d) The approach shall only be continued beyond decision range or below
MDA/H when visual reference with the destination has been established.
▼B
(c) Notwithstanding (a), the operator may use procedures other than those
referred to in (a) provided they have been approved by the State in which
the aerodrome is located and are specified in the operations manual.
(1) ensure that safety has priority over noise abatement; and
(1) ensure that safety has priority over noise abatement; and
(3) the equipment of the aircraft meets the minimum requirements for the
planned operation; and
(b) The operator shall ensure that operations are conducted in accordance with
any restriction on the routes or the areas of operation specified by the
competent authority.
(c) (a)(1) shall not apply to operations under VFR by day of other-than-
complex motor-powered aircraft on flights that depart from and arrive at
the same aerodrome or operating site.
▼B
CAT.OP.MPA.137 Routes and areas of operation — helicopters
The operator shall ensure that:
(a) for helicopters operated in performance class 3, surfaces are available that
permit a safe forced landing to be executed, except when the helicopter has
an approval to operate in accordance with CAT.POL.H.420;
(i) the distance flown in 120 minutes at the OEI cruise speed
determined in accordance with (b); or
(b) The operator shall determine a speed for the calculation of the maximum
distance to an adequate aerodrome for each two-engined aeroplane type or
variant operated, not exceeding VMO (maximum operating speed) based
upon the true airspeed that the aeroplane can maintain with one engine
inoperative.
(c) The operator shall include the following data, specific to each type or
variant, in the operations manual:
(d) To obtain the approval referred to in (a)(2), the operator shall provide
evidence that:
▼B
(2) a set of conditions has been implemented to ensure that the aeroplane
and its engines are maintained to meet the necessary reliability criteria;
and
(3) the flight crew and all other operations personnel involved are trained
and suitably qualified to conduct the intended operation.
(1) minimum flight altitudes that provide the required terrain clearance,
taking into account the requirements of Subpart C; and
(b) The method for establishing minimum flight altitudes shall be approved by
the competent authority.
(c) Where the minimum flight altitudes established by the operator and a State
overflown differ, the higher values shall apply.
(b) The operator shall ensure that the planning of flights is based upon at least:
and
(c) The operator shall ensure that the pre-flight calculation of usable fuel
required for a flight includes:
▼B
(iv) additional fuel, if required by the type of operation;
and
(d) The operator shall ensure that in-flight replanning procedures for calculating
usable fuel required when a flight has to proceed along a route or to a
destination aerodrome other than originally planned includes:
and
(A) contingency fuel that is not less than 5 % of the planned trip fuel
or, in the event of in-flight replanning, 5 % of the trip fuel for the
remainder of the flight; and
(B) final reserve fuel to fly for an additional period of 45 minutes for
reciprocating engines or 30 minutes for turbine engines;
(iv) alternate fuel to reach the destination alternate aerodrome via the desti
nation, if a destination alternate aerodrome is required; and
(2) 20 minutes flying time at normal cruising speed when operating within
an area providing continuous and suitable precautionary landing sites.
2012R0965 — EN — 25.08.2013 — 001.001 — 99
▼B
CAT.OP.MPA.155 Carriage of special categories of passengers (SCPs)
(a) Persons requiring special conditions, assistance and/or devices when carried
on a flight shall be considered as SCPs including at least:
(b) SCPs shall be carried under conditions that ensure the safety of the aircraft
and its occupants according to procedures established by the operator.
(c) SCPs shall not be allocated, nor occupy, seats that permit direct access to
emergency exits or where their presence could:
(d) The commander shall be notified in advance when SCPs are to be carried on
board.
(a) only hand baggage that can be adequately and securely stowed is taken into
the passenger compartment; and
(b) all baggage and cargo on board that might cause injury or damage, or
obstruct aisles and exits if displaced, is stowed so as to prevent movement.
▼B
(b) The flight shall not be commenced unless the commander is satisfied that:
(3) the parts of the operations manual that are required for the conduct of
the flight are available;
(6) ground facilities and services required for the planned flight are
available and adequate;
(7) the provisions specified in the operations manual in respect of fuel, oil,
oxygen, minimum safe altitudes, aerodrome operating minima and
availability of alternate aerodromes, where required, can be complied
with for the planned flight; and
(c) Notwithstanding (a), an operational flight plan is not required for operations
under VFR of:
(i) one hour flying time at an OEI cruising speed according to the
AFM in still air standard conditions based on the actual take-off
mass; or
(2) for three and four-engined aeroplanes, two hours flying time at the OEI
cruising speed according to the AFM in still air standard conditions
based on the actual take-off mass.
2012R0965 — EN — 25.08.2013 — 001.001 — 101
▼B
If the AFM does not contain an OEI cruising speed, the speed to be used for
calculation shall be that which is achieved with the remaining engine(s) set
at maximum continuous power.
(b) The operator shall select at least one destination alternate aerodrome for
each instrument flight rules (IFR) flight unless the destination aerodrome
is an isolated aerodrome or:
(1) the duration of the planned flight from take-off to landing or, in the
event of in-flight replanning in accordance with CAT.OP.MPA.150(d),
the remaining flying time to destination does not exceed six hours; and
(2) two separate runways are available and usable at the destination
aerodrome and the appropriate weather reports and/or forecasts for
the destination aerodrome indicate that, for the period from one hour
before until one hour after the expected time of arrival at the desti
nation aerodrome, the ceiling will be at least 2 000 ft or circling height
+ 500 ft, whichever is greater, and the ground visibility will be at least
5 km.
(c) The operator shall select two destination alternate aerodromes when:
(1) the appropriate weather reports and/or forecasts for the destination
aerodrome indicate that during a period commencing one hour before
and ending one hour after the estimated time of arrival, the weather
conditions will be below the applicable planning minima; or
(d) The operator shall specify any required alternate aerodrome(s) in the oper
ational flight plan.
(b) For IFR flights or when flying under VFR and navigating by means other
than by reference to visual landmarks, the commander shall specify at least
one destination alternate aerodrome in the operational flight plan unless:
(1) the destination is a coastal aerodrome and the helicopter is routing from
offshore;
(2) for a flight to any other land destination, the duration of the flight and
the meteorological conditions prevailing are such that, at the estimated
time of arrival at the site of intended landing, an approach and landing
is possible under visual meteorological conditions (VMC); or
(c) The operator shall select two destination alternate aerodromes when:
(1) the appropriate weather reports and/or forecasts for the destination
aerodrome indicate that during a period commencing one hour before
and ending one hour after the estimated time of arrival, the weather
conditions will be below the applicable planning minima; or
2012R0965 — EN — 25.08.2013 — 001.001 — 102
▼B
(2) no meteorological information is available for the destination aero
drome.
(d) The operator may select off-shore destination alternate aerodromes when the
following criteria are applied:
(3) to the extent possible, deck availability shall be guaranteed. The dimen
sions, configuration and obstacle clearance of individual helidecks or
other sites shall be assessed in order to establish operational suitability
for use as an alternate aerodrome by each helicopter type proposed to
be used;
(5) the MEL shall contain specific provisions for this type of operation;
and
(e) The operator shall specify any required alternate aerodrome(s) in the oper
ational flight plan.
(b) Planning minima for a destination aerodrome other than an isolated desti
nation aerodrome
The operator shall only select the destination aerodrome when:
(1) the appropriate weather reports and/or forecasts indicate that, during a
period commencing one hour before and ending one hour after the
estimated time of arrival at the aerodrome, the weather conditions
will be at or above the applicable planning minima as follows:
or
▼B
(c) Planning minima for a destination alternate aerodrome, isolated aero
drome, fuel en-route alternate (fuel ERA) aerodrome, en-route
alternate (ERA) aerodrome
The operator shall only select an aerodrome for one of these purposes when
the appropriate weather reports and/or forecasts indicate that, during a period
commencing one hour before and ending one hour after the estimated time
of arrival at the aerodrome, the weather conditions will be at or above the
planning minima in Table 1.
Table 1
Planning minima
Destination alternate aerodrome, isolated destination aerodrome, fuel ERA
and ERA aerodrome
Circling Circling
(b) Planning minima for destination aerodrome and destination alternate aero
drome(s)
The operator shall only select the destination and/or destination alternate
aerodrome(s) when the appropriate weather reports and/or forecasts indicate
that, during a period commencing one hour before and ending one hour
after the estimated time of arrival at the aerodrome or operating site, the
weather conditions will be at or above the applicable planning minima as
follows:
▼B
(2) planning minima for destination alternate aerodrome(s) are as shown in
Table 1.
Table 1
Planning minima destination alternate aerodrome
(b) When operating from a site where it is impossible to submit an ATS flight
plan, the ATS flight plan shall be transmitted as soon as possible after
take-off by the commander or the operator.
(b) For all other types of fuel, necessary precautions shall be taken and the
aircraft shall be properly manned by qualified personnel ready to initiate and
direct an evacuation of the aircraft by the most practical and expeditious
means available.
(2) During all other phases of flight each flight crew member required to
be on duty in the flight crew compartment shall remain at the assigned
station, unless absence is necessary for the performance of duties in
connection with the operation or for physiological needs, provided at
least one suitably qualified pilot remains at the controls of the aircraft
at all times.
2012R0965 — EN — 25.08.2013 — 001.001 — 105
▼B
(3) During all phases of flight each flight crew member required to be on
duty in the flight crew compartment shall remain alert. If a lack of
alertness is encountered, appropriate countermeasures shall be used. If
unexpected fatigue is experienced, a controlled rest procedure,
organised by the commander, may be used if workload permits.
Controlled rest taken in this way shall not be considered to be part
of a rest period for purposes of calculating flight time limitations nor
used to justify any extension of the duty period.
(i) when receiving the ATC departure clearance via voice communi
cation; and
and
(2) During other phases of the flight, each flight crew member in the flight
crew compartment shall keep the assigned station safety belt fastened
while at his/her station.
2012R0965 — EN — 25.08.2013 — 001.001 — 106
▼B
(b) Passengers
(1) Before take-off and landing, and during taxiing, and whenever deemed
necessary in the interest of safety, the commander shall be satisfied that
each passenger on board occupies a seat or berth with his/her safety
belt or restraint system properly secured.
(2) The operator shall make provisions for multiple occupancy of aircraft
seats that is only allowed on specified seats. The commander shall be
satisfied that multiple occupancy does not occur other than by one
adult and one infant who is properly secured by a supplementary
loop belt or other restraint device.
(b) The commander shall ensure that before take-off and landing, and whenever
deemed necessary in the interest of safety, all equipment and baggage are
properly secured.
(c) while the aircraft is on the surface unless the operator has determined
procedures to mitigate the risks during ground operations;
(e) in cargo compartments and/or other areas where cargo is carried that is not
stored in flame-resistant containers or covered by flame-resistant canvas; and
(2) continue beyond the point from which a revised ATS flight plan
applies in the event of in-flight replanning,
(b) On IFR flights, the commander shall only continue towards the planned
destination aerodrome when the latest information available indicates that,
at the expected time of arrival, the weather conditions at the destination, or
at least one destination alternate aerodrome, are at or above the applicable
aerodrome operating minima.
2012R0965 — EN — 25.08.2013 — 001.001 — 107
▼B
(c) On VFR flights, the commander shall only commence take-off when the
appropriate weather reports and/or forecasts indicate that the meteorological
conditions along the part of the route to be flown under VFR will, at the
appropriate time, be at or above the VFR limits.
(a) the decision point when using the reduced contingency fuel (RCF)
procedure; or
(b) the pre-determined point when using the pre-determined point (PDP)
procedure,
(a) On VFR flights overwater out of sight of land with helicopters, the
commander shall only commence take-off when the appropriate weather
reports and/or forecasts indicate that the cloud ceiling will be above 600
ft by day or 1 200 ft by night.
Table 1
Minima for flying between helidecks located in class G airspace
Day Night
(*) The cloud base shall be such as to allow flight at the specified height, below and
clear of cloud.
(**) Helicopters may be operated in flight visibility down to 800 m provided the
destination or an intermediate structure is continuously visible.
(***) Helicopters may be operated in flight visibility down to 1 500 m provided the
destination or an intermediate structure is continuously visible.
▼B
(b) The commander shall only commence take-off if the aircraft is clear of any
deposit that might adversely affect the performance or controllability of the
aircraft, except as permitted under (a) and in accordance with the AFM.
(b) The commander shall only commence a flight or intentionally fly into
expected or actual icing conditions if the aircraft is certified and equipped
to cope with such conditions.
(c) If icing exceeds the intensity of icing for which the aircraft is certified or if
an aircraft not certified for flight in known icing conditions encounters icing,
the commander shall exit the icing conditions without delay, by a change of
level and/or route, if necessary by declaring an emergency to ATC.
▼B
(a) In-flight fuel checks
(1) The commander shall ensure that fuel checks are carried out in-flight at
regular intervals. The usable remaining fuel shall be recorded and
evaluated to:
(ii) check that the usable remaining fuel is sufficient to complete the
flight, in accordance with (b); and
(2) If an in-flight fuel check shows that the expected usable fuel remaining
on arrival at the destination aerodrome is less than:
(i) the required alternate fuel plus final reserve fuel, the commander
shall take into account the traffic and the operational conditions
prevailing at the destination aerodrome, at the destination alternate
aerodrome and at any other adequate aerodrome in deciding
whether to proceed to the destination aerodrome or to divert so
as to perform a safe landing with not less than final reserve fuel; or
(3) The commander shall declare an emergency when the calculated usable
fuel on landing, at the nearest adequate aerodrome where a safe landing
can be performed, is less than final reserve fuel.
(A) trip fuel from the decision point to the destination 1 aero
drome;
▼B
(ii) On a flight using the PDP procedure to proceed to the destination
aerodrome, the commander shall ensure that the usable fuel
remaining at the PDP is at least the total of:
(b) The commander shall ensure that the amount of usable fuel remaining in
flight is not less than the fuel required to proceed to an aerodrome or
operating site where a safe landing can be made, with final reserve fuel
remaining.
(c) The commander shall declare an emergency when the actual usable fuel on
board is less than final reserve fuel.
▼B
(b) If the reported RVR/VIS is less than the applicable minimum the approach
shall not be continued:
(2) into the final approach segment in the case where the DA/H or MDA/H
is more than 1 000 ft above the aerodrome.
(c) Where the RVR is not available, RVR values may be derived by converting
the reported visibility.
(d) If, after passing 1 000 ft above the aerodrome, the reported RVR/VIS falls
below the applicable minimum, the approach may be continued to DA/H or
MDA/H.
(e) The approach may be continued below DA/H or MDA/H and the landing
may be completed provided that the visual reference adequate for the type of
approach operation and for the intended runway is established at the DA/H
or MDA/H and is maintained.
(f) The touchdown zone RVR shall always be controlling. If reported and
relevant, the midpoint and stopend RVR shall also be controlling. The
minimum RVR value for the midpoint shall be 125 m or the RVR
required for the touchdown zone if less, and 75 m for the stopend. For
aircraft equipped with a rollout guidance or control system, the minimum
RVR value for the midpoint shall be 75 m.
(b) The aircraft categories specified in the table below shall be used.
Table 1
Aircraft categories corresponding to VAT values
A Less than 91 kt
B From 91 to 120 kt
▼B
(c) The landing configuration that is to be taken into consideration shall be
specified in the operations manual.
(d) The operator may apply a lower landing mass for determining the VAT if
approved by the competent authority. Such a lower landing mass shall be a
permanent value, independent of the changing conditions of day-to-day
operations.
SUBPART C
AIRCRAFT PERFORMANCE AND OPERATING LIMITATIONS
SECTION 1
Aeroplanes
CHAPTER 1
General requirements
CAT.POL.A.100 Performance classes
(a) The aeroplane shall be operated in accordance with the applicable
performance class requirements.
(b) Where full compliance with the applicable requirements of this Section
cannot be shown due to specific design characteristics, the operator shall
apply approved performance standards that ensure a level of safety
equivalent to that of the appropriate chapter.
CAT.POL.A.105 General
(a) The mass of the aeroplane:
(2) in the event of in-flight replanning, at the point from which the revised
operational flight plan applies,
shall not be greater than the mass at which the requirements of the appro
priate chapter can be complied with for the flight to be undertaken.
Allowance may be made for expected reductions in mass as the flight
proceeds and for fuel jettisoning.
(b) The approved performance data contained in the AFM shall be used to
determine compliance with the requirements of the appropriate chapter,
supplemented as necessary with other data as prescribed in the relevant
chapter. The operator shall specify other data in the operations manual.
When applying the factors prescribed in the appropriate chapter, account
may be taken of any operational factors already incorporated in the AFM
performance data to avoid double application of factors.
(d) For performance purposes, a damp runway, other than a grass runway, may
be considered to be dry.
(e) The operator shall take account of charting accuracy when assessing the
take-off requirements of the applicable chapters.
2012R0965 — EN — 25.08.2013 — 001.001 — 113
▼B
CHAPTER 2
Performance class A
CAT.POL.A.200 General
(a) The approved performance data in the AFM shall be supplemented as
necessary with other data if the approved performance data in the AFM is
insufficient in respect of items such as:
(c) The use of other data referred to in (a) and equivalent requirements referred
to in (b) shall be specified in the operations manual.
CAT.POL.A.205 Take-off
(a) The take-off mass shall not exceed the maximum take-off mass specified in
the AFM for the pressure altitude and the ambient temperature at the
aerodrome of departure.
(b) The following requirements shall be met when determining the maximum
permitted take-off mass:
(1) the accelerate-stop distance shall not exceed the accelerate-stop distance
available (ASDA);
(2) the take-off distance shall not exceed the take-off distance available,
with a clearway distance not exceeding half of the take-off run
available (TORA);
(4) a single value of V1 shall be used for the rejected and continued
take-off; and
(5) on a wet or contaminated runway, the take-off mass shall not exceed
that permitted for a take-off on a dry runway under the same
conditions.
(c) When showing compliance with (b), the following shall be taken into
account:
(3) the runway surface condition and the type of runway surface;
(5) not more than 50 % of the reported headwind component or not less
than 150 % of the reported tailwind component; and
(6) the loss, if any, of runway length due to alignment of the aeroplane
prior to take-off.
2012R0965 — EN — 25.08.2013 — 001.001 — 114
▼B
CAT.POL.A.210 Take-off obstacle clearance
(a) The net take-off flight path shall be determined in such a way that the
aeroplane clears all obstacles by a vertical distance of at least 35 ft or by
a horizontal distance of at least 90 m plus 0,125 × D, where D is the
horizontal distance the aeroplane has travelled from the end of the
take-off distance available (TODA) or the end of the take-off distance if a
turn is scheduled before the end of the TODA. For aeroplanes with a
wingspan of less than 60 m, a horizontal obstacle clearance of half the
aeroplane wingspan plus 60 m, plus 0,125 × D may be used.
(2) Track changes shall not be allowed up to the point at which the net
take-off flight path has achieved a height equal to one half the
wingspan but not less than 50 ft above the elevation of the end of
the TORA. Thereafter, up to a height of 400 ft it is assumed that the
aeroplane is banked by no more than 15°. Above 400 ft height bank
angles greater than 15°, but not more than 25° may be scheduled.
(3) Any part of the net take-off flight path in which the aeroplane is
banked by more than 15° shall clear all obstacles within the horizontal
distances specified in (a), (b)(6) and (b)(7) by a vertical distance of at
least 50 ft.
(4) Operations that apply increased bank angles of not more than 20°
between 200 ft and 400 ft, or not more than 30° above 400 ft, shall
be carried out in accordance with CAT.POL.A.240.
(5) Adequate allowance shall be made for the effect of bank angle on
operating speeds and flight path including the distance increments
resulting from increased operating speeds.
(6) For cases where the intended flight path does not require track changes
of more than 15°, the operator does not need to consider those
obstacles that have a lateral distance greater than:
(7) For cases where the intended flight path requires track changes of more
than 15°, the operator does not need to consider those obstacles that
have a lateral distance greater than:
▼B
(c) The operator shall establish contingency procedures to satisfy the
requirements in (a) and (b) and to provide a safe route, avoiding obstacles,
to enable the aeroplane to either comply with the en-route requirements of
CAT.POL.A.215, or land at either the aerodrome of departure or at a take-
off alternate aerodrome.
(b) The gradient of the net flight path shall be positive at least 1 000 ft above all
terrain and obstructions along the route within 9,3 km (5 NM) on either side
of the intended track.
(c) The net flight path shall permit the aeroplane to continue flight from the
cruising altitude to an aerodrome where a landing can be made in
accordance with CAT.POL.A.225 or CAT.POL.A.230, as appropriate. The
net flight path shall clear vertically, by at least 2 000 ft, all terrain and
obstructions along the route within 9,3 km (5 NM) on either side of the
intended track in accordance with the following:
(1) the engine is assumed to fail at the most critical point along the route;
(4) the aerodrome where the aeroplane is assumed to land after engine
failure shall meet the following criteria:
(ii) weather reports and/or forecasts and field condition reports indicate
that a safe landing can be accomplished at the estimated time of
landing.
