Clarification of Employer's Continuing Obligation To Make and Maintain an Accurate Record of Each Recordable Injury and Illness, 45116-45131 [2015-18003]
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Federal Register / Vol. 80, No. 145 / Wednesday, July 29, 2015 / Proposed Rules
11 CFR Parts 104, 109, 110, 114
[Notice 2015–09]
Rulemaking Petition: Independent
Spending by Corporations, Labor
Organizations, Foreign Nationals, and
Certain Political Committees (Citizens
United)
Federal Election Commission,
Energy.
ACTION: Rulemaking petition; notice of
availability.
AGENCY:
On June 19 and June 22, 2015,
the Federal Election Commission
received two Petitions for Rulemaking
that ask the Commission to issue new
rules and revise existing rules
concerning: (1) The disclosure of certain
financing information regarding
independent expenditures and
electioneering communications; (2)
election-related spending by foreign
nationals; (3) solicitations of corporate
and labor organization employees and
members; and (4) the independence of
expenditures made by independentexpenditure-only political committees
and accounts. The Commission seeks
comments on these petitions.
DATES: Comments must be submitted on
or before October 27, 2015.
ADDRESSES: All comments must be in
writing. Commenters are encouraged to
submit comments electronically via the
Commission’s Web site at https://
www.fec.gov/fosers, reference REG
2015–04, or by email to
IndependentSpending@fec.gov.
Alternatively, commenters may submit
comments in paper form, addressed to
the Federal Election Commission, Attn.:
Amy L. Rothstein, Assistant General
Counsel, 999 E Street NW., Washington,
DC 20463.
Each commenter must provide, at a
minimum, his or her first name, last
name, city, state, and zip code. All
properly submitted comments,
including attachments, will become part
of the public record, and the
Commission will make comments
available for public viewing on the
Commission’s Web site and in the
Commission’s Public Records Office.
Accordingly, commenters should not
provide in their comments any
information that they do not wish to
make public, such as a home street
address, personal email address, date of
birth, phone number, social security
number, or driver’s license number, or
any information that is restricted from
disclosure, such as trade secrets or
commercial or financial information
that is privileged or confidential.
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SUMMARY:
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Ms.
Amy L. Rothstein, Assistant General
Counsel, or Ms. Esther D. Gyory,
Attorney, Office of General Counsel, 999
E Street NW., Washington, DC 20463,
(202) 694–1650 or (800) 424–9530.
SUPPLEMENTARY INFORMATION: On June
19, 2015, the Federal Election
Commission received a Petition for
Rulemaking from Make Your Laws PAC,
Inc. and Make Your Laws Advocacy,
Inc. On June 22, 2015, the Commission
received a Petition for Rulemaking from
Craig Holman and Public Citizen. Both
petitions, citing Citizens United v. FEC,
558 U.S. 310 (2010), ask the
Commission to modify its regulations in
four respects.
First, the Federal Election Campaign
Act, 52 U.S.C. 30101–46 (the ‘‘Act’’),
and Commission regulations require
every person who makes an
electioneering communication
aggregating in excess of $10,000 in a
calendar year and every person (other
than a political committee) that makes
independent expenditures in excess of
$250 with respect to a given election in
a calendar year to report certain
information to the Commission. 11 CFR
104.20(b) and (c), 109.10(b), (e); 52
U.S.C. 30104(c)(1) and (2), (f). The
petitions ask the Commission to
‘‘[e]nsure full public disclosure of
corporate and labor organization
independent spending’’ by ‘‘requir[ing]
that outside spending groups disclose
their donors.’’
Second, the Act and Commission
regulations prohibit foreign nationals
from ‘‘directly or indirectly’’ making
contributions, expenditures, and
electioneering communications. 11 CFR
110.20; 52 U.S.C. 30121(a). The
petitions ask the Commission to
‘‘[c]larify that th[is] prohibition on
foreign national campaign-related
spending restricts such spending by
U.S. corporations owned or controlled
by a foreign national.’’
Third, Commission regulations
prohibit corporations and labor
organizations from ‘‘using coercion . . .
to urge any individual to make a
contribution or engage in fundraising
activities on behalf of a candidate or
political committee,’’ 11 CFR
114.2(f)(2)(iv), and restrict how
corporations and labor organizations
may solicit contributions to their
separate segregated funds from
employees and members. 11 CFR
114.5(a)(2) through (5); see also 52
U.S.C. 30118(b)(3). The petitions ask the
Commission to ‘‘[c]larify that
corporations and labor organizations are
prohibited from coercing their
employees and members into providing
FOR FURTHER INFORMATION CONTACT:
FEDERAL ELECTION COMMISSION
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financial or other support for the
corporation’s or labor organization’s
independent political activities.’’
Finally, the petitions ask the
Commission to ‘‘[e]nsure that the
expenditures made by’’ independentexpenditure-only political committees
and accounts, see, e.g., SpeechNow.org
v. FEC, 599 F.3d. 686 (D.C. Cir. 2010),
‘‘are truly independent of federal
candidates.’’
The Commission seeks comments on
the petitions. The public may inspect
the petitions on the Commission’s Web
site at https://www.fec.gov/fosers, or in
the Commission’s Public Records Office,
999 E Street NW., Washington, DC
20463, Monday through Friday, from 9
a.m. to 5 p.m. Interested persons may
also obtain copies of the petitions by
dialing the Commission’s Faxline
service at (202) 501–3413 and following
its instructions. Request document
#280.
The Commission will not consider the
petitions’ merits until after the comment
period closes. If the Commission
decides that the petitions have merit, it
may begin a rulemaking proceeding.
The Commission will announce any
action that it takes in the Federal
Register.
Dated: July 16, 2015.
On behalf of the Commission,
Ann M. Ravel,
Chair, Federal Election Commission.
[FR Doc. 2015–18494 Filed 7–28–15; 8:45 am]
BILLING CODE 6715–01–P
DEPARTMENT OF LABOR
Occupational Safety and Health
Administration
29 CFR part 1904
[Docket No. OSHA–2015–0006]
RIN 1218–AC84
Clarification of Employer’s Continuing
Obligation To Make and Maintain an
Accurate Record of Each Recordable
Injury and Illness
Occupational Safety and Health
Administration (OSHA), Labor.
ACTION: Notice of proposed rule.
AGENCY:
OSHA is proposing to amend
its recordkeeping regulations to clarify
that the duty to make and maintain
accurate records of work-related injuries
and illnesses is an ongoing obligation.
The duty to record an injury or illness
continues for as long as the employer
must keep records of the recordable
injury or illness; the duty does not
SUMMARY:
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Federal Register / Vol. 80, No. 145 / Wednesday, July 29, 2015 / Proposed Rules
expire just because the employer fails to
create the necessary records when first
required to do so. The proposed
amendments consist of revisions to the
titles of some existing sections and
subparts, and changes to the text of
some existing provisions. The proposed
amendments add no new compliance
obligations; the proposal would not
require employers to make records of
any injuries or illnesses for which
records are not currently required to be
made.
DATES: Written comments to this
proposed rule must be submitted
(postmarked, sent or received) by
September 28, 2015. All submissions
must bear a postmark or provide other
evidence of the submission date.
ADDRESSES: You may submit comments,
identified by Docket No. OSHA–2015–
0006, by any of the following methods:
Electronically: You may submit
comments and attachments
electronically at https://
www.regulations.gov, which is the
Federal e-Rulemaking Portal. Follow the
instructions on the Web site for making
electronic submissions.
Fax: If your submission, including
attachments, does not exceed ten pages,
you may fax it to the OSHA Docket
Office at (202) 693–1648. OSHA does
not require hard copies of documents
transmitted by facsimile. However, if
you have supplemental attachments that
are not delivered by facsimile, you must
submit those attachments, by the
applicable deadline, to the OSHA
Docket Office, Technical Data Center,
OSHA, U.S. Department of Labor, 200
Constitution Avenue NW., Room N–
2625, Washington, DC 20210. Any such
attachment must clearly identify the
sender’s name, the date of submission,
the title of the rulemaking (Clarification
of Employer’s Continuing Obligation to
Make and Maintain an Accurate Record
of Each Recordable Injury and Illness),
and the docket number (OSHA–2015–
0006) so that the Docket Office can add
the attachment(s) to the appropriate
facsimile submission.
Mail, express mail, hand delivery,
messenger, or courier service: You may
submit comments to the OSHA Docket
Office, Docket Number OSHA–2015–
0006, Technical Data Center, OSHA,
U.S. Department of Labor, 200
Constitution Avenue NW., Room N–
2625, Washington, DC 20210; telephone:
(202) 693–2350. (OSHA’s TTY number
is (877) 889–5627). Please contact the
OSHA Docket Office for information
about Department of Labor security
procedures that could affect the delivery
of materials by express mail, hand
delivery, and messenger or courier
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service. Also note that security-related
procedures may delay the Agency’s
receipt of comments submitted by
regular mail. The Docket Office will
accept deliveries by hand, express mail,
or messenger and courier service during
the Docket Office’s normal business
hours, 8:15 a.m. to 4:45 p.m.
Instructions for submitting comments:
All submissions must include the
Agency’s name (OSHA), the title of the
rulemaking (Clarification of Employer’s
Continuing Obligation to Make and
Maintain an Accurate Record of Each
Recordable Injury and Illness), and the
docket number (OSHA–2015–0006).
OSHA will place comments and other
material, including any personal
information you provide, in the public
docket without revision, and the
comments and other materials will be
available online at https://
www.regulations.gov. Therefore, OSHA
cautions you about submitting
statements and information that you do
not want made available to the public or
that contain personal information (about
yourself or others) such as Social
Security numbers, birthdates, and
medical data. For further information on
submitting comments, plus additional
information on the rulemaking process,
see the Public Participation heading in
the SUPPLEMENTARY INFORMATION part of
this document.
Docket: To read or download
comments or other material in the
docket, go to Docket Number OSHA–
2015–0006 at https://
www.regulations.gov or to the OSHA
Docket Office at the address provided
previously. The electronic docket for
this proposed rule, established at
https://www.regulations.gov, lists all of
the documents in the docket. However,
some information (e.g., copyrighted
material) is not publicly available to
read or download through that Web site.
All submissions, including copyrighted
material, are available for inspection at
the OSHA Docket Office. Contact the
OSHA Docket Office for assistance in
locating docket submissions.
FOR FURTHER INFORMATION CONTACT:
General information and press inquiries:
Press inquiries: Mr. Frank Meilinger,
Director, Office of Communications,
OSHA, U.S. Department of Labor, Room
N–3647, 200 Constitution Avenue NW.,
Washington, DC 20210; telephone (202)
693–1999; email meilinger.francis2@
dol.gov.
Technical inquiries: Mr. William
Perry, Directorate of Standards and
Guidance, OSHA, U.S. Department of
Labor, Room N–3718, 200 Constitution
Avenue NW., Washington, DC 20210;
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telephone (202) 693–1950; email
perry.bill@dol.gov.
Copies of this Federal Register notice
and news releases: Electronic copies of
these documents are available at
OSHA’s Web page at https://
www.osha.gov.
SUPPLEMENTARY INFORMATION:
I. Table of Contents
I. Table of Contents
II. Background
A. The OSH Act and OSH Act Violations
B. The History and Importance of OSHA’s
Recordkeeping Regulations
C. A Failure To Record a Recordable Illness
or Injury is a Continuing Violation
D. The D.C. Circuit’s Decision in Volks II
E. Advisory Committee on Construction
Safety and Health
III. Legal Authority
A. Overview
B. The OSH Act authorizes the Secretary
To Impose a Continuing Obligation on
Employers To Make and Maintain
Accurate Records of Work-Related
Injuries and Illnesses, and Incomplete or
Otherwise Inaccurate Records Create
Ongoing, Citable Conditions
1. Section 8(c) of the Act Governs
Employers’ Recordkeeping Obligations,
and That Provision Imposes Continuing
Obligations on Employers To Make and
Maintain Accurate Records of WorkRelated Illnesses and Injuries
2. The OSH Act’s Statute of Limitations
Does Not Define OSHA Violations, or
Address When Violations Occur, Nor
Does the Language in Section 9(c)
Preclude Continuing Recordkeeping
Violations
3. Incomplete or otherwise inaccurate
records of work-related illnesses and
injuries create an ongoing condition
detrimental to full enforcement of the
Act.
4. Interpreting the Duty to Record as a
Continuing One Under the Act’s Civil,
Remedial Scheme is Entirely Consistent
With the General Case Law
IV. Summary and Explanation of the
Proposed Rule
A. Description of proposed revisions
1. Section 1904.0—Purpose
2. Subpart C—Making and Maintaining
Accurate Records, Recordkeeping Forms,
and Recording Criteria
3. Paragraph (a) of § 1904.4—Basic
requirement
4. Note to paragraph (a) of § 1904.4
5. Paragraph (b)(3) of § 1904.29—How
quickly must each injury or illness be
recorded?
6. Section 1904.32—Year-end review and
annual summary
7. Paragraph (a) of § 1904.32—Basic
requirement
8. Paragraph (b)(1) of § 1904.32—How
extensively do I have to review the
OSHA 300 Log at the end of the year?
9. Section 1904.33—Retention and
maintenance of accurate records
10. Paragraph (b)(1) of § 1904.33—Other
than the obligation identified in
§ 1904.32, do I have further recording
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duties with respect to OSHA 300 Logs
and 301 Incident Reports during the fiveyear retention period?
11. Paragraph (b)(2) of § 1904.33—Do I
have to make additions or corrections to
the annual summary during the five-year
retention period?
12. Paragraph (b)(3) of § 1904.33
13. Paragraph (b)(2) of § 1904.35—Do I
have to give my employees and their
representatives access to the OSHA
injury and illness records?
14. Paragraph (b)(2)(iii) of § 1904.35—If an
employee or representative asks for
access to the OSHA 300 Log, when do I
have to provide it?
15. Subpart E—Reporting Accurate
Fatality, Injury, and Illness Information
to the Government
16. Section 1904.40—Providing accurate
records to government representatives
17. Paragraph (a) of § 1904.40—Basic
requirement
V. State Plans
VI. Preliminary Economic Analysis
VII. Regulatory Flexibility Certification
VIII. Environmental Impact Assessment
IX. Federalism
X. Unfunded Mandates
XI. Consultation and Coordination With
Indian Tribal Governments
XII. Public Participation
XIII. The Paperwork Reduction Act of 1995
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II. Background
A. The OSH Act and OSH Act
Violations
The Occupational Safety and Health
Act of 1970 (OSH Act or Act) arose out
of a Congressional finding that personal
injuries and illnesses arising out of work
situations impose a substantial burden
upon, and are a hindrance to, interstate
commerce in terms of lost production,
wage loss, medical expenses, and
disability compensation payments. See
29 U.S.C. 651(a). Accordingly, the
purpose of the statute is to assure so far
as possible every working man and
woman in the Nation safe and healthful
working conditions. See 29 U.S.C.
651(b).
To effectuate the Act’s purpose,
Congress authorized the Secretary of
Labor to promulgate occupational safety
and health standards (29 U.S.C. 655); a
standard, as defined in the Act, requires
conditions, or the adoption or use of one
or more practices, means, methods,
operations, or processes, reasonably
necessary or appropriate to provide safe
or healthful employment and places of
employment. See 29 U.S.C. 652(8). The
Act also grants broad authority to the
Secretary to promulgate regulations
related to recordkeeping, employer selfinspections, and keeping employees
informed of matters related to
occupational safety and health. 29
U.S.C. 657(c). OSHA issues citations
and assesses monetary penalties when it
finds that employers are not complying
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with applicable standards and
regulations. 29 U.S.C. 658, 659, 666.
Section 9(c) of the OSH Act contains
a statute of limitations providing that no
citation may be issued after the
expiration of six months following ‘‘the
occurrence of any violation.’’ 29 U.S.C.
658(c). Generally, OSH Act violations
continue to occur for as long as
employees are exposed to the hazard
posed by the non-compliant workplace.
See Sec’y of Labor v. Cent. of Georgia
R.R. Co., 5 BNA OSHC 1209, 1211 (Rev.
Comm’n 1977) (explaining that a
violation occurs ‘‘whenever . . . [a]
standard is not complied with and an
employee has access to the resulting
zone of danger’’). Thus, employers have
an ongoing obligation to correct
conditions that violate OSHA standards
and regulations, and under section 9(c),
violations are subject to citations and
penalties for up to six months after the
last instance of employee exposure to
the relevant hazard.
B. The History and Importance of
OSHA’s Recordkeeping Regulations
The OSH Act requires the Secretary of
Labor to promulgate regulations
requiring employers to make and
maintain accurate records of workrelated injuries and illnesses. 29 U.S.C.
657(c)(1) and (2), 673(a); see also
651(b)(12), 657(g)(2), 673(e). In 1971, the
Secretary (via OSHA) issued the first
recordkeeping regulations at 29 CFR
part 1904. The Agency promulgated
revisions to these regulations in 2001 in
an effort to improve the quality of
workplace injury and illness records by
making OSHA’s recordkeeping system
easier to use and understand. See 66 FR
5916 (January 19, 2001).
OSHA’s recordkeeping regulations
require employers to record information
about certain injuries and illnesses
occurring in their workplaces, and to
make that information available to
employees, OSHA, and the Bureau of
Labor Statistics (BLS). Employers must
record work-related injuries and
illnesses that meet one or more
recording criteria, including injuries
and illnesses resulting in death, loss of
consciousness, days away from work,
restricted work activity or job transfer,
medical treatment beyond first aid, or a
diagnosis of a significant injury or
illness by a physician or other licensed
health care professional. 29 CFR 1904.7.
Employers must document each
recordable injury or illness on an
‘‘OSHA 300’’ form, which is a log of all
work-related injuries and illnesses. 29
CFR 1904.29(a) through (b)(1).
Employers also must prepare a
supplementary ‘‘OSHA 301 Incident
Report’’ or equivalent form for each
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recordable injury and illness; the
Incident Reports provide additional
details about the injuries and illnesses
recorded in the 300 Log. 29 CFR
1904.29(b)(2).
At the end of each calendar year,
employers must review their 300 Logs to
verify that the entries are complete and
accurate. 29 CFR 1904.32(a)(1).
Employers also must correct any
deficiencies identified during the
annual review. Id. By February 1 of each
year, employers must create, certify, and
post annual summaries of the cases
listed on their 300 Logs for the prior
calendar year. 29 CFR 1904.32(a)(2)
through (4) and (b)(6). Annual
summaries must remain posted until
April 30 each year. 29 CFR
1904.32(b)(6). Employers must retain
their OSHA Logs, Incident Reports, and
annual summaries for five years
following the end of the calendar year
that they cover. 29 CFR 1904.33(a).
During the retention period, employers
must update their 300 Logs to include
newly discovered recordable cases and
to show any changes in the
classification, description, or outcome
of previously-recorded cases. 29 CFR
1904.33(b)(1). The regulations do not
require employers to update Incident
Reports or annual summaries during the
retention period. 29 CFR 1904.33(b)(2)
and (3).
Accurate injury and illness records
serve several important purposes. See
66 FR at 5916–17, January 19, 2001. One
purpose is to provide information to
employers. The information in the
OSHA-required records makes
employers more aware of the kinds of
injuries and illnesses occurring and the
hazards that cause or contribute to
them. When employers analyze and
review the information in their records,
they can identify and correct hazardous
workplace conditions. Injury and illness
records are essential for employers to
effectively manage their safety and
health programs; these records permit
employers to track injuries and illnesses
over time so they can evaluate the
effectiveness of protective measures
implemented in response to identified
hazards.
Similarly, employees—who have
access to OSHA injury and illness
records throughout the five-year
retention period (see 29 CFR 1904.35)—
can use information about the
occupational injuries and illnesses
occurring in their workplaces to become
better informed about, and more alert to,
the hazards they face. Employees who
are aware of the hazards around them
may be more likely to follow safe work
practices and to report workplace
hazards to their employers. When
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employees are aware of workplace
hazards, and participate in the
identification and control of those
hazards, the overall level of safety and
health in the workplace can improve.
OSHA also has access to employer
injury and illness records during the
retention period (see 29 CFR 1904.40
and 1904.41), and these records are an
important source of information for the
Agency and enhance the Agency’s
enforcement efforts. During the initial
stages of an inspection, an OSHA
representative reviews the employer’s
injury and illness data so that the
Agency can focus its inspection on the
hazards revealed by the records. In some
years, OSHA has also surveyed a subset
of employers covered by the OSH Act
for their injury and illness data, and
used that information to help identify
the most dangerous types of worksites
and the most prevalent types of safety
and health hazards.
Additionally, BLS uses data derived
from employers’ injury and illness
records to develop national statistics on
workplace injuries and illnesses. These
statistics include information about the
source, nature, and type of the injuries
and illnesses that are occurring in the
nation’s workplaces. To obtain the data
to develop national statistics, BLS and
participating State agencies conduct an
annual survey of employers in almost
all sectors of private industry. BLS
makes the aggregate survey results
available for research purposes and for
public information. This data provides
information about the incidence of
workplace injuries and illnesses and the
nature and magnitude of workplace
safety and health problems. Congress,
OSHA, and safety and health
policymakers in Federal, State, and
local governments use BLS statistics to
make decisions concerning safety and
health legislation, programs, and
standards. And employers and
employees can use BLS statistics to
compare the injury and illness data from
their workplaces with data from the
nation as a whole.
C. A Failure To Record a Recordable
Illness or Injury is a Continuing
Violation
A continuing violation exists when
there is noncompliance with ‘‘the text of
. . . [a] pertinent law [that] imposes a
continuing obligation to act or refrain
from acting.’’ Earle v. Dist. of Columbia,
707 F.3d 299, 307 (D.C. Cir. 2012).
Where there is an ongoing obligation to
act, each day the action is not taken
results in a continuing, ongoing
violation. In other words, ‘‘a new claim
accrues each day the violation is
extant.’’ Interamericas Inv., Ltd. v. Fed.
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Reserve Sys., 111 F.3d 376, 382 (5th Cir.
1997). For example, in United States v.
Edelkind, 525 F.3d 388 (5th Cir. 2008),
the Fifth Circuit found that the crime of
willfully failing to pay child support as
required by federal law was a
continuing offense because ‘‘each day’s
acts . . . [brought] a renewed threat of
the substantive evil Congress sought to
prevent.’’ Id. at 394–95 (internal
quotation marks and citations omitted).
And in Postow v. OBA Federal Savings
& Loan Association, 627 F.2d 1370 (D.C.
Cir. 1980), the D.C. Circuit held that a
lender’s failure to provide required
disclosures to borrowers was a
continuing violation of the Truth-inLending Act because the violation
subverted the goals of the statute every
day the borrowers did not have the
information. Id. at 1379–80. See, also,
e.g., United States v. Bailey, 444 U.S.
