Article 4. Dusts, Fumes, Mists, Vapors, and Gases
| New query |
| (1) Demolition or salvage of structures where lead or materials containing lead are present; |
| (2) Removal or encapsulation of materials containing lead; |
| (3) New construction, alteration, repair, or renovation of structures, substrates, or portions thereof, that contain lead, or materials containing lead; |
| (4) Installation of products containing lead; |
| (5) Lead contamination/emergency cleanup; |
| (6) Transportation, disposal, storage, or containment of lead or materials containing lead on the site or location at which construction activities are performed, and |
| (7) Maintenance operations associated with the construction activities described in this subsection. |
| (1) The employer shall assure that no employee is exposed to lead at concentrations greater than fifty micrograms per cubic meter of air (50<<mu>> g/m3) averaged over an 8-hour period. |
| Allowable employee exposure (in <<mu>>g/m 3)=400 divided by hours worked in the day. |
| (1) General. |
| (A) Each employer who has a workplace or operation covered by this standard shall initially determine if any employee may be exposed to lead at or above the action level. |
| (B) For the purposes of subsection (d), employee exposure is that exposure which would occur if the employee were not using a respirator. |
| (D) Full shift personal samples shall be representative of the monitored employee's regular, daily exposure to lead. |
| (2) Protection of employees during assessment of exposure. |
| 2. Spray painting with lead paint |
| 1. Using lead containing mortar; lead burning |
| 1. Abrasive blasting, |
| 2. Welding, |
| 3. Cutting, and |
| 4. Torch burning. |
| 1. Appropriate respiratory protection in accordance with subsection (f). |
| 2. Appropriate personal protective clothing and equipment in accordance with subsection (g). |
| 3. Change areas in accordance with subsection (i)(2). |
| 4. Hand washing facilities in accordance with subsection (i)(5). |
| 5. Biological monitoring in accordance with subsection (j)(1)(A), to consist of blood sampling and analysis for lead and zinc protoporphyrin levels, and |
| (3) Basis of initial determination. |
| 1. Any information, observations, or calculations which would indicate employee exposure to lead; |
| 2. Any previous measurements of airborne lead; and |
| 3. Any employee complaints of symptoms which may be attributable to exposure to lead. |
| 2. Objective data, as described in subsection (d)(3)(D), is not permitted to be used for exposure assessment in connection with subsection (d)(2). |
| 3. Objective data for surface coatings and materials that contain lead shall meet the following methodology: |
| a. Lead analysis shall be performed for each unique surface coating and material that may constitute a health hazard to employees engaged in activities within the scope of this section and; |
| b. Analysis of surface coatings and materials shall be performed in a manner that meets the requirements of subsection (d)(9) and shall be recorded, as described in subsection (n)(4), |
| (4) Positive initial determination and initial monitoring. |
| (5) Negative initial determination. |
| (6) Frequency. |
| (A) If the initial determination reveals employee exposure to be below the action level further exposure determination need not be repeated except as otherwise provided in subsection (d)(7). |
| (8) Employee notification. |
| (A) Within 5 working days after completion of the exposure assessment the employer shall notify each employee in writing of the results which represent that employee's exposure. |
| (1) Engineering and work practice controls. |
| (2) Compliance program. |
| (A) Prior to commencement of the job each employer shall establish and implement a written compliance program to achieve compliance with subsection (c). |
| (B) Written plans for these compliance programs shall include at least the following: |
| 3. A report of the technology considered in meeting the PEL; |
| 4. Air monitoring data which documents the source of lead emissions; |
| 5. A detailed schedule for implementation of the program, including documentation such as copies of purchase orders for equipment, construction contracts, etc.; |
| 6. A work practice program which includes items required under subsections (g), (h) and (i) and incorporates other relevant work practices such as those specified in subsection (e)(5); |
| 7. An administrative control schedule required by subsection (e)(4), if applicable; |
| 8. A description of arrangements made among contractors on multi-contractor sites with respect to informing affected employees of potential exposure to lead and of regulated areas. |
| 9. Other relevant information. |
| (C) The compliance program shall provide for frequent and regular inspections of job sites, regulated areas, materials, and equipment to be made by a supervisor. |