(d) The operator shall increase the width margins of (b) and (c) to 18,5 km (10
NM) if the navigational accuracy does not meet at least required navigation
performance 5 (RNP5).
▼B
(b) The two-engines-inoperative en-route net flight path data shall allow the
aeroplane to continue the flight, in the expected meteorological conditions,
from the point where two engines are assumed to fail simultaneously to an
aerodrome at which it is possible to land and come to a complete stop when
using the prescribed procedure for a landing with two engines inoperative.
The net flight path shall clear vertically, by at least 2 000 ft, all terrain and
obstructions along the route within 9,3 km (5 NM) on either side of the
intended track. At altitudes and in meteorological conditions requiring ice
protection systems to be operable, the effect of their use on the net flight
path data shall be taken into account. If the navigational accuracy does not
meet at least RNP5, the operator shall increase the width margin given
above to 18,5 km (10 NM).
(c) The two engines shall be assumed to fail at the most critical point of that
portion of the route where the aeroplane is more than 90 minutes, at the
all-engines long range cruising speed at standard temperature in still air,
away from an aerodrome at which the performance requirements applicable
at the expected landing mass are met.
(d) The net flight path shall have a positive gradient at 1 500 ft above the
aerodrome where the landing is assumed to be made after the failure of
two engines.
(e) Fuel jettisoning shall be permitted to an extent consistent with reaching the
aerodrome with the required fuel reserves, if a safe procedure is used.
(f) The expected mass of the aeroplane at the point where the two engines are
assumed to fail shall not be less than that which would include sufficient
fuel to proceed to an aerodrome where the landing is assumed to be made,
and to arrive there at least 1 500 ft directly over the landing area and
thereafter to fly level for 15 minutes.
(b) For steep approach operations, the operator shall use the landing distance
data factored in accordance with (a), based on a screen height of less than
60 ft, but not less than 35 ft, and shall comply with CAT.POL.A.245.
(c) For short landing operations, the operator shall use the landing distance data
factored in accordance with (a) and shall comply with CAT.POL.A.250.
2012R0965 — EN — 25.08.2013 — 001.001 — 117
▼B
(d) When determining the landing mass, the operator shall take the following
into account:
(2) not more than 50 % of the headwind component or not less than 150 %
of the tailwind component; and
(1) the aeroplane will land on the most favourable runway, in still air; and
(2) the aeroplane will land on the runway most likely to be assigned,
considering the probable wind speed and direction, the ground
handling characteristics of the aeroplane and other conditions such as
landing aids and terrain.
(f) If the operator is unable to comply with (e)(1) for a destination aerodrome
having a single runway where a landing depends upon a specified wind
component, the aeroplane may be dispatched if two alternate aerodromes are
designated that permit full compliance with (a) to (e). Before commencing
an approach to land at the destination aerodrome, the commander shall
check that a landing can be made in full compliance with (a) to (d) and
CAT.POL.A.225.
(g) If the operator is unable to comply with (e)(2) for the destination aerodrome,
the aeroplane shall be only dispatched if an alternate aerodrome is
designated that allows full compliance with (a) to (e).
(b) When the appropriate weather reports and/or forecasts indicate that the
runway at the estimated time of arrival may be contaminated, the LDA
shall be at least the landing distance determined in accordance with (a),
or at least 115 % of the landing distance determined in accordance with
approved contaminated landing distance data or equivalent, whichever is
greater. The operator shall specify in the operations manual if equivalent
landing distance data are to be applied.
(c) A landing distance on a wet runway shorter than that required by (a), but
not less than that required by CAT.POL.A.230(a), may be used if the AFM
includes specific additional information about landing distances on wet
runways.
▼B
(e) For (b), (c) and (d), the criteria of CAT.POL.A.230 shall be applied accord
ingly, except that CAT.POL.A.230(a) shall not be applied to (b) above.
(b) To obtain the approval, the operator shall provide evidence that the
following conditions are met:
(1) the AFM contains approved data for the required increase of operating
speed and data to allow the construction of the flight path considering
the increased bank angles and speeds;
(3) weather minima and wind limitations are specified for each runway;
and
(4) the flight crew has obtained adequate knowledge of the route to be
flown and of the procedures to be used in accordance with
ORO.OPS.FC.
(b) To obtain the approval, the operator shall provide evidence that the
following conditions are met:
(1) the AFM states the maximum approved glideslope angle, any other
limitations, normal, abnormal or emergency procedures for the steep
approach as well as amendments to the field length data when using
steep approach criteria;
▼B
CAT.POL.A.250 Approval of short landing operations
(a) Short landing operations require prior approval by the competent authority.
(b) To obtain the approval, the operator shall provide evidence that the
following conditions are met:
(1) the distance used for the calculation of the permitted landing mass may
consist of the usable length of the declared safe area plus the declared
LDA;
(2) the State of the aerodrome has determined a public interest and oper
ational necessity for the operation, either due to the remoteness of the
aerodrome or to physical limitations relating to extending the runway;
(3) the vertical distance between the path of the pilot’s eye and the path of
the lowest part of the wheels, with the aeroplane established on the
normal glide path, does not exceed 3 m;
(4) RVR/VIS minimum shall not be less than 1 500 m and wind limitations
are specified in the operations manual;
(6) the crossing height over the beginning of the usable length of the
declared safe area is 50 ft;
(7) the use of the declared safe area is approved by the State of the aero
drome;
(8) the usable length of the declared safe area does not exceed 90 m;
(9) the width of the declared safe area is not less than twice the runway
width or twice the wing span, whichever is greater, centred on the
extended runway centre line;
(10) the declared safe area is clear of obstructions or depressions that would
endanger an aeroplane undershooting the runway and no mobile object
is permitted on the declared safe area while the runway is being used
for short landing operations;
(11) the slope of the declared safe area does not exceed 5 % upward nor
2 % downward in the direction of landing; and
CHAPTER 3
Performance class B
CAT.POL.A.300 General
(a) The operator shall not operate a single-engined aeroplane:
(1) at night; or
▼B
(b) The operator shall treat two-engined aeroplanes that do not meet the climb
requirements of CAT.POL.A.340 as single-engined aeroplanes.
CAT.POL.A.305 Take-off
(a) The take-off mass shall not exceed the maximum take-off mass specified in
the AFM for the pressure altitude and the ambient temperature at the
aerodrome of departure.
(b) The unfactored take-off distance, specified in the AFM, shall not exceed:
(1) when multiplied by a factor of 1,25, the take-off run available (TORA);
or
(c) When showing compliance with (b), the following shall be taken into
account:
(1) the mass of the aeroplane at the commencement of the take-off run;
(4) the runway surface condition and the type of runway surface;
(6) not more than 50 % of the reported headwind component or not less
than 150 % of the reported tailwind component.
(1) the take-off flight path begins at a height of 50 ft above the surface at
the end of the take-off distance required by CAT.POL.A.305(b) and
ends at a height of 1 500 ft above the surface;
(2) the aeroplane is not banked before the aeroplane has reached a height
of 50 ft above the surface, and thereafter the angle of bank does not
exceed 15°;
(3) failure of the critical engine occurs at the point on the all engine
take-off flight path where visual reference for the purpose of
avoiding obstacles is expected to be lost;
2012R0965 — EN — 25.08.2013 — 001.001 — 121
▼B
(4) the gradient of the take-off flight path from 50 ft to the assumed engine
failure height is equal to the average all-engines gradient during climb
and transition to the en-route configuration, multiplied by a factor of
0,77; and
(5) the gradient of the take-off flight path from the height reached in
accordance with (a)(4) to the end of the take-off flight path is equal
to the OEI en-route climb gradient shown in the AFM.
(b) For cases where the intended flight path does not require track changes of
more than 15°, the operator does not need to consider those obstacles that
have a lateral distance greater than:
(c) For cases where the intended flight path requires track changes of more than
15°, the operator does not need to consider those obstacles that have a
lateral distance greater than:
(1) 600 m, for flights under conditions allowing visual course guidance
navigation; or
(d) When showing compliance with (a) to (c), the following shall be taken into
account:
(1) the mass of the aeroplane at the commencement of the take-off run;
(4) not more than 50 % of the reported headwind component or not less
than 150 % of the reported tailwind component.
(1) the aeroplane is not flying at an altitude exceeding that at which the
rate of climb equals 300 ft per minute with all engines operating within
the maximum continuous power conditions specified; and
(2) the en-route gradient with OEI shall be the gross gradient of descent or
climb, as appropriate, respectively increased by a gradient of 0,5 %, or
decreased by a gradient of 0,5 %.
▼B
(b) It shall be assumed that, at the point of engine failure:
(1) the aeroplane is not flying at an altitude exceeding that at which the
rate of climb equals 300 ft per minute, with the engine operating within
the maximum continuous power conditions specified; and
(2) not more than 50 % of the headwind component or not less than 150 %
of the tailwind component;
(3) the runway surface condition and the type of runway surface; and
(b) For steep approach operations, the operator shall use landing distance data
factored in accordance with (a) based on a screen height of less than 60 ft,
but not less than 35 ft, and comply with CAT.POL.A.345.
(c) For short landing operations, the operator shall use landing distance data
factored in accordance with (a) and comply with CAT.POL.A.350.
(d) For dispatching the aeroplane in accordance with (a) to (c), it shall be
assumed that:
(1) the aeroplane will land on the most favourable runway, in still air; and
(2) the aeroplane will land on the runway most likely to be assigned
considering the probable wind speed and direction, the ground
handling characteristics of the aeroplane and other conditions such as
landing aids and terrain.
(e) If the operator is unable to comply with (d)(2) for the destination aero
drome, the aeroplane shall only be dispatched if an alternate aerodrome is
designated that permits full compliance with (a) to (d).
▼B
(b) When the appropriate weather reports and/or forecasts indicate that the
runway at the estimated time of arrival may be contaminated, the landing
distance shall not exceed the LDA. The operator shall specify in the oper
ations manual the landing distance data to be applied.
(c) A landing distance on a wet runway shorter than that required by (a), but
not less than that required by CAT.POL.A.330(a), may be used if the AFM
includes specific additional information about landing distances on wet
runways.
(B) the landing gear extended, except that if the landing gear can
be retracted in not more than seven seconds, it may be
assumed to be retracted;
(D) a climb speed not less than the greater of 1,1 VMC (minimum
control speed on or near ground) and 1,2 VS1 (stall speed or
minimum steady flight speed in the landing configuration).
(2) OEI
(i) The steady gradient of climb at an altitude of 400 ft above the
take-off surface shall be measurably positive with:
(ii) The steady gradient of climb shall be not less than 0,75 % at an
altitude of 1 500 ft above the take-off surface with:
▼B
(b) Landing climb
(1) All engines operating
(i) The steady gradient of climb shall be at least 2,5 % with:
(A) not more than the power or thrust that is available eight
seconds after initiation of movement of the power controls
from the minimum flight idle position;
(2) OEI
(i) The steady gradient of climb shall be not less than 0,75 % at an
altitude of 1 500 ft above the landing surface with:
(b) To obtain the approval, the operator shall provide evidence that the
following conditions are met:
(1) the AFM states the maximum approved glideslope angle, any other
limitations, normal, abnormal or emergency procedures for the steep
approach as well as amendments to the field length data when using
steep approach criteria; and
▼B
(F) AFM limitations and procedures; and
(b) To obtain the approval, the operator shall provide evidence that the
following conditions are met:
(1) the distance used for the calculation of the permitted landing mass may
consist of the usable length of the declared safe area plus the declared
LDA;
(2) the use of the declared safe area is approved by the State of the aero
drome;
(3) the declared safe area is clear of obstructions or depressions that would
endanger an aeroplane undershooting the runway and no mobile object
is permitted on the declared safe area while the runway is being used
for short landing operations;
(4) the slope of the declared safe area does not exceed 5 % upward nor
2 % downward slope in the direction of landing;
(5) the usable length of the declared safe area does not exceed 90 m;
(6) the width of the declared safe area is not less than twice the runway
width, centred on the extended runway centreline;
(7) the crossing height over the beginning of the usable length of the
declared safe area is not less than 50 ft;
(8) weather minima are specified for each runway to be used and are not
less than the greater of VFR or NPA minima;
CHAPTER 4
Performance class C
CAT.POL.A.400 Take-off
(a) The take-off mass shall not exceed the maximum take-off mass specified in
the AFM for the pressure altitude and the ambient temperature at the
aerodrome of departure.
(b) For aeroplanes that have take-off field length data contained in their AFM
that do not include engine failure accountability, the distance from the start
of the take-off roll required by the aeroplane to reach a height of 50 ft above
the surface with all engines operating within the maximum take-off power
conditions specified, when multiplied by a factor of either:
▼B
(2) 1,25 for aeroplanes having three engines; or
shall not exceed the take-off run available (TORA) at the aerodrome at
which the take-off is to be made.
(c) For aeroplanes that have take-off field length data contained in their AFM
which accounts for engine failure, the following requirements shall be met
in accordance with the specifications in the AFM:
(2) the take-off distance shall not exceed the take-off distance
available (TODA), with a clearway distance not exceeding half of
the TORA;
(4) a single value of V1 for the rejected and continued take-off shall be
used; and
(5) on a wet or contaminated runway the take-off mass shall not exceed
that permitted for a take-off on a dry runway under the same
conditions.
(3) the runway surface condition and the type of runway surface;
(5) not more that 50 % of the reported headwind component or not less
than 150 % of the reported tailwind component; and
(6) the loss, if any, of runway length due to alignment of the aeroplane
prior to take-off.
(b) The take-off flight path shall begin at a height of 50 ft above the surface at
the end of the take-off distance required by CAT.POL.A.405(b) or (c), as
applicable, and end at a height of 1 500 ft above the surface.
(c) When showing compliance with (a), the following shall be taken into
account:
(1) the mass of the aeroplane at the commencement of the take-off run;
(4) not more than 50 % of the reported headwind component or not less
than 150 % of the reported tailwind component.
2012R0965 — EN — 25.08.2013 — 001.001 — 127
▼B
(d) Track changes shall not be allowed up to that point of the take-off flight
path where a height of 50 ft above the surface has been achieved. There
after, up to a height of 400 ft it is assumed that the aeroplane is banked by
no more than 15°. Above 400 ft height bank angles greater than 15°, but not
more than 25°, may be scheduled. Adequate allowance shall be made for the
effect of bank angle on operating speeds and flight path, including the
distance increments resulting from increased operating speeds.
(e) For cases that do not require track changes of more than 15°, the operator
does not need to consider those obstacles that have a lateral distance greater
than:
(f) For cases that do require track changes of more than 15°, the operator does
not need to consider those obstacles that have a lateral distance greater than:
(g) The operator shall establish contingency procedures to satisfy (a) to (f) and
to provide a safe route, avoiding obstacles, to enable the aeroplane to either
comply with the en-route requirements of CAT.POL.A.410, or land at either
the aerodrome of departure or at a take-off alternate aerodrome.
(1) the minimum altitudes for safe flight on each stage of the route to be
flown, or of any planned diversion therefrom, specified in or calculated
from the information contained in the operations manual relating to the
aeroplane; and
(2) the minimum altitudes necessary for compliance with the conditions
prescribed in CAT.POL.A.415 and 420, as appropriate.
(2) 2 000 ft, when the rate of climb is less than zero.
2012R0965 — EN — 25.08.2013 — 001.001 — 128
▼B
(b) The flight path shall have a positive slope at an altitude of 450 m (1 500 ft)
above the aerodrome where the landing is assumed to be made after the
failure of one engine.
(c) The available rate of climb of the aeroplane shall be taken to be 150 ft per
minute less than the gross rate of climb specified.
(d) The width margins of (a) shall be increased to 18,5 km (10 NM) if the
navigational accuracy does not meet at least RNP5.
(c) The two engines are assumed to fail at the most critical point of that portion
of the route where the aeroplane is more than 90 minutes, at the all-engines
long range cruising speed at standard temperature in still air, away from an
aerodrome at which the performance requirements applicable at the expected
landing mass are met.
(d) The expected mass of the aeroplane at the point where the two engines are
assumed to fail shall not be less than that which would include sufficient
fuel to proceed to an aerodrome where the landing is assumed to be made,
and to arrive there at an altitude of a least 450 m (1 500 ft) directly over the
landing area and thereafter to fly level for 15 minutes.
(e) The available rate of climb of the aeroplane shall be taken to be 150 ft per
minute less than that specified.
(f) The width margins of (b) shall be increased to 18,5 km (10 NM) if the
navigational accuracy does not meet at least RNP5.
▼B
CAT.POL.A.430 Landing — dry runways
(a) The landing mass of the aeroplane determined in accordance with
CAT.POL.A.105(a) for the estimated time of landing at the destination
aerodrome and any alternate aerodrome shall allow a full stop landing
from 50 ft above the threshold within 70 % of the LDA taking into account:
(2) not more than 50 % of the headwind component or not less than 150 %
of the tailwind component;
(1) the aeroplane will land on the most favourable runway in still air; and
(2) the aeroplane will land on the runway most likely to be assigned
considering the probable wind speed and direction, the ground
handling characteristics of the aeroplane and other conditions such as
landing aids and terrain.
(c) If the operator is unable to comply with (b)(2) for the destination aero
drome, the aeroplane shall only be dispatched if an alternate aerodrome is
designated that permits full compliance with (a) and (b).
(b) When the appropriate weather reports and/or forecasts indicate that the
runway at the estimated time of arrival may be contaminated, the landing
distance shall not exceed the LDA. The operator shall specify in the oper
ations manual the landing distance data to be applied.
SECTION 2
Helicopters
CHAPTER 1
General requirements
CAT.POL.H.100 Applicability
(a) Helicopters shall be operated in accordance with the applicable performance
class requirements.
(2) when having an MOPSC of more than 19, except when operated
to/from a helideck in performance class 2 under an approval in
accordance with CAT.POL.H.305.
2012R0965 — EN — 25.08.2013 — 001.001 — 130
▼B
(c) Unless otherwise prescribed by (b), helicopters that have an MOPSC of 19
or less but more than nine shall be operated in performance class 1 or 2.
(d) Unless otherwise prescribed by (b), helicopters that have an MOPSC of nine
or less shall be operated in performance class 1, 2 or 3.
CAT.POL.H.105 General
(a) The mass of the helicopter:
(2) in the event of in-flight replanning, at the point from which the revised
operational flight plan applies,
shall not be greater than the mass at which the applicable requirements of
this Section can be complied with for the flight to be undertaken, taking into
account expected reductions in mass as the flight proceeds and such fuel
jettisoning as is provided for in the relevant requirement.
(b) The approved performance data contained in the AFM shall be used to
determine compliance with the requirements of this Section, supplemented
as necessary with other data as prescribed in the relevant requirement. The
operator shall specify such other data in the operations manual. When
applying the factors prescribed in this Section, account may be taken of
any operational factors already incorporated in the AFM performance data to
avoid double application of factors.
(c) When showing compliance with the requirements of this Section, account
shall be taken of the following parameters:
(ii) wind:
(A) except as provided in (C), for take-off, take-off flight path and
landing requirements, accountability for wind shall be no more
than 50 % of any reported steady headwind component of 5 kt
or more;
▼B
(4) the operating techniques; and
(i) half of the minimum width defined in the AFM — or, when no
width is defined, ‘0,75 × D’, where D is the largest dimension of
the helicopter when the rotors are turning;
(iii) plus:
(A) 0,10 × distance DR, for operations under IFR with accurate
course guidance;
(B) 0,15 × distance DR, for operations under IFR with standard
course guidance; or
(ii) When considering the missed approach flight path, the divergence
of the obstacle accountability area only applies after the end of the
take-off distance available.
(3) For operations with initial take-off conducted visually and converted to
IFR/IMC at a transition point, the criteria required in (1) apply up to
the transition point, and the criteria required in (2) apply after the
transition point. The transition point cannot be located before the end
of the take-off distance required for helicopters (TODRH) operating in
performance class 1 or before the defined point after take-off (DPATO)
for helicopters operating in performance class 2.
(b) For take-off using a back-up or a lateral transition procedure, for the
purpose of obstacle clearance requirements, an obstacle located in the
back-up or lateral transition area shall be considered if its lateral distance
from the nearest point on the surface below the intended flight path is not
further than:
(1) half of the minimum width defined in the AFM or, when no width is
defined, ‘0,75 × D’;
2012R0965 — EN — 25.08.2013 — 001.001 — 132
▼B
(2) plus the greater of ‘0,25 × D’ or ‘3 m’;
(3) plus:
(i) for operations under VFR by day 0,10 × the distance travelled from
the back of the FATO, or
(ii) for operations under VFR at night 0,15 × the distance travelled
from the back of the FATO.