394, 413 (1980) (escape from federal
custody is a continuing offense in light
of ‘‘the continuing threat to society
posed by an escaped prisoner’’); United
States v. George, 625 F.3d 1124 (9th Cir.
2010) (failure to comply with statute
requiring registration as a sex offender
is a continuing offense), vacated on
other grounds, 672 F.3d 1126 (9th Cir.
2012); United States v. Franklin, 188
F.2d 182 (7th Cir. 1951) (Alien
Registration Act imposes ongoing
registration obligation; failure to register
is a continuing violation).
Recordkeeping violations under the
OSH Act are likewise continuing
violations. OSHA’s longstanding
position is that an employer’s duty to
record an injury or illness continues for
the full duration of the record-retentionand-access period, i.e., for five years
after the end of the calendar year in
which the injury or illness became
recordable. This means that if an
employer initially fails to record a
recordable injury or illness, the
employer still has an ongoing duty to
record that case; the recording
obligation does not expire simply
because the employer failed to record
the case when it was first required to do
so. As long as an employer fails to
comply with its ongoing duty to record
an injury or illness, there is an ongoing
violation of OSHA’s recordkeeping
requirements that continues to occur
every day employees work at the site.
Therefore, OSHA can cite employers for
such recordkeeping violations for up to
six months after the five-year retention
period expires without running afoul of
the OSH Act’s statute of limitations.1
1 Of course, OSHA may not issue a citation more
than six months after the employer corrects the
violation. See, e.g., Sec’y of Labor v. Manganas
Painting Co., 21 BNA OSHC 2043, 2048 (Rev.
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The Occupational Safety and Health
Review Commission has upheld
OSHA’s position on the continuing
nature of recordkeeping violations. See,
e.g., Sec’y of Labor v. Gen. Dynamics, 15
BNA OSHC 2122 (Rev. Comm’n 1993)
(recordkeeping violations ‘‘occur’’ at
any point during the retention period
when records are inaccurate, so
citations for those violations are not
barred simply because they are issued
more than six months after the
obligation to record first arose); Sec’y of
Labor v. Johnson Controls, Inc., 15 BNA
OSHC 2132 (Rev. Comm’n 1993)
(recordkeeping violations continue until
correction or expiration of the retention
period). The Commission addressed this
issue most recently in Secretary of Labor
v. AKM LLC (Volks I), 23 BNA OSHC
1414 (Rev. Comm’n 2011), confirming
that an employer’s failure to make a
required OSHA record is a continuing
violation, and that an uncorrected
violation continues until the employer
is no longer required to keep OSHA
records for the year at issue.
D. The D.C. Circuit’s Decision in
Volks II
A panel of the D.C. Circuit reviewed
the Commission’s Volks I decision, and
on April 6, 2012, issued a decision—
Volks II—reversing the Commission.
AKM LLC v. Sec’y of Labor (Volks II),
675 F.3d 752 (D.C. Cir. 2012). The
majority opinion in Volks II disagreed
with the Commission and held that ‘‘the
. . . language in [the OSH Act] . . .
which deals with record-keeping is not
authorization for OSHA to cite the
employer for a record-making violation
more than six months after the
recording failure.’’ Id. at 758. According
to the majority opinion, OSHA must cite
an employer for failing to record an
injury or illness within six months of
the first day on which the regulations
require the recording; a citation issued
later than that is barred by the OSH
Act’s statute of limitations. Id. at 753–
59.
In a separate concurring opinion in
Volks II, Judge Garland recognized that
the OSH Act allows for continuing
violations of recordkeeping
requirements. He concluded, however,
that the specific language in OSHA’s
existing recordkeeping regulations does
not implement this statutory authority
and does not create continuing
recordkeeping obligations. Id. at 759–64.
No other appellate court has ruled on
these issues.
Comm’n 2007) (citation was time-barred where the
employer abated the violation more than six months
prior to the issuance date).
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The Volks II decision has led to a
need for OSHA to clarify employers’
obligations under its recordkeeping
regulations and to elaborate on its
understanding of the statutory basis for
those obligations. The Agency is
proposing changes to its recordkeeping
regulations to clarify that the duty to
make and maintain an accurate record
of a work-related illness or injury is an
ongoing obligation that continues until
the required record is made or until the
end of the record-retention-and-access
period prescribed by the regulations. To
that end, OSHA is proposing revisions
to the titles of some existing sections
and subparts in part 1904, and changes
to the text of some existing
recordkeeping requirements. The
Agency describes the proposed changes
in SUPPLEMENTARY INFORMATION, Section
IV, later in this notice.
E. Advisory Committee on Construction
Safety and Health
OSHA consulted with the Advisory
Committee on Construction Safety and
Health (ACCSH) on this rulemaking.
The Agency provided ACCSH with a
summary and explanation of this
proposal and a statement regarding the
need for the proposed revisions to 29
CFR part 1904. On December 4, 2014,
ACCSH voted to recommend that OSHA
proceed with this proposal.
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III. Legal Authority
A. Overview
As explained previously, in
SUPPLEMENTARY INFORMATION, Section
II.A, the OSH Act authorizes the
Secretary of Labor to issue ‘‘standards’’
and other ‘‘regulations.’’ See, e.g., 29
U.S.C. 655, 657. An occupational safety
and health standard, issued pursuant to
section 6 of the Act, prescribes measures
to be taken to remedy an identified
occupational hazard. Other regulations,
issued pursuant to general rulemaking
authority found, inter alia, in section 8
of the Act, establish enforcement or
detection procedures designed to further
the goals of the Act generally. 29 U.S.C.
657(c); Workplace Health and Safety
Council v. Reich, 56 F. 3d 1465, 1468
(D.C. Cir. 1995). The proposed
amendments are to a regulation issued
pursuant to authority expressly granted
by sections 8 and 24 of the Act. 29
U.S.C. 657, 673. They simply clarify
existing duties under part 1904, and do
not impose any new substantive
recordkeeping requirements. Numerous
provisions of the OSH Act both
underscore Congress’ acknowledgement
that accurate injury and illness records
are a critical component of the national
occupational safety and health program
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and give the Secretary broad authority
to enact recordkeeping regulations that
create a continuing obligation for
employers to make and maintain
accurate records of work-related
illnesses and injuries. Section 2(b)(12)
of the Act states that one of the purposes
of the OSH Act is to assure, so far as
possible, safe and healthful working
conditions by providing for appropriate
reporting procedures that will help
achieve the objectives of the Act and
‘‘accurately describe’’ the nature of the
occupational safety and health problem.
See 29 U.S.C. 651(b)(12). Section 8(c)(1)
requires each employer to ‘‘make, keep
and preserve’’ and ‘‘make available’’ to
the Secretary such records prescribed by
regulation as necessary or appropriate
for the enforcement of the Act or for
developing information regarding the
causes and prevention of occupational
accidents and illnesses. See 29 U.S.C.
657(c)(1). Section 8(c)(2) requires the
Secretary to prescribe regulations
requiring employers to ‘‘maintain
accurate records’’ of, and to make
periodic reports on, work-related
deaths, injuries and illnesses. See 29
U.S.C. 657(c)(2). Section 8(g)(2) of the
Act generally empowers the Secretary to
prescribe such rules and regulations as
he may deem necessary to carry out his
responsibilities under the Act. See 29
U.S.C. 657(g)(2). Section 24(a) requires
the Secretary to develop and maintain
an effective program of collection,
compilation and analysis of
occupational safety and health statistics
and to compile accurate statistics on
work injuries and illnesses. See 29
U.S.C. 673(a). Section 24(e) provides
that on the basis of the records made
and kept pursuant to section 8(c) of the
Act, employers must file such reports
with the Secretary that the Secretary
prescribes by regulation as necessary to
carry out his functions under the Act.
See 29 U.S.C. 673(e). Some of these
provisions will be addressed more
thoroughly in SUPPLEMENTARY
INFORMATION, Section III.B, later in this
notice.
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B. The OSH Act Authorizes the
Secretary To Impose a Continuing
Obligation on Employers To Make and
Maintain Accurate Records of WorkRelated Injuries and Illnesses, and
Incomplete or Otherwise Inaccurate
Records Create Ongoing, Citable
Conditions
1. Section 8(c) of the Act Governs
Employers’ Recordkeeping Obligations,
and That Provision Imposes Continuing
Obligations on Employers To Make and
Maintain Accurate Records of WorkRelated Illnesses and Injuries
‘‘Whether [an] . . . obligation is
continuing is a question of statutory
construction,’’ Earle, 707 F.3d at 307.
The express language of the OSH Act
readily supports a continuing violation
theory in recordkeeping cases. And,
section 8(c) grants the Secretary broad
authority to issue requirements he
considers ‘‘necessary or appropriate,’’
including recordkeeping regulations
that provide that an employer’s duty to
make records of injuries and illnesses is
an ongoing obligation. 29 U.S.C. 657(c).
Section 8(c)(2) requires the Secretary
to prescribe regulations requiring
employers to ‘‘maintain accurate
records’’ of work-related deaths, injuries
and illnesses. See 29 U.S.C. 657(c)(2)
(emphasis added). And section 8(c)(1)
requires employers to ‘‘make, keep and
preserve’’ and to ‘‘make available’’
records that the Secretary identifies as
necessary or appropriate for the
enforcement of the Act or for developing
information regarding the causes and
prevention of occupational accidents
and illnesses. See 29 U.S.C. 657(c)(1)
(emphasis added). The language
Congress used in these provisions
therefore authorizes the Secretary to
require employers to have on hand and
make available records that accurately
reflect all of the recordable injuries and
illnesses that occurred during the years
for which the Agency requires the
keeping of records. And this statutory
language also is inconsistent with any
suggestion that Congress intended the
duty to record an injury or illness to be
a discrete obligation that expires if the
employer fails to comply on the first day
the Agency’s regulations require
recording.
Moreover, the words ‘‘accurate’’ and
‘‘maintain’’ in section 8(c)(2) of the Act
connote a continued course of conduct
that includes an ongoing obligation to
create records. The word ‘‘maintain’’
means to ‘‘[c]ause or enable (a condition
or state of affairs) to continue,’’ an
example being when one works to
ensure that something stays ‘‘in good
condition or in working order by
checking or repairing it regularly.’’
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https://www.oxforddictionaries.com/us/
definition/american_english/
maintain?searchDictCode=all.
‘‘Maintain’’ is also synonymous with
‘‘keep.’’ https://thesaurus.com/browse/
maintain. In ordinary speech, an
instruction to ‘‘keep records’’ of
something requires both creating and
preserving the records, and may include
organizing and managing them as well.
Therefore, ‘‘maintain’’ plainly implies
an ongoing action. See, e.g., Carey v.
Shiley, Inc., 32 F.Supp.2d 1093, 1103
(S.D. Iowa 1998) (‘‘continuing duty to
maintain records for’’ the Food and
Drug Administration). And ‘‘accurate’’
means ‘‘conforming exactly to truth,’’
and is synonymous with ‘‘exact.’’
https://www.meriam-webster.com/
dictionary/accurate. See also, e.g.,
Huntington Sec. Corp. v. Busey, 112
F.2d 368, 370 (6th Cir. 1940) (noting
that the term ‘‘ ‘accurately’ . . . in its
ordinary use[ ] means precisely, exactly
correctly, without error or defect’’).
Therefore, the OSH Act’s call for
regulations requiring employers to
‘‘maintain accurate [injury and illness]
records’’ is a mandate for the Secretary
to impose an ongoing or continuing
duty on employers to have (or keep) true
or exact documentation of recordable
incidents. An employer cannot be said
to have (or to be keeping or maintaining)
accurate (or true or exact) records of
injuries and illnesses for a particular
calendar year if there are recordable
injuries or illnesses that occurred during
that year that are missing from those
records. Put simply, the Secretary
cannot fulfill the statutory obligation of
ensuring that employers ‘‘maintain’’ (or
keep) ‘‘accurate records’’ without
imposing on employers an ongoing duty
to create records for injuries and
illnesses in the first place; a duty to
make and maintain accurate records
inherently implies an ongoing
obligation to create the records that
must be maintained.
The Fourth Circuit recognized as
much in Sierra Club v. Simkins
Industries, 847 F.2d 1109, 1115 (4th Cir.
1988), a Clean Water Act case, when it
refused to allow a company to defend
against its failure to file and retain water
sampling records on the grounds that it
never collected the data it needed to
create the records in the first place. The
court ruled that an ongoing duty to
maintain records implies a
corresponding, and continuing, duty to
have those records, explaining that it
would not allow the company ‘‘to
escape liability . . . by failing at the
outset to sample and to create and retain
the necessary . . . records.’’ Id. See
also, e.g., Big Bear Super Mkt. No. 3 v.
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INS, 913 F.2d 754, 757 (9th Cir. 1990)
(per curiam) (statutory and regulatory
scheme described by the court as
requiring companies to ‘‘maintain’’
documents is interpreted to impose a
‘‘continuing duty’’ on those companies
‘‘to prepare and make’’ the documents
in the first instance); Park v. Comm’r of
Internal Revenue, 136 T.C. 569, 574
(U.S. Tax Ct. 2011) (noting that a party
that did not create required records
thereby failed to ‘‘keep’’ those records),
rev’d and remanded on other grounds,
722 F.3d 384 (D.C. Cir. 2013).
The ‘‘make, keep, and preserve’’ and
‘‘make available’’ language in section
8(c)(1) similarly envisions a continuing
duty to record and provides additional
support for the Agency’s interpretation
of the ‘‘maintain accurate records’’
language in section 8(c)(2). The
corresponding authorization to the
Secretary to prescribe such
recordkeeping regulations as he
considers ‘‘necessary or appropriate’’
emphasizes the breadth of the
Secretary’s discretion in implementing
the statute. As mentioned previously,
‘‘keep’’ is a synonym for ‘‘maintain,’’
and both words imply a continued
course of conduct, as of course does
‘‘preserve.’’ 2 See e.g., Powerstein v.
Comm’r of Internal Revenue, T.C. Memo
2011–271, 2011 WL 5572600, at *13
(U.S. Tax Ct. Nov. 16, 2011)
(interpreting statutory and regulatory
requirements to ‘‘keep’’ tax records to
mean that taxpayers must ‘‘maintain’’
such records); Freedman v. Comm’r of
Internal Revenue, T.C. Memo 2010–155,
2010 WL 2942167, at *1 (U.S. Tax Ct.
July 21, 2010) (same).
The fact that Congress included the
word ‘‘make’’ in a phrase with two other
terms that both call for a continuing
action suggests that ‘‘make’’ was also
intended to signify a continuing course
of conduct in the recordkeeping context.
The most reasonable reading of section
8(c)(1), particularly in light of the
‘‘maintain accurate records’’ language in
section 8(c)(2), is that the phrase ‘‘make,
keep, and preserve’’ authorizes one
continuous recordkeeping requirement
that includes both the creation and the
keeping of records. See, e.g., Davis v.
Michigan Dep’t of Treasury, 489 U.S.
803, 809 (1989) (noting a ‘‘fundamental
canon of statutory construction that the
2 The legislative history of the OSH Act shows
that Congress used ‘‘keep’’ and ‘‘maintain’’
synonymously. In a Senate Report, Congress
described section 8(c)(2)—which talks about
‘‘maintaining’’ records—as ‘‘requiring employers to
keep records of all work-related injuries and
diseases.’’ S. Rep. No. 91–1282, at 31 (1970),
reprinted in Subcomm. on Labor of the Comm. on
Labor and Public Welfare, Legislative History of the
Occupational Safety and Health Act of 1970, at 171
(1971) (emphasis added).
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words of a statute must be read in their
context and with a view to their place
in the overall statutory scheme’’).
Thus, the Secretary does not believe
that section 8(c) authorizes two and
only two discrete duties: A duty to
create a record that can arise at only one
moment in time, and a duty to preserve
that record, if it should be created. Such
a view would be inconsistent with the
most relevant provision of the Act,
section 8(c)(2), which is the provision
that specifically addresses the
Secretary’s authority to prescribe
regulations for injury and illness
recordkeeping, i.e., to prescribe
regulations that require employers to
‘‘maintain accurate records’’ of
workplace illnesses and injuries.
Nothing about the Congressional
direction to ‘‘maintain accurate records’’
is naturally read as creating two entirely
discrete obligations, or as conveying
Congressional intent to limit the duty to
make a required record to a single point
in time. Records that omit work-related
injuries and illnesses are not accurate,
and no purpose is served by
maintaining inaccurate records. Instead,
Congress intended employees, and the
Secretary, to have access to accurate
information about injuries and illnesses
occurring in workplaces.
The requirement in section 8(c)(1)
that employers ‘‘make available’’ such
records as the Secretary prescribes
regarding accidents and illnesses further
illustrates that section 9(c)’s statute of
limitations does not limit the Secretary
to acquiring only six months of injury
and illness data. A regulation requiring
employers, if requested, to make
available accurate records showing
injuries and illness that have occurred
within the past few years is on its face
well within the OSH Act’s grant of
authority. Nothing in the statutory
language suggests that the Secretary can
only require employers to provide
information regarding work-related
injuries and illnesses that have occurred
within the past six months. Such a
limitation would cripple the Agency’s
ability to gather complete information
and to improve understanding of safety
and health issues, contrary to
Congressional intent. Furthermore, the
duty to make accurate multi-year
records available upon request arises
when the request is made, and the
statute of limitations therefore does not
begin to run until the request is made
and the employer fails to comply.3
3 This does not mean that the Secretary’s
authority is unconstrained. Under section 8(c)(1),
the records the Secretary requires must be
‘‘necessary or appropriate’’ to enforcement of the
Act or to gathering information regarding the causes
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It therefore follows that section 8(c) of
the Act authorizes the Secretary to enact
regulations that impose a continuing
obligation on employers to make and
maintain accurate records of workrelated illnesses and injuries. Not only
are such recordkeeping regulations
expressly called for by the language of
section 8(c), but they are also consistent
with Congressional intent and the
purpose of the OSH Act. The Supreme
Court recognizes a ‘‘familiar canon of
statutory construction that remedial
legislation should be construed broadly
to effectuate its purposes.’’ Tcherepnin
v. Knight, 389 U.S. 332, 336 (1967). And
reading the statute in light of its
protective purposes further supports the
Secretary’s interpretation that the Act
calls for treating the duty to record
injuries and illnesses as a continuing
obligation. See, e.g., United States v.
Advance Mach. Co., 547 F.Supp. 1085,
1090–91 (D.Minn. 1982) (requirement in
Consumer Product Safety Act to
‘‘immediately inform’’ the government
of product defects is read as creating a
continuing obligation to report because
any other reading would frustrate the
statute’s goal of protecting the public
from hazards).
Finally, the legislative history of the
OSH Act also demonstrates that
Congress wanted employers to have
accurate injury and illness records both
for the purpose of making workplaces
safer and healthier, and for the purpose
of allowing the Agency to study the
nation’s occupational safety and health
problems. As the House Committee on
Education and Labor noted, before
passage of the OSH Act it was
impossible to know the extent of
national occupational safety and health
issues due to variability in state
reporting measures; thus, Congress
viewed it as an ‘‘evident Federal
responsibility’’ to provide for
‘‘[a]ccurate, uniform reporting
standards.’’ H.R. Rep. No. 91–1291, at
15 (1970), reprinted in Subcomm. on
Labor of the Comm. on Labor and Public
Welfare, Legislative History of the
Occupational Safety and Health Act of
1970, at 845 (1971). See also 29 U.S.C.
673(a) (‘‘The Secretary shall compile
accurate statistics on work injuries and
illnesses . . . .’’); Sec’y of Labor v. Gen.
Motors Corp., 8 BNA OSHC 2036, 2039
or prevention of occupational accidents or illnesses.
29 U.S.C. 657(c)(1). Under section 8(d), the
Secretary must obtain information with a minimum
burden on employers, especially small businesses,
and reduce unnecessary duplication to the
maximum extent feasible. 29 U.S.C. 657(d).
Moreover, under the Paperwork Reduction Act, the
Secretary and the Office of Management and Budget
must determine that a recordkeeping requirement
will have practical utility and will not be unduly
burdensome. 44 U.S.C. 3506(c)(3).
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(Rev. Comm’n 1980) (‘‘Examination of
the legislative history of [sections 8(c)(1)
and 8(c)(2)] . . . shows a clear
congressional intent that th[e] reporting
requirement be interpreted broadly in
order to develop information for future
scientific use.’’).
2. The OSH Act’s Statute of limitations
Does Not Define OSHA Violations, or
Address When Violations Occur, Nor
Does the Language in Section 9(c)
Preclude Continuing Recordkeeping
Violations
As explained previously, it is section
8(c) of the OSH Act that determines the
nature and scope of employers’
recordkeeping obligations. The statute
of limitations in section 9(c) deals only
with the question of when OSHA can
cite a violation; it says nothing about
what constitutes a violation, or when a
violation occurs. A violation is a breach
of a duty, and the question of what
duties the Secretary may prescribe must
logically be dealt with prior to
addressing the statute of limitations.
Section 9(c) cannot be read as
prohibiting the Secretary from imposing
continuing recordkeeping obligations on
employers covered by the OSH Act,
when the text and legislative history of
the Act show that section 8(c)
authorizes the Secretary to create such
obligations. Thus, the OSH Act’s statute
of limitations simply sets the period
within which legal action must be taken
after the obligation ceases to continue or
the employer comes into compliance.
See, e.g., Inst. For Wildlife Prot. v.
United States Fish & Wildlife Serv., No.
07–CV–358–PK, 2007 WL 4117978, at
*6 (D.Or. Nov. 16, 2007) (declining to
apply applicable statute of limitations to
‘‘nullify . . . [the government’s] ongoing
duty to designate critical habitat’’ for an
endangered species ‘‘and . . . insulate
the agency from challenges to any
continued inaction’’).
In any event, ‘‘statutes of limitation in
the civil context are to be strictly
construed in favor of the Government
against repose,’’ Interamericas, 111 F.3d
at 382 (citing Badaracco v. Comm’r of
Internal Revenue, 464 U.S. 386 (1984)
and E.I. Dupont De Nemours & Co. v.
Davis, 264 U.S. 456 (1924)), and nothing
in section 9(c) precludes continuing
violations in recordkeeping cases. To
the contrary, the language in section 9(c)
is very broad, providing only that ‘‘[n]o
citation may be issued . . . after the
expiration of six months following the
occurrence of any violation.’’ 29 U.S.C.
