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PA Bulletin, Doc. No. 97-1817a

[27 Pa.B. 5865]

[Continued from previous Web Page]

   Residential dwelling--The term includes the following:

   (i)  A single-family dwelling including attached structures such as porches and stoops.

   (ii)  A single-family dwelling unit in a structure that contains more than one separate residential dwelling unit and in which each unit is used or occupied, or intended to be used or occupied, in whole or in part, as the home or residence of one or more individuals.

   Risk assessment--Onsite investigation to determine and report the existence, nature, severity and location of lead hazards in residential dwellings, including the following:

   (i)  Information gathering regarding the age and history of the housing and occupancy by children under 6 years of age.

   (ii)  Visual inspection.

   (iii)  Wipe sampling or other environmental testing and sampling techniques.

   (iv)  Other activity as may be appropriate.

   (v)  Provision of a report explaining the results of the investigation.

   Secretary--The Secretary of Labor and Industry of the Commonwealth.

   Superstructure--A large steel or other industrial structure, such as a bridge or water tower which might contain lead-based materials.

   Supervisor--A person trained and certified to oversee lead-based paint activities on target housing and public and commercial building job sites. The term includes a ''certified supervisor'' as defined in the EPA's regulation in 40 CFR 745.223.

   Target housing--Housing constructed prior to 1978, or any zero-bedroom dwelling. The term excludes housing for the elderly or persons with disabilities unless a child who is under 6 years of age resides or is expected to reside in the housing.

   XRF analyzer--A machine that utilizes X-Ray Fluorescence (XRF) to test for the presence of lead-based paint.

   Worker--A person who has been trained by an accredited training program and certified under the act and this chapter to perform lead-based paint abatement activities. The term includes ''certified abatement worker'' as defined by the EPA's regulation in 40 CFR 745.223.

§ 203.2. General administrative requirements.

   (a)  This chapter implements the certification, accreditation, work practices and other requirements of the Act.

   (b)  This chapter applies to the following persons:

   (1)  Persons engaged in lead-based-paint occupations within this Commonwealth. An individual or company may not engage in lead-based-paint activities or lead-based paint abatement without the appropriate certification.

   (2)  Persons performing lead-based-paint abatement upon or within a building which they own or occupy who utilize employes to perform lead-based-paint abatement.

   (3)  Training course providers desiring to provide training courses required for certification in any lead-based-paint-abatement occupations within this Commonwealth.

   (c)  This chapter does not relieve any person subject to the act from any duty or responsibility under other Federal or State statutes or regulations, or local ordinances relating to lead-based paint activities.

   (d)  EPA standards found in 40 CFR Part 745 (relating to lead-based paint poisoning prevention in certain residential structures), are incorporated by reference as the standards by which to carry out the provisions of the act. If EPA regulations and this chapter conflict, this chapter applies.

   (e) The Department will publish notice of EPA regulation changes in the Pennsylvania Bulletin.

§ 203.3. Training course accreditation procedures.

   (a)  Federal requirements. Training providers shall meet the EPA training course requirements in 40 CFR, Part 745 (relating to lead-based poisoning prevention in cetain residential structures).

   (b)  Accreditation of initial and refresher courses.

   (1)  A person may apply to the Department for approval to conduct training courses, including refresher training courses. A person desiring to apply as an approved training provider for a specific course shall complete an application prescribed by the Department and submit the completed application with the appropriate fee prescribed in § 203.8 (relating to fees). The application shall be received by the Department at least 30 days prior to the first course session. The Department will not process an application which is submitted without the fee or that is incomplete.

   (2)  A provider requesting accreditation of a training course given outside this Commonwealth shall, in addition to complying with paragraph (1), submit copies of applicable State or Federal approvals, along with the name, address and telephone number of the person, department or agency giving the approval.

   (3)  The Department will grant accreditation of a training course and issue a certificate of accreditation when it has determined from a complete review of application materials that the course meets the EPA's requirements.

   (4)  The Department will inform the provider in writing of its reasons for denying accreditation. The Department may schedule a reevaluation at its discretion.