| (E) Written programs shall be revised and updated at least every 6 months to reflect the current status of the program. |
| (A) Name or identification number of each affected employee; |
| (B) Duration and exposure levels at each job or work station where each affected employee is located; and |
| (C) Any other information which may be useful in assessing the reliability of administrative controls to reduce exposure to lead. |
| (5) The employer shall ensure that, to the extent relevant, employees follow good work practices such as described in Appendix B of this section. |
| (1) General. For employees who use respirators required by this section, the employer must provide respirators that comply with the requirements of this subsection. Respirators must be used during: |
| (A) Periods when an employee's exposure to lead exceeds the PEL; |
| (B) Work operations for which engineering controls and work practices are not sufficient to reduce exposures to or below the PEL; |
| (C) Periods when an employee requests a respirator; and |
| (D) Periods when respirators are required to provide interim protection for employees while they perform the operations specified in subsection (d)(2). |
| (2) Respirator program. |
| (A) An employer must implement a respiratory protection program in accordance with section 5144(b) (except (d)(1)(C)) through (m). |
| (3) Respirator selection. |
| (A) The employer shall select, and provide to employees, the appropriate respirator or combination of respirators specified in Section 5144(d)(3)(A)1. |
| (B) The employer shall provide a powered, air-purifying respirator in lieu of the respirator specified in Section 5144(d)(3)(A)1 whenever: |
| 1. An employee chooses to use this type of respirator; and |
| 2. This respirator will provide adequate protection to the employee. |
| (D) The employer shall provide HEPA filters for powered and non-powered air-purifying respirators. |
| (A) Coveralls or similar full-body work clothing; |
| (B) Gloves, hats, and shoes or disposable shoe coverlets; and |
| (C) Face shields, vented goggles, or other appropriate protective equipment which complies with section 1516. |
| (2) Cleaning and replacement. |
| (B) The employer shall provide for the cleaning, laundering, and disposal of protective clothing and equipment required by subsection (g)(1). |
| (C) The employer shall repair or replace required protective clothing and equipment as needed to maintain their effectiveness. |
| (D) The employer shall assure that all protective clothing is removed at the completion of a work shift only in change areas provided for that purpose as prescribed in subsection (i)(2). |
| (F) The employer shall inform in writing any person who cleans or launders protective clothing or equipment of the potentially harmful effects of exposure to lead. |
| (G) The employer shall assure that the containers of contaminated protective clothing and equipment required by subsection (g)(2)(E) are labelled as follows: |
| Caution: Clothing contaminated with lead. Do not remove dust by blowing or shaking. Dispose of lead contaminated wash water in accordance with applicable local, state, or federal regulations. |
| (H) The employer shall prohibit the removal of lead from protective clothing or equipment by blowing, shaking, or any other means which disperses lead into the air. |
| (1) All surfaces shall be maintained as free as practicable of accumulations of lead. |
| (2) Clean-up of floors and other surfaces where lead accumulates shall wherever possible, be cleaned by vacuuming or other methods that minimize the likelihood of lead becoming airborne. |
| (3) Shoveling, dry or wet sweeping, and brushing may be used only where vacuuming or other equally effective methods have been tried and found not to be effective. |
| (4) Where vacuuming methods are selected, the vacuums shall be equipped with HEPA filters and used and emptied in a manner which minimizes the reentry of lead into the workplace. |
| (2) Change areas. |
| (B) The employers shall assure that change areas are equipped with separate storage facilities for protective work clothing and equipment and for street clothes which prevent cross-contamination. |
| (C) The employer shall assure that employees do not leave the workplace wearing any protective clothing or equipment that is required to be worn during the work shift. |
| (3) Showers. |
| (A) The employer shall provide shower facilities, where feasible, for use by employees whose airborne exposure to lead is above the PEL. |
| (4) Eating facilities. |
| (A) The employer shall provide lunchroom facilities or eating areas for employees whose airborne exposure to lead is above the PEL, without regard to the use of respirators. |
| (B) The employer shall assure that lunchroom facilities or eating areas are as free as practicable from lead contamination and are readily accessible to employees. |