658(c). The ‘‘occurrence’’ of something
is not necessarily a discrete event; it can
encompass actions or events that
continue over time. For example, one
dictionary defines ‘‘occurrence’’ as ‘‘the
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existence or presence of something.’’
https://dictionary.cambridge.org/
dictionary/american-english/
occurrence_2. See also, e.g., PECO
Energy Co. v. Boden, 64 F.3d 852, 856–
57 (3d Cir. 1995) (scheme of repeated
thefts over the span of six years
constituted a single ‘‘occurrence’’ such
that only one insurance deductible
applied to the resulting loss). Similarly,
the term ‘‘occurrence of any violation’’
in section 9(c) does not mean that an
OSHA violation is necessarily a discrete
event that takes place at one, and only
one, point in time.
Had Congress wanted the statute of
limitations to run from the time a
violation first occurred, it could have
used language so stating. Indeed,
Congress has used language more
readily susceptible to that interpretation
in other statutes. See, e.g., the
Multiemployer Pension Plans
Amendments Act, 29 U.S.C. 1451(f)(1)
(statute of limitations runs from ‘‘the
date on which the cause of action
arose’’); the Federal Employers’ Liability
Act, 45 U.S.C. 56 (statute of limitations
runs from ‘‘the day the cause of action
accrued’’); the general statute of
limitations governing civil actions
against the United States, 28 U.S.C.
2401(a) (claims barred unless ‘‘filed
within six years after the right of action
first accrues’’).
Neither OSHA nor the Commission
has ever treated section 9(c) as
precluding continuing violations.
Indeed, continuing violations are
common in the OSHA context, with the
Commission taking the position that
violations of OSHA requirements,
including recordkeeping violations,
generally continue as long as employees
are exposed to the non-complying
conditions. See, e.g., Sec’y of Labor v.
Arcadian Corp., 20 BNA OSHC 2001
(Rev. Comm’n 2004) (violation of the
OSH Act’s general duty clause
stemming from the unsafe operation of
a urea reactor); Johnson Controls, 15
BNA OSHC 2132 (recordkeeping); Sec’y
of Labor v. Safeway Store No. 914, 16
BNA OSHC 1504 (Rev. Comm’n 1993)
(hazard communication program and
material safety data sheets); Sec’y of
Labor v. Yelvington Welding Serv., 6
BNA OSHC 2013 (Rev. Comm’n 1978)
(fatality reporting); Cent. of Georgia
R.R., 5 BNA OSHC 1209 (housekeeping).
Indeed, the Volks II panel also
acknowledged that the duties to
preserve records, to train employees,
and to correct unsafe machines may
continue. 675 F.3d 756, at 758. The OSH
Act simply would not achieve Congress’
fundamental objectives if basic
employer obligations were not
continuing.
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These cases reflect fundamental OSH
Act principles. Safety and health
standards are rules that require, inter
alia, ‘‘conditions.’’ 29 U.S.C. 652(8). The
absence of a required condition violates
the standard. It does not matter when
the absence first arose or how long it has
persisted. If a condition is required and
is not present (e.g., a machine is not
guarded or a hazardous materials
container is not labeled), a violation
occurs and a citation requiring
abatement may be issued within six
months of the observed noncompliance.
This construction follows from the
language of the Act and is essential to
the Secretary’s ability to enforce
compliance. Accordingly, continuing
obligations and violations are a regular
occurrence under the OSH Act. Nothing
in section 9(c), which applies equally to
standards and recordkeeping violations,
bars them.
In addition, continuing violations
have been found to exist under other
laws with statutes of limitations that
contain language similar to that in
section 9(c) of the OSH Act. For
example, in National Railroad
Passenger Corporation v. Morgan, 536
U.S. 101 (2002), the Supreme Court
addressed the statute of limitations in
Title VII of the Civil Rights Act of 1964,
which precludes the filing of claims a
certain number of days after the alleged
unlawful employment practice
‘‘occurred.’’ See 42 U.S.C. 2000e–5(e)(1).
The Court concluded that the statute
authorized application of a continuing
violations doctrine in hostile work
environment cases, holding that in such
cases, an unlawful employment action
can ‘‘occur’’ over a series of days or
even years. Morgan, 536 U.S. at 116–20.
Similarly, in Havens Realty Corporation
v. Coleman, 455 U.S. 363 (1982), the
Supreme Court found continuing
violations of the Fair Housing Act,
which at the time required the
commencement of civil actions within
180 days ‘‘after the alleged
discriminatory housing practice
occurred.’’ And in Postow, 627 F.2d
1370, the D.C. Circuit found a
continuing violation of the Truth-inLending Act, which, at 15 U.S.C.
1640(e), provides that actions must be
brought within one year from the date
of the ‘‘occurrence’’ of the violation. The
language of section 9(c) of the OSH Act
is at least equally receptive to
continuing violations, since it allows
citation within six months of ‘‘the
occurrence of any violation.’’
‘‘Occurrence’’ of ‘‘any’’ violation is
open-ended language that does not
suggest that a violation can exist at only
one moment of time.
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Notably, even the Volks II panel
appeared to recognize that the word
‘‘occurrence’’ does not necessarily have
a single fixed meaning, stating that ‘‘[o]f
course, where . . . a company continues
to subject its employees to unsafe
machines . . . or continues to send its
employees into dangerous situations
without appropriate training . . . OSHA
may be able to toll the statute of
limitations on a continuing violations
theory since the dangers created by the
violations persist.’’ 675 F.3d at 758. The
court also stated that a violation of the
record-retention requirement—through
the loss or destruction of a previouslycreated record—is a violation that
continues from the time of the loss or
destruction until the conclusion of the
five-year retention period. Id. at 756.
Moreover, continuing violations have
been found even under statutes of
limitations that contain language that is
arguably less receptive to continuing
violations than section 9(c); courts
implicitly recognize that the underlying
legal requirement, not the statute of
limitations, determines whether there is
a continuing legal obligation. For
example, courts have found continuing
violations of various laws that are
governed by the general five-year statute
of limitations for criminal cases in 18
U.S.C. 3282(a), which requires initiation
of an action ‘‘within five years . . . after
. . . [the] offense shall have been
committed.’’ See, e.g., United States v.
Bell, 598 F.3d 366, 368–69 (7th Cir.
2010) (continuing violation of child
support payment requirements),
overruled on other grounds, United
States v. Vizcarra, 668 F.3d 516 (7th Cir.
2012); Edelkind, 525 F.3d 388 (same);
United States v. Are, 498 F.3d 460 (7th
Cir. 2007) (crime of being found in the
United States after deportation is a
continuing violation).
The D.C. Circuit has suggested that
suits alleging a continuing failure to act
are permissible even under the general
statute of limitations governing civil
actions against the United States (28
U.S.C. 2401(a)), which provides that
claims are barred unless ‘‘filed within
six years after the right of action first
accrues.’’ Wilderness Soc’y v. Norton,
434 F.3d 584 (D.C. Cir. 2006). In
Wilderness Society, the court intimated,
but did not decide, that an agency’s
failure to act in accordance with a
statutory deadline for action was a
continuing violation, such that a lawsuit
to compel agency action would not be
time barred just because it was filed
more than six years after the agency first
missed the statutory deadline. The court
explained that because the suit ‘‘ ‘does
not complain about what the agency has
done but rather about what the agency
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has yet to do,’ ’’ it likely would not be
time-barred. Id. at 589 (quoting In re
United Mine Workers of America Int’l
Union, 190 F.3d 545, 549 (D.C. Cir.
1999)). See also, e.g., Padres Hacia Una
Vida Mejor v. Jackson, No. 1:11–CV–
1094 AWI DLB, 2012 WL 1158753 (E.D.
Cal. April 6, 2012) (28 U.S.C. 2401(a)
did not bar a claim based on EPA’s
ongoing failure to act on complaints of
discrimination within regulatory
deadlines). And the Fifth Circuit found
continuing violations of the Bank
Holding Company Act in a case
governed by the general statute of
limitations in 28 U.S.C. 2462, which
requires actions to enforce civil fines,
penalties, or forfeitures to be
‘‘commenced within five years from the
date when the claim first accrued.’’
Interamericas, 111 F.3d 376. See also,
e.g., Newell Recycling Co. v. EPA, 231
F.3d 204 (5th Cir. 2000) (finding a
continuing violation of disposal
requirements for polychlorinated
biphenyls under the Toxic Substances
Control Act in a case involving the
general statute of limitations at 28
U.S.C. 2462); Advance Mach Co., 547
F.Supp. 1085 (finding a continuing
violation of the Consumer Product
Safety Act in a case governed by 28
U.S.C. 2462); 4 cf. Capital Tel. Co v. FCC,
777 F.2d 868, 871 (2d Cir. 1985) (per
curiam) (deferring to FCC determination
that company’s ‘‘actions constituted a
‘continuing violation’ ’’ despite an
applicable statute of limitations (47
U.S.C. 415(b)) requiring the filing of
complaints ‘‘within two years from the
time the cause of action accrues’’).
Finally, concerns about stale claims
have little bearing on OSHA
recordkeeping cases. The Agency
recognizes that statutes of limitations
are designed to ‘‘keep stale claims out
of the courts.’’ Havens Realty, 455 U.S.
at 380. They protect parties from having
to defend against stale claims and
ensure that courts are not faced with
‘‘adjudicat[ing] claims that because of
their staleness may be impossible to
resolve with even minimum accuracy.’’
Stephan v. Goldinger, 325 F.3d 874, 876
(7th Cir. 2003). Claims generally are
considered stale when so much time has
passed that relevant evidence has been
4 In Gabelli v. SEC, 133 S.Ct. 1216 (2013)—a case
involving a civil enforcement action under the
Investment Advisers Act—the Supreme Court held
that the five-year statute of limitations in 28 U.S.C.
2462 ran from the date a fraud was complete, not
from the date the government discovered the fraud.
Gabelli does not, however, stand for the proposition
that the language in 28 U.S.C. 2462 precludes
application of a continuing violation theory. In
Gabelli, the government agreed that the alleged
illegal activity ended more than five years prior to
the filing of the complaint, so there was no issue
about the duration of the violative conduct.
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lost and witnesses are no longer
available or do not have reliable
memories of the relevant occurrence. Id.
But ‘‘[w]here the challenged violation is
a continuing one, the staleness concern
disappears.’’ Havens Realty, 455 U.S. at
380. And nothing about continuing
violations in the context of OSHA
recordkeeping violations undermines
this general principle.
In the vast majority of OSHA cases
stemming from an employer’s failure to
record an injury or illness, the issues
will be very straightforward. The first
question will be whether a work-related
injury or illness occurred that required
more than a minimum level of
treatment. And the second question will
be whether the employer recorded the
injury or illness as required by the
OSHA regulations. The availability of
evidence and witnesses should not be a
problem on either question—especially
given that even under a continuing
violation theory, OSHA must cite the
recordkeeping violation within six
months after the end of the five-year
retention period for injury and illness
records.
One can ordinarily ascertain whether
an injury or illness occurred, and what
treatment was necessary, by looking at
medical reports, workers’ compensation
documents, and other relevant records,
even if the affected employee or other
witnesses are no longer available. In
fact, OSHA’s Recordkeeping Policies
and Procedure Manual, CPL 02–00–135
(Dec. 30, 2004), directs compliance
officers to review medical records to
determine whether an employer has
failed to enter recordable injuries and
illnesses on the OSHA forms. And with
respect to whether the employer
recorded the injury or illness, the only
evidence the parties and the court will
need are the employer’s OSHA Log and
Incident Report Forms, which existing
regulations require employers to
maintain for five years. Furthermore,
given that OSHA ultimately bears the
burden of proving that an injury or
illness occurred and the employer did
not record it, the absence of documents
and witnesses generally will be more
prejudicial to OSHA’s case than to the
employer’s defense. And, any limited
staleness concerns that exist are
outweighed by the fact that ongoing
recordkeeping requirements are
essential to fulfilling the purposes of the
OSH Act. See generally Connecticut
Light & Power Co. v. Sec’y of Labor, 85
F.3d 89, 96 (2d Cir. 1996)
(‘‘Consideration of limitations periods
requires a fair and reasonable weighing
of the conflicting concerns of the
remedial intent of the [statute] . . . and
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the desire to keep stale claims out of the
courts.’’).
3. Incomplete or Otherwise Inaccurate
Records of Work-Related Illnesses and
Injuries Create an Ongoing Condition
Detrimental to Full Enforcement of the
Act
OSHA records ‘‘are a cornerstone of
the Act and play a crucial role in
providing the information necessary to
make workplaces safer and healthier.’’
Gen. Motors Corp., 8 BNA OSHC at
2041. As explained previously, in
SUPPLEMENTARY INFORMATION, Section
II.B, employers must give employees (as
well as OSHA and BLS) access to injury
and illness records. OSHA injury and
illness records are designed to be used
by employers, employees, and the
government to learn about the injuries
and illnesses that are occurring in
American workplaces. Accurate OSHA
injury and illness records enable
employers to identify, and correct,
hazardous conditions, allow employees
to learn about the hazards they face, and
permit the government to determine
where and why injuries are occurring so
that appropriate regulatory or
enforcement measures can be taken.
(See SUPPLEMENTARY INFORMATION,
Section II.B, earlier in this preamble, for
a full discussion of the purposes served
by OSHA injury and illness records.)
Thus, Congress viewed accurate records
as necessary for the enforcement of the
Act. 29 U.S.C. 657(c). Inaccurate or
incomplete injury and illness records,
however, will leave all of the relevant
parties underinformed, and thereby
create an ongoing condition detrimental
to full enforcement of the Act. The
Commission has recognized as much.
See, e.g., Gen. Dynamics, 15 BNA OSHC
at 2131 n. 17 (recordkeeping regulations
‘‘clearly are safety- and health-related’’);
Johnson Controls, 15 BNA OSHC at
2135–36 (‘‘[A] failure to record an
occupational injury or illness . . . does
not differ in substance from any other
condition that must be abated pursuant
to . . . occupational safety and health
standards . . . .’’).
Nor is there any meaningful
distinction to be drawn between cases
involving inadequate training or unsafe
machines (which may be seen as
involving repeated affirmative acts, for
example, sending untrained employees
to work in hazardous conditions) and
recordkeeping cases (which may be seen
as failures to right past wrongs). The
lack of access—by employers,
employees and OSHA—to accurate
records is as much an ongoing noncomplying condition under the Act as is
an untrained employee or an unguarded
machine. Whether the condition was
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created by an act of omission or of
commission, the condition is one that
continues to violate the Act until it is
abated.
Moreover, under the scheme Congress
established in the OSH Act, any
distinction that can be drawn between
overt action and inaction lacks legal
significance. As the Commission
recognizes, ‘‘unlike other federal
statutes in which an overt act is needed
to show any violation, the OSH Act
penalizes both overt acts and failures to
act in the face of an ongoing, affirmative
duty to perform prescribed obligations.’’
Volks I, 23 BNA OSHC at 1417 n.3
(emphasis in original). See also, e.g.,
Gen. Dynamics, 15 BNA OSHC at 2130
(‘‘[T]he Act penalizes the occurrence of
noncomplying conditions which are
accessible to employees and of which
the employer knew or reasonably could
have known. That is the only ‘act’ that
the Secretary must show to prove a
violation.’’). That is why it is still a
citable violation if an employer has left
a hazardous machine unguarded for
years—even though the employer has
not done anything to the machine since
first removing the guard. That is why it
is a violation if an employer fails to
label containers of hazardous chemicals
or have safety data sheets on hand,
regardless how long the inaction
persists. And courts regularly find that
a failure to act in accordance with an
ongoing legal obligation constitutes a
continuing violation. Such cases have
included a lender’s failure to make
required disclosures to a borrower
(Postow, 627 F.2d 1370), a sex offender’s
failure to register with authorities
(George, 625 F.3d 1124), a parent’s
failure to pay child support (Edelkind,
525 F.3d 388), an agency’s failure to
comply with statutory mandates and
deadlines (Wilderness Soc’y, 434 F.3d
584), a company’s failure to create and
maintain water sampling records (Sierra
Club, 847 F.2d 1109), and a failure on
the part of the government to act on
complaints of discrimination (Padres
Hacia Una Vida Mejor, 2012 WL
1158753).
Additionally, the legislative history of
the Act reflects Congress’ concern about
harm resulting to employees in
workplaces with incomplete records of
occupational injuries and illnesses.
Most notably, a report of the Senate
Committee on Labor and Public welfare
stated that ‘‘[f]ull and accurate
information is a fundamental
precondition for meaningful
administration of an occupational safety
and health program.’’ S. Rep. No. 91–
1282, at 16 (1970), reprinted in
Subcomm. on Labor of the Comm. on
Labor and Public Welfare, Legislative
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History of the Occupational Safety and
Health Act of 1970, at 156 (1971)
(emphasis added). Additionally, a report
from the House of Representatives
shows that Congress recognized
‘‘comprehensive [injury and illness]
reporting’’ as playing a key role in
‘‘effective safety programs.’’ H.R. Rep.
No. 91–1291, at 15 (1970), reprinted in
Subcomm. on Labor of the Comm. on
Labor and Public Welfare, Legislative
History of the Occupational Safety and
Health Act of 1970, at 845 (1971).
Incomplete and inaccurate OSHA
records therefore result in an ongoing
non-complying condition—namely
employers, employees, and the
government, being denied access to
information necessary to full
enforcement of the Act. And this noncomplying condition continues every
day that the records are inaccurate.
4. Interpreting the Duty To Record as a
Continuing One Under the Act’s Civil,
Remedial Scheme Is Entirely Consistent
With the General Case Law
As touched upon previously in this
notice, general case law on continuing
violations also supports a continuing
violation theory for OSHA
recordkeeping violations. The Volks II
majority stated that recordkeeping
violations are not ‘‘the sort of conduct
we generally view as giving rise to a
continuing violation[,]’’ i.e., the kind of
violation ‘‘whose ‘character as a
violation . . . [does] not become clear
until . . . repeated during the
limitations period . . . because it is . . .
[the] cumulative impact . . . that
reveals . . . illegality.’ ’’ Volks II, 675
F.3d at 757 (quoting Taylor v. FDIC, 132
F.3d 753, 765 (D.C. Cir. 1997)). On the
other hand, all OSHA violations—
including recordkeeping violations—
‘‘continue’’ only insofar as noncompliant conditions exist and
employees are exposed to the relevant
hazards. While the ‘‘cumulative impact’’
theory is one way to establish a
continuing violation (see, e.g., Morgan,
536 U.S. 101 (hostile environment
claims under Title VII)), established
precedent recognizes an additional type
of continuing violation—a violation that
continues to occur on a day-by-day (or
act-by-act) basis and whose illegality
was clear from the beginning. See, e.g.,
Edelkind, 525 F.3d 388 (failure to pay
child support is a continuing offense);
Sierra Club, 847 F.2d 1109 (finding
continuing violations of the Clean Water
Act where the company failed to
comply with permit requirements for
reporting and record retention); Postow,
627 F.2d 1370 (violation of Truth-inLending Act’s disclosure requirements
is a continuing violation).
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The DC Circuit explicitly recognized
the existence of these two types of
continuing violation cases in Earle, 707
F.3d 299. The court explained that
where a statute ‘‘ ‘imposes a continuing
obligation to act, a party can continue to
violate it until that obligation is satisfied
and the statute of limitations will not
begin to run until it does.’ ’’ Id. at 307
(quoting Judge Garland’s concurring
opinion in Volks II, 675 F.3d at 763).
And ‘‘[w]hether the obligation is
continuing is a question of statutory
construction.’’ Earle, 707 F.3d at 307.
The court explained that Postow had
found a continuing violation of the
Truth-in-Lending Act because the ‘‘goals
of the Act’’ required construing the
obligation to be continuing. Id. So too,
the goals of the OSH Act require
construing the recordkeeping obligation
to be continuing. The purpose of
recording injuries is so that the recorded
information can be used thereafter,
throughout the retention and access
period. Accurate and complete OSHA
records enable employers, employees,
and the Government to understand the
hazards present in the workplace, so
that corrective measures can be taken.
Inaccurate and incomplete records, by
contrast, are likely to be misleading.
The Secretary recognizes that one
court has said that: ‘‘The Supreme Court
has made clear . . . that the application
of the continuing violations doctrine
should be the exception, rather than the
rule.’’ Cherosky v. Henderson, 330 F.3d
1243, 1248 (9th Cir. 2003) (not referring
to any specific decision) (quoted in
Volks II, 675 F.3d at 757). Even so, the
Secretary believes that the language and
purposes of the OSH Act make it clear
that the duty to maintain and make
available records is a continuing
obligation for all the reasons set forth
previously.5
5 In Toussie v. United States, 397 U.S. 112 (1970),
the Supreme Court stated that ‘‘the doctrine of
continuing offenses should be applied in only
limited circumstances since . . . ‘the tension
between the purpose of a statute of limitations and
the continuing offense doctrine is apparent.’ ’’ Id. at
115 (citations omitted). But Toussie was a criminal
case subject to the general principle that ‘‘criminal
limitations statutes are ‘to be liberally interpreted
in favor of repose.’ ’’ Id. (emphasis added and
citations omitted). See also Diamond v. United
States, 427 F.2d 1246, 1247 (Ct. Cl. 1970) (per
curiam) (‘‘[T]he considerations moving the Court to
decide [in Toussie] that the offense was not a
continuing one were entwined with the criminal
aspects of the matter, and the holding was limited
to criminal statutes of limitations.’’). In contrast, as
noted previously, in SUPPLEMENTARY INFORMATION,
Section III.B.2, OSHA civil enforcement cases are
subject to the opposing principle that ‘‘statutes of
limitation in the civil context are to be strictly
construed in favor of the Government against
repose.’’ Interamericas, 111 F.3d at 382.
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IV. Summary and Explanation of the
Proposed Rule
OSHA is proposing to amend its
recordkeeping regulations, 29 CFR part
1904, to clarify that employers covered
by the recordkeeping requirements have
a continuing obligation to make and
maintain accurate records of all
recordable injuries and illnesses. This
obligation continues for as long as the
employer must maintain records for the
year in which an injury or illness
became recordable, and it does not
expire if the employer fails to create a
record when first required to do so.
The continuing obligation to make
and maintain accurate records of workrelated illnesses and injuries is in
accord with longstanding OSHA policy.
Thus, this proposal is not meant to
impose new or additional obligations on
employers covered by part 1904.
Employers will not be required to make
records of any injuries or illnesses for
which records are not currently
required; nor are the recording
requirements themselves changing. As
discussed at length previously, the
amendments are meant simply to clarify
employers’ obligations in the wake of
the Volks II decision. The amendments
being proposed consist of revisions to
various sections of the regulatory text as
well as changes to the titles of some
sections and subparts.
As discussed in more detail later in
this notice, the amendments clarify the
following: (1) OSHA 300 Log. Employers
must record every recordable injury or
illness on the Log. This obligation
continues through the five-year record
retention-and-access period. In addition,
during that period, employers must
update the Log by adding cases not
previously recorded and by showing
changes to previously recorded cases.