(1) 7 × rotor radius (R) for day operations, if it is assured that navigational
accuracy can be achieved by reference to suitable visual cues during
the climb;
CHAPTER 2
Performance class 1
CAT.POL.H.200 General
Helicopters operated in performance class 1 shall be certified in category A or
equivalent as determined by the Agency.
CAT.POL.H.205 Take-off
(a) The take-off mass shall not exceed the maximum take-off mass specified in
the AFM for the procedure to be used.
(1) it is possible to reject the take-off and land on the FATO in case of the
critical engine failure being recognised at or before the take-off
decision point (TDP);
(2) the rejected take-off distance required (RTODRH) does not exceed the
rejected take-off distance available (RTODAH); and
(3) the TODRH does not exceed the take-off distance available (TODAH).
(4) Notwithstanding (b)(3), the TODRH may exceed the TODAH if the
helicopter, with the critical engine failure recognised at TDP can, when
continuing the take-off, clear all obstacles to the end of the TODRH by
a vertical margin of not less than 10,7 m (35 ft).
(c) When showing compliance with (a) and (b), account shall be taken of the
appropriate parameters of CAT.POL.H.105(c) at the aerodrome or operating
site of departure.
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▼B
(d) That part of the take-off up to and including TDP shall be conducted in
sight of the surface such that a rejected take-off can be carried out.
(e) For take-off using a backup or lateral transition procedure, with the critical
engine failure recognition at or before the TDP, all obstacles in the back-up
or lateral transition area shall be cleared by an adequate margin.
(1) The take-off mass shall be such that the take-off flight path provides a
vertical clearance, above all obstacles located in the climb path, of not
less than 10,7 m (35 ft) for operations under VFR and 10,7 m (35
ft) + 0,01 × distance DR for operations under IFR. Only obstacles as
specified in CAT.POL.H.110 have to be considered.
(b) When showing compliance with (a), account shall be taken of the appro
priate parameters of CAT.POL.H.105(c) at the aerodrome or operating site
of departure.
(1) When it is intended that the flight will be conducted at any time out of
sight of the surface, the mass of the helicopter permits a rate of climb
of at least 50 ft/minute with the critical engine inoperative at an altitude
of at least 300 m (1 000 ft), or 600 m (2 000 ft) in areas of moun
tainous terrain, above all terrain and obstacles along the route within
9,3 km (5 NM) on either side of the intended track.
(2) When it is intended that the flight will be conducted without the
surface in sight, the flight path permits the helicopter to continue
flight from the cruising altitude to a height of 300 m (1 000 ft)
above a landing site where a landing can be made in accordance
with CAT.POL.H.220. The flight path clears vertically, by at least
300 m (1 000 ft) or 600 m (2 000 ft) in areas of mountainous
terrain, all terrain and obstacles along the route within 9,3 km (5
NM) on either side of the intended track. Drift-down techniques may
be used.
(3) When it is intended that the flight will be conducted in VMC with the
surface in sight, the flight path permits the helicopter to continue flight
from the cruising altitude to a height of 300 m (1 000 ft) above a
landing site where a landing can be made in accordance with
CAT.POL.H.220, without flying at any time below the appropriate
minimum flight altitude. Obstacles within 900 m on either side of
the route need to be considered.
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▼B
(b) When showing compliance with (a)(2) or (a)(3):
(1) the critical engine is assumed to fail at the most critical point along the
route;
(c) The width margins of (a)(1) and (a)(2) shall be increased to 18,5 km (10
NM) if the navigational accuracy cannot be met for 95 % of the total flight
time.
CAT.POL.H.220 Landing
(a) The landing mass of the helicopter at the estimated time of landing shall not
exceed the maximum mass specified in the AFM for the procedure to be
used.
(b) In the event of the critical engine failure being recognised at any point at or
before the landing decision point (LDP), it is possible either to land and stop
within the FATO, or to perform a balked landing and clear all obstacles in
the flight path by a vertical margin of 10,7 m (35 ft). Only obstacles as
specified in CAT.POL.H.110 have to be considered.
(c) In the event of the critical engine failure being recognised at any point at or
after the LDP, it is possible to:
(d) When showing compliance with (a) to (c), account shall be taken of the
appropriate parameters of CAT.POL.H.105(c) for the estimated time of
landing at the destination aerodrome or operating site, or any alternate if
required.
(e) That part of the landing from the LDP to touchdown shall be conducted in
sight of the surface.
(2) the size of the PIS or obstacle environment does not permit compliance
with the requirements for operation in performance class 1;
▼B
(5) the helicopter mass does not exceed the maximum mass specified in
the AFM for a climb gradient of 8 % in still air at the appropriate
take-off safety speed (VTOSS) with the critical engine inoperative and
the remaining engines operating at an appropriate power rating; and
(6) the operator has obtained prior approval for the operation from the
competent authority. Before such operations take place in another
Member State, the operator shall obtain an endorsement from the
competent authority of that State.
(c) The operations manual shall contain for each PIS: a diagram or annotated
photograph, showing the main aspects, the dimensions, the
non-conformance with the requirements performance class 1, the main
hazards and the contingency plan should an incident occur.
CHAPTER 3
Performance class 2
CAT.POL.H.300 General
Helicopters operated in performance class 2 shall be certified in category A or
equivalent as determined by the Agency.
and
▼B
CAT.POL.H.310 Take-off
(a) The take-off mass shall not exceed the maximum mass specified for a rate
of climb of 150 ft/min at 300 m (1 000 ft) above the level of the aerodrome
or operating site with the critical engine inoperative and the remaining
engine(s) operating at an appropriate power rating.
(b) For operations other than those specified in CAT.POL.H.305, the take-off
shall be conducted such that a safe forced landing can be executed until the
point where safe continuation of the flight is possible.
(1) the take-off mass shall not exceed the maximum mass specified in the
AFM for an all engines operative out of ground effect (AEO OGE)
hover in still air with all engines operating at an appropriate power
rating; or
the take-off mass shall take into account: the procedure; deck-edge miss and
drop down appropriate to the height of the helideck with the critical
engine(s) inoperative and the remaining engines operating at an appropriate
power rating.
(d) When showing compliance with (a) to (c), account shall be taken of the
appropriate parameters of CAT.POL.H.105(c) at the point of departure.
(e) That part of the take-off before the requirement of CAT.POL.H.315 is met
shall be conducted in sight of the surface.
CAT.POL.H.325 Landing
(a) The landing mass at the estimated time of landing shall not exceed the
maximum mass specified for a rate of climb of 150 ft/min at 300 m
(1 000 ft) above the level of the aerodrome or operating site with the
critical engine inoperative and the remaining engine(s) operating at an
appropriate power rating.
(b) If the critical engine fails at any point in the approach path:
(2) for operations other than those specified in CAT.POL.H.305, the heli
copter can perform a safe forced landing.
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▼B
(c) For operations in accordance with CAT.POL.H.305, in addition to the
requirements of (a):
(1) the landing mass shall not exceed the maximum mass specified in the
AFM for an AEO OGE hover in still air with all engines operating at
an appropriate power rating; or
the landing mass shall take into account the procedure and drop down
appropriate to the height of the helideck with the critical engine inoperative
and the remaining engine(s) operating at an appropriate power rating.
(d) When showing compliance with (a) to (c), account shall be taken of the
appropriate parameters of CAT.POL.H.105(c) at the destination aerodrome
or any alternate, if required.
(e) That part of the landing after which the requirement of (b)(1) cannot be met
shall be conducted in sight of the surface.
CHAPTER 4
Performance class 3
CAT.POL.H.400 General
(a) Helicopters operated in performance class 3 shall be certified in category A
or equivalent as determined by the Agency, or category B.
(2) for the take-off and landing phase, when operating in accordance with (c).
(1) during take-off, before reaching Vy (speed for best rate of climb) or
200 ft above the take-off surface; or
(2) at night;
▼B
CAT.POL.H.405 Take-off
(a) The take-off mass shall be the lower of:
(2) the maximum take-off mass specified for a hover in ground effect with
all engines operating at take-off power, or if conditions are such that a
hover in ground effect is not likely to be established, the take-off mass
specified for a hover out of ground effect with all engines operating at
take-off power.
CAT.POL.H.410 En-route
(a) The helicopter shall be able, with all engines operating within the maximum
continuous power conditions, to continue along its intended route or to a
planned diversion without flying at any point below the appropriate
minimum flight altitude.
CAT.POL.H.415 Landing
(a) The landing mass of the helicopter at the estimated time of landing shall be
the lower of:
(2) the maximum landing mass specified for a hover in ground effect, with
all engines operating at take-off power, or if conditions are such that a
hover in ground effect is not likely to be established, the landing mass
for a hover out of ground effect with all engines operating at take-off
power.
(1) only conduct these operations in the areas and under the conditions
specified in the approval;
▼B
(c) Notwithstanding CAT.IDE.H.240, such operations may be conducted
without supplemental oxygen equipment, provided the cabin altitude does
not exceed 10 000 ft for a period in excess of 30 minutes and never exceeds
13 000 ft pressure altitude.
SECTION 3
Mass and balance
CHAPTER 1
Motor-powered aircraft
CAT.POL.MAB.100 Mass and balance, loading
(a) During any phase of operation, the loading, mass and centre of gravity (CG)
of the aircraft shall comply with the limitations specified in the AFM, or the
operations manual if more restrictive.
(b) The operator shall establish the mass and the CG of any aircraft by actual
weighing prior to initial entry into service and thereafter at intervals of four
years if individual aircraft masses are used, or nine years if fleet masses are
used. The accumulated effects of modifications and repairs on the mass and
balance shall be accounted for and properly documented. Aircraft shall be
reweighed if the effect of modifications on the mass and balance is not
accurately known.
(d) The operator shall determine the mass of all operating items and crew
members included in the aircraft dry operating mass by weighing or by
using standard masses. The influence of their position on the aircraft’s
CG shall be determined.
(e) The operator shall establish the mass of the traffic load, including any
ballast, by actual weighing or by determining the mass of the traffic load
in accordance with standard passenger and baggage masses.
(f) In addition to standard masses for passengers and checked baggage, the
operator can use standard masses for other load items, if it demonstrates
to the competent authority that these items have the same mass or that their
masses are within specified tolerances.
(g) The operator shall determine the mass of the fuel load by using the actual
density or, if not known, the density calculated in accordance with a method
specified in the operations manual.
(2) traffic load is consistent with the data used for the calculation of the
aircraft mass and balance.
(i) The operator shall comply with additional structural limits such as the floor
strength limitations, the maximum load per running metre, the maximum
mass per cargo compartment and the maximum seating limit. For heli
copters, in addition, the operator shall take account of in-flight changes in
loading.
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▼B
(j) The operator shall specify, in the operations manual, the principles and
methods involved in the loading and in the mass and balance system that
meet the requirements contained in (a) to (i). This system shall cover all
types of intended operations.
(6) Mass of the fuel at take-off and the mass of trip fuel;
(c) The person supervising the loading of the aircraft shall confirm by hand
signature or equivalent that the load and its distribution are in accordance
with the mass and balance documentation given to the commander. The
commander shall indicate his/her acceptance by hand signature or equiv
alent.
(d) The operator shall specify procedures for last minute changes to the load to
ensure that:
(1) any last minute change after the completion of the mass and balance
documentation is brought to the attention of the commander and
entered in the flight planning documents containing the mass and
balance documentation;
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▼B
(2) the maximum last minute change allowed in passenger numbers or hold
load is specified; and
(e) The operator shall obtain approval by the competent authority if he/she
wishes to use an onboard integrated mass and balance computer system
or a stand-alone computerised mass and balance system as a primary
source for dispatch. The operator shall demonstrate the accuracy and relia
bility of that system.
SUBPART D
INSTRUMENTS, DATA, EQUIPMENT
SECTION 1
Aeroplanes
CAT.IDE.A.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with Regulation (EC) No 1702/2003, except for the following
items:
(7) Megaphones;
(b) Instruments and equipment not required by this Subpart that do not need to
be approved in accordance with Regulation (EC) No 1702/2003, but are
carried on a flight, shall comply with the following:
(2) the instruments and equipment shall not affect the airworthiness of the
aeroplane, even in the case of failures or malfunction.
▼B
(d) Those instruments that are used by any flight crew member shall be so
arranged as to permit the flight crew member to see the indications
readily from his/her station, with the minimum practicable deviation from
the position and line of vision that he/she normally assumes when looking
forward along the flight path.
(e) All required emergency equipment shall be easily accessible for immediate
use.
(b) the operator is approved by the competent authority to operate the aeroplane
within the constraints of the master minimum equipment list (MMEL).
(b) The number of spare fuses that are required to be carried shall be the higher
of:
(4) an independent portable light for each required crew member readily
accessible to crew members when seated at their designated stations.
(2) two landing lights or a single light having two separately energised
filaments; and
▼B
CAT.IDE.A.125 Operations under VFR by day — flight and navigational
instruments and associated equipment
(a) Aeroplanes operated under VFR by day shall be equipped with the
following equipment, available at the pilot’s station:
(vii) Attitude;
(viii) Heading;
(2) A means of indicating when the supply of power to the required flight
instruments is not adequate.
(b) Whenever two pilots are required for the operation, an additional separate
means of displaying the following shall be available for the second pilot:
(6) Heading.
(c) A means for preventing malfunction of the airspeed indicating systems due
to condensation or icing shall be available for:
(d) Single engine aeroplanes first issued with an individual CofA before
22 May 1995 are exempted from the requirements of (a)(1)(vi), (a)(1)(vii),
(a)(1)(viii) and (a)(1)(ix) if the compliance would require retrofitting.
▼B
(4) Vertical speed;
(5) Turn and slip, or in the case of aeroplanes equipped with a standby
means of measuring and displaying attitude, slip;
(6) Attitude;
(c) A means of indicating when the supply of power to the required flight
instruments is not adequate.
(e) A means of annunciating to the flight crew the failure of the means required
in (d) for aeroplanes:
(2) issued with an individual CofA before 1 April 1998 with an MCTOM
of more than 5 700 kg, and with an MOPSC of more than nine.
(g) One static pressure system and one alternate source of static pressure for
propeller-driven aeroplanes with an MCTOM of 5 700 kg or less.
(h) Whenever two pilots are required for the operation, a separate means of
displaying for the second pilot:
(i) A standby means of measuring and displaying attitude capable of being used
from either pilot’s station for aeroplanes with an MCTOM of more than
5 700 kg or an MOPSC of more than nine that:
▼B
(4) is operative automatically after total failure of the normal electrical
generating system;
(6) is clearly evident to the flight crew when the standby attitude indicator
is being operated by emergency power; and
(7) where the standby attitude indicator has its own dedicated power
supply, has an associated indication, either on the instrument or on
the instrument panel, when this supply is in use.
(j) A chart holder in an easily readable position that can be illuminated for
night operations.
(1) alerting the flight crew when approaching a preselected altitude; and
(2) alerting the flight crew by at least an aural signal, when deviating from
a preselected altitude.
▼B
CAT.IDE.A.160 Airborne weather detecting equipment
The following shall be equipped with airborne weather detecting equipment when
operated at night or in IMC in areas where thunderstorms or other potentially
hazardous weather conditions, regarded as detectable with airborne weather
detecting equipment, may be expected to exist along the route:
(b) non-pressurised aeroplanes with an MCTOM of more than 5 700 kg; and
(b) The means to illuminate the formation of ice shall not cause glare or
reflection that would handicap crew members in the performance of their
duties.
(b) The CVR shall be capable of retaining the data recorded during at least:
(1) the preceding two hours in the case of aeroplanes referred to in (a)(1)
when the individual CofA has been issued on or after 1 April 1998;
(2) the preceding 30 minutes for aeroplanes referred to in (a)(1) when the
individual CofA has been issued before 1 April 1998; or
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▼B
(3) the preceding 30 minutes, in the case of aeroplanes referred to in (a)(2).
(ii) for aeroplanes referred to in (a)(2) and first issued with an indi
vidual CofA before 1 April 1998, the audio signals received from
each boom and mask microphone, where practicable;
and
(d) The CVR shall start to record prior to the aeroplane moving under its own
power and shall continue to record until the termination of the flight when
the aeroplane is no longer capable of moving under its own power. In
addition, in the case of aeroplanes issued with an individual CofA on or
after 1 April 1998, the CVR shall start automatically to record prior to the
aeroplane moving under its own power and continue to record until the
termination of the flight when the aeroplane is no longer capable of
moving under its own power.
(1) aeroplanes with an MCTOM of more than 5 700 kg and first issued
with an individual CofA on or after 1 June 1990;
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▼B
(2) turbine-engined aeroplanes with an MCTOM of more than 5 700 kg
and first issued with an individual CofA before 1 June 1990; and
(1) time, altitude, airspeed, normal acceleration and heading and be capable
of retaining the data recorded during at least the preceding 25 hours for
aeroplanes referred to in (a)(2) with an MCTOM of less than
27 000 kg;
(c) Data shall be obtained from aeroplane sources that enable accurate
correlation with information displayed to the flight crew.
(d) The FDR shall start to record the data prior to the aeroplane being capable
of moving under its own power and shall stop after the aeroplane is
incapable of moving under its own power. In addition, in the case of aero
planes issued with an individual CofA on or after 1 April 1998, the FDR
shall start automatically to record the data prior to the aeroplane being
capable of moving under its own power and shall stop automatically after
the aeroplane is incapable of moving under its own power.
▼B
CAT.IDE.A.195 Data link recording
(a) Aeroplanes first issued with an individual CofA on or after 8 April 2014
that have the capability to operate data link communications and are
required to be equipped with a CVR, shall record on a recorder, where
applicable:
(b) The recorder shall use a digital method of recording and storing data and
information and a method for retrieving that data. The recording method
shall allow the data to match the data recorded on the ground.
(c) The recorder shall be capable of retaining data recorded for at least the same
duration as set out for CVRs in CAT.IDE.A.185.
(e) The requirements applicable to the start and stop logic of the recorder are
the same as the requirements applicable to the start and stop logic of the
CVR contained in CAT.IDE.A.185(d) and (e).
(a) one flight data and cockpit voice combination recorder in the case of aero
planes required to be equipped with a CVR or an FDR;
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▼B
(b) one flight data and cockpit voice combination recorder in the case of aero
planes with an MCTOM of 5 700 kg or less and required to be equipped
with a CVR and an FDR; or
(c) two flight data and cockpit voice combination recorders in the case of
aeroplanes with an MCTOM of more than 5 700 kg and required to be
equipped with a CVR and an FDR.
CAT.IDE.A.205 Seats, seat safety belts, restraint systems and child restraint
devices
(a) Aeroplanes shall be equipped with:
(1) a seat or berth for each person on board who is aged 24 months or
more;
(2) a seat belt on each passenger seat and restraining belts for each berth
except as specified in (3);
(3) a seat belt with upper torso restraint system on each passenger seat and
restraining belts on each berth in the case of aeroplanes with an
MCTOM of less than 5 700 kg and with an MOPSC of less than
nine, after 8 April 2015;
(4) a child restraint device (CRD) for each person on board younger than
24 months;
(5) a seat belt with upper torso restraint system incorporating a device that
will automatically restrain the occupant’s torso in the event of rapid
deceleration:
(i) on each flight crew seat and on any seat alongside a pilot’s seat;
(6) a seat belt with upper torso restraint system on each seat for the
minimum required cabin crew.
(2) on flight crew seats, on any seat alongside a pilot’s seat and on the
seats for the minimum required cabin crew, include two shoulder straps
and a seat belt that may be used independently.
(a) in the case of aeroplanes with an MOPSC of more than 19, a door between
the passenger compartment and the flight crew compartment, with a placard
indicating ‘crew only’ and a locking means to prevent passengers from
opening it without the permission of a member of the flight crew;
(b) a readily accessible means for opening each door that separates a passenger
compartment from another compartment that has emergency exits;
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▼B
(c) a means for securing in the open position any doorway or curtain separating
the passenger compartment from other areas that need to be accessed to
reach any required emergency exit from any passenger seat;
(d) a placard on each internal door or adjacent to a curtain that is the means of
access to a passenger emergency exit, to indicate that it must be secured
open during take-off and landing; and
(e) a means for any member of the crew to unlock any door that is normally
accessible to passengers and that can be locked by passengers.
Table 1
Number of first-aid kits required
0-100 1
101-200 2
201-300 3
301-400 4
401-500 5
501 or more 6
(b) The commander shall ensure that drugs are only administered by appro
priately qualified persons.
▼B
(b) The oxygen supply referred to in (a) shall be calculated using an average
flow rate of at least 3 litres standard temperature pressure
dry (STPD)/minute/person. This oxygen supply shall be sufficient for the
remainder of the flight after cabin depressurisation when the cabin altitude
exceeds 8 000 ft but does not exceed 15 000 ft, for at least 2 % of the
passengers carried, but in no case for less than one person.