   (5)  Course accreditation shall be renewed annually. A person applying for reaccreditation shall reaffirm his address and course information on a form prescribed by the Department and shall provide the Department with a description of course changes since his last accreditation or reaccreditation application.

   (c)  Course test.

   (1)  A monitored final written examination will be required for all courses unless provided for in this chapter. For students who are unable to take a written examination, the Department may accept an equivalent oral examination.

   (2)  Training course instructors who provide oral examinations for students who are unable to take a written examination shall issue an answer sheet to be marked by the attendee. The student shall sign the answer sheet, and it shall become a part of the training course provider's recordkeeping as described within this chapter.

   (3)  A passing grade on the course test is a score of 70%.

   (d)  Changes to accredited training courses.

   (1)  A provider may change an accredited training course only with approval of the Department. The provider shall submit to the Department written notice of the contemplated change at least 10 days before its proposed implementation date. The Department may waive the 10-day requirement for good cause shown.

   (2)  Changes may include the following:

   (i)  Topic covered.

   (ii)  Course materials.

   (iii)  Training course instructors.

   (iv)  Teaching methods.

   (v)  Dates and location of scheduled courses.

   (vi)  Language in which course is given.

   (e)  Training course provider requirements.

   (1)  The provider shall notify the Department in writing of the scheduled commencement of a course at least 5 days before the first session.

   (2)  The provider shall cooperate with the Department in all matters relating to the conduct of the course and shall permit representatives of the Department to attend course sessions at no cost. The provider shall make available to the Department, upon request and at no cost, course materials, examinations and records.

   (3)  The provider shall provide each student who has met the qualifications for supervisor, risk assessor or inspector with a training certificate, and shall provide the Department within 15 days of the successful completion of the course a copy of each student's training certificate.

§ 203.4.  Certification procedures and requirements.

   (a)  Federal requirements. Applicants for certification shall meet the EPA certification course requirements in 40 CFR Part 745 (relating to lead-based paint poisoning prevention in certain residential structures).

   (b)  Certification of individuals. An applicant for certification in a lead-based-paint occupation shall successfully complete a lead-based-paint training course accredited by the Department and pass an examination approved by the Department. Applicants shall submit a completed application on a form provided by the Department, along with the appropriate fee designated in subsection (d), and a copy of training certificate required under EPA regulations. The Department will not process an application that is incomplete or submitted without the proper fee.

   (c)  Contractor certification. Applications for certification of a contractor or firm shall be submitted in the same manner as provided by subsection (b), except that no EPA training certificate will be required.

   (d)  Proof of certification.

   (1)  A person engaged in a lead-based-paint occupation shall posses a Commonwealth-issued photo identification card or Commonwealth notification for a photo identification card. This documentation shall be available at each work site for inspection by the Department.

   (2)  A person whose photo identification card or Commonwealth notification for a photo identification card is lost or destroyed shall notify the Department in writing within 2 days, and shall maintain a copy of the written notification at the work site until the Department issues a new photo identification card or Commonwealth notification for a photo identification card.

   (3)  A contractor or firm shall have available on the work site a contractor certification issued by the Department.

   (e)  Renewal. Certification shall be renewed annually in the same manner as provided in subsections (a) and (b). Photo identification cards and contractor certifications will be issued annually.

   (f)  Supervisors. A certified supervisor may perform the tasks of a worker.

§ 203.5.  Denial, suspension or revocation of certification or accreditation.

   (a)  Grounds.

   (1)  The Department may deny an application for certification or accreditation, and may suspend or revoke a certification or accreditation issued under the act and this chapter for one or more of the following reasons:

   (i)  Fraudulently or deceptively obtaining or attempting to obtain accreditation or certification.

   (ii)  Failure to meet the requirements of the act or this chapter.

   (iii)  Failure to meet applicable Federal or State standards relating to lead-based-paint activities.

   (iv)  Failure to pay a required fee.

   (v)  Failure to meet EPA standards for conducting lead-based-paint activities found at 40 CFR Part 745 (relating to lead-based poisoning prevention in certain residential structures).