(2) OSHA 301 Incident Report.
Employers must prepare a Form 301
Incident Report for each recordable
illness or injury. This obligation
continues throughout the five-year
retention-and-access period. Employers
are not required to update the form to
show changes to the case that occur
after the form is initially prepared. (3)
Year-end records review; preparation
certification, and posting of the Form
300A annual summary. These ancillary
tasks are intended to be performed at
particular times during each year. They
are not continuing obligations.
A. Description of Proposed Revisions
1. Section 1904.0—Purpose
OSHA is proposing to revise this
section to clarify and emphasize
employers’ ongoing duties to make and
maintain accurate records of each and
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every recordable injury and illness
under part 1904. The proposed new
language reflects the existing
requirement for employers to provide
their injury and illness records to
certain government representatives, and
to employees and former employees and
their representatives. The proposed
additions to the regulatory text include
language reiterating that these
recordkeeping requirements are
important in helping the Agency
achieve its mission of providing safe
and healthful working conditions for the
nation’s workers.
OSHA is proposing to add a new
sentence at the end of this section to
explain what the Agency deems to be an
‘‘accurate’’ record. Records will be
considered ‘‘accurate’’ if correct and
complete records are made and
maintained for each and every
recordable injury and illness in
accordance with the provisions of part
1904. This concept is not new, as the
requirement for employers to maintain
accurate records is derived directly from
the OSH Act, 29 U.S.C. 657(c)(2).
2. Subpart C—Making and Maintaining
Accurate Records, Recordkeeping
Forms, and Recording Criteria
OSHA is proposing to amend the title
of this Subpart to better reflect the
content of revised §§ 1904.4 and
1904.29, which address employers’
duties to make and maintain accurate
records, as well as recordkeeping forms
and criteria.
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3. Paragraph (a) of § 1904.4—Basic
Requirement
OSHA is proposing to revise this
paragraph to reiterate the requirement
that employers make and maintain
accurate records of every injury and
illness that meets the recording criteria
in paragraphs (a)(1) through (3) of
§ 1904.4. The current version of
paragraph (a), which requires employers
to ‘‘record’’ injuries and illnesses, is less
explicit in expressing OSHA’s intent
that employers both create and keep
accurate records. The proposed
language is intended to express that an
employer’s duty includes both creating
and preserving accurate records of
recordable injuries and illnesses. To be
accurate, these records must be correct
and complete. The proposed language is
also meant to reflect more closely the
language of the OSH Act at 29 U.S.C.
657(c)(1) and (2). OSHA is not
proposing to change the recording
criteria in paragraphs (a)(1) through (3)
of existing § 1904.4.
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4. Note to Paragraph (a) of § 1904.4
OSHA is proposing to add this note to
§ 1904.4(a) to clarify the Agency’s
longstanding position that the duty to
make and maintain accurate injury and
illness records continues throughout the
entire record-retention period set out in
§ 1904.33(a). This retention period runs
for five years from the end of the
calendar year that the records cover. An
employer who fails to create a required
record during the seven-day period
provided for in § 1904.29(b)(3) must still
create the record so long as the retention
period has not elapsed. Given this
ongoing duty, OSHA may issue
recordkeeping citations to employers
that have incomplete or otherwise
inaccurate records at any point during
the retention period, and, under the sixmonth statute of limitations set out in
29 U.S.C. 658(c), for up to six months
thereafter.
5. Paragraph (b)(3) of § 1904.29—How
quickly must each injury or illness be
recorded?
Proposed paragraph (b)(3) of § 1904.29
states the Agency’s long-standing
requirement that each and every
recordable injury and illness must be
recorded on both the OSHA 300 Log for
that year and a 301 Incident Report
within seven calendar days of when the
employer gets information that the
injury or illness occurred. OSHA is
proposing minor wording changes to the
first sentence of existing paragraph
(b)(3). The remainder of proposed
paragraph (b)(3) is designed to make
clear that employers that miss this
seven-day recording deadline are not
excused from the recording obligations
after the seven-day period expires. Thus
the obligation to record continues until
the five-year retention period in
§ 1904.33(a) has run.
OSHA has always interpreted the
seven-day recording period in the
existing recordkeeping rules as a grace
period when an employer can gather
information on an injury or illness
without fear of being cited by OSHA for
a failure to record. Similarly, OSHA has
always interpreted the obligation to
record as continuing throughout the
record retention period. The
amendments to this paragraph simply
clarify OSHA’s long-held positions.
6. Section 1904.32—Year-End Review
and Annual Summary
OSHA is proposing to amend the title
of this section to more accurately
describe the topics covered by
§ 1904.32, which include an employer’s
year-end review of records.
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7. Paragraph (a) of § 1904.32—Basic
Requirement
OSHA is proposing revisions to
paragraph (a)(1) of § 1904.32 to make
clear that employers must examine each
year’s OSHA 300 Log at the end of the
year to ensure that each and every
recordable injury and illness is recorded
on the Log, and that each entry is
accurate. If an employer discovers,
during this review, that an injury or
illness is missing or that any aspect of
an entry is inaccurate, the employer
must correct the deficiency.
The Agency is also proposing a new
paragraph (a)(2) for § 1904.32. This
proposed paragraph provides that after
reviewing and verifying the Log entries
under § 1904.32(a)(1), employers must
verify that all entries on the Log are
accurately recorded on OSHA 301
Incident Reports. Proposed paragraph
(a)(2) clarifies that if an employer
discovers, during the § 1904.32(a)(1)
review, that an injury or illness was
initially left off of the OSHA 300 Log,
the employer must both add it to the log
and create an accurate Incident Report
for that injury or illness.
OSHA is proposing to move the
language from existing paragraph (a)(2)
in § 1904.32 to proposed paragraph
(a)(3) in the same section. The Agency
is proposing to add a clause to that
paragraph to explain that the annual
summary should be created only after
an employer verifies the accuracy of the
Log. This language is for clarification
purposes only and does not add any
new compliance requirements. OSHA is
also proposing to renumber existing
paragraphs (a)(3) and (4) of § 1904.32 as
paragraphs (a)(4) and (5), respectively.
The Agency is not proposing any
substantive changes to these provisions.
The specific tasks required of
employers under § 1904.32(a)—to
conduct a year-end review of the Log,
and to prepare, certify and post the
annual summary—are in addition to the
duties described elsewhere in part 1904,
and do not supersede or modify them.
These other duties include the
fundamental continuing obligation for
employers to ensure that Logs are
accurate and complete and that all
recordable cases are included on them.
The specific steps required under
§ 1904.32(a) are supplementary tasks
designed to help ensure that employers
are maintaining accurate records. These
supplementary tasks are to be performed
at specified times (at the end of each
calendar year, and from February 1 to
April 30 for posting). Failure to perform
one of these supplementary tasks by the
required deadline or during the required
time period is a violation of § 1904.32
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that may be cited during the following
six months. See Volks II, 675 F.3d at
761–62 (concurring opinion).
8. Paragraph (b)(1) of § 1904.32—How
extensively do I have to review the
OSHA 300 Log at the end of the year?
OSHA is proposing to amend
paragraph (b)(1) of § 1904.32 to reflect
the proposed revisions to
§ 1904.32(a)(1). The proposed changes
to paragraph (b)(1) reiterate that
employers must review the Log and its
entries sufficiently to verify that all
recordable injuries and illnesses for the
relevant year are entered, and that those
entries are accurate. In addition, OSHA
is proposing one minor, non-substantive
change to the heading of existing
paragraph (b)(1).
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9. Section 1904.33—Retention and
Maintenance of Accurate Records
OSHA is proposing to update the title
of this section to more accurately reflect
the obligations described in proposed
§ 1904.33.
10. Paragraph (b)(1) of § 1904.33—Other
than the obligation identified in
§ 1904.32, do I have further recording
duties with respect to OSHA 300 Logs
and 301 Incident Reports during the
five-year retention period?
OSHA is proposing to amend the
heading for this paragraph to reflect that
employers have recording duties with
respect to Incident Reports, as well as
OSHA 300 Logs, during the five-year
retention period. The Agency is also
proposing to amend the text of
paragraph (b)(1) of § 1904.33 to provide
an introduction to the paragraphs that
follow.
OSHA is proposing to add paragraphs
(b)(1)(i) through (iii) to § 1904.33 to
provide further guidance to employers
on the existing duties to update Log
entries and Incident Reports. Proposed
paragraph (b)(1)(i) clarifies employers’
duties to make and keep OSHA 300 Log
entries for each and every recordable
injury and illness that occurs during the
year to which the Log relates. There
must also be an associated Incident
Report for each illness and injury
recorded on the Log. As the proposed
language makes explicit, these duties
continue until the five-year retention
period ends; thus, an employer may be
required to make an entry on the OSHA
Log or fill out an Incident Report for an
illness or injury that occurred several
years ago.
Proposed paragraph (b)(1)(ii)
addresses changes that must be made to
OSHA Logs throughout the retention
period. As emphasized throughout this
proposed rule, employers’ OSHA 300
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Logs must be accurate. This means that
if an employer discovers that any aspect
of a previously-recorded case (such as
the classification, description, or
outcome of the case) has changed, or
that a case was recorded incorrectly at
the outset, the employer must amend
the entry to reflect the new or corrected
information.
Proposed paragraph (b)(1)(iii)
reiterates the requirement in proposed
paragraph (b)(1)(i) that there must be an
Incident Report for each and every
recordable injury and illness. The
primary purpose of proposed paragraph
(b)(1)(iii) is to explain that employers
are not required to update or correct
existing Incident Reports during the
retention period. This principle is
currently stated in existing
§ 1904.33(b)(3).
These proposed requirements are not
intended to change, but rather to state
more clearly, what is required under the
existing rule. The existing rule provides
that during the five-year retention
period, the employer must update the
Logs to include newly discovered
recordable injuries and illnesses and to
show changes that have occurred in
previously recorded cases. It does not
explicitly state the employer’s
continuing duty to record cases it had
previously learned about. Judge
Garland’s concurring opinion in Volks II
drew the inference that the regulation
does not create a continuing obligation
to record such cases, as compared with
newly discovered cases. Volks II, 675
F.3d at 760–61. This was not the
Secretary’s intention. At the time the
current regulation was issued in 2001, it
was well-established law in the
Commission that employers had a
continuing duty to record these older
cases on their Logs. See Gen. Dynamics,
15 BNA OSHC 2122; Johnson Controls,
15 BNA OSHC 2132. Nothing in the
2001 rulemaking suggested that the
Agency had any intention of changing
this fundamental requirement.
The existing recordkeeping
regulations explain that the employer
must promptly record cases on the 300
Log, and that, throughout the five-year
retention period, if the employer
discovers a case that occurred
previously, it must record that case on
the applicable Log. As with nearly all
rules, this rule is written to describe
compliance. As with other rules, it does
not assume noncompliance, in other
words, it does not explicitly state what
an employer must do if it fails to record
a case it knows about. By stating that
newly discovered cases should be
recorded, the Secretary did not intend to
signify that other cases the employer
had learned about need not be recorded.
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The command to update was not
intended to signify permission to ignore
knowledge that had been acquired
earlier.
The current regulations also state that
the employer is not required to
‘‘update’’ Form 301 Incident Reports. In
Volks II, Judge Garland read this to
mean that employers do not have to
create a form at all, once the initial
seven-day recording period is over. See
Volks II, 675 F.3d at 760–61 (concurring
opinion). That was not the Secretary’s
intention. The intent was to distinguish
between the Log, which employers must
update to reflect new and changed
information, and the 301 Form, which
employers do not need to update. (The
Secretary explained that although
updating the Log would provide useful,
accurate information, updating Incident
Reports would not enhance the
information in the employer’s records
sufficiently to warrant the additional
burden that would be associated with
such a requirement. See 66 FR at 6050,
January 19, 2001.) The fact that the
Agency does not require employers to
update Incident Reports does not mean
that the Agency does not require
employers to create the forms in the first
place. The language in the proposed
rule clarifies this.
11. Paragraph (b)(2) of § 1904.33—Do I
have to make additions or corrections to
the annual summary during the fiveyear retention period?
OSHA is proposing minor changes to
paragraph (b)(2) of § 1904.33. These
changes are not substantive. Neither the
proposed nor the existing rules require
employers to update or make changes to
annual summaries during the five-year
retention period.
12. Paragraph (b)(3) of § 1904.33
OSHA is proposing to delete existing
paragraph (b)(3). In the proposal, this
paragraph has been moved, in slightly
modified form, to paragraph (b)(1)(iii) in
§ 1904.33.
13. Paragraph (b)(2) of § 1904.35—Do I
have to give my employees and their
representatives access to the OSHA
injury and illness records?
Paragraph (b)(2) of existing § 1904.35
addresses employee access to records
created under part 1904. OSHA is
proposing only one minor change to this
paragraph—the addition of the word
‘‘accurate’’ to describe the records to
which employees, former employees,
and their representatives must be given
access. Accurate records are described
in proposed § 1904.0.
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14. Paragraph (b)(2)(iii) of § 1904.35—If
an employee or representative asks for
access to the OSHA 300 Log, when do
I have to provide it?
In proposed paragraph (b)(2)(iii) of
§ 1904.35, OSHA is simply adding the
term ‘‘accurate’’ to describe the OSHA
300 Logs to which employees, former
employees, and their representatives
must be given access. Accurate records
are described in proposed § 1904.0.
Records are required so they can be
used, and records must be accurate if
they are to serve this purpose. The duty
to provide an accurate record upon
request arises when the request is made,
not before, so the six-month statute of
limitations cannot begin to run until the
request is made.
15. Subpart E—Reporting Accurate
Fatality, Injury, and Illness Information
to the Government
OSHA is proposing to revise the title
of Subpart E to more precisely reflect
the requirement in the Subpart that
government representatives be given
access to accurate fatality, injury, and
illness information.
16. Section 1904.40—Providing
Accurate Records to Government
Representatives
OSHA is proposing to revise the title
of § 1904.40 to reflect the proposed
changes to paragraph (a) of that section.
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17. Paragraph (a) of § 1904.40—Basic
Requirement
OSHA is proposing to add the term
‘‘accurate’’ to paragraph (a) of
§ 1904.40(a) to reflect OSHA’s longstanding expectation that employers
provide government representatives
with accurate records upon request.
OSHA is also proposing some nonsubstantive wording changes to this
paragraph.
V. State Plans
The 27 States and U.S. Territories
with their own OSHA-approved
occupational safety and health plans
must adopt a rule comparable to any
amendments that Federal OSHA
ultimately promulgates to 29 CFR part
1904. The States and U.S. Territories
with OSHA-approved occupational
safety and health plans covering private
employers and State and local
government employees are: Alaska,
Arizona, California, Hawaii, Indiana,
Iowa, Kentucky, Maryland, Michigan,
Minnesota, Nevada, New Mexico, North
Carolina, Oregon, Puerto Rico, South
Carolina, Tennessee, Utah, Vermont,
Virginia, Washington, and Wyoming. In
addition, five States and U.S. Territories
have OSHA-approved State plans that
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apply to State and local government
employees only: Connecticut, Illinois,
New Jersey, New York, and the Virgin
Islands.
Under 29 CFR 1952.4(a), States with
approved occupational safety and health
plans under section 18 of the OSH Act
(29 U.S.C. 667) must adopt
recordkeeping and reporting regulations
that are ‘‘substantially identical’’ to
those set forth in 29 CFR part 1904.
State plans’ recording and reporting
requirements for determining which
injuries and illnesses must be recorded,
and how they will be recorded, must be
the same as the Federal requirements.
29 CFR 1952.4(a). Otherwise, State
plans may promulgate injury or illness
recording and reporting requirements
that are more stringent than, or
supplemental to, 29 CFR part 1904, after
consulting with, and obtaining approval
from, Federal OSHA. Id.
State plans may not grant variances
from injury and illness recording and
reporting requirements for private sector
employers; any such variances must be
granted by Federal OSHA. 29 CFR
1952.4(b). And a State may grant such
a variance for a State or local
government entity only after obtaining
Federal OSHA approval. Id.
VI. Preliminary Economic Analysis
The proposed revisions to OSHA’s
recordkeeping rules do not constitute an
economically significant regulatory
action under Executive Order 12866.
(See 58 FR 51735, September 30, 1993).
Executive Order 12866 requires
regulatory agencies to conduct an
economic analysis for significant rules.
A rule is economically significant under
Executive Order 12866 if it will have an
annual effect on the economy of $100
million or more. This proposal does not
satisfy that criterion; as explained later
in this notice, neither the benefits nor
the costs of the proposal equal or exceed
$100 million. OSHA has also
determined that this proposal does not
meet the definition of a major rule
under the Congressional Review
provisions of the Small Business
Regulatory Enforcement Fairness Act
(SBREFA). See 5 U.S.C. 804(2).
The Regulatory Flexibility Act of
1980, as amended by SBREFA in 1996,
requires OSHA to determine whether
the Agency’s regulatory actions will
have a significant impact on a
substantial number of small entities. See
5 U.S.C. 601 et seq. OSHA’s analysis
indicates that the proposed rule will not
have such an impact.
This proposal simply reiterates and
clarifies employers’ existing obligations
to record work-related injuries and
illnesses. This proposal would not
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require employers to make records of
any injuries or illnesses for which
records are not currently required.
OSHA estimated the costs to employers
of these requirements when the existing
regulations were promulgated in 2001,
see 66 FR 6081–6120, January 19, 2001.
The proposed revisions impose no new
cost burden.
Moreover, even if the proposed
revisions to OSHA’s recordkeeping rules
would result in some costs beyond those
the Agency estimated in 2001, any such
costs would be nominal. According to
OSHA’s 2014 request to the Office of
Management and Budget for an
extension of the approval of the
information collection requirements in
the recordkeeping rules, an estimated
2.44 million injuries and illnesses must
be recorded on OSHA logs each year.
See https://www.reginfo.gov/public/do/
PRAViewDocument?ref_nbr=2014051218-003. Although OSHA accounted
for the costs associated with full
recordkeeping compliance as part of the
2001 rulemaking, the Agency assumes,
for the sake of this analysis, a noncompliance rate under the current rule
of 1 percent of recordable injuries and
illnesses, or an additional 24,400
injuries and illnesses that would be
recorded as a result of the proposal. (In
OSHA’s view, this is a high, or
conservative, estimate.)
In 2014, OSHA prepared a Final
Economic Analysis for a final rule
addressing the industries entitled to a
partial exemption from recordkeeping
requirements and the reporting of
injuries and fatalities to the Agency. In
that analysis, OSHA estimated that it
takes .38 of an hour to record an injury
or illness on all required OSHA forms,
taking into account requirements for
providing access to records. See 79 FR
56130, 56165 (September 18, 2014). And
according to the 2014 ICR, the average
hourly rate for an Occupational Health
and Safety Specialist (Standard
Occupational Classification code 29–
9011) is estimated to be $46.72 (which
includes a 43% addition for benefits).
See https://www.reginfo.gov/public/do/
PRAViewDocument?ref_nbr=2014051218-003. This means that the total
estimated cost of preparing OSHA
records is $17.75 per injury or illness.
Thus, if 24,400 cases would be newly
recorded as a result of the proposal, the
total cost associated with this regulatory
action would be 24,400 times $17.75, or
approximately $433,100 per year. (The
Agency notes that if it makes the even
more conservative assumption that 5
percent of 2.44 million injuries and
illnesses (122,000) would be newly
recorded as a result of the proposal, the
total estimated cost of the proposed
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rule, across all affected employers,
would be under $2.2 million per year.)
Just as there are no (or minimal) new
costs associated with this proposal, the
proposal will result in no new economic
benefits. OSHA believes the proposed
revisions to the recordkeeping rules are
technologically feasible because they do
not require employers to perform any
actions that they are not performing
under existing requirements. And
because the proposal does not impose
any significant new compliance costs,
the Agency deems it economically
feasible.
VII. Regulatory Flexibility Certification
In accordance with the Regulatory
Flexibility Act, 5 U.S.C. 601 et seq. (as
amended), OSHA examined the
regulatory requirements of the proposed
rule to determine if they would have a
significant economic impact on a
substantial number of small entities. As
indicated in Section VI, Preliminary
Economic Analysis, earlier in this
notice, the proposed rule is expected to
have no effect, or at most a nominal
effect, on compliance costs and
regulatory burden for employers,
whether large or small. Accordingly, the
Agency certifies that the proposed rule
would not have a significant economic
impact on a substantial number of small
entities.
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VIII. Environmental Impact Assessment
OSHA has reviewed the proposed rule
in accordance with the requirements of
the National Environmental Policy Act
(NEPA) (42 U.S.C. 4321 et seq.), the
regulations of the Council on
Environmental Quality (40 CFR parts
1500 through 1508), and the Department
of Labor’s NEPA procedures (29 CFR
part 11). The Agency finds that the
revisions included in the proposal
would have no major negative impact
on air, water, or soil quality, plant or
animal life, the use of land or other
aspects of the environment. And
recordkeeping and reporting
requirements normally qualify for
categorical exclusion from NEPA
requirements in any event. See 29 CFR
11.10(a).
IX. Federalism
OSHA reviewed this proposed rule in
accordance with the most recent
Executive Order on Federalism
(Executive Order 13132, 64 FR 43255,
August 10, 1999). This Executive Order
requires that Federal agencies, to the
extent possible, refrain from limiting
State policy options, consult with States
prior to taking any actions that would
restrict State policy options, and take
such actions only when clear
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constitutional authority exists and the
problem is national in scope. Executive
Order 13132 provides for preemption of
State law only with the expressed
consent of Congress. Any such
preemption must be limited to the
extent possible. Because this proposed
rulemaking action involves a regulation
that is not an occupational safety and
health standard under section 6 of the
OSH Act, it does not preempt State law.
See 29 U.S.C. 667(a). The effect of a
final rule on states and territories with
OSHA-approved occupational safety
and health plans is discussed previously
in Section V, State Plans.
X. Unfunded Mandates
OSHA cannot enforce compliance
with its regulations or standards on
‘‘any State or political subdivision of a
State.’’ 29 U.S.C. 652(5). Under
voluntary agreement with OSHA, some
States enforce compliance with their
State standards on public sector entities,
and these agreements specify that these
State standards must be equivalent to
OSHA standards. But the proposed rule
does not involve any unfunded
mandates being imposed on any State or
local government entity. Moreover, as
discussed previously, OSHA estimates
that that there are no, or minimal,
compliance costs associated with the
proposed rule. Therefore, this proposed
rule would not impose a Federal
mandate on the private sector in excess
of $100 million in expenditures in any
one year. Thus, OSHA certifies that this
proposed rule is not a significant
regulatory action within the meaning of
Section 202 of the Unfunded Mandates
Reform Act (2 U.S.C. 1532).