(c) There shall be a sufficient number of dispensing units, but in no case less
than two, with a means for cabin crew to use the supply.
(d) The first-aid oxygen equipment shall be capable of generating a mass flow
to each user of at least 4 litres STPD per minute.
(2) sufficient spare outlets and masks or portable oxygen units with masks
distributed evenly throughout the passenger compartment, to ensure
immediate availability of oxygen for use by each required cabin crew
member;
(4) a device to provide a warning indication to the flight crew of any loss
of pressurisation.
(c) In the case of pressurised aeroplanes first issued with an individual CofA
after 8 November 1998 and operated at pressure altitudes above 25 000 ft,
or operated at pressure altitudes at, or below 25 000 ft under conditions that
would not allow them to descend safely to 13 000 ft within four minutes,
the individual oxygen dispensing units referred to in (b)(3) shall be auto
matically deployable.
(d) The total number of dispensing units and outlets referred to in (b)(3) and (c)
shall exceed the number of seats by at least 10 %. The extra units shall be
evenly distributed throughout the passenger compartment.
(e) Notwithstanding (a), the oxygen supply requirements for cabin crew
member(s), additional crew member(s) and passenger(s), in the case of aero
planes not certified to fly at altitudes above 25 000 ft, may be reduced to the
entire flying time between 10 000 ft and 13 000 ft cabin pressure altitudes
for all required cabin crew members and for at least 10 % of the passengers
if, at all points along the route to be flown, the aeroplane is able to descend
safely within four minutes to a cabin pressure altitude of 13 000 ft.
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▼B
(f) The required minimum supply in Table 1, row 1 item (b)(1) and row 2, shall
cover the quantity of oxygen necessary for a constant rate of descent from
the aeroplane’s maximum certified operating altitude to 10 000 ft in 10
minutes and followed by 20 minutes at 10 000 ft.
(g) The required minimum supply in Table 1, row 1 item 1(b)(2), shall cover
the quantity of oxygen necessary for a constant rate of descent from the
aeroplane’s maximum certified operating altitude to 10 000 ft in 10 minutes
followed by 110 minutes at 10 000 ft.
(h) The required minimum supply in Table 1, row 3, shall cover the quantity of
oxygen necessary for a constant rate of descent from the aeroplane’s
maximum certified operating altitude to 15 000 ft in 10 minutes.
Table 1
Oxygen minimum requirements for pressurised aeroplanes
1. Occupants of flight (a) The entire flying time when the cabin
crew compartment pressure altitude exceeds 13 000 ft.
seats on flight crew
(b) The remainder of the flying time when
compartment duty
the cabin pressure altitude exceeds
10 000 ft but does not exceed 13 000
ft, after the initial 30 minutes at these
altitudes, but in no case less than:
(1) 30 minutes’ supply for aeroplanes
certified to fly at altitudes not
exceeding 25 000 ft; and
(2) 2 hours’ supply for aeroplanes
certified to fly at altitudes of more
than 25 000 ft.
2. Required cabin crew (a) The entire flying time when the cabin
members pressure altitude exceeds 13 000 ft, but
not less than 30 minutes’ supply.
(b) The remainder of the flying time when
the cabin pressure altitude exceeds
10 000 ft but does not exceed 13 000
ft, after the initial 30 minutes at these
altitudes.
3. 100 % of passengers (*) The entire flying time when the cabin
pressure altitude exceeds 15 000 ft, but in
no case less than 10 minutes’ supply.
▼B
CAT.IDE.A.240 Supplemental oxygen — non-pressurised aeroplanes
Non-pressurised aeroplanes operated at pressure altitudes above 10 000 ft shall be
equipped with supplemental oxygen equipment capable of storing and dispensing
the oxygen supplies in accordance with Table 1.
Table 1
Oxygen minimum requirements for non-pressurised aeroplanes
(*) Passenger numbers in Table 1 refer to passengers actually carried on board, including
persons younger than 24 months.
(1) oxygen for each flight crew member on duty in the flight crew
compartment;
(2) breathing gas for each required cabin crew member, adjacent to his/her
assigned station; and
(3) breathing gas from a portable PBE for one member of the flight crew,
adjacent to his/her assigned station, in the case of aeroplanes operated
with a flight crew of more than one and no cabin crew member.
(b) A PBE intended for flight crew use shall be installed in the flight crew
compartment and be accessible for immediate use by each required flight
crew member at his/her assigned station.
(c) A PBE intended for cabin crew use shall be installed adjacent to each
required cabin crew member station.
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▼B
(d) Aeroplanes shall be equipped with an additional portable PBE installed
adjacent to the hand fire extinguisher referred to in CAT.IDE.A.250, or
adjacent to the entrance of the cargo compartment, in case the hand fire
extinguisher is installed in a cargo compartment.
(e) A PBE while in use shall not prevent the use of the means of communi
cation referred to in CAT.IDE.A.170, CAT.IDE.A.175, CAT.IDE.A.270 and
CAT.IDE.A.330.
(b) At least one hand fire extinguisher shall be located in, or readily accessible
for use in, each galley not located on the main passenger compartment.
(c) At least one hand fire extinguisher shall be available for use in each class A
or class B cargo or baggage compartment and in each class E cargo
compartment that is accessible to crew members in flight.
(d) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the
compartment where the extinguisher is intended to be used and to
minimise the hazard of toxic gas concentration in compartments occupied
by persons.
(e) Aeroplanes shall be equipped with at least a number of hand fire extin
guishers in accordance with Table 1, conveniently located to provide
adequate availability for use in each passenger compartment.
Table 1
Number of hand fire extinguishers
7-30 1
31-60 2
61-200 3
201-300 4
301-400 5
401-500 6
501-600 7
601 or more 8
(b) In the case of aeroplanes with an MOPSC of more than 200, an additional
crash axe or crowbar shall be installed in or near the rearmost galley area.
(c) Crash axes and crowbars located in the passenger compartment shall not be
visible to passengers.
2012R0965 — EN — 25.08.2013 — 001.001 — 156
▼B
CAT.IDE.A.260 Marking of break-in points
If areas of the aeroplane’s fuselage suitable for break-in by rescue crews in an
emergency are marked, such areas shall be marked as shown in Figure 1.
Figure 1
Marking of break-in points
61 to 99 1
100 or more 2
(b) For aeroplanes with more than one passenger deck, in all cases when the
total passenger seating configuration is more than 60, at least one mega
phone.
2012R0965 — EN — 25.08.2013 — 001.001 — 157
▼B
CAT.IDE.A.275 Emergency lighting and marking
(a) Aeroplanes with an MOPSC of more than nine shall be equipped with an
emergency lighting system having an independent power supply to facilitate
the evacuation of the aeroplane.
(b) In the case of aeroplanes with an MOPSC of more than 19, the emergency
lighting system, referred to in (a) shall include:
(4) in the case of aeroplanes for which the application for the type
certificate or equivalent was filed before 1 May 1972, when operated
by night, exterior emergency lighting at all overwing exits and at exits
where descent assist means are required;
(5) in the case of aeroplanes for which the application for the type
certificate or equivalent was filed after 30 April 1972, when operated
by night, exterior emergency lighting at all passenger emergency exits;
and
(6) in the case of aeroplanes for which the type certificate was first issued
on or after 31 December 1957, floor proximity emergency escape path
marking system(s) in the passenger compartments.
(c) In the case of aeroplanes with an MOPSC of 19 or less and type certified on
the basis of the Agency’s airworthiness codes, the emergency lighting
system, referred to in (a) shall include the equipment referred to in (b)(1)
to (3).
(d) In the case of aeroplanes with an MOPSC of 19 or less that are not certified
on the basis of the Agency’s airworthiness codes, the emergency lighting
system, referred to in (a) shall include the equipment referred to in (b)(1).
(1) two ELTs, one of which shall be automatic, in the case of aeroplanes
first issued with an individual CofA after 1 July 2008; or
(2) one automatic ELT or two ELTs of any type, in the case of aeroplanes
first issued with an individual CofA on or before 1 July 2008.
2012R0965 — EN — 25.08.2013 — 001.001 — 158
▼B
(b) Aeroplanes with an MOPSC of 19 or less shall be equipped with at least:
(1) one automatic ELT, in the case of aeroplanes first issued with an
individual CofA after 1 July 2008; or
(2) one ELT of any type, in the case of aeroplanes first issued with an
individual CofA on or before 1 July 2008.
(2) equipment for making the sound signals as prescribed in the Inter
national Regulations for Preventing Collisions at Sea, where applicable.
(d) Aeroplanes operated over water at a distance away from land suitable for
making an emergency landing, greater than that corresponding to:
(1) 120 minutes at cruising speed or 400 NM, whichever is the lesser, in
the case of aeroplanes capable of continuing the flight to an aerodrome
with the critical engine(s) becoming inoperative at any point along the
route or planned diversions; or
(2) for all other aeroplanes, 30 minutes at cruising speed or 100 NM,
whichever is the lesser,
(e) Aeroplanes complying with (d) shall carry the following equipment:
▼B
(3) life-saving equipment to provide the means for sustaining life, as
appropriate for the flight to be undertaken; and
(3) additional survival equipment for the route to be flown taking account
of the number of persons on board.
(b) The additional survival equipment specified in (a)(3) does not need to be
carried when the aeroplane:
(1) remains within a distance from an area where search and rescue is not
especially difficult corresponding to:
CAT.IDE.A.325 Headset
(a) Aeroplanes shall be equipped with a headset with a boom or throat
microphone or equivalent for each flight crew member at their assigned
station in the flight crew compartment.
(b) Aeroplanes operated under IFR or at night shall be equipped with a transmit
button on the manual pitch and roll control for each required flight crew
member.
▼B
(b) communicate with appropriate ATC stations from any point in controlled
airspace within which flights are intended; and
(c) Notwithstanding (b), aeroplanes operated for short haul operations in the
North Atlantic minimum navigation performance specifications (NAT
MNPS) airspace and not crossing the North Atlantic shall be equipped
with at least one long range communication system, in case alternative
communication procedures are published for the airspace concerned.
(d) Aeroplanes shall have sufficient navigation equipment to ensure that, in the
event of the failure of one item of equipment at any stage of the flight, the
remaining equipment shall allow safe navigation in accordance with the
flight plan.
CAT.IDE.A.350 Transponder
Aeroplanes shall be equipped with a pressure altitude reporting secondary
surveillance radar (SSR) transponder and any other SSR transponder capability
required for the route being flown.
(b) When the electronic navigation data products support a navigation appli
cation needed for an operation for which Annex V (Part-SPA) requires an
approval, the operator shall demonstrate to the competent authority that the
process applied and the delivered products meet standards of integrity that
are adequate for the intended use of the data.
(c) The operator shall continuously monitor the integrity of both the process
and the products, either directly or by monitoring the compliance of third
party providers.
(d) The operator shall ensure the timely distribution and insertion of current and
unaltered electronic navigation data to all aeroplanes that require it.
2012R0965 — EN — 25.08.2013 — 001.001 — 161
▼B
SECTION 2
Helicopters
CAT.IDE.H.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with Regulation (EC) No 1702/2003, except for the following
items:
(6) Megaphones;
(b) Instruments and equipment not required by this Subpart that do not need to
be approved in accordance with Regulation (EC) No 1702/2003 but are
carried on a flight, shall comply with the following:
(2) the instruments and equipment shall not affect the airworthiness of the
helicopter, even in the case of failures or malfunction.
(d) Those instruments that are used by any flight crew member shall be so
arranged as to permit the flight crew member to see the indications
readily from his/her station, with the minimum practicable deviation from
the position and line of vision that he/she normally assumes when looking
forward along the flight path.
(e) All required emergency equipment shall be easily accessible for immediate
use.
(b) the operator is approved by the competent authority to operate the helicopter
within the constraints of the MMEL.
2012R0965 — EN — 25.08.2013 — 001.001 — 162
▼B
CAT.IDE.H.115 Operating lights
(a) Helicopters operated under VFR by day shall be equipped with an
anti-collision light system.
(3) an independent portable light for each required crew member readily
accessible to crew members when seated at their designated stations;
(2) A means of indicating when the supply of power to the required flight
instruments is not adequate.
(b) Whenever two pilots are required for the operation, an additional separate
means of displaying the following shall be available for the second pilot:
(4) Slip.
(2) Heading.
2012R0965 — EN — 25.08.2013 — 001.001 — 163
▼B
(d) A means for preventing malfunction of the airspeed indicating systems due
to condensation or icing shall be available for helicopters with an MCTOM
of more than 3 175 kg or an MOPSC of more than nine.
(5) Slip;
(6) Attitude;
(b) Two means of measuring and displaying pressure altitude. For single-pilot
operations under VFR at night one pressure altimeter may be substituted by
a radio altimeter.
(c) A means of indicating when the supply of power to the required flight
instruments is not adequate.
(e) A means of annunciating to the flight crew the failure of the means required
in (d) for helicopters:
▼B
(6) is appropriately illuminated during all phases of operation; and
(7) is associated with a means to alert the flight crew when operating under
its dedicated power supply, including when operated by emergency
power.
(g) An alternate source of static pressure for the means of measuring altitude,
airspeed and vertical speed.
(h) Whenever two pilots are required for the operation, a separate means for
displaying for the second pilot:
(4) Slip;
(i) For IFR operations, a chart holder in an easily readable position that can be
illuminated for night operations.
(3) at night; or
(b) The means to illuminate the formation of ice shall not cause glare or
reflection that would handicap crew members in the performance of their
duties.
2012R0965 — EN — 25.08.2013 — 001.001 — 165
▼B
CAT.IDE.H.170 Flight crew interphone system
Helicopters operated by more than one flight crew member shall be equipped
with a flight crew interphone system, including headsets and microphones for use
by all flight crew members.
(b) Notwithstanding (a) helicopters with an MOPSC of more than nine and less
than 20 are exempted from having a public address system, if:
(2) the operator is able to demonstrate that when in flight, the pilot’s voice
is audible and intelligible at all passengers’ seats.
(1) all helicopters with an MCTOM of more than 7 000 kg; and
(2) helicopters with an MCTOM of more than 3 175 kg and first issued
with an individual CofA on or after 1 January 1987.
(b) The CVR shall be capable of retaining the data recorded during at least:
(1) the preceding two hours for helicopters referred to in (a)(1) and (a)(2),
when first issued with an individual CofA on or after 1 January 2016;
(2) the preceding one hour for helicopters referred to in (a)(1), when first
issued with an individual CofA on or after 1 August 1999 and before
1 January 2016;
(3) the preceding 30 minutes for helicopters referred to in (a)(1), when first
issued with an individual CofA before 1 August 1999; or
(4) the preceding 30 minutes for helicopters referred to in (a)(2), when first
issued with an individual CofA before 1 January 2016.
▼B
(3) the aural environment of the flight crew compartment, including
without interruption:
(d) The CVR shall start to record prior to the helicopter moving under its own
power and shall continue to record until the termination of the flight when
the helicopter is no longer capable of moving under its own power.
(e) In addition to (d), for helicopters referred to in (a)(2) issued with an indi
vidual CofA on or after 1 August 1999:
(1) the CVR shall start automatically to record prior to the helicopter
moving under its own power and continue to record until the
termination of the flight when the helicopter is no longer capable of
moving under its own power; and
(2) depending on the availability of electrical power, the CVR shall start to
record as early as possible during the cockpit checks prior to engine
start at the beginning of the flight until the cockpit checks immediately
following engine shutdown at the end of the flight.
(1) helicopters with an MCTOM of more than 3 175 kg and first issued
with an individual CofA on or after 1 August 1999;
(b) The FDR shall record the parameters required to determine accurately the:
(1) flight path, speed, attitude, engine power, operation and configuration
and be capable of retaining the data recorded during at least the
preceding 10 hours, for helicopters referred to in (a)(1) and first
issued with an individual CofA on or after 1 January 2016;
(2) flight path, speed, attitude, engine power and operation and be capable
of retaining the data recorded during at least the preceding eight hours,
for helicopters referred to in (a)(1) and first issued with an individual
CofA before 1 January 2016;
2012R0965 — EN — 25.08.2013 — 001.001 — 167
▼B
(3) flight path, speed, attitude, engine power and operation and be capable
of retaining the data recorded during at least the preceding five hours,
for helicopters referred to in (a)(2).
(c) Data shall be obtained from helicopter sources that enable accurate
correlation with information displayed to the flight crew.
(d) The FDR shall automatically start to record the data prior to the helicopter
being capable of moving under its own power and shall stop automatically
after the helicopter is incapable of moving under its own power.
(b) The recorder shall use a digital method of recording and storing data and
information and a method of readily retrieving that data shall be available.
The recording method shall allow the data to match the data recorded on the
ground.
(c) The recorder shall be capable of retaining data recorded for at least the same
duration as set out for CVRs in CAT.IDE.H.185.
2012R0965 — EN — 25.08.2013 — 001.001 — 168
▼B
(d) The recorder shall have a device to assist in locating it in water.
(e) The requirements applicable to the start and stop logic of the recorder are
the same as the requirements applicable to the start and stop logic of the
CVR contained in CAT.IDE.H.185(d) and (e).
CAT.IDE.H.205 Seats, seat safety belts, restraint systems and child restraint
devices
(a) Helicopters shall be equipped with:
(1) a seat or berth for each person on board who is aged 24 months or
more;
(2) a seat belt on each passenger seat and restraining belts for each berth;
(4) a child restraint device (CRD) for each person on board younger than
24 months;
(5) a seat belt with upper torso restraint system incorporating a device that
will automatically restrain the occupant’s torso in the event of rapid
deceleration on each flight crew seat;
(6) a seat belt with upper torso restraint system on each seat for the
minimum required cabin crew.
(2) on flight crew seats and on the seats for the minimum required cabin
crew include two shoulder straps and a seat belt that may be used
independently.
▼B
CAT.IDE.H.240 Supplemental oxygen — non-pressurised helicopters
Non-pressurised helicopters operated at pressure altitudes above 10 000 ft shall
be equipped with supplemental oxygen equipment capable of storing and
dispensing the oxygen supplies in accordance with the following tables.
Table 1
Oxygen minimum requirements for complex non-pressurised helicopters
1. Occupants of flight crew The entire flying time at pressure altitudes above
compartment seats on 10 000 ft.
flight crew compartment
duty and crew members
assisting flight crew in
their duties
2. Required cabin crew The entire flying time at pressure altitudes above
members 13 000 ft and for any period exceeding 30
minutes at pressure altitudes above 10 000 ft
but not exceeding 13 000 ft.
(*) Passenger numbers in Table 1 refer to passengers actually carried on board including
persons younger than 24 months.
Table 2
Oxygen minimum requirements for other-than-complex non-pressurised
helicopters
1. Occupants of flight crew The entire flying time at pressure altitudes above
compartment seats on 13 000 ft and for any period exceeding 30
flight crew compartment minutes at pressure altitudes above 10 000 ft
duty, crew members but not exceeding 13 000 ft.
assisting flight crew in
their duties, and
required cabin crew
members
(*) Passenger numbers in Table 2 refer to passengers actually carried on board including
persons younger than 24 months.
2012R0965 — EN — 25.08.2013 — 001.001 — 170
▼B
CAT.IDE.H.250 Hand fire extinguishers
(a) Helicopters shall be equipped with at least one hand fire extinguisher in the
flight crew compartment.
(b) At least one hand fire extinguisher shall be located in, or readily accessible
for use in, each galley not located on the main passenger compartment.
(c) At least one hand fire extinguisher shall be available for use in each cargo
compartment that is accessible to crew members in flight.
(d) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the
compartment where the extinguisher is intended to be used and to
minimise the hazard of toxic gas concentration in compartments occupied
by persons.
(e) The helicopter shall be equipped with at least a number of hand fire extin
guishers in accordance with Table 1, conveniently located to provide
adequate availability for use in each passenger compartment.
Table 1
Number of hand fire extinguishers
7-30 1
31-60 2
61-200 3
Figure 1
Marking of break-in points
CAT.IDE.H.270 Megaphones
Helicopters with an MOPSC of more than 19 shall be equipped with one portable
battery-powered megaphone readily accessible for use by crew members during
an emergency evacuation.
2012R0965 — EN — 25.08.2013 — 001.001 — 171
▼B
CAT.IDE.H.275 Emergency lighting and marking
(a) Helicopters with an MOPSC of more than 19 shall be equipped with:
(2) emergency exit marking and locating signs visible in daylight or in the
dark.
CAT.IDE.H.290 Life-jackets
(a) Helicopters shall be equipped with a life-jacket for each person on board or
equivalent floatation device for each person on board younger than 24
months, stowed in a position that is readily accessible from the seat or
berth of the person for whose use it is provided, when operated in:
▼B
(b) in performance class 3 on a flight over water beyond autorotational distance
or safe forced landing distance from land, when the weather report or
forecasts available to the commander indicate that the sea temperature
will be less than plus 10 ° C during the flight.