   (b)  Notice and hearing.

   (1)  Actions of the Department related to denial, suspension or revocation will be subject to the right of notice, hearing and adjudication in accordance with 2 Pa.C.S. (relating to administrative law and procedure). Hearings will be conducted under 1 Pa. Code Part II (relating to the General Rules of Administrative Practice and Procedures).

   (2)  After hearing, the Department by written order may affirm, reverse, or modify the denial, suspension or revocation.

   (c)  Administrative proceedings, civil actions and criminal proceedings. Denial, suspension or revocation of certification or accreditation will not affect or mitigate an administrative proceeding, civil action or criminal proceeding permitted by the act or this chapter or by any other law or regulation.

§ 203.6.  Work practices.

   (a)  Work practices shall conform to HUD and EPA guidelines, rules and regulations on lead-based-paint activities. If HUD and EPA standards conflict, EPA standards shall be followed.

   (b)  Additional recordkeeping requirements are as follows:

   (1)  The lead-based-paint contractor shall maintain a list of individuals engaged in lead-based-paint occupations or who enter the lead-based-paint abatement project area at each job site. The list shall include the following information:

   (A)  Names.

   (B)  Certification identification number.

   (C)  Job classification or job title.

   (D)  Time in daily.

   (E)  Time out daily.

   (2)  These records shall be available to the Department upon request.

§ 203.7.  Reciprocity.

   (a)  Certification of occupations and accreditation of other training programs.

   (1)  The Department will enter into reciprocal agreements with other states and jurisdictions which have established accreditation and certification requirements substantially similar to those in the act and this chapter.

   (2)  The Department will designate, by notice in the Pennsylvania Bulletin, states and jurisdictions which have certification and accreditation programs for which the Department has granted reciprocity. Reciprocity for certification and accreditation will include certifications and course accreditations granted before November 8, 1997.

   (b)  Procedure and fees.

   (1)  A person applying for accreditation under this section shall comply with § 203.3(b) (relating to training course accreditation procedures) and pay the appropriate fee in § 203.8 (relating to fee).

   (2)  A person applying for certification under this section shall comply with § 203.4(b) (relating to certification procedures and requirements) and pay the appropriate fee in § 203.8.

§ 203.8.  Fees.

   (a)  General information. This section sets out the Department's certification and accreditation fees. Fees shall be remitted by check or money order made payable to the Commonwealth of Pennsylvania. Fees are not refundable.

   (b)  Certification fees. Applicants for certification in lead occupations shall remit the following initial and annual renewal fees:

   (1)  Lead-based-paint planner/project designer
$200

   (2)  Lead-based-paint inspector/risk assessor
$200

   (3)  Lead-based-paint supervisor
$ 75

   (4)  Lead-based-paint worker
$ 50

   (5)  Lead-based-paint contractor
$500

   (c)  Training course accreditation fees. Providers of training courses shall remit the following initial and annual renewal accreditation fees:

   (1)  Application for each initial training course
$1,000

   (2)  Renewal of accreditation for the initial
training course
$ 500

   (d)  Refresher training course accreditation fees. Providers of refresher training courses shall remit the following initial accreditation and annual renewal fees:

   (1)  Accreditation of each refresher lead-based-
paint course
$ 500

   (2)  Renewal of accreditation for refresher
lead-based-paint course
$ 250

   (e)  Maximum fee. Within a calendar year, cumulative course accreditation fees may not exceed $5,000 for an individual training provider.

   (f)  Waiver of fees. Accreditation fees may not be imposed on any State, local government or nonprofit training provider; nor will certification fees be imposed on any State, local government or nonprofit training provider, as long as employes actually perform the lead-based-paint activities.

§ 203.9.  Enforcement procedures and penalties.

   (a)  General rule. A person may not cause, suffer, permit or allow a lead-based-paint activity to be performed in violation of the act or this chapter. A person may not cause, suffer, permit or allow the performance of an act or operation in violation of an order issued by the Department under the act or this chapter.

   (b)  Violations. The Department has the power to issue an order requiring compliance with the act or this chapter.