XI. Consultation and Coordination With
Indian Tribal Governments
OSHA reviewed this proposed rule in
accordance with Executive Order 13175
(65 FR 67249, November 6, 2000) and
determined that it does not have ‘‘tribal
implications’’ as defined in that order.
The proposed rule does not have
substantial direct effects on one or more
Indian tribes, on the relationship
between the Federal government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal government and Indian tribes.
XII. Public Participation
Recordkeeping requirements
promulgated under the Occupational
Safety and Health Act of 1970 (OSH
Act) are regulations, not standards.
Therefore, this rulemaking is governed
by the notice and comment
requirements in the Administrative
Procedure Act (APA), 5 U.S.C. 553,
rather than by section 6(b) of the OSH
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45129
Act (29 U.S.C. 655(b)) and 29 CFR part
1911 (both of which apply only to
promulgating, modifying or revoking
occupational safety or health standards).
The OSH Act requirement for the
Agency to hold an informal public
hearing on a proposed rule, when
requested, does not apply to this
rulemaking. See 29 U.S.C. 655(b)(3).
The APA, which governs this
rulemaking, does not require a public
hearing; instead, it states that the agency
must ‘‘give interested persons an
opportunity to participate in the
rulemaking through submission of
written data, views, or arguments with
or without opportunity for oral
presentation.’’ 5 U.S.C. 553(c). To
promulgate a proposed regulation, the
APA requires the Agency to provide the
terms of the proposed rule (or a
description of those terms) and specify
the time, place, and manner of
rulemaking proceedings. See 5 U.S.C.
553(b). The APA does not specify a
minimum period for submitting
comments. In accordance with the goals
of Executive Order 12866, OSHA is
providing 60 days for public comment
(see section 6(a)(1) of Executive Order
12866).
Public Submissions: OSHA invites
comments on all aspects of the proposed
rule. OSHA will carefully review and
evaluate any comments, information, or
data received, as well as all other
information in the rulemaking record, to
determine how to proceed.
When submitting comments, please
follow the procedures specified in the
sections titled DATES and ADDRESSES of
this document. The comments should
clearly identify the provision of the
proposal being addressed, the position
taken with respect to each issue, and the
basis for that position. Comments, along
with supporting data and references,
submitted by the end of the specified
comment period will become part of the
rulemaking record, and will be available
for public inspection at the Federal
eRulemaking Portal (https://
www.regulations.gov) and at the OSHA
Docket Office, 200 Constitution Avenue
NW.—Room N–2625, Washington, DC
20210. (See the section titled ADDRESSES
of this document for additional
information on how to access these
documents.)
XIII. The Paperwork Reduction Act of
1995
The information collection
requirements contained in 29 CFR part
1904 Recording and Reporting
Occupational Injuries and Illnesses have
been approved by OMB and have been
assigned OMB control number 1218–
0176. This proposal simply reiterates
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and clarifies employers’ existing
obligations to record and maintain
work-related injuries and illnesses and
does not add any new collection of
information requirements. Therefore,
there are no increases or decreases to
the Recording and Reporting
Occupational Injuries and Illnesses
burden hour and cost estimates. The
Agency solicits comments on this
determination, and on the following
items:
• Whether the revised collection of
information requirements are necessary
for the proper performance of the
Agency’s functions, including whether
the information is useful;
• The accuracy of OSHA’s estimate of
the burden (time and cost) of the
information collection requirements,
including the validity of the
methodology and assumptions used;
• The quality, utility and clarity of
the information collected; and
• Ways to minimize the compliance
burden on employers, for example, by
using automated or other technological
techniques for collecting and
transmitting information.
As required by 5 CFR 1320.5(a)(1)(iv)
and 1320.8(d)(2), the following
paragraphs provide information about
this ICR:
Title: 29 CFR part 1904
Recordkeeping and Reporting
Occupational Injuries and Illnesses (29
CFR part 1904).
Description of the ICR: The
Occupational Safety and Health Act and
29 CFR part 1904 require that certain
employers generate, maintain, and post
records of job-related injuries and
illnesses; and report to OSHA any workrelated incident resulting in the death of
the worker and work-related incidents
resulting in in-patient hospitalization,
amputation or loss of an eye.
Summary of the Collections of
Information: Completion of the OSHA
Forms 300 and 301; Entry on privacy
concern case confidential list; Complete,
certify and post OSHA Form 300A,
Employee access to OSHA Forms 300
and 301; Reporting fatalities/
catastrophes to OSHA; Requests for
variances.
Number of respondents: 1,594,040.
Frequency of responses: Frequency of
response varies depending on the
specific collection of information.
Number of responses: 6,312,003.
Average time per response: Ranges
from 58 minutes to complete, certify
and post Form 300A to five minutes for
employers to allow employees, former
employees, or employee representatives
access to records being maintained by
29 CFR part 1904.
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Estimated total burden hours:
2,881,842.
Estimated costs (capital-operation
and maintenance): 0.
Members of the public who wish to
comment on the Agency’s revised
collection of information must send
their written comments to the Office of
Information and Regulatory Affairs,
Attn: OMB Desk Officer for the
Department of Labor, OSHA (please
reference control number 1218–0176 in
order to help ensure proper
consideration), Office of Management
and Budget, Room 10235, Washington,
DC 20503, Fax: 202–395–5806 (this is
not a toll-free number), email: OIRA_
submission@omb.eop.gov. The Agency
encourages commenters also to submit
their comments related to the Agency’s
clarification of the collection of
information requirements to the
rulemaking docket (Docket Number
OSHA–2015–0006) along with their
comments on other parts of the
proposed rule. For instructions on
submitting these comments to the
rulemaking docket, see the sections of
this Federal Register document titled
DATES and ADDRESSES. You also may
obtain an electronic copy of the
complete ICR by visiting the Web page
at https://www.reginfo.gov/public/do/
PRAMain and scrolling under
‘‘Currently Under Review’’ to
‘‘Department of Labor (DOL)’’ to view
all of the DOL’s ICRs, including those
ICRs submitted for proposed
rulemakings. To make inquiries, or to
request other information, contact Mr.
Todd Owen, Directorate of Standards
and Guidance, OSHA, Room N–3609,
U.S. Department of Labor, 200
Constitution Avenue NW., Washington,
DC 20210; telephone (202) 693–2222.
OSHA notes that a federal agency
cannot conduct or sponsor a collection
of information unless it is approved by
OMB under the PRA and displays a
currently valid OMB control number,
and the public is not required to
respond to a collection of information
unless the collection of information
displays a currently valid OMB control
number. Also, notwithstanding any
other provision of law, no person shall
be subject to penalty for failing to
comply with a collection of information
if the collection of information does not
display a currently valid OMB control
number.
List of Subjects in 29 CFR Part 1904
Health statistics, Occupational safety
and health, Safety, Reporting and
recordkeeping requirements, State
plans.
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Authority and Signature
This document was prepared under
the direction of David Michaels, Ph.D.,
MPH, Assistant Secretary of Labor for
Occupational Safety and Health, U.S.
Department of Labor. It is issued
pursuant to 29 U.S.C. 657, 673; 5 U.S.C.
553; and Secretary of Labor’s Order No.
1–2012 (77 FR 3912, January 25, 2012).
Signed at Washington, DC, on July 16,
2015.
David Michaels,
Assistant Secretary of Labor for Occupational
Safety and Health.
Accordingly, the Occupational Safety
and Health Administration proposes
that part 1904 of title 29 of the Code of
Federal Regulations be amended as
follows:
PART 1904—RECORDING AND
REPORTING OCCUPATIONAL
INJURIES AND ILLNESSES
1. Revise the authority citation for part
1904 to read as follows:
■
Authority: 29 U.S.C. 657, 658, 660, 666,
669, 673, Secretary of Labor’s Order No. 3–
2000 (65 FR 50017), or 1–2012 (77 FR 3912),
and 5 U.S.C. 553.
■
2. Revise § 1904.0 to read as follows:
§ 1904.0
Purpose.
The purpose of this rule (part 1904) is
to require employers to make and
maintain accurate records of and report
work-related fatalities, injuries, and
illnesses, and to make such records
available to the Government and to
employees and their representatives so
that they can be used to secure safe and
healthful working conditions. For
purposes of this part, accurate records
are records of each and every recordable
injury and illness that are made and
maintained in accordance with the
requirements of this part.
Note to § 1904.0: Recording or reporting a
work-related injury, illness, or fatality does
not mean that the employer or employee was
at fault, that an OSHA rule has been violated,
or that the employee is eligible for workers’
compensation or other benefits.
Subpart C—Making and Maintaining
Accurate Records, Recordkeeping
Forms, and Recording Criteria
3. Revise the heading of subpart C as
set forth above.
■ 4. In § 1904.4, revise paragraph (a)
introductory text and add a note to
§ 1904.4(a) to read as follows:
■
§ 1904.4
Recording criteria.
(a) Basic requirement. Each employer
required by this part to keep records of
fatalities, injuries, and illnesses must, in
accordance with the requirements of
E:\FR\FM\29JYP1.SGM
29JYP1
Federal Register / Vol. 80, No. 145 / Wednesday, July 29, 2015 / Proposed Rules
this part, make and maintain an
accurate record of each and every
fatality, injury, and illness that:
*
*
*
*
*
Note to § 1904.4(a): This obligation to make
and maintain an accurate record of each and
every recordable fatality, injury, and illness
continues throughout the entire record
retention period described in § 1904.33.
*
*
*
*
*
5. Revise § 1904.29(b)(3) to read as
follows:
Forms.
*
*
*
*
*
(b) * * *
(3) How quickly must each injury or
illness be recorded? You must enter
each and every recordable injury or
illness on the OSHA 300 Log and on a
301 Incident Report within seven (7)
calendar days of receiving information
that the recordable injury or illness
occurred. A failure to meet this deadline
does not extinguish your continuing
obligation to make a record of the injury
or illness and to maintain accurate
records of all recordable injuries and
illnesses in accordance with the
requirements of this part. This
obligation continues throughout the
entire record retention period described
in § 1904.33. See §§ 1904.4(a);
1904.32(a)(1); 1904.33(b)(1); and
1904.40(a).
*
*
*
*
*
■ 6. Revise the heading and paragraphs
(a) and (b)(1) of § 1904.32 to read as
follows:
mstockstill on DSK4VPTVN1PROD with PROPOSALS
§ 1904.32 Year-end review and annual
summary.
(a) Basic requirement. At the end of
each calendar year, you must:
(1) Review that year’s OSHA 300 Log
to verify that it contains accurate entries
for all recordable injuries and illnesses
that occurred during the year, and make
any additions or corrections necessary
to ensure its accuracy;
(2) Verify that each injury and illness
recorded on the 300 Log, including any
injuries and illnesses added to the Log
following your year-end review
pursuant to § 1904.32(a)(1), is accurately
recorded on a corresponding 301
Incident Report form;
(3) After you have verified the
accuracy of the Log, create an annual
summary of injuries and illnesses
recorded on the Log;
(4) Certify the summary; and
(5) Post the summary.
(b) * * *
(1) How extensively do I have to
review the OSHA 300 Log at the end of
the year? You must review the Log and
its entries as extensively as necessary to
VerDate Sep<11>2014
17:21 Jul 28, 2015
Jkt 235001
§ 1904.33 Retention and maintenance of
accurate records.
*
■
§ 1904.29
verify that all recordable injuries and
illnesses that occurred during the year
are entered and that the Log and its
entries are accurate.
*
*
*
*
*
■ 7. Revise the heading and paragraph
(b) of § 1904.33 to read as follows:
*
*
*
*
(b) Implementation—(1) Other than
the obligation identified in § 1904.32, do
I have further recording duties with
respect to the OSHA 300 Logs and 301
Incident Reports during the five-year
retention period? You must make the
following additions and corrections to
the OSHA Log and Incident Reports
during the five-year retention period:
(i) The OSHA Logs must contain
entries for all recordable injuries and
illnesses that occurred during the
calendar year to which each Log relates.
In addition, each and every recordable
injury and illness must be recorded on
an Incident Report. This means that if
a recordable case occurred and you
failed to record it on the Log for the year
in which the injury or illness occurred,
and/or on an Incident Report, you are
under a continuing obligation to record
the case on the Log and/or Incident
Report during the five-year retention
period for that Log and/or Incident
Report;
(ii) You must also make any additions
and corrections to the OSHA Log that
are necessary to accurately reflect any
changes that have occurred with respect
to previously recorded injuries and
illnesses. Thus, if the classification,
description, or outcome of a previously
recorded case changes, you must
remove or line out the original entry and
enter the new information; and
(iii) You must have an Incident Report
for each and every recordable injury and
illness; however, you are not required to
make additions or corrections to
Incident Reports during the five-year
retention period.
(2) Do I have to make additions or
corrections to the annual summary
during the five-year retention period?
You are not required to make additions
or corrections to the annual summaries
during the five-year retention period.
■ 8. Revise paragraphs (b)(2)
introductory text and (b)(2)(iii) of
§ 1904.35 to read as follows:
§ 1904.35
Employee involvement.
*
*
*
*
*
(b) * * *
(2) Do I have to give my employees
and their representatives access to the
OSHA injury and illness records? Yes,
your employees, former employees,
PO 00000
Frm 00031
Fmt 4702
Sfmt 4702
45131
their personal representatives, and their
authorized employee representatives
have the right to access accurate OSHA
injury and illness records, with some
limitations, as discussed below.
*
*
*
*
*
(iii) If an employee or representative
asks for access to the OSHA 300 Log,
when do I have to provide it? When an
employee, former employee, personal
representative, or authorized employee
representative asks for copies of your
current or stored OSHA 300 Log(s) for
an establishment the employee or
former employee has worked in, you
must give the requester a copy of the
relevant and accurate OSHA 300 Log(s)
by the end of the next business day.
*
*
*
*
*
Subpart E—Reporting Accurate
Fatality, Injury, and Illness Information
to the Government
9. Revise the heading of subpart E as
set forth above.
■ 10. Revise the heading and paragraph
(a) of § 1904.40 to read as follows:
■
§ 1904.40 Providing accurate records to
government representatives.
(a) Basic requirement. When an
authorized government representative
requests the records you keep under
part 1904, you must provide accurate
records, or copies thereof, within four
(4) business hours of the request.
*
*
*
*
*
[FR Doc. 2015–18003 Filed 7–28–15; 8:45 am]
BILLING CODE 4510–26–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 87 and 1068
[EPA–HQ–OAR–2014–0828; FRL–9931–43–
OAR]
RIN 2060–AS31
Proposed Finding That Greenhouse
Gas Emissions From Aircraft Cause or
Contribute to Air Pollution That May
Reasonably Be Anticipated To
Endanger Public Health and Welfare
and Advance Notice of Proposed
Rulemaking; Notice of Updates to
Public Hearing
Environmental Protection
Agency (EPA).
ACTION: Updates to public hearing.
AGENCY:
The Environmental Protection
Agency (EPA) published the Proposed
Finding that Greenhouse Gas Emissions
from Aircraft Cause or Contribute to Air
Pollution that May Reasonably Be
Anticipated to Endanger Public Health
SUMMARY:
E:\FR\FM\29JYP1.SGM
29JYP1
Agencies
[Federal Register Volume 80, Number 145 (Wednesday, July 29, 2015)]
[Proposed Rules]
[Pages 45116-45131]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2015-18003]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF LABOR
Occupational Safety and Health Administration
29 CFR part 1904
[Docket No. OSHA-2015-0006]
RIN 1218-AC84
Clarification of Employer's Continuing Obligation To Make and
Maintain an Accurate Record of Each Recordable Injury and Illness
AGENCY: Occupational Safety and Health Administration (OSHA), Labor.
ACTION: Notice of proposed rule.
-----------------------------------------------------------------------
SUMMARY: OSHA is proposing to amend its recordkeeping regulations to
clarify that the duty to make and maintain accurate records of work-
related injuries and illnesses is an ongoing obligation. The duty to
record an injury or illness continues for as long as the employer must
keep records of the recordable injury or illness; the duty does not
[[Page 45117]]
expire just because the employer fails to create the necessary records
when first required to do so. The proposed amendments consist of
revisions to the titles of some existing sections and subparts, and
changes to the text of some existing provisions. The proposed
amendments add no new compliance obligations; the proposal would not
require employers to make records of any injuries or illnesses for
which records are not currently required to be made.
DATES: Written comments to this proposed rule must be submitted
(postmarked, sent or received) by September 28, 2015. All submissions
must bear a postmark or provide other evidence of the submission date.
ADDRESSES: You may submit comments, identified by Docket No. OSHA-2015-
0006, by any of the following methods:
Electronically: You may submit comments and attachments
electronically at https://www.regulations.gov, which is the Federal e-
Rulemaking Portal. Follow the instructions on the Web site for making
electronic submissions.
Fax: If your submission, including attachments, does not exceed ten
pages, you may fax it to the OSHA Docket Office at (202) 693-1648. OSHA
does not require hard copies of documents transmitted by facsimile.
However, if you have supplemental attachments that are not delivered by
facsimile, you must submit those attachments, by the applicable
deadline, to the OSHA Docket Office, Technical Data Center, OSHA, U.S.
Department of Labor, 200 Constitution Avenue NW., Room N-2625,
Washington, DC 20210. Any such attachment must clearly identify the
sender's name, the date of submission, the title of the rulemaking
(Clarification of Employer's Continuing Obligation to Make and Maintain
an Accurate Record of Each Recordable Injury and Illness), and the
docket number (OSHA-2015-0006) so that the Docket Office can add the
attachment(s) to the appropriate facsimile submission.
Mail, express mail, hand delivery, messenger, or courier service:
You may submit comments to the OSHA Docket Office, Docket Number OSHA-
2015-0006, Technical Data Center, OSHA, U.S. Department of Labor, 200
Constitution Avenue NW., Room N-2625, Washington, DC 20210; telephone:
(202) 693-2350. (OSHA's TTY number is (877) 889-5627). Please contact
the OSHA Docket Office for information about Department of Labor
security procedures that could affect the delivery of materials by
express mail, hand delivery, and messenger or courier service. Also
note that security-related procedures may delay the Agency's receipt of
comments submitted by regular mail. The Docket Office will accept
deliveries by hand, express mail, or messenger and courier service
during the Docket Office's normal business hours, 8:15 a.m. to 4:45
p.m.
Instructions for submitting comments: All submissions must include
the Agency's name (OSHA), the title of the rulemaking (Clarification of
Employer's Continuing Obligation to Make and Maintain an Accurate
Record of Each Recordable Injury and Illness), and the docket number
(OSHA-2015-0006). OSHA will place comments and other material,
including any personal information you provide, in the public docket
without revision, and the comments and other materials will be
available online at https://www.regulations.gov. Therefore, OSHA
cautions you about submitting statements and information that you do
not want made available to the public or that contain personal
information (about yourself or others) such as Social Security numbers,
birthdates, and medical data. For further information on submitting
comments, plus additional information on the rulemaking process, see
the Public Participation heading in the SUPPLEMENTARY INFORMATION part
of this document.
Docket: To read or download comments or other material in the
docket, go to Docket Number OSHA-2015-0006 at https://www.regulations.gov or to the OSHA Docket Office at the address
provided previously. The electronic docket for this proposed rule,
established at https://www.regulations.gov, lists all of the documents
in the docket. However, some information (e.g., copyrighted material)
is not publicly available to read or download through that Web site.
All submissions, including copyrighted material, are available for
inspection at the OSHA Docket Office. Contact the OSHA Docket Office
for assistance in locating docket submissions.
FOR FURTHER INFORMATION CONTACT: General information and press
inquiries: Press inquiries: Mr. Frank Meilinger, Director, Office of
Communications, OSHA, U.S. Department of Labor, Room N-3647, 200
Constitution Avenue NW., Washington, DC 20210; telephone (202) 693-
1999; email meilinger.francis2@dol.gov.
Technical inquiries: Mr. William Perry, Directorate of Standards
and Guidance, OSHA, U.S. Department of Labor, Room N-3718, 200
Constitution Avenue NW., Washington, DC 20210; telephone (202) 693-
1950; email perry.bill@dol.gov.
Copies of this Federal Register notice and news releases:
Electronic copies of these documents are available at OSHA's Web page
at https://www.osha.gov.
SUPPLEMENTARY INFORMATION:
I. Table of Contents
I. Table of Contents
II. Background
A. The OSH Act and OSH Act Violations
B. The History and Importance of OSHA's Recordkeeping
Regulations
C. A Failure To Record a Recordable Illness or Injury is a
Continuing Violation
D. The D.C. Circuit's Decision in Volks II
E. Advisory Committee on Construction Safety and Health
III. Legal Authority
A. Overview
B. The OSH Act authorizes the Secretary To Impose a Continuing
Obligation on Employers To Make and Maintain Accurate Records of
Work-Related Injuries and Illnesses, and Incomplete or Otherwise
Inaccurate Records Create Ongoing, Citable Conditions
1. Section 8(c) of the Act Governs Employers' Recordkeeping
Obligations, and That Provision Imposes Continuing Obligations on
Employers To Make and Maintain Accurate Records of Work-Related
Illnesses and Injuries
2. The OSH Act's Statute of Limitations Does Not Define OSHA
Violations, or Address When Violations Occur, Nor Does the Language
in Section 9(c) Preclude Continuing Recordkeeping Violations
3. Incomplete or otherwise inaccurate records of work-related
illnesses and injuries create an ongoing condition detrimental to
full enforcement of the Act.
4. Interpreting the Duty to Record as a Continuing One Under the
Act's Civil, Remedial Scheme is Entirely Consistent With the General
Case Law
IV. Summary and Explanation of the Proposed Rule
A. Description of proposed revisions
1. Section 1904.0--Purpose
2. Subpart C--Making and Maintaining Accurate Records,
Recordkeeping Forms, and Recording Criteria
3. Paragraph (a) of Sec. 1904.4--Basic requirement
4. Note to paragraph (a) of Sec. 1904.4
5. Paragraph (b)(3) of Sec. 1904.29--How quickly must each
injury or illness be recorded?
6. Section 1904.32--Year-end review and annual summary
7. Paragraph (a) of Sec. 1904.32--Basic requirement
8. Paragraph (b)(1) of Sec. 1904.32--How extensively do I have
to review the OSHA 300 Log at the end of the year?
9. Section 1904.33--Retention and maintenance of accurate
records
10. Paragraph (b)(1) of Sec. 1904.33--Other than the obligation
identified in Sec. 1904.32, do I have further recording
[[Page 45118]]
duties with respect to OSHA 300 Logs and 301 Incident Reports during
the five-year retention period?
11. Paragraph (b)(2) of Sec. 1904.33--Do I have to make
additions or corrections to the annual summary during the five-year
retention period?