| (5) Hand Washing facilities. |
| (A) The employer shall provide adequate handwashing facilities for use by employees exposed to lead in accordance with section 1527. |
| (B) Where showers are not provided the employer shall assure that employees wash their hands and face at the end of the work-shift. |
| (6) Regulated Area. |
| (A) Employers shall establish regulated areas, where feasible, for work areas where employees are exposed to lead at or above the PEL or performing the tasks described in subsection (d)(2). |
| (B) Regulated areas shall be posted with signs as described in subsection (m)(2). |
| (D) Each employee authorized to enter the regulated area shall be provided with and be required to wear protective equipment required by subsections (f) and (g). |
| (1) General. |
| (C) The employer shall assure that all medical examinations and procedures are performed by or under the supervision of a licensed physician. |
| (D) The employer shall make available the required medical surveillance including multiple physician review under subsection (j)(3)(C) without cost to employees and at a reasonable time and place. |
| (2) Biological monitoring. |
| 1. For each employee covered under subsection (j)(1)(B), at least every 2 months for the first 6 months and every 6 months thereafter; |
| 3. For each employee who is removed from exposure to lead due to an elevated blood lead level at least monthly during the removal period. |
| (D) Employee notification. |
| 1. Within five working days after the receipt of biological monitoring results, the employer shall notify each employee in writing of his or her blood lead level; and |
| (3) Medical examinations and consultations. |
| (A) Frequency. The employer shall make available medical examinations and consultations to each employee covered under subsection (j)(1)(B) on the following schedule: |
| 1. At least annually for each employee for whom a blood sampling test conducted at any time during the preceding 12 months indicated a blood lead level at or above 40<<mu>>g/dl; |
| 3. A blood pressure measurement; |
| 4. A blood sample and analysis which determines: |
| a. Blood lead level; |
| b. Hemoglobin and hematocrit determinations, red cell indices, and examination of peripheral smear morphology; |
| c. Zinc protoporphyrin; |
| d. Blood urea nitrogen; and, |
| e. Serum creatinine; |
| 5. A routine urinalysis with microscopic examination; and |
| 6. Any laboratory or other test relevant to lead exposure which the examining physician deems necessary by sound medical practice. |
| (C) Multiple physician review mechanism. |
| 1. If the employer selects the initial physician who conducts any medical examination or consultation provided to an employee under this section, the employee may designate a second physician: |
| a. To review any findings, determinations or recommendations of the initial physician; and |
| b. To conduct such examinations, consultations, and laboratory tests as the second physician deems necessary to facilitate this review. |
| a. The employee informing the employer that he or she intends to seek a second medical opinion, and |
| b. The employee initiating steps to make an appointment with a second physician. |
| 4. If the two physicians have been unable to quickly resolve their disagreement, then the employer and the employee through their respective physicians shall designate a third physician: |
| a. To review any findings, determinations or recommendations of the prior physicians; and |
| b. To conduct such examinations, consultations, laboratory tests and discussions with the prior physicians as the third physician deems necessary to resolve the disagreement of the prior physicians. |
| (D) Information provided to examining and consulting physicians. |
| 1. The employer shall provide an initial physician conducting a medical examination or consultation under this section with the following information: |
| a. A copy of this regulation for lead including all Appendices; |
| b. A description of the affected employee's duties as they relate to the employee's exposure; |
| c. The employee's exposure level or anticipated exposure level to lead and to any other toxic substance (if applicable); |
| d. A description of any personal protective equipment used or to be used; |
| e. Prior blood lead determinations; and |
| f. All prior written medical opinions concerning the employee in the employer's possession or control. |
| (E) Written medical opinions. |
| 1. The employer shall obtain and furnish the employee with a copy of a written medical opinion from each examining or consulting physician which contains only the following information: |
| b. Any recommended special protective measures to be provided to the employee, or limitations to be placed upon the employee's exposure to lead; |
| d. The results of the blood lead determinations. |
| 2. The employer shall instruct each examining and consulting physician to: |