   (1)  An order shall be served, personally or by certified mail, upon the person being charged with the violation.

   (2)  In the case of a violation of lead-based-paint work practice standards, a copy of the order shall also be served, personally or by certified mail, upon the property owner and a copy shall be posted on the premises.

   (c)  Hazardous conditions. If the Department determines that a hazardous condition exists, the Department, may do one or more of the following:

   (1)  Issue an order to those engaged to cease immediately all lead-based-paint activities until the condition is corrected.

   (2)  Issue an order to remove any workers except those needed to abate the hazard from the project work area until the condition is corrected to prevent further project activity.

   (3)  Issue an order to evacuate appropriate portions of the site until the condition is corrected.

   (4)  Certify the existence of a lead-based-paint hazard that exists due to the failure of a contractor or employe to comply with the act, charge the added cost of corrective cleanup or removal to the contractor responsible for the hazardous condition which exists due to the noncompliance, and collect the cost by lien or other means as may be authorized by law.

   (5)  Apply to an appropriate court for relief by injunction or restraining order against any person responsible for the hazardous condition.

   (d)  Penalties. In addition to the sanctions or remedial orders provided in this section, a person who fails to comply with a requirement of the act, this chapter or who fails to obey an order issued by the Department, may be subject to one or more of the following penalties:

   (1)  Denial, suspension or revocation of accreditation or certification for a person, training provider or contractor as provided in § 203.5 (relating to denial, suspension or revocation of certification or accreditation).

   (2)  Administrative penalties of not more than $1,000 for the first offense, not more than $5,000 on the second offense and not more than $10,000 for each subsequent offense. Each day a violation continues to exist shall constitute an additional, separate and distinct violation.

   (i)  If the violating person is a contractor, in determining the penalty, consideration shall be given to the appropriateness of the penalty to the size of the business of the person charged, taking into account the number of employes employed by that person, dollar volume of sales or business, amount of capital investment and financial resources and other information as may be available relative to the size of the business of the person.

   (ii)  In determining the penalty, consideration shall be given to appropriateness of the penalty to the gravity of the violation or violations, taking into account factors including history of prior violations; evidence of willfulness or failure to take reasonable precautions to prevent violations; and, the extent of exposure to hazardous conditions.

   (e)  Finality of determination. An administrative determination of a civil penalty for a violation of the act or this chapter shall become final 15-calendar days after receipt of the notice-of-penalty determination by certified mail by the person so charged, unless the person has filed, with the Department, an exception to the determination that the violation for which the penalty is imposed occurred.

§ 203.10.  Contractor notification requirements.

   (a)  Notification.

   (1)  Lead-based paint abatement contractors shall notify the Department before engaging in any lead-based paint abatement project in the manner prescribed by the Department.

   (2)  Notification shall be postmarked or hand delivered to the Department at least 5 business days prior to the project start date. The Department will accept notification by fax at least 5 business days prior to the project start date if followed by original written and signed notification.

   (3)  In the case of an emergency project, verbal notification shall be given immediately to the Department and written notification shall be provided to the Department within 1 business day of the emergency. Notification by fax in emergencies is acceptable if followed by original written and signed notification.

   (b)  Changes to notification.

   (1)  If there is a change in any of the information provided on the notification form, the contractor shall immediately notify the Department of the changes in the manner provided in subsection (a)(3), provided that:

   (i)  In the case of a postponement of the start date, the contractor provides the Department with immediate verbal notification and submits written confirmation of the postponement within 1 business day before the original start date.

   (ii)  In the case of an advancement of the start date, the contractor provides the Department with written notification of the advancement at least 5 business days prior to the new start date.

   (iii)  Notification by fax is acceptable if followed by the original written and signed notification.

   (2)  Notification to the Department does not relieve the lead-based-paint contractor of the responsibility for making written notification as may be required by a municipality, agency of the Commonwealth, or agency of the Federal government.

[Pa.B. Doc. No. 97-1817. Filed for public inspection November 7, 1997, 9:00 a.m.]



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