12. Paragraph (b)(3) of Sec. 1904.33
13. Paragraph (b)(2) of Sec. 1904.35--Do I have to give my
employees and their representatives access to the OSHA injury and
illness records?
14. Paragraph (b)(2)(iii) of Sec. 1904.35--If an employee or
representative asks for access to the OSHA 300 Log, when do I have
to provide it?
15. Subpart E--Reporting Accurate Fatality, Injury, and Illness
Information to the Government
16. Section 1904.40--Providing accurate records to government
representatives
17. Paragraph (a) of Sec. 1904.40--Basic requirement
V. State Plans
VI. Preliminary Economic Analysis
VII. Regulatory Flexibility Certification
VIII. Environmental Impact Assessment
IX. Federalism
X. Unfunded Mandates
XI. Consultation and Coordination With Indian Tribal Governments
XII. Public Participation
XIII. The Paperwork Reduction Act of 1995
II. Background
A. The OSH Act and OSH Act Violations
The Occupational Safety and Health Act of 1970 (OSH Act or Act)
arose out of a Congressional finding that personal injuries and
illnesses arising out of work situations impose a substantial burden
upon, and are a hindrance to, interstate commerce in terms of lost
production, wage loss, medical expenses, and disability compensation
payments. See 29 U.S.C. 651(a). Accordingly, the purpose of the statute
is to assure so far as possible every working man and woman in the
Nation safe and healthful working conditions. See 29 U.S.C. 651(b).
To effectuate the Act's purpose, Congress authorized the Secretary
of Labor to promulgate occupational safety and health standards (29
U.S.C. 655); a standard, as defined in the Act, requires conditions, or
the adoption or use of one or more practices, means, methods,
operations, or processes, reasonably necessary or appropriate to
provide safe or healthful employment and places of employment. See 29
U.S.C. 652(8). The Act also grants broad authority to the Secretary to
promulgate regulations related to recordkeeping, employer self-
inspections, and keeping employees informed of matters related to
occupational safety and health. 29 U.S.C. 657(c). OSHA issues citations
and assesses monetary penalties when it finds that employers are not
complying with applicable standards and regulations. 29 U.S.C. 658,
659, 666.
Section 9(c) of the OSH Act contains a statute of limitations
providing that no citation may be issued after the expiration of six
months following ``the occurrence of any violation.'' 29 U.S.C. 658(c).
Generally, OSH Act violations continue to occur for as long as
employees are exposed to the hazard posed by the non-compliant
workplace. See Sec'y of Labor v. Cent. of Georgia R.R. Co., 5 BNA OSHC
1209, 1211 (Rev. Comm'n 1977) (explaining that a violation occurs
``whenever . . . [a] standard is not complied with and an employee has
access to the resulting zone of danger''). Thus, employers have an
ongoing obligation to correct conditions that violate OSHA standards
and regulations, and under section 9(c), violations are subject to
citations and penalties for up to six months after the last instance of
employee exposure to the relevant hazard.
B. The History and Importance of OSHA's Recordkeeping Regulations
The OSH Act requires the Secretary of Labor to promulgate
regulations requiring employers to make and maintain accurate records
of work-related injuries and illnesses. 29 U.S.C. 657(c)(1) and (2),
673(a); see also 651(b)(12), 657(g)(2), 673(e). In 1971, the Secretary
(via OSHA) issued the first recordkeeping regulations at 29 CFR part
1904. The Agency promulgated revisions to these regulations in 2001 in
an effort to improve the quality of workplace injury and illness
records by making OSHA's recordkeeping system easier to use and
understand. See 66 FR 5916 (January 19, 2001).
OSHA's recordkeeping regulations require employers to record
information about certain injuries and illnesses occurring in their
workplaces, and to make that information available to employees, OSHA,
and the Bureau of Labor Statistics (BLS). Employers must record work-
related injuries and illnesses that meet one or more recording
criteria, including injuries and illnesses resulting in death, loss of
consciousness, days away from work, restricted work activity or job
transfer, medical treatment beyond first aid, or a diagnosis of a
significant injury or illness by a physician or other licensed health
care professional. 29 CFR 1904.7. Employers must document each
recordable injury or illness on an ``OSHA 300'' form, which is a log of
all work-related injuries and illnesses. 29 CFR 1904.29(a) through
(b)(1). Employers also must prepare a supplementary ``OSHA 301 Incident
Report'' or equivalent form for each recordable injury and illness; the
Incident Reports provide additional details about the injuries and
illnesses recorded in the 300 Log. 29 CFR 1904.29(b)(2).
At the end of each calendar year, employers must review their 300
Logs to verify that the entries are complete and accurate. 29 CFR
1904.32(a)(1). Employers also must correct any deficiencies identified
during the annual review. Id. By February 1 of each year, employers
must create, certify, and post annual summaries of the cases listed on
their 300 Logs for the prior calendar year. 29 CFR 1904.32(a)(2)
through (4) and (b)(6). Annual summaries must remain posted until April
30 each year. 29 CFR 1904.32(b)(6). Employers must retain their OSHA
Logs, Incident Reports, and annual summaries for five years following
the end of the calendar year that they cover. 29 CFR 1904.33(a). During
the retention period, employers must update their 300 Logs to include
newly discovered recordable cases and to show any changes in the
classification, description, or outcome of previously-recorded cases.
29 CFR 1904.33(b)(1). The regulations do not require employers to
update Incident Reports or annual summaries during the retention
period. 29 CFR 1904.33(b)(2) and (3).
Accurate injury and illness records serve several important
purposes. See 66 FR at 5916-17, January 19, 2001. One purpose is to
provide information to employers. The information in the OSHA-required
records makes employers more aware of the kinds of injuries and
illnesses occurring and the hazards that cause or contribute to them.
When employers analyze and review the information in their records,
they can identify and correct hazardous workplace conditions. Injury
and illness records are essential for employers to effectively manage
their safety and health programs; these records permit employers to
track injuries and illnesses over time so they can evaluate the
effectiveness of protective measures implemented in response to
identified hazards.
Similarly, employees--who have access to OSHA injury and illness
records throughout the five-year retention period (see 29 CFR
1904.35)--can use information about the occupational injuries and
illnesses occurring in their workplaces to become better informed
about, and more alert to, the hazards they face. Employees who are
aware of the hazards around them may be more likely to follow safe work
practices and to report workplace hazards to their employers. When
[[Page 45119]]
employees are aware of workplace hazards, and participate in the
identification and control of those hazards, the overall level of
safety and health in the workplace can improve.
OSHA also has access to employer injury and illness records during
the retention period (see 29 CFR 1904.40 and 1904.41), and these
records are an important source of information for the Agency and
enhance the Agency's enforcement efforts. During the initial stages of
an inspection, an OSHA representative reviews the employer's injury and
illness data so that the Agency can focus its inspection on the hazards
revealed by the records. In some years, OSHA has also surveyed a subset
of employers covered by the OSH Act for their injury and illness data,
and used that information to help identify the most dangerous types of
worksites and the most prevalent types of safety and health hazards.
Additionally, BLS uses data derived from employers' injury and
illness records to develop national statistics on workplace injuries
and illnesses. These statistics include information about the source,
nature, and type of the injuries and illnesses that are occurring in
the nation's workplaces. To obtain the data to develop national
statistics, BLS and participating State agencies conduct an annual
survey of employers in almost all sectors of private industry. BLS
makes the aggregate survey results available for research purposes and
for public information. This data provides information about the
incidence of workplace injuries and illnesses and the nature and
magnitude of workplace safety and health problems. Congress, OSHA, and
safety and health policymakers in Federal, State, and local governments
use BLS statistics to make decisions concerning safety and health
legislation, programs, and standards. And employers and employees can
use BLS statistics to compare the injury and illness data from their
workplaces with data from the nation as a whole.
C. A Failure To Record a Recordable Illness or Injury is a Continuing
Violation
A continuing violation exists when there is noncompliance with
``the text of . . . [a] pertinent law [that] imposes a continuing
obligation to act or refrain from acting.'' Earle v. Dist. of Columbia,
707 F.3d 299, 307 (D.C. Cir. 2012). Where there is an ongoing
obligation to act, each day the action is not taken results in a
continuing, ongoing violation. In other words, ``a new claim accrues
each day the violation is extant.'' Interamericas Inv., Ltd. v. Fed.
Reserve Sys., 111 F.3d 376, 382 (5th Cir. 1997). For example, in United
States v. Edelkind, 525 F.3d 388 (5th Cir. 2008), the Fifth Circuit
found that the crime of willfully failing to pay child support as
required by federal law was a continuing offense because ``each day's
acts . . . [brought] a renewed threat of the substantive evil Congress
sought to prevent.'' Id. at 394-95 (internal quotation marks and
citations omitted). And in Postow v. OBA Federal Savings & Loan
Association, 627 F.2d 1370 (D.C. Cir. 1980), the D.C. Circuit held that
a lender's failure to provide required disclosures to borrowers was a
continuing violation of the Truth-in-Lending Act because the violation
subverted the goals of the statute every day the borrowers did not have
the information. Id. at 1379-80. See, also, e.g., United States v.
Bailey, 444 U.S. 394, 413 (1980) (escape from federal custody is a
continuing offense in light of ``the continuing threat to society posed
by an escaped prisoner''); United States v. George, 625 F.3d 1124 (9th
Cir. 2010) (failure to comply with statute requiring registration as a
sex offender is a continuing offense), vacated on other grounds, 672
F.3d 1126 (9th Cir. 2012); United States v. Franklin, 188 F.2d 182 (7th
Cir. 1951) (Alien Registration Act imposes ongoing registration
obligation; failure to register is a continuing violation).
Recordkeeping violations under the OSH Act are likewise continuing
violations. OSHA's longstanding position is that an employer's duty to
record an injury or illness continues for the full duration of the
record-retention-and-access period, i.e., for five years after the end
of the calendar year in which the injury or illness became recordable.
This means that if an employer initially fails to record a recordable
injury or illness, the employer still has an ongoing duty to record
that case; the recording obligation does not expire simply because the
employer failed to record the case when it was first required to do so.
As long as an employer fails to comply with its ongoing duty to record
an injury or illness, there is an ongoing violation of OSHA's
recordkeeping requirements that continues to occur every day employees
work at the site. Therefore, OSHA can cite employers for such
recordkeeping violations for up to six months after the five-year
retention period expires without running afoul of the OSH Act's statute
of limitations.\1\
---------------------------------------------------------------------------
\1\ Of course, OSHA may not issue a citation more than six
months after the employer corrects the violation. See, e.g., Sec'y
of Labor v. Manganas Painting Co., 21 BNA OSHC 2043, 2048 (Rev.
Comm'n 2007) (citation was time-barred where the employer abated the
violation more than six months prior to the issuance date).
---------------------------------------------------------------------------
The Occupational Safety and Health Review Commission has upheld
OSHA's position on the continuing nature of recordkeeping violations.
See, e.g., Sec'y of Labor v. Gen. Dynamics, 15 BNA OSHC 2122 (Rev.
Comm'n 1993) (recordkeeping violations ``occur'' at any point during
the retention period when records are inaccurate, so citations for
those violations are not barred simply because they are issued more
than six months after the obligation to record first arose); Sec'y of
Labor v. Johnson Controls, Inc., 15 BNA OSHC 2132 (Rev. Comm'n 1993)
(recordkeeping violations continue until correction or expiration of
the retention period). The Commission addressed this issue most
recently in Secretary of Labor v. AKM LLC (Volks I), 23 BNA OSHC 1414
(Rev. Comm'n 2011), confirming that an employer's failure to make a
required OSHA record is a continuing violation, and that an uncorrected
violation continues until the employer is no longer required to keep
OSHA records for the year at issue.
D. The D.C. Circuit's Decision in Volks II
A panel of the D.C. Circuit reviewed the Commission's Volks I
decision, and on April 6, 2012, issued a decision--Volks II--reversing
the Commission. AKM LLC v. Sec'y of Labor (Volks II), 675 F.3d 752
(D.C. Cir. 2012). The majority opinion in Volks II disagreed with the
Commission and held that ``the . . . language in [the OSH Act] . . .
which deals with record-keeping is not authorization for OSHA to cite
the employer for a record-making violation more than six months after
the recording failure.'' Id. at 758. According to the majority opinion,
OSHA must cite an employer for failing to record an injury or illness
within six months of the first day on which the regulations require the
recording; a citation issued later than that is barred by the OSH Act's
statute of limitations. Id. at 753-59.
In a separate concurring opinion in Volks II, Judge Garland
recognized that the OSH Act allows for continuing violations of
recordkeeping requirements. He concluded, however, that the specific
language in OSHA's existing recordkeeping regulations does not
implement this statutory authority and does not create continuing
recordkeeping obligations. Id. at 759-64. No other appellate court has
ruled on these issues.
[[Page 45120]]
The Volks II decision has led to a need for OSHA to clarify
employers' obligations under its recordkeeping regulations and to
elaborate on its understanding of the statutory basis for those
obligations. The Agency is proposing changes to its recordkeeping
regulations to clarify that the duty to make and maintain an accurate
record of a work-related illness or injury is an ongoing obligation
that continues until the required record is made or until the end of
the record-retention-and-access period prescribed by the regulations.
To that end, OSHA is proposing revisions to the titles of some existing
sections and subparts in part 1904, and changes to the text of some
existing recordkeeping requirements. The Agency describes the proposed
changes in SUPPLEMENTARY INFORMATION, Section IV, later in this notice.
E. Advisory Committee on Construction Safety and Health
OSHA consulted with the Advisory Committee on Construction Safety
and Health (ACCSH) on this rulemaking. The Agency provided ACCSH with a
summary and explanation of this proposal and a statement regarding the
need for the proposed revisions to 29 CFR part 1904. On December 4,
2014, ACCSH voted to recommend that OSHA proceed with this proposal.
III. Legal Authority
A. Overview
As explained previously, in SUPPLEMENTARY INFORMATION, Section
II.A, the OSH Act authorizes the Secretary of Labor to issue
``standards'' and other ``regulations.'' See, e.g., 29 U.S.C. 655, 657.
An occupational safety and health standard, issued pursuant to section
6 of the Act, prescribes measures to be taken to remedy an identified
occupational hazard. Other regulations, issued pursuant to general
rulemaking authority found, inter alia, in section 8 of the Act,
establish enforcement or detection procedures designed to further the
goals of the Act generally. 29 U.S.C. 657(c); Workplace Health and
Safety Council v. Reich, 56 F. 3d 1465, 1468 (D.C. Cir. 1995). The
proposed amendments are to a regulation issued pursuant to authority
expressly granted by sections 8 and 24 of the Act. 29 U.S.C. 657, 673.
They simply clarify existing duties under part 1904, and do not impose
any new substantive recordkeeping requirements. Numerous provisions of
the OSH Act both underscore Congress' acknowledgement that accurate
injury and illness records are a critical component of the national
occupational safety and health program and give the Secretary broad
authority to enact recordkeeping regulations that create a continuing
obligation for employers to make and maintain accurate records of work-
related illnesses and injuries. Section 2(b)(12) of the Act states that
one of the purposes of the OSH Act is to assure, so far as possible,
safe and healthful working conditions by providing for appropriate
reporting procedures that will help achieve the objectives of the Act
and ``accurately describe'' the nature of the occupational safety and
health problem. See 29 U.S.C. 651(b)(12). Section 8(c)(1) requires each
employer to ``make, keep and preserve'' and ``make available'' to the
Secretary such records prescribed by regulation as necessary or
appropriate for the enforcement of the Act or for developing
information regarding the causes and prevention of occupational
accidents and illnesses. See 29 U.S.C. 657(c)(1). Section 8(c)(2)
requires the Secretary to prescribe regulations requiring employers to
``maintain accurate records'' of, and to make periodic reports on,
work-related deaths, injuries and illnesses. See 29 U.S.C. 657(c)(2).
Section 8(g)(2) of the Act generally empowers the Secretary to
prescribe such rules and regulations as he may deem necessary to carry
out his responsibilities under the Act. See 29 U.S.C. 657(g)(2).
Section 24(a) requires the Secretary to develop and maintain an
effective program of collection, compilation and analysis of
occupational safety and health statistics and to compile accurate
statistics on work injuries and illnesses. See 29 U.S.C. 673(a).
Section 24(e) provides that on the basis of the records made and kept
pursuant to section 8(c) of the Act, employers must file such reports
with the Secretary that the Secretary prescribes by regulation as
necessary to carry out his functions under the Act. See 29 U.S.C.
673(e). Some of these provisions will be addressed more thoroughly in
SUPPLEMENTARY INFORMATION, Section III.B, later in this notice.
B. The OSH Act Authorizes the Secretary To Impose a Continuing
Obligation on Employers To Make and Maintain Accurate Records of Work-
Related Injuries and Illnesses, and Incomplete or Otherwise Inaccurate
Records Create Ongoing, Citable Conditions
1. Section 8(c) of the Act Governs Employers' Recordkeeping
Obligations, and That Provision Imposes Continuing Obligations on
Employers To Make and Maintain Accurate Records of Work-Related
Illnesses and Injuries
``Whether [an] . . . obligation is continuing is a question of
statutory construction,'' Earle, 707 F.3d at 307. The express language
of the OSH Act readily supports a continuing violation theory in
recordkeeping cases. And, section 8(c) grants the Secretary broad
authority to issue requirements he considers ``necessary or
appropriate,'' including recordkeeping regulations that provide that an
employer's duty to make records of injuries and illnesses is an ongoing
obligation. 29 U.S.C. 657(c).
Section 8(c)(2) requires the Secretary to prescribe regulations
requiring employers to ``maintain accurate records'' of work-related
deaths, injuries and illnesses. See 29 U.S.C. 657(c)(2) (emphasis
added). And section 8(c)(1) requires employers to ``make, keep and
preserve'' and to ``make available'' records that the Secretary
identifies as necessary or appropriate for the enforcement of the Act
or for developing information regarding the causes and prevention of
occupational accidents and illnesses. See 29 U.S.C. 657(c)(1) (emphasis
added). The language Congress used in these provisions therefore
authorizes the Secretary to require employers to have on hand and make
available records that accurately reflect all of the recordable
injuries and illnesses that occurred during the years for which the
Agency requires the keeping of records. And this statutory language
also is inconsistent with any suggestion that Congress intended the
duty to record an injury or illness to be a discrete obligation that
expires if the employer fails to comply on the first day the Agency's
regulations require recording.
Moreover, the words ``accurate'' and ``maintain'' in section
8(c)(2) of the Act connote a continued course of conduct that includes
an ongoing obligation to create records. The word ``maintain'' means to
``[c]ause or enable (a condition or state of affairs) to continue,'' an
example being when one works to ensure that something stays ``in good
condition or in working order by checking or repairing it regularly.''
[[Page 45121]]
https://www.oxforddictionaries.com/us/definition/american_english/maintain?searchDictCode=all. ``Maintain'' is also synonymous with
``keep.'' https://thesaurus.com/browse/maintain. In ordinary speech, an
instruction to ``keep records'' of something requires both creating and
preserving the records, and may include organizing and managing them as
well. Therefore, ``maintain'' plainly implies an ongoing action. See,
e.g., Carey v. Shiley, Inc., 32 F.Supp.2d 1093, 1103 (S.D. Iowa 1998)
(``continuing duty to maintain records for'' the Food and Drug
Administration). And ``accurate'' means ``conforming exactly to
truth,'' and is synonymous with ``exact.'' https://www.meriam-webster.com/dictionary/accurate. See also, e.g., Huntington Sec. Corp.
v. Busey, 112 F.2d 368, 370 (6th Cir. 1940) (noting that the term ``
`accurately' . . . in its ordinary use[ ] means precisely, exactly
correctly, without error or defect''). Therefore, the OSH Act's call
for regulations requiring employers to ``maintain accurate [injury and
illness] records'' is a mandate for the Secretary to impose an ongoing
or continuing duty on employers to have (or keep) true or exact
documentation of recordable incidents. An employer cannot be said to
have (or to be keeping or maintaining) accurate (or true or exact)
records of injuries and illnesses for a particular calendar year if
there are recordable injuries or illnesses that occurred during that
year that are missing from those records. Put simply, the Secretary
cannot fulfill the statutory obligation of ensuring that employers
``maintain'' (or keep) ``accurate records'' without imposing on
employers an ongoing duty to create records for injuries and illnesses
in the first place; a duty to make and maintain accurate records
inherently implies an ongoing obligation to create the records that
must be maintained.
The Fourth Circuit recognized as much in Sierra Club v. Simkins
Industries, 847 F.2d 1109, 1115 (4th Cir. 1988), a Clean Water Act
case, when it refused to allow a company to defend against its failure
to file and retain water sampling records on the grounds that it never
collected the data it needed to create the records in the first place.
The court ruled that an ongoing duty to maintain records implies a
corresponding, and continuing, duty to have those records, explaining
that it would not allow the company ``to escape liability . . . by
failing at the outset to sample and to create and retain the necessary
. . . records.'' Id. See also, e.g., Big Bear Super Mkt. No. 3 v. INS,
913 F.2d 754, 757 (9th Cir. 1990) (per curiam) (statutory and
regulatory scheme described by the court as requiring companies to
``maintain'' documents is interpreted to impose a ``continuing duty''
on those companies ``to prepare and make'' the documents in the first
instance); Park v. Comm'r of Internal Revenue, 136 T.C. 569, 574 (U.S.
Tax Ct. 2011) (noting that a party that did not create required records
thereby failed to ``keep'' those records), rev'd and remanded on other
grounds, 722 F.3d 384 (D.C. Cir. 2013).
The ``make, keep, and preserve'' and ``make available'' language in
section 8(c)(1) similarly envisions a continuing duty to record and
provides additional support for the Agency's interpretation of the
``maintain accurate records'' language in section 8(c)(2). The
corresponding authorization to the Secretary to prescribe such
recordkeeping regulations as he considers ``necessary or appropriate''
emphasizes the breadth of the Secretary's discretion in implementing
the statute. As mentioned previously, ``keep'' is a synonym for
``maintain,'' and both words imply a continued course of conduct, as of
course does ``preserve.'' \2\ See e.g., Powerstein v. Comm'r of
Internal Revenue, T.C. Memo 2011-271, 2011 WL 5572600, at *13 (U.S. Tax
Ct. Nov. 16, 2011) (interpreting statutory and regulatory requirements
to ``keep'' tax records to mean that taxpayers must ``maintain'' such
records); Freedman v. Comm'r of Internal Revenue, T.C. Memo 2010-155,
2010 WL 2942167, at *1 (U.S. Tax Ct. July 21, 2010) (same).
---------------------------------------------------------------------------
\2\ The legislative history of the OSH Act shows that Congress
used ``keep'' and ``maintain'' synonymously. In a Senate Report,
Congress described section 8(c)(2)--which talks about
``maintaining'' records--as ``requiring employers to keep records of
all work-related injuries and diseases.'' S. Rep. No. 91-1282, at 31
(1970), reprinted in Subcomm. on Labor of the Comm. on Labor and
Public Welfare, Legislative History of the Occupational Safety and
Health Act of 1970, at 171 (1971) (emphasis added).