(1) in the case of a helicopter carrying less than 12 persons, at least one
life-raft with a rated capacity of not less than the maximum number of
persons on board, stowed so as to facilitate its ready use in an
emergency;
(2) in the case of a helicopter carrying more than 11 persons, at least two
life-rafts, stowed so as to facilitate their ready use in an emergency,
sufficient together to accommodate all persons capable of being carried
on board and, if one is lost, the remaining life-raft(s) having, the
overload capacity sufficient to accommodate all persons on the heli
copter;
(3) at least one survival ELT (ELT(S)) for each required life-raft; and
(c) additional survival equipment for the route to be flown taking account of the
number of persons on board.
(a) When the weather report or forecasts available to the commander indicate
that the sea temperature will be less than plus 10 ° C during the flight, or
when the estimated rescue time exceeds the calculated survival time, or the
flight is planned to be conducted at night, all persons on board shall wear a
survival suit.
▼B
(c) The helicopter shall be equipped with an emergency lighting system with an
independent power supply to provide a source of general cabin illumination
to facilitate the evacuation of the helicopter.
(d) All emergency exits, including crew emergency exits, and the means for
opening them shall be conspicuously marked for the guidance of occupants
using the exits in daylight or in the dark. Such markings shall be designed
to remain visible if the helicopter is capsized and the cabin is submerged.
(e) All non-jettisonable doors that are designated as ditching emergency exits
shall have a means of securing them in the open position so that they do not
interfere with occupants’ egress in all sea conditions up to the maximum
required to be evaluated for ditching and flotation.
(g) Life-jackets shall be worn at all times, unless the passenger or crew member
is wearing an integrated survival suit that meets the combined requirement
of the survival suit and life-jacket.
(a) a sea anchor and other equipment necessary to facilitate mooring, anchoring
or manoeuvring the helicopter on water, appropriate to its size, weight and
handling characteristics; and
(b) equipment for making the sound signals prescribed in the International
Regulations for Preventing Collisions at Sea, where applicable.
(b) Helicopters shall be designed for landing on water or certified for ditching
in accordance the relevant airworthiness code or fitted with emergency
flotation equipment when operated in:
(2) performance class 2, when taking off or landing over water, except in
the case of helicopter emergency medical services (HEMS) operations,
where for the purpose of minimising exposure, the landing or take-off
at a HEMS operating site located in a congested environment is
conducted over water;
(3) performance class 3 on a flight over water beyond safe forced landing
distance from land.
2012R0965 — EN — 25.08.2013 — 001.001 — 174
▼B
CAT.IDE.H.325 Headset
Whenever a radio communication and/or radio navigation system is required,
helicopters shall be equipped with a headset with boom microphone or equivalent
and a transmit button on the flight controls for each required pilot and/or crew
member at his/her assigned station.
CAT.IDE.H.330 Radio communication equipment
(a) Helicopters shall be equipped with the radio communication equipment
required by the applicable airspace requirements.
(b) The radio communication equipment shall provide for communication on
the aeronautical emergency frequency 121,5 MHz.
CAT.IDE.H.335 Audio selector panel
Helicopters operated under IFR shall be equipped with an audio selector panel
operable from each required flight crew member station.
CAT.IDE.H.340 Radio equipment for operations under VFR over routes
navigated by reference to visual landmarks
Helicopters operated under VFR over routes that can be navigated by reference
to visual landmarks shall be equipped with radio communication equipment
necessary under normal radio propagation conditions to fulfil the following:
(a) communicate with appropriate ground stations;
(b) communicate with appropriate ATC stations from any point in controlled
airspace within which flights are intended; and
(c) receive meteorological information.
CAT.IDE.H.345 Communication and navigation equipment for operations
under IFR or under VFR over routes not navigated by reference to visual
landmarks
(a) Helicopters operated under IFR or under VFR over routes that cannot be
navigated by reference to visual landmarks shall be equipped with radio
communication and navigation equipment in accordance with the applicable
airspace requirements.
(b) Radio communication equipment shall include at least two independent
radio communication systems necessary under normal operating conditions
to communicate with an appropriate ground station from any point on the
route, including diversions.
(c) Helicopters shall have sufficient navigation equipment to ensure that, in the
event of the failure of one item of equipment at any stage of the flight, the
remaining equipment shall allow safe navigation in accordance with the
flight plan.
(d) Helicopters operated on flights in which it is intended to land in IMC shall
be equipped with suitable equipment capable of providing guidance to a
point from which a visual landing can be performed for each aerodrome at
which it is intended to land in IMC and for any designated alternate aero
dromes.
CAT.IDE.H.350 Transponder
Helicopters shall be equipped with a pressure altitude reporting secondary
surveillance radar (SSR) transponder and any other SSR transponder capability
required for the route being flown.
2012R0965 — EN — 25.08.2013 — 001.001 — 175
▼B
ANNEX V
SPECIFIC APPROVALS
[PART-SPA]
SUBPART A
GENERAL REQUIREMENTS
SPA.GEN.100 Competent authority
▼M1
(a) The competent authority for issuing a specific approval shall be:
(1) for the commercial air transport operator the authority of the Member
State in which the operator has its principal place of business;
(2) for the non-commercial operator the authority of the State in which the
operator is established or residing.
▼B
SPA.GEN.105 Application for a specific approval
(a) The operator applying for the initial issue of a specific approval shall
provide to the competent authority the documentation required in the
applicable Subpart, together with the following information:
(b) The operator shall provide the following evidence to the competent auth
ority:
(2) that the relevant elements defined in the data established in accordance
with Regulation (EC) No 1702/2003 are taken into account.
(c) The operator shall retain records relating to (a) and (b) at least for the
duration of the operation requiring a specific approval, or, if applicable,
in accordance with Annex III (Part-ORO).
(a) for operators holding an air operator certificate (AOC) in the operations
specifications to the AOC;
▼B
SPA.GEN.115 Changes to a specific approval
When the conditions of a specific approval are affected by changes, the operator
shall provide the relevant documentation to the competent authority and obtain
prior approval for the operation.
2012R0965 — EN — 25.08.2013 — 001.001 — 176
▼B
SPA.GEN.120 Continued validity of a specific approval
Specific approvals shall be issued for an unlimited duration and shall remain
valid subject to the operator remaining in compliance with the requirements
associated with the specific approval and taking into account the relevant
elements defined in the data established in accordance with Regulation (EC)
No 1702/2003.
SUBPART B
PERFORMANCE-BASED NAVIGATION (PBN) OPERATIONS
SPA.PBN.100 PBN operations
Aircraft shall only be operated in designated airspace, on routes or in accordance
with procedures where performance-based navigation (PBN) specifications are
established if the operator has been granted an approval by the competent
authority to conduct such operations. No specific approval is required for oper
ations in area navigation 5 (RNAV5 (basic area navigation, B-RNAV))
designated airspace.
(a) the relevant airworthiness approval of the RNAV system has been obtained;
(b) a training programme for the flight crew members involved in these oper
ations has been established;
SUBPART C
OPERATIONS WITH SPECIFIED MINIMUM NAVIGATION
PERFORMANCE (MNPS)
SPA.MNPS.100 MNPS operations
Aircraft shall only be operated in designated minimum navigation performance
specifications (MNPS) airspace in accordance with regional supplementary
procedures, where minimum navigation performance specifications are estab
lished, if the operator has been granted an approval by the competent authority
to conduct such operations.
(b) navigation displays, indicators and controls are visible and operable by
either pilot seated at his/her duty station;
2012R0965 — EN — 25.08.2013 — 001.001 — 177
▼B
(c) a training programme for the flight crew members involved in these oper
ations has been established;
SUBPART D
OPERATIONS IN AIRSPACE WITH REDUCED VERTICAL SEPARATION
MINIMA (RVSM)
SPA.RVSM.100 RVSM operations
Aircraft shall only be operated in designated airspace where a reduced vertical
separation minimum of 300 m (1 000 ft) applies between flight level (FL) 290
and FL 410, inclusive, if the operator has been granted an approval by the
competent authority to conduct such operations.
(b) procedures for monitoring and reporting height-keeping errors have been
established;
(c) a training programme for the flight crew members involved in these oper
ations has been established;
▼B
SPA.RVSM.110 RVSM equipment requirements
Aircraft used for operations in RVSM airspace shall be equipped with:
(b) Reports of such occurrences shall be sent to the competent authority within
72 hours. Reports shall include an initial analysis of causal factors and
measures taken to prevent repeat occurrences.
(c) When height-keeping errors are recorded or received, the operator shall take
immediate action to rectify the conditions that caused the errors and provide
follow-up reports, if requested by the competent authority.
SUBPART E
LOW VISIBILITY OPERATIONS (LVO)
SPA.LVO.100 Low visibility operations
The operator shall only conduct the following low visibility operations (LVO)
when approved by the competent authority:
(f) approach operation utilising enhanced vision systems (EVS) for which an
operational credit is applied to reduce the runway visual range (RVR)
minima by no more than one third of the published RVR.
▼B
SPA.LVO.110 General operating requirements
(a) The operator shall only conduct LTS CAT I operations if:
(b) The operator shall only conduct CAT II, OTS CAT II or CAT III operations
if:
(2) a system for recording approach and/or automatic landing success and
failure is established and maintained to monitor the overall safety of the
operation;
(5) all height call-outs below 200 ft above the aerodrome threshold
elevation are determined by a radio altimeter.
(c) The operator shall only conduct approach operations utilising an EVS if:
(1) the EVS is certified for the purpose of this Subpart and combines
infra-red sensor image and flight information on the HUD;
(2) for operations with an RVR below 550 m, the flight crew consists of at
least two pilots;
(4) for approach procedure with vertical guidance (APV) and non-precision
approach (NPA) operations flown with CDFA technique, natural visual
reference to runway cues is attained at least at 200 ft above the
aerodrome threshold elevation and the following requirements are
complied with:
(ii) the approach segment from final approach fix (FAF) to runway
threshold is straight and the difference between the final approach
course and the runway centreline is not greater than 2o;
(iii) the final approach path is published and not greater than 3,7o;
▼B
SPA.LVO.115 Aerodrome related requirements
(a) The operator shall not use an aerodrome for LVOs below a visibility of 800
m unless:
(1) the aerodrome has been approved for such operations by the State of
the aerodrome; and
(b) If the operator selects an aerodrome where the term LVP is not used, the
operator shall ensure that there are equivalent procedures that adhere to the
requirements of LVP at the aerodrome. This situation shall be clearly noted
in the operations manual or procedures manual including guidance to the
flight crew on how to determine that the equivalent LVP are in effect.
(1) complies with the training and checking requirements prescribed in the
operations manual, including flight simulation training device (FSTD)
training, in operating to the limiting values of RVR/VIS (visibility) and
DH specific to the operation and the aircraft type;
▼B
(b) The pilot-in-command/commander shall be satisfied that the status of the
aircraft and of the relevant airborne systems is appropriate for the specific
operation to be conducted.
SUBPART F
EXTENDED RANGE OPERATIONS WITH TWO-ENGINED
AEROPLANES (ETOPS)
SPA.ETOPS.100 ETOPS
In commercial air transport operations, two-engined aeroplanes shall only be
operated beyond the threshold distance determined in accordance with
CAT.OP.MPA.140 if the operator has been granted an ETOPS operational
approval by the competent authority.
(a) the aeroplane/engine combination holds an ETOPS type design and relia
bility approval for the intended operation;
(b) a training programme for the flight crew members and all other operations
personnel involved in these operations has been established and the flight
crew members and all other operations personnel involved are suitably
qualified to conduct the intended operation;
(c) the operator’s organisation and experience are appropriate to support the
intended operation;
(b) Prior to conducting an ETOPS flight, the operator shall ensure that an
ETOPS en-route alternate aerodrome is available, within either the oper
ator’s approved diversion time, or a diversion time based on the MEL
generated serviceability status of the aeroplane, whichever is shorter.
(c) The operator shall specify any required ETOPS en-route alternate aero
drome(s) in the operational flight plan and ATS flight plan.
▼B
(b) The operator shall include in the operations manual the method for deter
mining the operating minima at the planned ETOPS en-route alternate aero
drome.
Table 1
Planning minima for the ETOPS en-route alternate aerodrome
SUBPART G
TRANSPORT OF DANGEROUS GOODS
SPA.DG.100 Transport of dangerous goods
Except as provided for in Annex IV (Part-CAT), ►M1 Annex VI (Part-NCC)
and Annex VII (Part-NCO), ◄ the operator shall only transport dangerous goods
by air if the operator has been approved by the competent authority.
(a) establish and maintain a training programme for all personnel involved and
demonstrate to the competent authority that adequate training has been given
to all personnel;
(2) the requirements for acceptance, handling, loading, stowage and segre
gation of dangerous goods;
▼B
(b) use an acceptance checklist;
(c) ensure that dangerous goods are accompanied by the required dangerous
goods transport document(s), as completed by the person offering dangerous
goods for air transport, except when the information applicable to the
dangerous goods is provided in electronic form;
(f) retain the acceptance checklist, transport document and information to the
pilot-in-command/commander for at least three months after completion of
the flight;
(g) retain the training records of all personnel for at least three years.
SUBPART H
HELICOPTER OPERATIONS WITH NIGHT VISION IMAGING SYSTEMS
SPA.NVIS.100 Night vision imaging system (NVIS) operations
(a) Helicopters shall only be operated under VFR at night with the aid of NVIS
if the operator has been approved by the competent authority.
(b) To obtain such approval by the competent authority, the operator shall:
(1) operate in commercial air transport (CAT) and hold a CAT AOC in
accordance with Annex III (Part-ORO);
(b) Radio altimeter. The helicopter shall be equipped with a radio altimeter
capable of emitting an audio warning below a pre-set height and an audio
and visual warning at a height selectable by the pilot, instantly discernable
during all phases of NVIS flight.
(c) Aircraft NVIS compatible lighting. To mitigate the reduced peripheral vision
cues and the need to enhance situational awareness, the following shall be
provided:
▼B
(2) NVIS-compatible utility lights;
(d) Additional NVIS equipment. The following additional NVIS equipment shall
be provided:
(e) All required NVGs on an NVIS flight shall be of the same type, generation
and model.
(b) The operator shall establish the minimum transition height from where a
change to/from aided flight may be continued.
(b) Experience. The minimum experience for the commander shall not be less
than 20 hours VFR at night as pilot-in-command/commander of a helicopter
before commencing training.
(c) Operational training. All pilots shall have completed the operational
training in accordance with the NVIS procedures contained in the operations
manual.
(d) Recency. All pilots and NVIS technical crew members conducting NVIS
operations shall have completed three NVIS flights in the last 90 days.
Recency may be re-established on a training flight in the helicopter or an
approved full flight simulator (FFS), which shall include the elements of
(f)(1).
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▼B
(e) Crew composition. The minimum crew shall be the greater of that specified:
SUBPART I
HELICOPTER HOIST OPERATIONS
SPA.HHO.100 Helicopter hoist operations (HHO)
(a) Helicopters shall only be operated for the purpose of CAT hoist operations
if the operator has been approved by the competent authority.
(b) To obtain such approval by the competent authority, the operator shall:
(1) operate in CAT and hold a CAT AOC in accordance with Annex III
(Part-ORO);
▼B
(b) Maintenance instructions for HHO equipment and systems shall be estab
lished by the operator in liaison with the manufacturer and included in the
operator’s helicopter maintenance programme as required by
Regulation (EC) No 2042/2003.
(b) night onshore operations, except for HHO at a helicopter emergency medical
services (HEMS) operating site.
(b) Experience. The minimum experience level for the commander conducting
HHO flights shall not be less than:
(1) Offshore:
(2) Onshore:
▼B
(d) Recency. All pilots and HHO crew members conducting HHO shall have
completed in the last 90 days:
(1) when operating by day: any combination of three day or night hoist
cycles, each of which shall include a transition to and from the hover;
(2) when operating by night: three night hoist cycles, each of which shall
include a transition to and from the hover.
(e) Crew composition. The minimum crew for day or night operations shall be
as stated in the operations manual. The minimum crew will be dependent on
the type of helicopter, the weather conditions, the type of task, and, in
addition for offshore operations, the HHO site environment, the sea state
and the movement of the vessel. In no case shall the minimum crew be less
than one pilot and one HHO crew member.
(b) Relevant extracts from the operations manual shall be available to the
organisation for which the HHO is being provided.
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▼B
SUBPART J
HELICOPTER EMERGENCY MEDICAL SERVICE OPERATIONS
SPA.HEMS.100 Helicopter emergency medical service (HEMS) operations
(a) Helicopters shall only be operated for the purpose of HEMS operations if
the operator has been approved by the competent authority.
(b) To obtain such approval by the competent authority, the operator shall:
(1) operate in CAT and hold a CAT AOC in accordance with Annex III
(Part-ORO);
SPA.HEMS.115 Communication
In addition to that required by CAT.IDE.H, helicopters conducting HEMS flights
shall have communication equipment capable of conducting two-way communi
cation with the organisation for which the HEMS is being conducted and, where
possible, to communicate with ground emergency service personnel.
Table 1
HEMS operating minima
2 PILOTS 1 PILOT
DAY
Ceiling Visibility Ceiling Visibility
500 ft and above As defined by the applicable 500 ft and above As defined by the applicable
airspace VFR minima airspace VFR minima
▼B
2 PILOTS 1 PILOT
NIGHT
(*) During the en-route phase visibility may be reduced to 800 m for short periods when in sight of land if the helicopter is
manoeuvred at a speed that will give adequate opportunity to observe any obstacles in time to avoid a collision.
(**) During the en-route phase, cloud base may be reduced to 1 000 ft for short periods.
(b) The weather minima for the dispatch and en-route phase of a HEMS flight
operated in performance class 3 shall be a cloud ceiling of 600 ft and a
visibility of 1 500 m. Visibility may be reduced to 800 m for short periods
when in sight of land if the helicopter is manoeuvred at a speed that will
give adequate opportunity to observe any obstacle and avoid a collision.
(4) The HEMS operating site shall be big enough to provide adequate
clearance from all obstructions. For night operations, the site shall be
illuminated to enable the site and any obstructions to be identified.
(b) Experience. The minimum experience level for the commander conducting
HEMS flights shall not be less than:
(1) either:
▼B
(ii) 1 000 hours as co-pilot in HEMS operations of which 500 hours
are as pilot-in-command under supervision and 100 hours pilot-in-
command/commander of helicopters;
(d) Recency. All pilots conducting HEMS operations shall have completed a
minimum of 30 minutes’ flight by sole reference to instruments in a heli
copter or in an FSTD within the last six months.
(iii) Only in the case described in (i)(A) may the commander land at a
HEMS operating site without the technical crew member assisting
from the front seat.
(ii) one pilot and one HEMS technical crew member in specific
geographical areas defined by the operator in the operations
manual taking into account the following:
(B) flight following system for the duration of the HEMS mission;
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▼B
(C) reliability of weather reporting facilities;
(b) Ground emergency service personnel. The operator shall take all reasonable
measures to ensure that ground emergency service personnel are familiar
with the HEMS working environment and equipment and the risks
associated with ground operations at a HEMS operating site.
▼B
SPA.HEMS.140 Information and documentation
(a) The operator shall ensure that, as part of its risk analysis and management
process, risks associated with the HEMS environment are minimised by
specifying in the operations manual: selection, composition and training of
crews; levels of equipment and dispatch criteria; and operating procedures
and minima, such that normal and likely abnormal operations are described
and adequately mitigated.
(b) Relevant extracts from the operations manual shall be made available to the
organisation for which the HEMS is being provided.
SPA.HEMS.145 HEMS operating base facilities
(a) If crew members are required to be on standby with a reaction time of less
than 45 minutes, dedicated suitable accommodation shall be provided close
to each operating base.
(b) At each operating base the pilots shall be provided with facilities for
obtaining current and forecast weather information and shall be provided
with satisfactory communications with the appropriate air traffic
services (ATS) unit. Adequate facilities shall be available for the planning
of all tasks.
SPA.HEMS.150 Fuel supply
(a) When the HEMS mission is conducted under VFR within a local and
defined geographical area, standard fuel planning can be employed
provided the operator establishes final reserve fuel to ensure that, on
completion of the mission the fuel remaining is not less than an amount
of fuel sufficient for:
(1) 30 minutes of flying time at normal cruising conditions; or
(2) when operating within an area providing continuous and suitable
precautionary landing sites, 20 minutes of flying time at normal
cruising speed.