| b. Advise the employee of any medical condition, occupational or nonoccupational, which dictates further medical examination or treatment. |
| (4) Chelation. |
| (A) The employer shall assure that any person whom he/she retains, employs, supervises or controls does not engage in prophylactic chelation of any employee at any time. |
| (1) Temporary medical removal and return of an employee. |
| (B) Temporary removal due to a final medical determination. |
| (C) Return of the employee to former job status. 1. The employer shall return an employee to his or her former job status: |
| a. For an employee removed due to a blood lead level at or above 50<<mu>>g/dl when two consecutive blood sampling tests indicate that the employee's blood lead level is at or below 40<<mu>>g/dl; |
| b. If the employee has been on removal status for the preceding eighteen months due to an elevated blood lead level, then the employer shall await a final medical determination. |
| (l) Employee information, training and certification. |
| (1) General. |
| (C) The employer shall provide the training program as initial training prior to the time of job assignment or prior to the start up date for this requirement, whichever comes last. |
| (D) The employer shall also provide the training program at least annually for each employee who is subject to lead exposure at or above the action level on any day. |
| (2) Training program. |
| The employer shall assure that each employee is trained in the following: |
| (A) The content of this standard and its appendices; |
| (B) The specific nature of the operations which could result in exposure to lead above the action level; |
| (C) The purpose, proper selection, fitting, use, and limitations of respirators; |
| (F) The contents of any compliance plan and the location of regulated areas in effect; |
| (G) Instructions to employees that chelating agents should not routinely be used to remove lead from their bodies and should not be used at all except under the direction of a licensed physician; and |
| (H) The employee's right of access to records under section 3204. |
| (3) Certification of training for residential and public buildings. |
| (4) Access to information, training and certification materials. |
| (A) The employer shall make readily available to all affected employees a copy of this standard and its appendices. |
| (m) Signs. |
| (1) General. |
| (A) The employer may use signs required by other statutes, regulations or ordinances in addition to, or in combination with, signs required by this subsection. |
| (B) The employer shall assure that no statement appears on or near any sign required by this subsection which contradicts or detracts from the meaning of the required sign. |
| (2) Signs. |
| (A) The employer shall post the following warning signs in each regulated area or work area where an employees exposure to lead is above the PEL. |
| WARNING |
| LEAD WORK AREA |
| POISON |
| NO SMOKING OR EATING |
| (B) The employer shall assure that signs required by this subsection are illuminated and cleaned as necessary so that the legend is readily visible. |
| (n) Recordkeeping. |
| (1) Exposure assessment. |
| (A) The employer shall establish and maintain an accurate record of all monitoring and other data used in conducting employee exposure assessments as required in subsection (d). |
| (B) Exposure monitoring records shall include: |
| (C) The employer shall maintain monitoring and other exposure assessment records in accordance with the provisions of section 3204. |
| (2) Medical surveillance. |
| (A) The employer shall establish and maintain an accurate record for each employee subject to medical surveillance as required by subsection (j). |
| (B) This record shall include: |
| (C) The employer shall keep, or assure that the examining physician keeps, the following medical records: |
| (D) The employer shall maintain or assure that the physician maintains medical records in accordance with the provisions of section 3204. |
| (3) Medical removals. |
| (A) The employer shall establish and maintain an accurate record for each employee removed from current exposure to lead pursuant to subsection (k). |
| (B) Each record shall include: |
| (C) The employer shall maintain each medical removal record for at least the duration of an employee's employment. |
| (4) "Objective data for exemption from requirement for initial monitoring". |
| (B) The employer shall maintain the record of the objective data relied upon for at least 30 years. |
| (6) Transfer of records. |
| (A) Whenever the employer ceases to do business, the successor employer shall receive and retain all records required to be maintained by subsection (n). |
| (D) The employer shall also comply with any additional requirements involving transfer of records set forth in section 3204(h). |
| (o) Observation of monitoring. |