---------------------------------------------------------------------------
The fact that Congress included the word ``make'' in a phrase with
two other terms that both call for a continuing action suggests that
``make'' was also intended to signify a continuing course of conduct in
the recordkeeping context. The most reasonable reading of section
8(c)(1), particularly in light of the ``maintain accurate records''
language in section 8(c)(2), is that the phrase ``make, keep, and
preserve'' authorizes one continuous recordkeeping requirement that
includes both the creation and the keeping of records. See, e.g., Davis
v. Michigan Dep't of Treasury, 489 U.S. 803, 809 (1989) (noting a
``fundamental canon of statutory construction that the words of a
statute must be read in their context and with a view to their place in
the overall statutory scheme'').
Thus, the Secretary does not believe that section 8(c) authorizes
two and only two discrete duties: A duty to create a record that can
arise at only one moment in time, and a duty to preserve that record,
if it should be created. Such a view would be inconsistent with the
most relevant provision of the Act, section 8(c)(2), which is the
provision that specifically addresses the Secretary's authority to
prescribe regulations for injury and illness recordkeeping, i.e., to
prescribe regulations that require employers to ``maintain accurate
records'' of workplace illnesses and injuries. Nothing about the
Congressional direction to ``maintain accurate records'' is naturally
read as creating two entirely discrete obligations, or as conveying
Congressional intent to limit the duty to make a required record to a
single point in time. Records that omit work-related injuries and
illnesses are not accurate, and no purpose is served by maintaining
inaccurate records. Instead, Congress intended employees, and the
Secretary, to have access to accurate information about injuries and
illnesses occurring in workplaces.
The requirement in section 8(c)(1) that employers ``make
available'' such records as the Secretary prescribes regarding
accidents and illnesses further illustrates that section 9(c)'s statute
of limitations does not limit the Secretary to acquiring only six
months of injury and illness data. A regulation requiring employers, if
requested, to make available accurate records showing injuries and
illness that have occurred within the past few years is on its face
well within the OSH Act's grant of authority. Nothing in the statutory
language suggests that the Secretary can only require employers to
provide information regarding work-related injuries and illnesses that
have occurred within the past six months. Such a limitation would
cripple the Agency's ability to gather complete information and to
improve understanding of safety and health issues, contrary to
Congressional intent. Furthermore, the duty to make accurate multi-year
records available upon request arises when the request is made, and the
statute of limitations therefore does not begin to run until the
request is made and the employer fails to comply.\3\
---------------------------------------------------------------------------
\3\ This does not mean that the Secretary's authority is
unconstrained. Under section 8(c)(1), the records the Secretary
requires must be ``necessary or appropriate'' to enforcement of the
Act or to gathering information regarding the causes or prevention
of occupational accidents or illnesses. 29 U.S.C. 657(c)(1). Under
section 8(d), the Secretary must obtain information with a minimum
burden on employers, especially small businesses, and reduce
unnecessary duplication to the maximum extent feasible. 29 U.S.C.
657(d). Moreover, under the Paperwork Reduction Act, the Secretary
and the Office of Management and Budget must determine that a
recordkeeping requirement will have practical utility and will not
be unduly burdensome. 44 U.S.C. 3506(c)(3).
---------------------------------------------------------------------------
[[Page 45122]]
It therefore follows that section 8(c) of the Act authorizes the
Secretary to enact regulations that impose a continuing obligation on
employers to make and maintain accurate records of work-related
illnesses and injuries. Not only are such recordkeeping regulations
expressly called for by the language of section 8(c), but they are also
consistent with Congressional intent and the purpose of the OSH Act.
The Supreme Court recognizes a ``familiar canon of statutory
construction that remedial legislation should be construed broadly to
effectuate its purposes.'' Tcherepnin v. Knight, 389 U.S. 332, 336
(1967). And reading the statute in light of its protective purposes
further supports the Secretary's interpretation that the Act calls for
treating the duty to record injuries and illnesses as a continuing
obligation. See, e.g., United States v. Advance Mach. Co., 547 F.Supp.
1085, 1090-91 (D.Minn. 1982) (requirement in Consumer Product Safety
Act to ``immediately inform'' the government of product defects is read
as creating a continuing obligation to report because any other reading
would frustrate the statute's goal of protecting the public from
hazards).
Finally, the legislative history of the OSH Act also demonstrates
that Congress wanted employers to have accurate injury and illness
records both for the purpose of making workplaces safer and healthier,
and for the purpose of allowing the Agency to study the nation's
occupational safety and health problems. As the House Committee on
Education and Labor noted, before passage of the OSH Act it was
impossible to know the extent of national occupational safety and
health issues due to variability in state reporting measures; thus,
Congress viewed it as an ``evident Federal responsibility'' to provide
for ``[a]ccurate, uniform reporting standards.'' H.R. Rep. No. 91-1291,
at 15 (1970), reprinted in Subcomm. on Labor of the Comm. on Labor and
Public Welfare, Legislative History of the Occupational Safety and
Health Act of 1970, at 845 (1971). See also 29 U.S.C. 673(a) (``The
Secretary shall compile accurate statistics on work injuries and
illnesses . . . .''); Sec'y of Labor v. Gen. Motors Corp., 8 BNA OSHC
2036, 2039 (Rev. Comm'n 1980) (``Examination of the legislative history
of [sections 8(c)(1) and 8(c)(2)] . . . shows a clear congressional
intent that th[e] reporting requirement be interpreted broadly in order
to develop information for future scientific use.'').
2. The OSH Act's Statute of limitations Does Not Define OSHA
Violations, or Address When Violations Occur, Nor Does the Language in
Section 9(c) Preclude Continuing Recordkeeping Violations
As explained previously, it is section 8(c) of the OSH Act that
determines the nature and scope of employers' recordkeeping
obligations. The statute of limitations in section 9(c) deals only with
the question of when OSHA can cite a violation; it says nothing about
what constitutes a violation, or when a violation occurs. A violation
is a breach of a duty, and the question of what duties the Secretary
may prescribe must logically be dealt with prior to addressing the
statute of limitations. Section 9(c) cannot be read as prohibiting the
Secretary from imposing continuing recordkeeping obligations on
employers covered by the OSH Act, when the text and legislative history
of the Act show that section 8(c) authorizes the Secretary to create
such obligations. Thus, the OSH Act's statute of limitations simply
sets the period within which legal action must be taken after the
obligation ceases to continue or the employer comes into compliance.
See, e.g., Inst. For Wildlife Prot. v. United States Fish & Wildlife
Serv., No. 07-CV-358-PK, 2007 WL 4117978, at *6 (D.Or. Nov. 16, 2007)
(declining to apply applicable statute of limitations to ``nullify . .
. [the government's] ongoing duty to designate critical habitat'' for
an endangered species ``and . . . insulate the agency from challenges
to any continued inaction'').
In any event, ``statutes of limitation in the civil context are to
be strictly construed in favor of the Government against repose,''
Interamericas, 111 F.3d at 382 (citing Badaracco v. Comm'r of Internal
Revenue, 464 U.S. 386 (1984) and E.I. Dupont De Nemours & Co. v. Davis,
264 U.S. 456 (1924)), and nothing in section 9(c) precludes continuing
violations in recordkeeping cases. To the contrary, the language in
section 9(c) is very broad, providing only that ``[n]o citation may be
issued . . . after the expiration of six months following the
occurrence of any violation.'' 29 U.S.C. 658(c). The ``occurrence'' of
something is not necessarily a discrete event; it can encompass actions
or events that continue over time. For example, one dictionary defines
``occurrence'' as ``the existence or presence of something.'' https://dictionary.cambridge.org/dictionary/american-english/occurrence_2. See
also, e.g., PECO Energy Co. v. Boden, 64 F.3d 852, 856-57 (3d Cir.
1995) (scheme of repeated thefts over the span of six years constituted
a single ``occurrence'' such that only one insurance deductible applied
to the resulting loss). Similarly, the term ``occurrence of any
violation'' in section 9(c) does not mean that an OSHA violation is
necessarily a discrete event that takes place at one, and only one,
point in time.
Had Congress wanted the statute of limitations to run from the time
a violation first occurred, it could have used language so stating.
Indeed, Congress has used language more readily susceptible to that
interpretation in other statutes. See, e.g., the Multiemployer Pension
Plans Amendments Act, 29 U.S.C. 1451(f)(1) (statute of limitations runs
from ``the date on which the cause of action arose''); the Federal
Employers' Liability Act, 45 U.S.C. 56 (statute of limitations runs
from ``the day the cause of action accrued''); the general statute of
limitations governing civil actions against the United States, 28
U.S.C. 2401(a) (claims barred unless ``filed within six years after the
right of action first accrues'').
Neither OSHA nor the Commission has ever treated section 9(c) as
precluding continuing violations. Indeed, continuing violations are
common in the OSHA context, with the Commission taking the position
that violations of OSHA requirements, including recordkeeping
violations, generally continue as long as employees are exposed to the
non-complying conditions. See, e.g., Sec'y of Labor v. Arcadian Corp.,
20 BNA OSHC 2001 (Rev. Comm'n 2004) (violation of the OSH Act's general
duty clause stemming from the unsafe operation of a urea reactor);
Johnson Controls, 15 BNA OSHC 2132 (recordkeeping); Sec'y of Labor v.
Safeway Store No. 914, 16 BNA OSHC 1504 (Rev. Comm'n 1993) (hazard
communication program and material safety data sheets); Sec'y of Labor
v. Yelvington Welding Serv., 6 BNA OSHC 2013 (Rev. Comm'n 1978)
(fatality reporting); Cent. of Georgia R.R., 5 BNA OSHC 1209
(housekeeping). Indeed, the Volks II panel also acknowledged that the
duties to preserve records, to train employees, and to correct unsafe
machines may continue. 675 F.3d 756, at 758. The OSH Act simply would
not achieve Congress' fundamental objectives if basic employer
obligations were not continuing.
[[Page 45123]]
These cases reflect fundamental OSH Act principles. Safety and
health standards are rules that require, inter alia, ``conditions.'' 29
U.S.C. 652(8). The absence of a required condition violates the
standard. It does not matter when the absence first arose or how long
it has persisted. If a condition is required and is not present (e.g.,
a machine is not guarded or a hazardous materials container is not
labeled), a violation occurs and a citation requiring abatement may be
issued within six months of the observed noncompliance. This
construction follows from the language of the Act and is essential to
the Secretary's ability to enforce compliance. Accordingly, continuing
obligations and violations are a regular occurrence under the OSH Act.
Nothing in section 9(c), which applies equally to standards and
recordkeeping violations, bars them.
In addition, continuing violations have been found to exist under
other laws with statutes of limitations that contain language similar
to that in section 9(c) of the OSH Act. For example, in National
Railroad Passenger Corporation v. Morgan, 536 U.S. 101 (2002), the
Supreme Court addressed the statute of limitations in Title VII of the
Civil Rights Act of 1964, which precludes the filing of claims a
certain number of days after the alleged unlawful employment practice
``occurred.'' See 42 U.S.C. 2000e-5(e)(1). The Court concluded that the
statute authorized application of a continuing violations doctrine in
hostile work environment cases, holding that in such cases, an unlawful
employment action can ``occur'' over a series of days or even years.
Morgan, 536 U.S. at 116-20. Similarly, in Havens Realty Corporation v.
Coleman, 455 U.S. 363 (1982), the Supreme Court found continuing
violations of the Fair Housing Act, which at the time required the
commencement of civil actions within 180 days ``after the alleged
discriminatory housing practice occurred.'' And in Postow, 627 F.2d
1370, the D.C. Circuit found a continuing violation of the Truth-in-
Lending Act, which, at 15 U.S.C. 1640(e), provides that actions must be
brought within one year from the date of the ``occurrence'' of the
violation. The language of section 9(c) of the OSH Act is at least
equally receptive to continuing violations, since it allows citation
within six months of ``the occurrence of any violation.''
``Occurrence'' of ``any'' violation is open-ended language that does
not suggest that a violation can exist at only one moment of time.
Notably, even the Volks II panel appeared to recognize that the
word ``occurrence'' does not necessarily have a single fixed meaning,
stating that ``[o]f course, where . . . a company continues to subject
its employees to unsafe machines . . . or continues to send its
employees into dangerous situations without appropriate training . . .
OSHA may be able to toll the statute of limitations on a continuing
violations theory since the dangers created by the violations
persist.'' 675 F.3d at 758. The court also stated that a violation of
the record-retention requirement--through the loss or destruction of a
previously-created record--is a violation that continues from the time
of the loss or destruction until the conclusion of the five-year
retention period. Id. at 756.
Moreover, continuing violations have been found even under statutes
of limitations that contain language that is arguably less receptive to
continuing violations than section 9(c); courts implicitly recognize
that the underlying legal requirement, not the statute of limitations,
determines whether there is a continuing legal obligation. For example,
courts have found continuing violations of various laws that are
governed by the general five-year statute of limitations for criminal
cases in 18 U.S.C. 3282(a), which requires initiation of an action
``within five years . . . after . . . [the] offense shall have been
committed.'' See, e.g., United States v. Bell, 598 F.3d 366, 368-69
(7th Cir. 2010) (continuing violation of child support payment
requirements), overruled on other grounds, United States v. Vizcarra,
668 F.3d 516 (7th Cir. 2012); Edelkind, 525 F.3d 388 (same); United
States v. Are, 498 F.3d 460 (7th Cir. 2007) (crime of being found in
the United States after deportation is a continuing violation).
The D.C. Circuit has suggested that suits alleging a continuing
failure to act are permissible even under the general statute of
limitations governing civil actions against the United States (28
U.S.C. 2401(a)), which provides that claims are barred unless ``filed
within six years after the right of action first accrues.'' Wilderness
Soc'y v. Norton, 434 F.3d 584 (D.C. Cir. 2006). In Wilderness Society,
the court intimated, but did not decide, that an agency's failure to
act in accordance with a statutory deadline for action was a continuing
violation, such that a lawsuit to compel agency action would not be
time barred just because it was filed more than six years after the
agency first missed the statutory deadline. The court explained that
because the suit `` `does not complain about what the agency has done
but rather about what the agency has yet to do,' '' it likely would not
be time-barred. Id. at 589 (quoting In re United Mine Workers of
America Int'l Union, 190 F.3d 545, 549 (D.C. Cir. 1999)). See also,
e.g., Padres Hacia Una Vida Mejor v. Jackson, No. 1:11-CV-1094 AWI DLB,
2012 WL 1158753 (E.D. Cal. April 6, 2012) (28 U.S.C. 2401(a) did not
bar a claim based on EPA's ongoing failure to act on complaints of
discrimination within regulatory deadlines). And the Fifth Circuit
found continuing violations of the Bank Holding Company Act in a case
governed by the general statute of limitations in 28 U.S.C. 2462, which
requires actions to enforce civil fines, penalties, or forfeitures to
be ``commenced within five years from the date when the claim first
accrued.'' Interamericas, 111 F.3d 376. See also, e.g., Newell
Recycling Co. v. EPA, 231 F.3d 204 (5th Cir. 2000) (finding a
continuing violation of disposal requirements for polychlorinated
biphenyls under the Toxic Substances Control Act in a case involving
the general statute of limitations at 28 U.S.C. 2462); Advance Mach
Co., 547 F.Supp. 1085 (finding a continuing violation of the Consumer
Product Safety Act in a case governed by 28 U.S.C. 2462); \4\ cf.
Capital Tel. Co v. FCC, 777 F.2d 868, 871 (2d Cir. 1985) (per curiam)
(deferring to FCC determination that company's ``actions constituted a
`continuing violation' '' despite an applicable statute of limitations
(47 U.S.C. 415(b)) requiring the filing of complaints ``within two
years from the time the cause of action accrues'').
---------------------------------------------------------------------------
\4\ In Gabelli v. SEC, 133 S.Ct. 1216 (2013)--a case involving a
civil enforcement action under the Investment Advisers Act--the
Supreme Court held that the five-year statute of limitations in 28
U.S.C. 2462 ran from the date a fraud was complete, not from the
date the government discovered the fraud. Gabelli does not, however,
stand for the proposition that the language in 28 U.S.C. 2462
precludes application of a continuing violation theory. In Gabelli,
the government agreed that the alleged illegal activity ended more
than five years prior to the filing of the complaint, so there was
no issue about the duration of the violative conduct.
---------------------------------------------------------------------------
Finally, concerns about stale claims have little bearing on OSHA
recordkeeping cases. The Agency recognizes that statutes of limitations
are designed to ``keep stale claims out of the courts.'' Havens Realty,
455 U.S. at 380. They protect parties from having to defend against
stale claims and ensure that courts are not faced with ``adjudicat[ing]
claims that because of their staleness may be impossible to resolve
with even minimum accuracy.'' Stephan v. Goldinger, 325 F.3d 874, 876
(7th Cir. 2003). Claims generally are considered stale when so much
time has passed that relevant evidence has been
[[Page 45124]]
lost and witnesses are no longer available or do not have reliable
memories of the relevant occurrence. Id. But ``[w]here the challenged
violation is a continuing one, the staleness concern disappears.''
Havens Realty, 455 U.S. at 380. And nothing about continuing violations
in the context of OSHA recordkeeping violations undermines this general
principle.
In the vast majority of OSHA cases stemming from an employer's
failure to record an injury or illness, the issues will be very
straightforward. The first question will be whether a work-related
injury or illness occurred that required more than a minimum level of
treatment. And the second question will be whether the employer
recorded the injury or illness as required by the OSHA regulations. The
availability of evidence and witnesses should not be a problem on
either question--especially given that even under a continuing
violation theory, OSHA must cite the recordkeeping violation within six
months after the end of the five-year retention period for injury and
illness records.
One can ordinarily ascertain whether an injury or illness occurred,
and what treatment was necessary, by looking at medical reports,
workers' compensation documents, and other relevant records, even if
the affected employee or other witnesses are no longer available. In
fact, OSHA's Recordkeeping Policies and Procedure Manual, CPL 02-00-135
(Dec. 30, 2004), directs compliance officers to review medical records
to determine whether an employer has failed to enter recordable
injuries and illnesses on the OSHA forms. And with respect to whether
the employer recorded the injury or illness, the only evidence the
parties and the court will need are the employer's OSHA Log and
Incident Report Forms, which existing regulations require employers to
maintain for five years. Furthermore, given that OSHA ultimately bears
the burden of proving that an injury or illness occurred and the
employer did not record it, the absence of documents and witnesses
generally will be more prejudicial to OSHA's case than to the
employer's defense. And, any limited staleness concerns that exist are
outweighed by the fact that ongoing recordkeeping requirements are
essential to fulfilling the purposes of the OSH Act. See generally
Connecticut Light & Power Co. v. Sec'y of Labor, 85 F.3d 89, 96 (2d
Cir. 1996) (``Consideration of limitations periods requires a fair and
reasonable weighing of the conflicting concerns of the remedial intent
of the [statute] . . . and the desire to keep stale claims out of the
courts.'').
3. Incomplete or Otherwise Inaccurate Records of Work-Related Illnesses
and Injuries Create an Ongoing Condition Detrimental to Full
Enforcement of the Act
OSHA records ``are a cornerstone of the Act and play a crucial role
in providing the information necessary to make workplaces safer and
healthier.'' Gen. Motors Corp., 8 BNA OSHC at 2041. As explained
previously, in SUPPLEMENTARY INFORMATION, Section II.B, employers must
give employees (as well as OSHA and BLS) access to injury and illness
records. OSHA injury and illness records are designed to be used by
employers, employees, and the government to learn about the injuries
and illnesses that are occurring in American workplaces. Accurate OSHA
injury and illness records enable employers to identify, and correct,
hazardous conditions, allow employees to learn about the hazards they
face, and permit the government to determine where and why injuries are
occurring so that appropriate regulatory or enforcement measures can be
taken. (See SUPPLEMENTARY INFORMATION, Section II.B, earlier in this
preamble, for a full discussion of the purposes served by OSHA injury
and illness records.) Thus, Congress viewed accurate records as
necessary for the enforcement of the Act. 29 U.S.C. 657(c). Inaccurate
or incomplete injury and illness records, however, will leave all of
the relevant parties underinformed, and thereby create an ongoing
condition detrimental to full enforcement of the Act. The Commission
has recognized as much. See, e.g., Gen. Dynamics, 15 BNA OSHC at 2131
n. 17 (recordkeeping regulations ``clearly are safety- and health-
related''); Johnson Controls, 15 BNA OSHC at 2135-36 (``[A] failure to
record an occupational injury or illness . . . does not differ in
substance from any other condition that must be abated pursuant to . .
. occupational safety and health standards . . . .'').
Nor is there any meaningful distinction to be drawn between cases
involving inadequate training or unsafe machines (which may be seen as
involving repeated affirmative acts, for example, sending untrained
employees to work in hazardous conditions) and recordkeeping cases
(which may be seen as failures to right past wrongs). The lack of
access--by employers, employees and OSHA--to accurate records is as
much an ongoing non-complying condition under the Act as is an
untrained employee or an unguarded machine. Whether the condition was
created by an act of omission or of commission, the condition is one
that continues to violate the Act until it is abated.
Moreover, under the scheme Congress established in the OSH Act, any
distinction that can be drawn between overt action and inaction lacks
legal significance. As the Commission recognizes, ``unlike other
federal statutes in which an overt act is needed to show any violation,
the OSH Act penalizes both overt acts and failures to act in the face
of an ongoing, affirmative duty to perform prescribed obligations.''
Volks I, 23 BNA OSHC at 1417 n.3 (emphasis in original). See also,
e.g., Gen. Dynamics, 15 BNA OSHC at 2130 (``[T]he Act penalizes the
occurrence of noncomplying conditions which are accessible to employees
and of which the employer knew or reasonably could have known. That is
the only `act' that the Secretary must show to prove a violation.'').
That is why it is still a citable violation if an employer has left a
hazardous machine unguarded for years--even though the employer has not
done anything to the machine since first removing the guard. That is
why it is a violation if an employer fails to label containers of
hazardous chemicals or have safety data sheets on hand, regardless how
long the inaction persists. And courts regularly find that a failure to
act in accordance with an ongoing legal obligation constitutes a
continuing violation. Such cases have included a lender's failure to
make required disclosures to a borrower (Postow, 627 F.2d 1370), a sex
offender's failure to register with authorities (George, 625 F.3d
1124), a parent's failure to pay child support (Edelkind, 525 F.3d
388), an agency's failure to comply with statutory mandates and
deadlines (Wilderness Soc'y, 434 F.3d 584), a company's failure to
create and maintain water sampling records (Sierra Club, 847 F.2d
1109), and a failure on the part of the government to act on complaints
of discrimination (Padres Hacia Una Vida Mejor, 2012 WL 1158753).