SPA.HEMS.155 Refuelling with passengers embarking, on board or
disembarking
When the commander considers refuelling with passengers on board to be
necessary, it can be undertaken either rotors stopped or rotors turning provided
the following requirements are met:
(a) door(s) on the refuelling side of the helicopter shall remain closed;
(b) door(s) on the non-refuelling side of the helicopter shall remain open,
weather permitting;
(c) fire fighting facilities of the appropriate scale shall be positioned so as to be
immediately available in the event of a fire; and
(d) sufficient personnel shall be immediately available to move patients clear of
the helicopter in the event of a fire.
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▼M1
ANNEX VI
(1) related to the safety of the aircraft and its occupants; and
(c) During flight, the flight crew member shall keep his/her safety belt fastened
while at his/her station.
(d) During flight, at least one qualified flight crew member shall remain at the
controls of the aircraft at all times.
(f) The crew member who undertakes duties for more than one operator shall:
(1) maintain his/her individual records regarding flight and duty times and
rest periods as referred to in Annex III (Part-ORO), Subpart FTL to
Regulation (EU) No 965/2012; and
(2) provide each operator with the data needed to schedule activities in
accordance with the applicable FTL requirements.
(1) any fault, failure, malfunction or defect, which he/she believes may
affect the airworthiness or safe operation of the aircraft, including
emergency systems; and
(2) any incident that was endangering, or could endanger, the safety of the
operation.
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▼M1
NCC.GEN.106 Pilot-in-command responsibilities and authority
(a) The pilot-in-command shall be responsible for:
(1) the safety of the aircraft and of all crew members, passengers and cargo
on board during aircraft operations as referred to in 1.c of Annex IV to
Regulation (EC) No 216/2008;
(3) ensuring that all instructions, operational procedures and checklists are
complied with in accordance with the operations manual and as
referred to in 1.b of Annex IV to Regulation (EC) No 216/2008;
(iv) the mass of the aircraft and centre of gravity location are such
that the flight can be conducted within the limits prescribed in
the airworthiness documentation;
(v) all cabin baggage, hold luggage and cargo are properly loaded
and secured;
(vii) each flight crew member holds a valid licence in accordance with
Regulation (EU) No 1178/2011; and
(viii) flight crew members are properly rated and meet competency and
recency requirements;
(8) recording utilisation data and all known or suspected defects in the
aircraft at the termination of the flight, or series of flights, in the
aircraft technical log or journey log for the aircraft; and
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▼M1
(9) ensuring that flight recorders:
(c) The pilot-in-command shall, as soon as possible, report to the appropriate air
traffic services (ATS) unit any hazardous weather or flight conditions
encountered that are likely to affect the safety of other aircraft.
(g) The pilot-in-command shall notify the nearest appropriate authority by the
quickest available means of any accident involving the aircraft that results in
serious injury or death of any person or substantial damage to the aircraft or
property.
(b) The pilot-in-command shall be familiar with the laws, regulations and
procedures, pertinent to the performance of his/her duties, prescribed for
the areas to be traversed, the aerodromes or operating sites to be used
and the related air navigation facilities as referred to in 1.a of Annex IV
to Regulation (EC) No 216/2008.
▼M1
(2) is trained to use the radio telephone, if radio communications are
required;
(11) current and suitable aeronautical charts for the route of the proposed
flight and all routes along which it is reasonable to expect that the
flight may be diverted;
(12) procedures and visual signals information for use by intercepting and
intercepted aircraft;
(13) information concerning search and rescue services for the area of the
intended flight;
(14) the current parts of the operations manual that are relevant to the duties
of the crew members, which shall be easily accessible to the crew
members;
2012R0965 — EN — 25.08.2013 — 001.001 — 197
▼M1
(15) the MEL or CDL;
(b) The operator shall conduct operational checks and evaluations of flight data
recorder (FDR) recordings, cockpit voice recorder (CVR) recordings and
data link recordings to ensure the continued serviceability of the recorders.
(c) The operator shall save the recordings for the period of operating time of the
FDR as required by NCC.IDE.A.165 or NCC.IDE.H.165, except that, for
the purpose of testing and maintaining the FDR, up to 1 hour of the oldest
recorded material at the time of testing may be erased.
(d) The operator shall keep and maintain up-to-date documentation that presents
the necessary information to convert FDR raw data into parameters
expressed in engineering units.
(e) The operator shall make available any flight recorder recording that has
been preserved, if so determined by the competent authority.
(1) CVR recordings shall only be used for purposes other than for the
investigation of an accident or an incident subject to mandatory
reporting, if all crew members and maintenance personnel concerned
consent; and
(2) FDR recordings or data link recordings shall only be used for purposes
other than for the investigation of an accident or an incident that is
subject to mandatory reporting, if such records are:
(ii) de-identified; or
▼M1
(b) Dangerous goods shall only be transported by the operator approved in
accordance with Annex V (Part-SPA), Subpart G, to Regulation (EU)
No 965/2012 except when:
(1) they are not subject to the Technical Instructions in accordance with
Part 1 of those Instructions; or
(c) The operator shall establish procedures to ensure that all reasonable
measures are taken to prevent dangerous goods from being carried on
board inadvertently.
(d) The operator shall provide personnel with the necessary information
enabling them to carry out their responsibilities, as required by the
Technical Instructions.
(e) The operator shall, in accordance with the Technical Instructions, report
without delay to the competent authority and the appropriate authority of
the State of occurrence in the event of any dangerous goods accidents or
incidents.
(f) The operator shall ensure that passengers are provided with information
about dangerous goods in accordance with the Technical Instructions.
(g) The operator shall ensure that notices giving information about the transport
of dangerous goods are provided at acceptance points for cargo as required
by the Technical Instructions.
SUBPART B
OPERATIONAL PROCEDURES
NCC.OP.100 Use of aerodromes and operating sites
The operator shall only use aerodromes and operating sites that are adequate for
the type of aircraft and operation concerned.
(1) not be lower than those established by the State in which the
aerodrome is located, except when specifically approved by that
State; and
(b) When establishing aerodrome operating minima, the operator shall take the
following into account:
▼M1
(3) the dimensions and characteristics of the runways and final approach
and take-off areas (FATOs) that may be selected for use;
(4) the adequacy and performance of the available visual and non-visual
ground aids;
(5) the equipment available on the aircraft for the purpose of navigation
and/or control of the flight path, during the take-off, the approach, the
flare, the landing, the rollout and the missed approach;
(6) the obstacles in the approach, the missed approach and the climb-out
areas necessary for the execution of contingency procedures;
(c) The minima for a specific type of approach and landing procedure shall only
be used if all the following conditions are met:
(1) the ground equipment required for the intended procedure is operative;
(2) the aircraft systems required for the type of approach are operative;
(1) the minimum height to which the approach aid can be used without the
required visual reference;
(2) the obstacle clearance height (OCH) for the category of aircraft;
(b) The minimum descent height (MDH) for an NPA operation flown without
the CDFA technique shall not be lower than the highest of:
▼M1
Table 1
System minima
VOR/DME 250
NDB/DME 300
(b) The minimum visibility for a circling operation with aeroplanes shall be the
highest of:
▼M1
Table 1
MDH and minimum visibility for circling vs. aeroplane category
Aeroplane category
A B C D
(1) provided that obstacle clearance criteria are observed and full account
is taken of the operating conditions; or
(c) In any case, the final approach segment shall be flown visually or in
accordance with the published approach procedures.
(b) The pilot-in-command shall establish minimum flight altitudes for each
flight based on this method. The minimum flight altitudes shall not be
lower than that published by the State overflown.
▼M1
(2) for IFR flights:
(b) In computing the fuel required including to provide for contingency, the
following shall be taken into consideration:
(4) any other condition that may delay the landing of the aeroplane or
increase fuel and/or oil consumption.
(b) In computing the fuel required including to provide for contingency, the
following shall be taken into consideration:
(4) any other condition that may delay the landing of the aircraft or
increase fuel and/or oil consumption.
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▼M1
(c) Nothing shall preclude amendment of a flight plan in-flight, in order to
re-plan the flight to another destination, provided that all requirements can
be complied with from the point where the flight is re-planned.
(a) only hand baggage that can be adequately and securely stowed is taken into
the passenger compartment; and
(b) all baggage and cargo on board that might cause injury or damage, or
obstruct aisles and exits if displaced, is stowed so as to prevent movement.
(a) prior to take-off passengers have been made familiar with the location and
use of the following:
and if applicable:
(4) life-jackets;
and
(b) Before commencing a flight, the pilot-in-command shall be familiar with all
available meteorological information appropriate to the intended flight. Prep
aration for a flight away from the vicinity of the place of departure, and for
every flight under IFR, shall include:
(2) the planning of an alternative course of action to provide for the event
uality that the flight cannot be completed as planned, because of
weather conditions.
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▼M1
NCC.OP.150 Take-off alternate aerodromes — aeroplanes
(a) For IFR flights, the pilot-in-command shall specify at least one
weather-permissible take-off alternate aerodrome in the flight plan if the
weather conditions at the aerodrome of departure are at or below the
applicable aerodrome operating minima or it would not be possible to
return to the aerodrome of departure for other reasons.
(b) The take-off alternate aerodrome shall be located within the following
distance from the aerodrome of departure:
(1) for aeroplanes having two engines, not more than a distance equivalent
to a flight time of 1 hour at the single-engine cruise speed in still air
standard conditions; and
(2) for aeroplanes having three or more engines, not more than a distance
equivalent to a flight time of 2 hours at the one-engine-
inoperative (OEI) cruise speed according to the AFM in still air
standard conditions.
(a) the available current meteorological information indicates that, for the period
from 1 hour before until 1 hour after the estimated time of arrival, or from
the actual time of departure to 1 hour after the estimated time of arrival,
whichever is the shorter period, the approach and landing may be made
under visual meteorological conditions (VMC); or
(i) a cloud base of at least 300 m (1 000 ft) above the minimum
associated with the instrument approach procedure; and
(1) a cloud base of at least 120 m (400 ft) above the minimum associated
with the instrument approach procedure; and
(2) visibility of at least 1 500 m more than the minimum associated with
the procedure; or
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▼M1
(b) the place of intended landing is isolated and:
(i) the cloud base is at least 120 m (400 ft) above the minimum
associated with the instrument approach procedure;
(b) For all other types of fuel, necessary precautions shall be taken and the
aircraft shall be properly manned by qualified personnel ready to initiate and
direct an evacuation of the aircraft by the most practical and expeditious
means available.
(i) when receiving the ATC departure clearance via voice communi
cation; and
and
(a) passengers are seated where, in the event that an emergency evacuation is
required, they are able to assist and not hinder evacuation of the aircraft;
(b) prior to and during taxiing, take-off and landing, and whenever deemed
necessary in the interest of safety by the pilot-in-command, each
passenger on board occupies a seat or berth and has his/her safety belt or
restraint device properly secured; and
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▼M1
(c) multiple occupancy is only allowed on specified aircraft seats occupied by
one adult and one infant properly secured by a supplementary loop belt or
other restraint device.
(a) before taxiing, take-off and landing, all exits and escape paths are
unobstructed; and
(b) before take-off and landing, and whenever deemed necessary in the interest
of safety, all equipment and baggage are properly secured.
(c) while the aircraft is on the surface unless the operator has determined
procedures to mitigate the risks during ground operations;
(e) in cargo compartments and/or other areas where cargo is carried that is not
stored in flame-resistant containers or covered by flame-resistant canvas; and
(c) If a flight contains VFR and IFR segments, the meteorological information
referred to in (a) and (b) shall be applicable as far as relevant.
(b) The pilot-in-command shall only commence take-off if the aircraft is clear
of any deposit that might adversely affect the performance or controllability
of the aircraft, except as permitted under the procedures referred to in (a)
and in accordance with the AFM.
▼M1
(b) The pilot-in-command shall only commence a flight or intentionally fly into
expected or actual icing conditions if the aircraft is certified and equipped to
cope with such conditions as referred to in 2.a.5 of Annex IV to
Regulation (EC) No 216/2008.
(c) If icing exceeds the intensity of icing for which the aircraft is certified or if
an aircraft not certified for flight in known icing conditions encounters icing,
the pilot-in-command shall exit the icing conditions without delay, by a
change of level and/or route, and if necessary by declaring an emergency
to ATC.
(b) The pilot-in-command shall check at regular intervals that the amount of
usable fuel remaining in flight is not less than the fuel required to proceed to
a weather-permissible aerodrome or operating site and the planned reserve
fuel as required by NCC.OP.130 or NCC.OP.131.
▼M1
NCC.OP.220 Airborne collision avoidance system (ACAS)
The operator shall establish operational procedures and training programs when
ACAS is installed and serviceable. When ACAS II is used, such procedures and
training shall be in accordance with Regulation (EU) No 1332/2011.
(b) If the reported RVR/VIS is less than the applicable minimum the approach
shall not be continued:
(2) into the final approach segment in the case where the decision altitude/
height (DA/H) or minimum descent altitude/height (MDA/H) is more
than 1 000 ft above the aerodrome.
(c) Where the RVR is not available, RVR values may be derived by converting
the reported visibility.
(d) If, after passing 1 000 ft above the aerodrome, the reported RVR/VIS falls
below the applicable minimum, the approach may be continued to DA/H or
MDA/H.
(e) The approach may be continued below DA/H or MDA/H and the landing
may be completed provided that the visual reference adequate for the type of
approach operation and for the intended runway is established at the DA/H
or MDA/H and is maintained.
SUBPART C
AIRCRAFT PERFORMANCE AND OPERATING LIMITATIONS
NCC.POL.100 Operating limitations — all aircraft
(a) During any phase of operation, the loading, the mass and the centre of
gravity (CG) position of the aircraft shall comply with any limitation
specified in the AFM, or the operations manual, if more restrictive.
▼M1
NCC.POL.105 Mass and balance, loading
(a) The operator shall establish the mass and the CG of any aircraft by actual
weighing prior to initial entry into service. The accumulated effects of
modifications and repairs on the mass and balance shall be accounted for
and properly documented. Aircraft shall be reweighed if the effect of modi
fications on the mass and balance is not accurately known.
(c) The operator shall determine the mass of all operating items and crew
members included in the aircraft dry operating mass by actual weighing,
including any crew baggage, or by using standard masses. The influence of
their position on the aircraft’s CG shall be determined. When using standard
masses the following mass values for crew members shall be used to
determine the dry operating mass:
(2) determining the mass of the traffic load in accordance with standard
passenger and baggage masses; or
(e) When using standard masses the following mass values shall be used:
(1) for passengers, those in Tables 1 and 2, where hand baggage and the
mass of any infant carried by an adult on one passenger seat are
included:
Table 1
Standard masses for passengers — aircraft with a total number of
passenger seats of 20 or more
Adults 88 kg 70 kg 84 kg
Children 35 kg 35 kg 35 kg
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▼M1
Table 2
Standard masses for passengers — aircraft with a total number of
passenger seats of 19 or less
Passenger seats 1 – 5 6 – 9 10 – 19
Male 104 kg 96 kg 92 kg
Female 86 kg 78 kg 74 kg
Children 35 kg 35 kg 35 kg
(i) for aeroplanes, when the total number of passenger seats available
on the aeroplane is 20 or more, standard mass values for checked
baggage in Table 3;
Table 3
Standard masses for baggage — aeroplanes with a total number
of passenger seats of 20 or more
Domestic 11 kg
Intercontinental 15 kg
All other 13 kg
(ii) for helicopters, when the total number of passenger seats available
on the helicopters is 20 or more, the standard mass value for
checked baggage of 13 kg.
(f) For aircraft with 19 passenger seats or less, the actual mass of checked
baggage shall be determined:
(1) by weighing; or
(2) traffic load is consistent with the data used for the calculation of the
aircraft mass and balance.
▼M1
(j) The operator shall specify, in the operations manual, the principles and
methods involved in the loading and in the mass and balance system that
meet the requirements contained in (a) to (i). This system shall cover all
types of intended operations.
(6) mass of the fuel at take-off and the mass of trip fuel;
(b) Where mass and balance data and documentation are generated by a
computerised mass and balance system, the operator shall verify the
integrity of the output data.
(c) When the loading of the aircraft is not supervised by the pilot-in-command,
the person supervising the loading of the aircraft shall confirm by hand
signature or equivalent that the load and its distribution are in accordance
with the mass and balance documentation established by the pilot-in-
command. The pilot-in-command shall indicate his/her acceptance by hand
signature or equivalent.
(d) The operator shall specify procedures for last minute changes to the load to
ensure that:
(1) any last minute change after the completion of the mass and balance
documentation is entered in the flight planning documents containing
the mass and balance documentation;
(2) the maximum last minute change allowed in passenger numbers or hold
load is specified; and
▼M1
NCC.POL.115 Performance — general
The pilot-in-command shall only operate the aircraft if the performance is
adequate to comply with the applicable rules of the air and any other restrictions
applicable to the flight, the airspace or the aerodromes or operating sites used,
taking into account the charting accuracy of any charts and maps used.
(a) the mass of the aeroplane at the start of take-off shall not exceed the mass
limitations:
allowing for expected reductions in mass as the flight proceeds and for fuel
jettisoning;
(b) the mass at the start of take-off shall never exceed the maximum take-off
mass specified in the AFM for the pressure altitude appropriate to the
elevation of the aerodrome or operating site, and if used as a parameter
to determine the maximum take-off mass, any other local atmospheric
condition; and
(c) the estimated mass for the expected time of landing at the aerodrome or
operating site of intended landing and at any destination alternate aerodrome
shall never exceed the maximum landing mass specified in the AFM for the
pressure altitude appropriate to the elevation of those aerodromes or
operating sites, and if used as a parameter to determine the maximum
landing mass, any other local atmospheric condition.
(1) the calculated take-off distance shall not exceed the take-off distance
available with a clearway distance not exceeding half of the take-off
run available;
(2) the calculated take-off run shall not exceed the take-off run available;
(3) a single value of V1 shall be used for the rejected and continued
take-off, where a V1 is specified in the AFM; and
(4) on a wet or contaminated runway, the take-off mass shall not exceed
that permitted for a take-off on a dry runway under the same
conditions.
(b) In the event of an engine failure during take-off, the pilot-in-command shall
ensure that:
(1) for the aeroplane where a V1 is specified in the AFM, the aeroplane
shall be able to discontinue the take-off and stop within the
accelerate-stop distance available; and
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(2) for the aeroplane where a net take-off flight path is specified in the
AFM, the aeroplane shall be able to continue the take-off and clear all
obstacles along the flight path by an adequate margin until the
aeroplane is in a position to comply with NCC.POL.130.
SUBPART D
INSTRUMENTS, DATA AND EQUIPMENT
SECTION 1
Aeroplanes
NCC.IDE.A.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with the applicable airworthiness requirements if they are:
(b) The following items, when required by this Subpart, do not need an
equipment approval:
(c) Instruments and equipment not required by this Subpart as well as any other
equipment which is not required by other applicable Annexes, but is carried
on a flight, shall comply with the following:
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(1) the information provided by these instruments, equipment or acces
sories shall not be used by the flight crew to comply with Annex I
to Regulation (EC) No 216/2008 or NCC.IDE.A.245 and
NCC.IDE.A.250; and
(2) the instruments and equipment shall not affect the airworthiness of the
aeroplane, even in the case of failures or malfunction.
(d) Instruments and equipment shall be readily operable or accessible from the
station where the flight crew member that needs to use it is seated.
(e) Those instruments that are used by a flight crew member shall be so
arranged as to permit the flight crew member to see the indications
readily from his/her station, with the minimum practicable deviation from
the position and line of vision which he/she normally assumes when looking
forward along the flight path.
(f) All required emergency equipment shall be easily accessible for immediate
use.
(b) the operator is approved by the competent authority to operate the aeroplane
within the constraints of the master minimum equipment list (MMEL); or
(c) the aeroplane is subject to a permit to fly issued in accordance with the
applicable airworthiness requirements.
(d) lighting supplied from the aeroplane’s electrical system to provide adequate
illumination for all instruments and equipment essential to the safe operation
of the aeroplane;
(e) lighting supplied from the aeroplane’s electrical system to provide illumi
nation in all passenger compartments;
(f) an independent portable light for each crew member station; and
(1) magnetic-heading;
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(3) pressure altitude;
(ii) attitude;
(c) Whenever two pilots are required for the operation, aeroplanes shall be
equipped with an additional separate means of displaying the following:
(7) attitude;
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(b) a means of indicating when the supply of power to the gyroscopic
instruments is not adequate;
(c) whenever two pilots are required for the operation, an additional separate
means of displaying for the second pilot:
(5) attitude;
(f) a chart holder in an easily readable position that can be illuminated for night
operations;
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NCC.IDE.A.145 Airborne weather detecting equipment
The following aeroplanes shall be equipped with airborne weather detecting
equipment when operated at night or in IMC in areas where thunderstorms or
other potentially hazardous weather conditions, regarded as detectable with
airborne weather detecting equipment, may be expected to exist along the route:
(b) non-pressurised aeroplanes with an MCTOM of more than 5 700 kg; and
(b) The means to illuminate the formation of ice shall not cause glare or
reflection that would handicap flight crew members in the performance of
their duties.
(1) aeroplanes with an MCTOM of more than 27 000 kg and first issued
with an individual CofA on or after 1 January 2016; and
(i) certified for operation with a minimum crew of at least two pilots;
(b) The CVR shall be capable of retaining data recorded during at least the
preceding 2 hours.
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(d) The CVR shall start automatically to record prior to the aeroplane moving
under its own power and shall continue to record until the termination of the
flight when the aeroplane is no longer capable of moving under its own
power.
(b) The FDR shall record the parameters required to determine accurately the
aeroplane flight path, speed, attitude, engine power, configuration and
operation and be capable of retaining data recorded during at least the
preceding 25 hours.
(c) Data shall be obtained from aeroplane sources that enable accurate
correlation with information displayed to the flight crew.
(d) The FDR shall start automatically to record the data prior to the aeroplane
being capable of moving under its own power and shall stop automatically
after the aeroplane is incapable of moving under its own power.
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(3) information on the time and priority of data link communications
messages, taking into account the system’s architecture.
(b) The recorder shall use a digital method of recording and storing data and
information and a method for readily retrieving that data. The recording
method shall allow the data to match the data recorded on the ground.
(c) The recorder shall be capable of retaining data recorded for at least the same
duration as set out for CVRs in NCC.IDE.A.160.
(e) The requirements applicable to the start and stop logic of the recorder are
the same as the requirements applicable to the start and stop logic of the
CVR contained in NCC.IDE.A.160(d) and (e).
(a) one flight data and cockpit voice combination recorder if the aeroplane has
to be equipped with a CVR or an FDR; or
(b) two flight data and cockpit voice combination recorders if the aeroplane has
to be equipped with a CVR and an FDR.
NCC.IDE.A.180 Seats, seat safety belts, restraint systems and child restraint
devices
(a) Aeroplanes shall be equipped with:
(1) a seat or berth for each person on board who is aged 24 months or
more;
(2) a seat belt on each passenger seat and restraining belts for each berth;
(3) a child restraint device (CRD) for each person on board younger than
24 months;
(4) a seat belt with upper torso restraint system incorporating a device that
will automatically restrain the occupant’s torso in the event of rapid
deceleration:
(i) on each flight crew seat and on any seat alongside a pilot’s seat;
and
and
(5) a seat belt with upper torso restraint system on the seats for the
minimum required cabin crew, in the case of aeroplanes first issued
with an individual CofA after 31 December 1980.
(2) on flight crew seats, on any seat alongside a pilot’s seat and on the
seats for the minimum required cabin crew, include two shoulder straps
and a seat belt that may be used independently.
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NCC.IDE.A.185 Fasten seat belt and no smoking signs
Aeroplanes in which not all passenger seats are visible from the flight crew
seat(s) shall be equipped with a means of indicating to all passengers and
cabin crew when seat belts shall be fastened and when smoking is not allowed.
Table 1
Number of first-aid kits required
0 – 100 1
101 – 200 2
201 – 300 3
301 – 400 4
401 – 500 5
501 or more 6
(b) Pressurised aeroplanes operated above flight altitudes at which the pressure
altitude in the passenger compartments is above 10 000 ft shall carry enough
breathing oxygen to supply:
(i) 100 % of the passengers for any period when the cabin pressure
altitude exceeds 15 000 ft, but in no case less than 10 minutes’
supply;
(ii) at least 30 % of the passengers, for any period when, in the event
of loss of pressurisation and taking into account the circumstances
of the flight, the pressure altitude in the passenger compartment
will be between 14 000 ft and 15 000 ft; and
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(2) all the occupants of the passenger compartment for no less than 10
minutes, in the case of aeroplanes operated at pressure altitudes above
25 000 ft, or operated below that altitude, but under conditions that will
not allow them to descend safely to a pressure altitude of 13 000 ft
within 4 minutes.
(1) a device to provide a warning indication to the flight crew of any loss
of pressurisation; and
(1) all crew members and at least 10 % of the passengers for any period in
excess of 30 minutes when the pressure altitude in the passenger
compartment will be between 10 000 ft and 13 000 ft; and
(2) all crew members and passengers for any period that the pressure
altitude in the passenger compartments will be above 13 000 ft.
(2) in each passenger compartment that is separate from the flight crew
compartment, except if the compartment is readily accessible to the
flight crew.
(b) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the
compartment where the extinguisher is intended to be used and to
minimise the hazard of toxic gas concentration in compartments occupied
by persons.
(b) In the case of aeroplanes with an MOPSC of more than 200, an additional
crash axe or crowbar shall be installed in or near the rearmost galley area.
(c) Crash axes and crowbars located in the passenger compartment shall not be
visible to passengers.
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NCC.IDE.A.210 Marking of break-in points
If areas of the aeroplane’s fuselage suitable for break-in by rescue crews in an
emergency are marked, such areas shall be marked as shown in Figure 1.
Figure 1
Marking of break-in points
(1) an ELT of any type when first issued with an individual CofA on or
before 1 July 2008;
(2) an automatic ELT when first issued with an individual CofA after
1 July 2008.
(2) equipment for making the sound signals as prescribed in the Inter
national Regulations for Preventing Collisions at Sea, where applicable.
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(d) The pilot-in-command of an aeroplane operated at a distance away from
land where an emergency landing is possible greater than that corresponding
to 30 minutes at normal cruising speed or 50 NM, whichever is the lesser,
shall determine the risks to survival of the occupants of the aeroplane in the
event of a ditching, based on which he/she shall determine the carriage of:
(3) additional survival equipment for the route to be flown taking account
of the number of persons on board.
(b) The additional survival equipment specified in (a)(3) does not need to be
carried when the aeroplane:
(1) remains within a distance from an area where search and rescue is not
especially difficult corresponding to:
or
NCC.IDE.A.240 Headset
(a) Aeroplanes shall be equipped with a headset with a boom microphone or
equivalent for each flight crew member at their assigned station in the flight
crew compartment.
(b) Aeroplanes operated under IFR or at night shall be equipped with a transmit
button on the manual pitch and roll control for each required flight crew
member.
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(3) conducting two-way communication at any time during flight with
those aeronautical stations and on those frequencies prescribed by the
appropriate authority; and
(b) When more than one communication equipment unit is required, each shall
be independent of the other or others to the extent that a failure in any one
will not result in failure of any other.
(b) Aeroplanes shall have sufficient navigation equipment to ensure that, in the
event of the failure of one item of equipment at any stage of the flight, the
remaining equipment shall allow safe navigation in accordance with (a), or
an appropriate contingency action, to be completed safely.
NCC.IDE.A.255 Transponder
Aeroplanes shall be equipped with a pressure altitude reporting secondary
surveillance radar (SSR) transponder and any other SSR transponder capability
required for the route being flown.
(b) When the electronic navigation data products support a navigation appli
cation needed for an operation for which Annex V (Part-SPA) to
Regulation (EU) No 965/2012 requires an approval, the operator shall
demonstrate to the competent authority that the process applied and the
delivered products meet standards of integrity that are adequate for the
intended use of the data.
(c) The operator shall continuously monitor both the process and the products,
either directly or by monitoring the compliance of third party providers.
(d) The operator shall ensure the timely distribution and insertion of current and
unaltered electronic navigation data to all aeroplanes that require it.
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SECTION 2
Helicopters
NCC.IDE.H.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with the applicable airworthiness requirements if they are:
(b) The following items, when required by this Subpart, do not need an
equipment approval:
(c) Instruments and equipment not required by this Subpart as well as any other
equipment which is not required by other applicable Annexes, but is carried
on a flight, shall comply with the following:
(2) the instruments and equipment shall not affect the airworthiness of the
helicopter, even in the case of failures or malfunction.
(d) Instruments and equipment shall be readily operable or accessible from the
station where the flight crew member that needs to use it is seated.
(e) Those instruments that are used by a flight crew member shall be so
arranged as to permit the flight crew member to see the indications
readily from his/her station, with the minimum practicable deviation from
the position and line of vision which he/she normally assumes when looking
forward along the flight path.
(f) All required emergency equipment shall be easily accessible for immediate
use.
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(b) the operator is approved by the competent authority to operate the helicopter
within the constraints of the master minimum equipment list (MMEL); or
(c) the helicopter is subject to a permit to fly issued in accordance with the
applicable airworthiness requirements.
(d) lighting supplied from the helicopter’s electrical system to provide adequate
illumination for all instruments and equipment essential to the safe operation
of the helicopter;
(e) lighting supplied from the helicopter’s electrical system to provide illumi
nation in all passenger compartments;
(f) an independent portable light for each crew member station; and
(5) slip.
(b) Helicopters operated under VMC over water and out of sight of the land, or
under VMC at night, or when the visibility is less than 1 500 m, or in
conditions where the helicopter cannot be maintained in a desired flight
path without reference to one or more additional instruments, shall be
equipped, in addition to (a), with:
(i) attitude;
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(c) Whenever two pilots are required for the operation, helicopters shall be
equipped with an additional separate means of displaying the following:
(3) slip;
(6) slip;
(7) attitude;
(c) whenever two pilots are required for the operation, an additional separate
means of displaying the following:
(4) slip;
(f) a chart holder in an easily readable position that can be illuminated for night
operations; and
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NCC.IDE.H.145 Airborne weather detecting equipment
Helicopters with an MOPSC of more than nine and operated under IFR or at
night shall be equipped with airborne weather detecting equipment when current
weather reports indicate that thunderstorms or other potentially hazardous
weather conditions, regarded as detectable with airborne weather detecting
equipment, may be expected to exist along the route to be flown.
(b) The means to illuminate the formation of ice shall not cause glare or
reflection that would handicap flight crew members in the performance of
their duties.
(b) The CVR shall be capable of retaining data recorded during at least the
preceding 2 hours.
(d) The CVR shall start automatically to record prior to the helicopter moving
under its own power and shall continue to record until the termination of the
flight when the helicopter is no longer capable of moving under its own
power.
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NCC.IDE.H.165 Flight data recorder
(a) Helicopters with an MCTOM of more than 3 175 kg and first issued with an
individual CofA on or after 1 January 2016 shall be equipped with an FDR
that uses a digital method of recording and storing data and for which a
method of readily retrieving that data from the storage medium is available.
(b) The FDR shall record the parameters required to determine accurately the
helicopter flight path, speed, attitude, engine power, configuration and
operation and be capable of retaining data recorded during at least the
preceding 10 hours.
(c) Data shall be obtained from helicopter sources that enable accurate
correlation with information displayed to the flight crew.
(d) The FDR shall start automatically to record the data prior to the helicopter
being capable of moving under its own power and shall stop automatically
after the helicopter is incapable of moving under its own power.
(b) The recorder shall use a digital method of recording and storing data and
information and a method for readily retrieving that data. The recording
method shall allow the data to match the data recorded on the ground.
(c) The recorder shall be capable of retaining data recorded for at least the same
duration as set out for CVRs in NCC.IDE.H.160.
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(d) The recorder shall have a device to assist in locating it in water.
(e) The requirements applicable to the start and stop logic of the recorder are
the same as the requirements applicable to the start and stop logic of the
CVR contained in NCC.IDE.H.160(d) and (e).
NCC.IDE.H.180 Seats, seat safety belts, restraint systems and child restraint
devices
(a) Helicopters shall be equipped with:
(1) a seat or berth for each person on board who is aged 24 months or
more;
(2) a seat belt on each passenger seat and restraining belts for each berth;
(3) for helicopters first issued with an individual CofA after 31 December
2012, a seat belt with an upper torso restraint system for each
passenger who is aged 24 months or more;
(4) a child restraint device (CRD) for each person on board younger than
24 months;
(5) a seat belt with upper torso restraint system incorporating a device that
will automatically restrain the occupant’s torso in the event of rapid
deceleration on each flight crew seat; and
(6) a seat belt with upper torso restraint system on the seats for the
minimum required cabin crew, in the case of helicopters first issued
with an individual CofA after 31 December 1980.
(2) on flight crew seats, on any seat alongside a pilot’s seat and on the
seats for the minimum required cabin crew, include two shoulder straps
and a seat belt that may be used independently.
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NCC.IDE.H.200 Supplemental oxygen — non-pressurised helicopters
(a) Non-pressurised helicopters operated at flight altitudes when the oxygen
supply is required in accordance with (b) shall be equipped with oxygen
storage and dispensing apparatus capable of storing and dispensing the
required oxygen supplies.
(1) all crew members and at least 10 % of the passengers for any period in
excess of 30 minutes when the pressure altitude in the passenger
compartment will be between 10 000 ft and 13 000 ft; and
(2) all crew members and passengers for any period that the pressure
altitude in the passenger compartment will be above 13 000 ft.
(2) in each passenger compartment that is separate from the flight crew
compartment, except if the compartment is readily accessible to the
flight crew.
(b) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the
compartment where the extinguisher is intended to be used and to
minimise the hazard of toxic gas concentration in compartments occupied
by persons.
Figure 1
Marking of break-in points
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(b) Helicopters operating on a flight over water in support of offshore oper
ations in a hostile environment and at a distance from land corresponding to
more than 10 minutes flying time at normal cruising speed, where in the
case of the critical engine failure, the helicopter is able to sustain level
flight, shall be equipped with an automatically deployable ELT (ELT(AD)).
NCC.IDE.H.225 Life-jackets
(a) Helicopters shall be equipped with a life-jacket for each person on board or
equivalent individual floatation device for each person on board younger
than 24 months, which shall be worn or stowed in a position that is readily
accessible from the seat or berth of the person for whose use it is provided,
when:
(2) operated on a flight over water beyond autorotational distance from the
land, where in the case of critical engine failure, the helicopter is not
able to sustain level flight; or
(2) the estimated rescue time exceeds the estimated survival time;
or
(1) flights over water beyond autorotational distance or safe forced landing
distance from land, where in the case of the critical engine failure, the
helicopter is not able to sustain level flight; and
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NCC.IDE.H.227 Life-rafts, survival ELTs and survival equipment on
extended overwater flights
Helicopters operated:
(a) on a flight over water at a distance from land corresponding to more than 10
minutes flying time at normal cruising speed, where in the case of the
critical engine failure, the helicopter is able to sustain level flight; or
(1) in the case of a helicopter carrying less than 12 persons, at least one
life-raft with a rated capacity of not less than the maximum number of
persons on board, stowed so as to facilitate their ready use in
emergency;
(2) in the case of a helicopter carrying more than 11 persons, at least two
life-rafts, stowed so as to facilitate their ready use in an emergency,
sufficient together to accommodate all persons capable of being carried
on board and, if one is lost the remaining life-raft(s) having the
overload capacity sufficient to accommodate all persons on the heli
copter;
(3) at least one survival ELT (ELT(S)) for each required life-raft; and
(c) additional survival equipment for the route to be flown taking account of the
number of persons on board.
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(c) The helicopter shall be equipped with an emergency lighting system with an
independent power supply to provide a source of general cabin illumination
to facilitate the evacuation of the helicopter.
(d) All emergency exits, including crew emergency exits, and the means of
opening them shall be conspicuously marked for the guidance of
occupants using the exits in daylight or in the dark. Such markings shall
be designed to remain visible if the helicopter is capsized and the cabin is
submerged.
(e) All non-jettisonable doors that are designated as ditching emergency exits
shall have a means of securing them in the open position so that they do not
interfere with occupants’ egress in all sea conditions up to the maximum
required to be evaluated for ditching and flotation.
(g) Life-jackets shall be worn at all times, unless the passenger or crew member
is wearing an integrated survival suit that meets the combined requirement
of the survival suit and life-jacket.
(a) a sea anchor and other equipment necessary to facilitate mooring, anchoring
or manoeuvring the helicopter on water, appropriate to its size, weight and
handling characteristics; and
(b) equipment for making the sound signals prescribed in the International
Regulations for Preventing Collisions at Sea, where applicable.
NCC.IDE.H.240 Headset
Whenever a radio communication and/or radio navigation system is required,
helicopters shall be equipped with a headset with boom microphone or equivalent
and a transmit button on the flight controls for each required pilot and/or crew
member at his/her assigned station.
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(3) conducting two-way communication at any time during flight with
those aeronautical stations and on those frequencies prescribed by the
appropriate authority; and
(4) providing for communication on the aeronautical emergency frequency
121,5 MHz.
(b) When more than one communications equipment unit is required, each shall
be independent of the other or others to the extent that a failure in any one
will not result in failure of any other.
(c) When a radio communication system is required, and in addition to the
flight crew interphone system required in NCC.IDE.H.155, helicopters
shall be equipped with a transmit button on the flight controls for each
required pilot and crew member at his/her assigned station.
NCC.IDE.H.250 Navigation equipment
(a) Helicopters shall be equipped with navigation equipment that will enable
them to proceed in accordance with:
(1) the ATS flight plan, if applicable; and
(2) the applicable airspace requirements.
(b) Helicopters shall have sufficient navigation equipment to ensure that, in the
event of the failure of one item of equipment at any stage of the flight, the
remaining equipment shall allow safe navigation in accordance with (a), or
an appropriate contingency action, to be completed safely.
(c) Helicopters operated on flights in which it is intended to land in IMC shall
be equipped with navigation equipment capable of providing guidance to a
point from which a visual landing can be performed. This equipment shall
be capable of providing such guidance for each aerodrome at which it is
intended to land in IMC and for any designated alternate aerodromes.
NCC.IDE.H.255 Transponder
Helicopters shall be equipped with a pressure altitude reporting secondary
surveillance radar (SSR) transponder and any other SSR transponder capability
required for the route being flown.
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ANNEX VII
(b) If the aircraft is registered in a third country, the competent authority shall
be the authority designated by the Member State where the operator is
established or residing.
(c) Powered sailplanes, excluding touring motor gliders, shall be operated and
equipped in compliance with the requirements applicable to sailplanes.
(1) the safety of the aircraft and of all crew members, passengers and cargo
on board during aircraft operations as referred to in 1.c of Annex IV to
Regulation (EC) No 216/2008;
(3) ensuring that all operational procedures and checklists are complied
with as referred to in 1.b of Annex IV to Regulation (EC)
No 216/2008;
(iii) instruments and equipment required for the execution of that flight
are installed in the aircraft and are operative, unless operation with
inoperative equipment is permitted by the minimum equipment
list (MEL) or equivalent document, if applicable, as provided for
in NCO.IDE.A.105, NCO.IDE.H.105, NCO.IDE.S.105 or
NCO.IDE.B.105;
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(iv) the mass of the aircraft and, except in the case of balloons, the
centre of gravity location are such that the flight can be conducted
within limits prescribed in the airworthiness documentation;
(v) all equipment, baggage and cargo are properly loaded and secured
and an emergency evacuation remains possible; and
(8) recording utilisation data and all known or suspected defects in the
aircraft at the termination of the flight, or series of flights, in the
aircraft technical log or journey log for the aircraft.
(b) The pilot-in-command shall ensure that during critical phases of flight or
whenever deemed necessary in the interest of safety, all crew members are
seated at their assigned stations and do not perform any activities other than
those required for the safe operation of the aircraft.
(d) The pilot-in-command shall, as soon as possible, report to the appropriate air
traffic services (ATS) unit any hazardous weather or flight conditions
encountered that are likely to affect the safety of other aircraft.
(1) except for balloons, keep his/her safety belt fastened while at his/her
station; and
(2) remain at the controls of the aircraft at all times except if another pilot
is taking the controls.
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(g) The pilot-in-command shall submit a report of an act of unlawful inter
ference without delay to the competent authority and shall inform the
designated local authority.
(h) The pilot-in-command shall notify the nearest appropriate authority by the
quickest available means of any accident involving the aircraft that results in
serious injury or death of any person or substantial damage to the aircraft or
property.
(a) the pre-flight briefing of those persons assisting in the inflation and deflation
of the envelope; and
(b) ensuring that persons assisting in the inflation and deflation of the envelope
wear appropriate protective clothing.
(b) The pilot-in-command shall be familiar with the laws, regulations and
procedures, pertinent to the performance of his/her duties, prescribed for
the areas to be traversed, the aerodromes or operating sites to be used
and the related air navigation facilities as referred to in 1.a of Annex IV
to Regulation (EC) No 216/2008.
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NCO.GEN.135 Documents, manuals and information to be carried
(a) The following documents, manuals and information shall be carried on each
flight as originals or copies unless otherwise specified:
(10) current and suitable aeronautical charts for the route of the proposed
flight and all routes along which it is reasonable to expect that the
flight may be diverted;
(11) procedures and visual signals information for use by intercepting and
intercepted aircraft;
(1) intending to take off and land at the same aerodrome/operating site; or
(1) they are not subject to the Technical Instructions in accordance with
Part 1 of those Instructions; or
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(2) they are carried by passengers or the pilot-in-command, or are in
baggage, in accordance with Part 8 of the Technical Instructions;
(e) The pilot-in-command shall ensure that passengers are provided with
information about dangerous goods in accordance with the Technical
Instructions.
(b) any relevant mandatory safety information issued by the Agency, including
airworthiness directives.
(1) the document shall provide for the operation of the aircraft, under
specified conditions, with particular instruments, items of equipment
or functions inoperative at the commencement of the flight;
(2) the document shall be prepared for each individual aircraft, taking
account of the operator’s relevant operational and maintenance
conditions; and
(3) the MEL shall be based on the relevant Master Minimum Equipment
List (MMEL), as defined in the data established in accordance with
Commission Regulation (EU) No 748/2012 (1), and shall not be less
restrictive than the MMEL.
(b) The MEL and any amendment thereto shall be notified to the competent
authority.
SUBPART B
OPERATIONAL PROCEDURES
NCO.OP.100 Use of aerodromes and operating sites
The pilot-in-command shall only use aerodromes and operating sites that are
adequate for the type of aircraft and operation concerned.
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NCO.OP.110 Aerodrome operating minima — aeroplanes and helicopters
(a) For instrument flight rules (IFR) flights, the pilot-in-command shall select
and use aerodrome operating minima for each departure, destination and
alternate aerodrome. Such minima shall:
(1) not be lower than those established by the State in which the
aerodrome is located, except when specifically approved by that
State; and
(b) When selecting the aerodrome operating minima, the pilot-in-command shall
take the following into account:
(3) the dimensions and characteristics of the runways and final approach
and take-off areas (FATOs) that may be selected for use;
(4) the adequacy and performance of the available visual and non-visual
ground aids;
(5) the equipment available on the aircraft for the purpose of navigation
and/or control of the flight path, during the take-off, the approach, the
flare, the landing, the rollout and the missed approach;
(6) the obstacles in the approach, the missed approach and the climb-out
areas necessary for the execution of contingency procedures;
(c) The minima for a specific type of approach and landing procedure shall be
used if:
(1) the ground equipment required for the intended procedure is operative;
(2) the aircraft systems required for the type of approach are operative;
(1) the minimum height to which the approach aid can be used without the
required visual reference;
(2) the obstacle clearance height (OCH) for the category of aircraft;
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(3) the published approach procedure DH where applicable;
(b) The minimum descent height (MDH) for an NPA operation flown without
the CDFA technique shall not be lower than the highest of:
Table 1
System minima
VOR/DME 250
NDB/DME 300
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(2) the minimum circling height derived from Table 1; or
(b) The minimum visibility for a circling operation with aeroplanes shall be the
highest of:
Table 1
MDH and minimum visibility for circling vs. aeroplane category
Aeroplane category
A B C D
(b) The pilot-in-command may deviate from a published departure route, arrival
route or approach procedure:
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NCO.OP.125 Fuel and oil supply — aeroplanes
(a) The pilot-in-command shall only commence a flight if the aeroplane carries
sufficient fuel and oil for the following:
(b) In computing the fuel required including to provide for contingency, the
following shall be taken into consideration:
(4) any other condition that may delay the landing of the aeroplane or
increase fuel and/or oil consumption.
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(ii) when an alternate is required, to fly to and execute an approach
and a missed approach at the aerodrome/operating site of intended
landing, and thereafter:
(b) In computing the fuel required including to provide for contingency, the
following shall be taken into consideration:
(4) any other condition that may delay the landing of the aircraft or
increase fuel and/or oil consumption.
(b) Fuel, gas or ballast supply calculations shall be based upon at least the
following operating conditions under which the flight is to be conducted:
(b) Before commencing a flight, the pilot-in-command shall be familiar with all
available meteorological information appropriate to the intended flight. Prep
aration for a flight away from the vicinity of the place of departure, and for
every flight under IFR, shall include:
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(2) the planning of an alternative course of action to provide for the event
uality that the flight cannot be completed as planned, because of
weather conditions.
(a) the available current meteorological information indicates that, for the period
from 1 hour before until 1 hour after the estimated time of arrival, or from
the actual time of departure to 1 hour after the estimated time of arrival,
whichever is the shorter period, the approach and landing may be made
under visual meteorological conditions (VMC); or
(i) a cloud base of at least 300 m (1 000 ft) above the minimum
associated with the instrument approach procedure; and
(1) a cloud base of at least 120 m (400 ft) above the minimum associated
with the instrument approach procedure; and
(2) visibility of at least 1 500 m more than the minimum associated with
the procedure; or
(i) the cloud base is at least 120 m (400 ft) above the minimum
associated with the instrument approach procedure;
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(b) For all other types of fuel, the aircraft shall not be refuelled when
passengers are embarking, on board or disembarking, unless it is attended
by the pilot-in-command or other qualified personnel ready to initiate and
direct an evacuation of the aircraft by the most practical and expeditious
means available.
(c) If a flight contains VFR and IFR segments, the meteorological information
referred to in (a) and (b) shall be applicable as far as relevant.
(b) If icing exceeds the intensity of icing for which the aircraft is certified or if
an aircraft not certified for flight in known icing conditions encounters icing,
the pilot-in-command shall exit the icing conditions without delay, by a
change of level and/or route, and if necessary by declaring an emergency
to ATC.
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NCO.OP.175 Take-off conditions — aeroplanes and helicopters
Before commencing take-off, the pilot-in-command shall be satisfied that:
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NCO.OP.210 Commencement and continuation of approach — aeroplanes
and helicopters
(a) The pilot-in-command may commence an instrument approach regardless of
the reported runway visual range/visibility (RVR/VIS).
(b) If the reported RVR/VIS is less than the applicable minimum, the approach
shall not be continued:
(2) into the final approach segment in the case where the decision altitude/
height (DA/H) or minimum descent altitude/height (MDA/H) is more
than 1 000 ft above the aerodrome.
(c) Where the RVR is not available, RVR values may be derived by converting
the reported visibility.
(d) If, after passing 1 000 ft above the aerodrome, the reported RVR/VIS falls
below the applicable minimum, the approach may be continued to DA/H or
MDA/H.
(e) The approach may be continued below DA/H or MDA/H and the landing
may be completed provided that the visual reference adequate for the type of
approach operation and for the intended runway is established at the DA/H
or MDA/H and is maintained.
SUBPART C
AIRCRAFT PERFORMANCE AND OPERATING LIMITATIONS
NCO.POL.100 Operating limitations — all aircraft
(a) During any phase of operation, the loading, the mass and, except for
balloons, the centre of gravity (CG) position of the aircraft shall comply
with any limitation specified in the AFM, or equivalent document.
NCO.POL.105 Weighing
(a) The operator shall ensure that the mass and, except for balloons, the CG of
the aircraft have been established by actual weighing prior to initial entry
into service. The accumulated effects of modifications and repairs on the
mass and balance shall be accounted for and properly documented. Such
information shall be made available to the pilot-in-command. The aircraft
shall be reweighed if the effect of modifications on the mass and balance is
not accurately known.
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NCO.POL.110 Performance — general
The pilot-in-command shall only operate the aircraft if the performance is
adequate to comply with the applicable rules of the air and any other restrictions
applicable to the flight, the airspace or the aerodromes or operating sites used,
taking into account the charting accuracy of any charts and maps used.
SUBPART D
INSTRUMENTS, DATA AND EQUIPMENT
SECTION 1
Aeroplanes
NCO.IDE.A.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with the applicable airworthiness requirements if they are:
(b) The following items, when required by this Subpart, do not need an
equipment approval:
(c) Instruments and equipment not required by this Subpart as well as any other
equipment that is not required by other applicable Annexes, but is carried on
a flight, shall comply with the following:
(2) the instruments and equipment shall not affect the airworthiness of the
aeroplane, even in the case of failures or malfunction.
(d) Instruments and equipment shall be readily operable or accessible from the
station where the flight crew member that needs to use it is seated.
(e) All required emergency equipment shall be easily accessible for immediate
use.
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NCO.IDE.A.105 Minimum equipment for flight
A flight shall not be commenced when any of the aeroplane instruments, items of
equipment or functions required for the intended flight are inoperative or missing,
unless:
(b) the aeroplane is subject to a permit to fly issued in accordance with the
applicable airworthiness requirements.
(d) lighting supplied from the aeroplane’s electrical system to provide adequate
illumination for all instruments and equipment essential to the safe operation
of the aeroplane;
(e) lighting supplied from the aeroplane’s electrical system to provide illumi
nation in all passenger compartments;
(f) an independent portable light for each crew member station; and
(ii) attitude;
and
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(2) a means of indicating when the supply of power to the gyroscopic
instruments is not adequate.
(7) attitude;
NCO.IDE.A.140 Seats, seat safety belts, restraint systems and child restraint
devices
(a) Aeroplanes shall be equipped with:
(1) a seat or berth for each person on board who is aged 24 months or
more;
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(2) a seat belt on each passenger seat and restraining belts for each berth;
(3) a child restraint device (CRD) for each person on board younger than
24 months; and
(4) a seat belt with upper torso restraint system on each flight crew seat,
having a single point release.
(b) Pressurised aeroplanes operated above flight altitudes at which the pressure
altitude in the passenger compartments is above 10 000 ft shall carry enough
breathing oxygen to supply:
(i) 100 % of the passengers for any period when the cabin pressure
altitude exceeds 15 000 ft, but in no case less than 10 minutes’
supply;
(ii) at least 30 % of the passengers, for any period when, in the event
of loss of pressurisation and taking into account the circumstances
of the flight, the pressure altitude in the passenger compartment
will be between 14 000 ft and 15 000 ft; and
and
(2) all the occupants of the passenger compartment for no less than 10
minutes, in the case of aeroplanes operated at pressure altitudes above
25 000 ft, or operated below that altitude but under conditions that will
not allow them to descend safely to a pressure altitude of 13 000 ft
within 4 minutes.
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(b) Non-pressurised aeroplanes operated above flight altitudes at which the
pressure altitude in the passenger compartments is above 10 000 ft shall
carry enough breathing oxygen to supply:
(1) all crew members and at least 10 % of the passengers for any period in
excess of 30 minutes when the pressure altitude in the passenger
compartment will be between 10 000 ft and 13 000 ft; and
(2) all crew members and passengers for any period that the pressure
altitude in the passenger compartment will be above 13 000 ft.
(2) in each passenger compartment that is separate from the flight crew
compartment, except if the compartment is readily accessible to the
flight crew.
(b) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the
compartment where the extinguisher is intended to be used and to
minimise the hazard of toxic gas concentration in compartments occupied
by persons.
Figure 1
Marking of break-in points
(1) an ELT of any type, when first issued with an individual CofA on or
before 1 July 2008;
(2) an automatic ELT, when first issued with an individual CofA after
1 July 2008; or
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(b) ELTs of any type and PLBs shall be capable of transmitting simultaneously
on 121,5 MHz and 406 MHz.
(2) one sea anchor (drogue), when necessary to assist in manoeuvring; and
(3) equipment for making the sound signals, as prescribed in the Inter
national Regulations for Preventing Collisions at Sea, where applicable.
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(b) Radio communication equipment, if required by (a), shall provide for
communication on the aeronautical emergency frequency 121,5 MHz.
(c) When more than one communication equipment unit is required, each shall
be independent of the other or others to the extent that a failure in any one
will not result in failure of any other.
(b) Aeroplanes shall have sufficient navigation equipment to ensure that, in the
event of the failure of one item of equipment at any stage of the flight, the
remaining equipment shall allow safe navigation in accordance with (a), or
an appropriate contingency action, to be completed safely.
NCO.IDE.A.200 Transponder
Where required by the airspace being flown, aeroplanes shall be equipped with
a secondary surveillance radar (SSR) transponder with all the required capabil
ities.
SECTION 2
Helicopters
NCO.IDE.H.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with the applicable airworthiness requirements if they are:
(b) The following items, when required by this Subpart, do not need an
equipment approval:
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(5) sea anchor and equipment for mooring; and
(c) Instruments and equipment not required by this Subpart, as well as any
other equipment that is not required by other applicable Annexes, but is
carried on a flight, shall comply with the following:
(2) the instruments and equipment shall not affect the airworthiness of the
helicopter, even in the case of failures or malfunction.
(d) Instruments and equipment shall be readily operable or accessible from the
station where the flight crew member that needs to use it is seated.
(e) All required emergency equipment shall be easily accessible for immediate
use.
(b) the helicopter is subject to a permit to fly issued in accordance with the
applicable airworthiness requirements.
(d) lighting supplied from the helicopter’s electrical system to provide adequate
illumination for all instruments and equipment essential to the safe operation
of the helicopter;
(e) lighting supplied from the helicopter’s electrical system to provide illumi
nation in all passenger compartments;
(f) an independent portable light for each crew member station; and
(5) slip.
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(b) Helicopters operated under VMC at night, or when the visibility is less than
1 500 m, or in conditions where the helicopter cannot be maintained in a
desired flight path without reference to one or more additional instruments,
shall be, in addition to (a), equipped with:
(i) attitude;
(6) slip;
(7) attitude;
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NCO.IDE.H.140 Seats, seat safety belts, restraint systems and child restraint
devices
(a) Helicopters shall be equipped with:
(1) a seat or berth for each person on board who is aged 24 months or
more;
(2) a seat belt on each passenger seat and restraining belts for each berth;
(3) for helicopters first issued with an individual CofA after 31 December
2012, a seat belt with an upper torso restraint system for each
passenger who is aged 24 months or more;
(4) a child restraint device for each person on board younger than 24
months; and
(5) a seat belt with upper torso restraint system incorporating a device that
will automatically restrain the occupant’s torso in the event of rapid
deceleration on each flight crew seat.
(b) A seat belt with upper torso restraint system shall have a single
point release.
(1) all crew members and at least 10 % of the passengers for any period in
excess of 30 minutes when the pressure altitude in the passenger
compartment will be between 10 000 ft and 13 000 ft; and
(2) all crew members and passengers for any period that the pressure
altitude in the passenger compartment will be above 13 000 ft.
(2) in each passenger compartment that is separate from the flight crew
compartment, except if the compartment is readily accessible to the
flight crew.
(b) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the
compartment where the extinguisher is intended to be used and to
minimise the hazard of toxic gas concentration in compartments occupied
by persons.
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NCO.IDE.H.165 Marking of break-in points
If areas of the helicopter’s fuselage suitable for break-in by rescue crews in an
emergency are marked, such areas shall be marked as shown in Figure 1.
Figure 1
Marking of break-in points
(2) one survival ELT (ELT(S)) in a life-raft or life-jacket when the heli
copter is operated at a distance from land corresponding to more than 3
minutes flying time at normal cruising speed.
(c) ELTs of any type and PLBs shall be capable of transmitting simultaneously
on 121,5 MHz and 406 MHz.
(1) flying over water beyond autorotational distance from land where in
case of the critical engine failure, the helicopter is not able to sustain
level flight; or
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(c) The pilot-in-command of a helicopter operated on a flight over water at a
distance from land corresponding to more than 30 minutes flying time at
normal cruising speed or 50 NM, whichever is less, shall determine the risks
to survival of the occupants of the helicopter in the event of a ditching,
based on which he/she shall determine the carriage of:
(d) The pilot-in-command shall determine the risks to survival of the occupants
of the helicopter in the event of a ditching, when deciding if the life-jackets
required in (a) shall be worn by all occupants.
(a) designed for landing on water in accordance with the relevant airworthiness
code;
(b) certified for ditching in accordance with the relevant airworthiness code; or
(c) When more than one communications equipment unit is required, each shall
be independent of the other or others to the extent that a failure in any one
will not result in failure of any other.
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(b) Helicopters shall have sufficient navigation equipment to ensure that, in the
event of the failure of one item of equipment at any stage of the flight, the
remaining equipment shall allow safe navigation in accordance with (a), or
an appropriate contingency action, to be completed safely.
NCO.IDE.H.200 Transponder
Where required by the airspace being flown, helicopters shall be equipped with
a secondary surveillance radar (SSR) transponder with all the required capabil
ities.
SECTION 3
Sailplanes
NCO.IDE.S.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with the applicable airworthiness requirements if they are:
(b) The following items, when required by this Subpart, do not need an
equipment approval:
(c) Instruments and equipment not required by this Subpart as well as any other
equipment that is not required by other Annexes, but is carried on a flight,
shall comply with the following:
(1) the information provided by these instruments or, equipment shall not
be used by the flight crew to comply with Annex I to Regulation (EC)
No 216/2008; and
(2) the instruments and equipment shall not affect the airworthiness of the
sailplane, even in the case of failures or malfunction.
(d) Instruments and equipment shall be readily operable or accessible from the
station where the flight crew member that needs to use it is seated.
(e) All required emergency equipment shall be easily accessible for immediate
use.
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NCO.IDE.S.105 Minimum equipment for flight
A flight shall not be commenced when any of the sailplane instruments, items of
equipment or functions required for the intended flight are inoperative or missing,
unless:
(b) the sailplane is subject to a permit to fly issued in accordance with the
applicable airworthiness requirements.
(2) a seat belt with upper torso restraint system for each seat according to
the AFM.
(b) A seat belt with upper torso restraint system shall have a single point release.
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NCO.IDE.S.130 Supplemental oxygen
Sailplanes operated at pressure altitudes above 10 000 ft shall be equipped with
an oxygen storage and dispensing apparatus carrying enough breathing oxygen to
supply:
(a) crew members for any period in excess of 30 minutes when the pressure
altitude will be between 10 000 ft and 13 000 ft; and
(b) all crew members and passengers for any period that the pressure altitude
will be above 13 000 ft.
(2) where the take-off or approach path is so disposed over water that in
the event of a mishap there would be a likelihood of ditching.
NCO.IDE.S.155 Transponder
When required by the airspace being flown, sailplanes shall be equipped with
a secondary surveillance radar (SSR) transponder with all the required capabil
ities.
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SECTION 4
Balloons
NCO.IDE.B.100 Instruments and equipment — general
(a) Instruments and equipment required by this Subpart shall be approved in
accordance with the applicable airworthiness requirements if they are:
(b) The following items, when required by this Subpart, do not need an
equipment approval:
(c) Instruments and equipment not required by this Subpart as well as any other
equipment that is not required by other Annexes, but is carried on a flight,
shall comply with the following:
(2) the instruments and equipment shall not affect the airworthiness of the
balloon, even in the case of failures or malfunction.
(d) Instruments and equipment shall be readily operable or accessible from the
station where the flight crew member that needs to use it is assigned.
(e) All required emergency equipment shall be easily accessible for immediate
use.
(b) the balloon is subject to a permit to fly issued in accordance with the
applicable airworthiness requirements.
(b) a means to provide adequate illumination for all instruments and equipment
essential to the safe operation of the balloon;
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NCO.IDE.B.115 Operations under VFR — flight and navigational
instruments and associated equipment
Balloons operated under VFR by day shall be equipped with the following:
(a) crew members for any period in excess of 30 minutes when the pressure
altitude will be between 10 000 ft and 13 000 ft; and
(b) all crew members and passengers for any period that the pressure altitude
will be above 13 000 ft.
(b) The type and quantity of extinguishing agent for the required fire extin
guishers shall be suitable for the type of fire likely to occur in the balloon
where the extinguisher is intended to be used and to minimise the hazard of
toxic gas concentration for the occupants of the balloon.
(b) when carrying more than 6 persons, an emergency locator transmitter (ELT)
capable of transmitting simultaneously on 121,5 MHz and 406 MHz;
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(c) when carrying up to 6 persons, an ELT or a personal locator beacon (PLB),
carried by a crew member or a passenger, capable of transmitting simulta
neously on 121,5 MHz and 406 MHz; and
(d) equipment for making the distress signals.
NCO.IDE.B.135 Survival equipment
Balloons operated over areas in which search and rescue would be especially
difficult shall be equipped with such signalling devices and life-saving equipment
as appropriate to the area overflown.
NCO.IDE.B.140 Miscellaneous equipment
(a) Balloons shall be equipped with protective gloves for each crew member.
(b) Hot-air balloons and mixed balloons shall be equipped with:
(1) an alternative source of ignition;
(2) a means of measuring and indicating fuel quantity;
(3) a fire blanket or fire resistant cover; and
(4) a drop line of at least 25 metres (m) in length.
(c) Gas balloons shall be equipped with a knife
NCO.IDE.B.145 Radio communication equipment
(a) Where required by the airspace being flown, balloons shall be equipped with
radio communication equipment capable of conducting two-way communi
cation with those aeronautical stations or those frequencies to meet airspace
requirements.
(b) Radio communication equipment, if required by (a), shall provide for
communication on the aeronautical emergency frequency 121,5 MHz.
NCO.IDE.B.150 Transponder
When required by the airspace being flown, balloons shall be equipped with
a secondary surveillance radar (SSR) transponder with all the required capabil
ities.