Additionally, the legislative history of the Act reflects Congress'
concern about harm resulting to employees in workplaces with incomplete
records of occupational injuries and illnesses. Most notably, a report
of the Senate Committee on Labor and Public welfare stated that
``[f]ull and accurate information is a fundamental precondition for
meaningful administration of an occupational safety and health
program.'' S. Rep. No. 91-1282, at 16 (1970), reprinted in Subcomm. on
Labor of the Comm. on Labor and Public Welfare, Legislative
[[Page 45125]]
History of the Occupational Safety and Health Act of 1970, at 156
(1971) (emphasis added). Additionally, a report from the House of
Representatives shows that Congress recognized ``comprehensive [injury
and illness] reporting'' as playing a key role in ``effective safety
programs.'' H.R. Rep. No. 91-1291, at 15 (1970), reprinted in Subcomm.
on Labor of the Comm. on Labor and Public Welfare, Legislative History
of the Occupational Safety and Health Act of 1970, at 845 (1971).
Incomplete and inaccurate OSHA records therefore result in an
ongoing non-complying condition--namely employers, employees, and the
government, being denied access to information necessary to full
enforcement of the Act. And this non-complying condition continues
every day that the records are inaccurate.
4. Interpreting the Duty To Record as a Continuing One Under the Act's
Civil, Remedial Scheme Is Entirely Consistent With the General Case Law
As touched upon previously in this notice, general case law on
continuing violations also supports a continuing violation theory for
OSHA recordkeeping violations. The Volks II majority stated that
recordkeeping violations are not ``the sort of conduct we generally
view as giving rise to a continuing violation[,]'' i.e., the kind of
violation ``whose `character as a violation . . . [does] not become
clear until . . . repeated during the limitations period . . . because
it is . . . [the] cumulative impact . . . that reveals . . .
illegality.' '' Volks II, 675 F.3d at 757 (quoting Taylor v. FDIC, 132
F.3d 753, 765 (D.C. Cir. 1997)). On the other hand, all OSHA
violations--including recordkeeping violations--``continue'' only
insofar as non-compliant conditions exist and employees are exposed to
the relevant hazards. While the ``cumulative impact'' theory is one way
to establish a continuing violation (see, e.g., Morgan, 536 U.S. 101
(hostile environment claims under Title VII)), established precedent
recognizes an additional type of continuing violation--a violation that
continues to occur on a day-by-day (or act-by-act) basis and whose
illegality was clear from the beginning. See, e.g., Edelkind, 525 F.3d
388 (failure to pay child support is a continuing offense); Sierra
Club, 847 F.2d 1109 (finding continuing violations of the Clean Water
Act where the company failed to comply with permit requirements for
reporting and record retention); Postow, 627 F.2d 1370 (violation of
Truth-in-Lending Act's disclosure requirements is a continuing
violation).
The DC Circuit explicitly recognized the existence of these two
types of continuing violation cases in Earle, 707 F.3d 299. The court
explained that where a statute `` `imposes a continuing obligation to
act, a party can continue to violate it until that obligation is
satisfied and the statute of limitations will not begin to run until it
does.' '' Id. at 307 (quoting Judge Garland's concurring opinion in
Volks II, 675 F.3d at 763). And ``[w]hether the obligation is
continuing is a question of statutory construction.'' Earle, 707 F.3d
at 307. The court explained that Postow had found a continuing
violation of the Truth-in-Lending Act because the ``goals of the Act''
required construing the obligation to be continuing. Id. So too, the
goals of the OSH Act require construing the recordkeeping obligation to
be continuing. The purpose of recording injuries is so that the
recorded information can be used thereafter, throughout the retention
and access period. Accurate and complete OSHA records enable employers,
employees, and the Government to understand the hazards present in the
workplace, so that corrective measures can be taken. Inaccurate and
incomplete records, by contrast, are likely to be misleading.
The Secretary recognizes that one court has said that: ``The
Supreme Court has made clear . . . that the application of the
continuing violations doctrine should be the exception, rather than the
rule.'' Cherosky v. Henderson, 330 F.3d 1243, 1248 (9th Cir. 2003) (not
referring to any specific decision) (quoted in Volks II, 675 F.3d at
757). Even so, the Secretary believes that the language and purposes of
the OSH Act make it clear that the duty to maintain and make available
records is a continuing obligation for all the reasons set forth
previously.\5\
---------------------------------------------------------------------------
\5\ In Toussie v. United States, 397 U.S. 112 (1970), the
Supreme Court stated that ``the doctrine of continuing offenses
should be applied in only limited circumstances since . . . `the
tension between the purpose of a statute of limitations and the
continuing offense doctrine is apparent.' '' Id. at 115 (citations
omitted). But Toussie was a criminal case subject to the general
principle that ``criminal limitations statutes are `to be liberally
interpreted in favor of repose.' '' Id. (emphasis added and
citations omitted). See also Diamond v. United States, 427 F.2d
1246, 1247 (Ct. Cl. 1970) (per curiam) (``[T]he considerations
moving the Court to decide [in Toussie] that the offense was not a
continuing one were entwined with the criminal aspects of the
matter, and the holding was limited to criminal statutes of
limitations.''). In contrast, as noted previously, in SUPPLEMENTARY
INFORMATION, Section III.B.2, OSHA civil enforcement cases are
subject to the opposing principle that ``statutes of limitation in
the civil context are to be strictly construed in favor of the
Government against repose.'' Interamericas, 111 F.3d at 382.
---------------------------------------------------------------------------
IV. Summary and Explanation of the Proposed Rule
OSHA is proposing to amend its recordkeeping regulations, 29 CFR
part 1904, to clarify that employers covered by the recordkeeping
requirements have a continuing obligation to make and maintain accurate
records of all recordable injuries and illnesses. This obligation
continues for as long as the employer must maintain records for the
year in which an injury or illness became recordable, and it does not
expire if the employer fails to create a record when first required to
do so.
The continuing obligation to make and maintain accurate records of
work-related illnesses and injuries is in accord with longstanding OSHA
policy. Thus, this proposal is not meant to impose new or additional
obligations on employers covered by part 1904. Employers will not be
required to make records of any injuries or illnesses for which records
are not currently required; nor are the recording requirements
themselves changing. As discussed at length previously, the amendments
are meant simply to clarify employers' obligations in the wake of the
Volks II decision. The amendments being proposed consist of revisions
to various sections of the regulatory text as well as changes to the
titles of some sections and subparts.
As discussed in more detail later in this notice, the amendments
clarify the following: (1) OSHA 300 Log. Employers must record every
recordable injury or illness on the Log. This obligation continues
through the five-year record retention-and-access period. In addition,
during that period, employers must update the Log by adding cases not
previously recorded and by showing changes to previously recorded
cases. (2) OSHA 301 Incident Report. Employers must prepare a Form 301
Incident Report for each recordable illness or injury. This obligation
continues throughout the five-year retention-and-access period.
Employers are not required to update the form to show changes to the
case that occur after the form is initially prepared. (3) Year-end
records review; preparation certification, and posting of the Form 300A
annual summary. These ancillary tasks are intended to be performed at
particular times during each year. They are not continuing obligations.
A. Description of Proposed Revisions
1. Section 1904.0--Purpose
OSHA is proposing to revise this section to clarify and emphasize
employers' ongoing duties to make and maintain accurate records of each
and
[[Page 45126]]
every recordable injury and illness under part 1904. The proposed new
language reflects the existing requirement for employers to provide
their injury and illness records to certain government representatives,
and to employees and former employees and their representatives. The
proposed additions to the regulatory text include language reiterating
that these recordkeeping requirements are important in helping the
Agency achieve its mission of providing safe and healthful working
conditions for the nation's workers.
OSHA is proposing to add a new sentence at the end of this section
to explain what the Agency deems to be an ``accurate'' record. Records
will be considered ``accurate'' if correct and complete records are
made and maintained for each and every recordable injury and illness in
accordance with the provisions of part 1904. This concept is not new,
as the requirement for employers to maintain accurate records is
derived directly from the OSH Act, 29 U.S.C. 657(c)(2).
2. Subpart C--Making and Maintaining Accurate Records, Recordkeeping
Forms, and Recording Criteria
OSHA is proposing to amend the title of this Subpart to better
reflect the content of revised Sec. Sec. 1904.4 and 1904.29, which
address employers' duties to make and maintain accurate records, as
well as recordkeeping forms and criteria.
3. Paragraph (a) of Sec. 1904.4--Basic Requirement
OSHA is proposing to revise this paragraph to reiterate the
requirement that employers make and maintain accurate records of every
injury and illness that meets the recording criteria in paragraphs
(a)(1) through (3) of Sec. 1904.4. The current version of paragraph
(a), which requires employers to ``record'' injuries and illnesses, is
less explicit in expressing OSHA's intent that employers both create
and keep accurate records. The proposed language is intended to express
that an employer's duty includes both creating and preserving accurate
records of recordable injuries and illnesses. To be accurate, these
records must be correct and complete. The proposed language is also
meant to reflect more closely the language of the OSH Act at 29 U.S.C.
657(c)(1) and (2). OSHA is not proposing to change the recording
criteria in paragraphs (a)(1) through (3) of existing Sec. 1904.4.
4. Note to Paragraph (a) of Sec. 1904.4
OSHA is proposing to add this note to Sec. 1904.4(a) to clarify
the Agency's longstanding position that the duty to make and maintain
accurate injury and illness records continues throughout the entire
record-retention period set out in Sec. 1904.33(a). This retention
period runs for five years from the end of the calendar year that the
records cover. An employer who fails to create a required record during
the seven-day period provided for in Sec. 1904.29(b)(3) must still
create the record so long as the retention period has not elapsed.
Given this ongoing duty, OSHA may issue recordkeeping citations to
employers that have incomplete or otherwise inaccurate records at any
point during the retention period, and, under the six-month statute of
limitations set out in 29 U.S.C. 658(c), for up to six months
thereafter.
5. Paragraph (b)(3) of Sec. 1904.29--How quickly must each injury or
illness be recorded?
Proposed paragraph (b)(3) of Sec. 1904.29 states the Agency's
long-standing requirement that each and every recordable injury and
illness must be recorded on both the OSHA 300 Log for that year and a
301 Incident Report within seven calendar days of when the employer
gets information that the injury or illness occurred. OSHA is proposing
minor wording changes to the first sentence of existing paragraph
(b)(3). The remainder of proposed paragraph (b)(3) is designed to make
clear that employers that miss this seven-day recording deadline are
not excused from the recording obligations after the seven-day period
expires. Thus the obligation to record continues until the five-year
retention period in Sec. 1904.33(a) has run.
OSHA has always interpreted the seven-day recording period in the
existing recordkeeping rules as a grace period when an employer can
gather information on an injury or illness without fear of being cited
by OSHA for a failure to record. Similarly, OSHA has always interpreted
the obligation to record as continuing throughout the record retention
period. The amendments to this paragraph simply clarify OSHA's long-
held positions.
6. Section 1904.32--Year-End Review and Annual Summary
OSHA is proposing to amend the title of this section to more
accurately describe the topics covered by Sec. 1904.32, which include
an employer's year-end review of records.
7. Paragraph (a) of Sec. 1904.32--Basic Requirement
OSHA is proposing revisions to paragraph (a)(1) of Sec. 1904.32 to
make clear that employers must examine each year's OSHA 300 Log at the
end of the year to ensure that each and every recordable injury and
illness is recorded on the Log, and that each entry is accurate. If an
employer discovers, during this review, that an injury or illness is
missing or that any aspect of an entry is inaccurate, the employer must
correct the deficiency.
The Agency is also proposing a new paragraph (a)(2) for Sec.
1904.32. This proposed paragraph provides that after reviewing and
verifying the Log entries under Sec. 1904.32(a)(1), employers must
verify that all entries on the Log are accurately recorded on OSHA 301
Incident Reports. Proposed paragraph (a)(2) clarifies that if an
employer discovers, during the Sec. 1904.32(a)(1) review, that an
injury or illness was initially left off of the OSHA 300 Log, the
employer must both add it to the log and create an accurate Incident
Report for that injury or illness.
OSHA is proposing to move the language from existing paragraph
(a)(2) in Sec. 1904.32 to proposed paragraph (a)(3) in the same
section. The Agency is proposing to add a clause to that paragraph to
explain that the annual summary should be created only after an
employer verifies the accuracy of the Log. This language is for
clarification purposes only and does not add any new compliance
requirements. OSHA is also proposing to renumber existing paragraphs
(a)(3) and (4) of Sec. 1904.32 as paragraphs (a)(4) and (5),
respectively. The Agency is not proposing any substantive changes to
these provisions.
The specific tasks required of employers under Sec. 1904.32(a)--to
conduct a year-end review of the Log, and to prepare, certify and post
the annual summary--are in addition to the duties described elsewhere
in part 1904, and do not supersede or modify them. These other duties
include the fundamental continuing obligation for employers to ensure
that Logs are accurate and complete and that all recordable cases are
included on them. The specific steps required under Sec. 1904.32(a)
are supplementary tasks designed to help ensure that employers are
maintaining accurate records. These supplementary tasks are to be
performed at specified times (at the end of each calendar year, and
from February 1 to April 30 for posting). Failure to perform one of
these supplementary tasks by the required deadline or during the
required time period is a violation of Sec. 1904.32
[[Page 45127]]
that may be cited during the following six months. See Volks II, 675
F.3d at 761-62 (concurring opinion).
8. Paragraph (b)(1) of Sec. 1904.32--How extensively do I have to
review the OSHA 300 Log at the end of the year?
OSHA is proposing to amend paragraph (b)(1) of Sec. 1904.32 to
reflect the proposed revisions to Sec. 1904.32(a)(1). The proposed
changes to paragraph (b)(1) reiterate that employers must review the
Log and its entries sufficiently to verify that all recordable injuries
and illnesses for the relevant year are entered, and that those entries
are accurate. In addition, OSHA is proposing one minor, non-substantive
change to the heading of existing paragraph (b)(1).
9. Section 1904.33--Retention and Maintenance of Accurate Records
OSHA is proposing to update the title of this section to more
accurately reflect the obligations described in proposed Sec. 1904.33.
10. Paragraph (b)(1) of Sec. 1904.33--Other than the obligation
identified in Sec. 1904.32, do I have further recording duties with
respect to OSHA 300 Logs and 301 Incident Reports during the five-year
retention period?
OSHA is proposing to amend the heading for this paragraph to
reflect that employers have recording duties with respect to Incident
Reports, as well as OSHA 300 Logs, during the five-year retention
period. The Agency is also proposing to amend the text of paragraph
(b)(1) of Sec. 1904.33 to provide an introduction to the paragraphs
that follow.
OSHA is proposing to add paragraphs (b)(1)(i) through (iii) to
Sec. 1904.33 to provide further guidance to employers on the existing
duties to update Log entries and Incident Reports. Proposed paragraph
(b)(1)(i) clarifies employers' duties to make and keep OSHA 300 Log
entries for each and every recordable injury and illness that occurs
during the year to which the Log relates. There must also be an
associated Incident Report for each illness and injury recorded on the
Log. As the proposed language makes explicit, these duties continue
until the five-year retention period ends; thus, an employer may be
required to make an entry on the OSHA Log or fill out an Incident
Report for an illness or injury that occurred several years ago.
Proposed paragraph (b)(1)(ii) addresses changes that must be made
to OSHA Logs throughout the retention period. As emphasized throughout
this proposed rule, employers' OSHA 300 Logs must be accurate. This
means that if an employer discovers that any aspect of a previously-
recorded case (such as the classification, description, or outcome of
the case) has changed, or that a case was recorded incorrectly at the
outset, the employer must amend the entry to reflect the new or
corrected information.
Proposed paragraph (b)(1)(iii) reiterates the requirement in
proposed paragraph (b)(1)(i) that there must be an Incident Report for
each and every recordable injury and illness. The primary purpose of
proposed paragraph (b)(1)(iii) is to explain that employers are not
required to update or correct existing Incident Reports during the
retention period. This principle is currently stated in existing Sec.
1904.33(b)(3).
These proposed requirements are not intended to change, but rather
to state more clearly, what is required under the existing rule. The
existing rule provides that during the five-year retention period, the
employer must update the Logs to include newly discovered recordable
injuries and illnesses and to show changes that have occurred in
previously recorded cases. It does not explicitly state the employer's
continuing duty to record cases it had previously learned about. Judge
Garland's concurring opinion in Volks II drew the inference that the
regulation does not create a continuing obligation to record such
cases, as compared with newly discovered cases. Volks II, 675 F.3d at
760-61. This was not the Secretary's intention. At the time the current
regulation was issued in 2001, it was well-established law in the
Commission that employers had a continuing duty to record these older
cases on their Logs. See Gen. Dynamics, 15 BNA OSHC 2122; Johnson
Controls, 15 BNA OSHC 2132. Nothing in the 2001 rulemaking suggested
that the Agency had any intention of changing this fundamental
requirement.
The existing recordkeeping regulations explain that the employer
must promptly record cases on the 300 Log, and that, throughout the
five-year retention period, if the employer discovers a case that
occurred previously, it must record that case on the applicable Log. As
with nearly all rules, this rule is written to describe compliance. As
with other rules, it does not assume noncompliance, in other words, it
does not explicitly state what an employer must do if it fails to
record a case it knows about. By stating that newly discovered cases
should be recorded, the Secretary did not intend to signify that other
cases the employer had learned about need not be recorded. The command
to update was not intended to signify permission to ignore knowledge
that had been acquired earlier.
The current regulations also state that the employer is not
required to ``update'' Form 301 Incident Reports. In Volks II, Judge
Garland read this to mean that employers do not have to create a form
at all, once the initial seven-day recording period is over. See Volks
II, 675 F.3d at 760-61 (concurring opinion). That was not the
Secretary's intention. The intent was to distinguish between the Log,
which employers must update to reflect new and changed information, and
the 301 Form, which employers do not need to update. (The Secretary
explained that although updating the Log would provide useful, accurate
information, updating Incident Reports would not enhance the
information in the employer's records sufficiently to warrant the
additional burden that would be associated with such a requirement. See
66 FR at 6050, January 19, 2001.) The fact that the Agency does not
require employers to update Incident Reports does not mean that the
Agency does not require employers to create the forms in the first
place. The language in the proposed rule clarifies this.
11. Paragraph (b)(2) of Sec. 1904.33--Do I have to make additions or
corrections to the annual summary during the five-year retention
period?
OSHA is proposing minor changes to paragraph (b)(2) of Sec.
1904.33. These changes are not substantive. Neither the proposed nor
the existing rules require employers to update or make changes to
annual summaries during the five-year retention period.
12. Paragraph (b)(3) of Sec. 1904.33
OSHA is proposing to delete existing paragraph (b)(3). In the
proposal, this paragraph has been moved, in slightly modified form, to
paragraph (b)(1)(iii) in Sec. 1904.33.
13. Paragraph (b)(2) of Sec. 1904.35--Do I have to give my employees
and their representatives access to the OSHA injury and illness
records?
Paragraph (b)(2) of existing Sec. 1904.35 addresses employee
access to records created under part 1904. OSHA is proposing only one
minor change to this paragraph--the addition of the word ``accurate''
to describe the records to which employees, former employees, and their
representatives must be given access. Accurate records are described in
proposed Sec. 1904.0.
[[Page 45128]]
14. Paragraph (b)(2)(iii) of Sec. 1904.35--If an employee or
representative asks for access to the OSHA 300 Log, when do I have to
provide it?
In proposed paragraph (b)(2)(iii) of Sec. 1904.35, OSHA is simply
adding the term ``accurate'' to describe the OSHA 300 Logs to which
employees, former employees, and their representatives must be given
access. Accurate records are described in proposed Sec. 1904.0.
Records are required so they can be used, and records must be accurate
if they are to serve this purpose. The duty to provide an accurate
record upon request arises when the request is made, not before, so the
six-month statute of limitations cannot begin to run until the request
is made.
15. Subpart E--Reporting Accurate Fatality, Injury, and Illness
Information to the Government
OSHA is proposing to revise the title of Subpart E to more
precisely reflect the requirement in the Subpart that government
representatives be given access to accurate fatality, injury, and
illness information.
16. Section 1904.40--Providing Accurate Records to Government
Representatives
OSHA is proposing to revise the title of Sec. 1904.40 to reflect
the proposed changes to paragraph (a) of that section.
17. Paragraph (a) of Sec. 1904.40--Basic Requirement
OSHA is proposing to add the term ``accurate'' to paragraph (a) of
Sec. 1904.40(a) to reflect OSHA's long-standing expectation that
employers provide government representatives with accurate records upon
request. OSHA is also proposing some non-substantive wording changes to
this paragraph.
V. State Plans
The 27 States and U.S. Territories with their own OSHA-approved
occupational safety and health plans must adopt a rule comparable to
any amendments that Federal OSHA ultimately promulgates to 29 CFR part
1904. The States and U.S. Territories with OSHA-approved occupational
safety and health plans covering private employers and State and local
government employees are: Alaska, Arizona, California, Hawaii, Indiana,
Iowa, Kentucky, Maryland, Michigan, Minnesota, Nevada, New Mexico,
North Carolina, Oregon, Puerto Rico, South Carolina, Tennessee, Utah,
Vermont, Virginia, Washington, and Wyoming. In addition, five States
and U.S. Territories have OSHA-approved State plans that apply to State
and local government employees only: Connecticut, Illinois, New Jersey,
New York, and the Virgin Islands.
Under 29 CFR 1952.4(a), States with approved occupational safety
and health plans under section 18 of the OSH Act (29 U.S.C. 667) must
adopt recordkeeping and reporting regulations that are ``substantially
identical'' to those set forth in 29 CFR part 1904. State plans'
recording and reporting requirements for determining which injuries and
illnesses must be recorded, and how they will be recorded, must be the
same as the Federal requirements. 29 CFR 1952.4(a). Otherwise, State
plans may promulgate injury or illness recording and reporting
requirements that are more stringent than, or supplemental to, 29 CFR
part 1904, after consulting with, and obtaining approval from, Federal
OSHA. Id.
State plans may not grant variances from injury and illness
recording and reporting requirements for private sector employers; any
such variances must be granted by Federal OSHA. 29 CFR 1952.4(b). And a
State may grant such a variance for a State or local government entity
only after obtaining Federal OSHA approval. Id.
VI. Preliminary Economic Analysis
The proposed revisions to OSHA's recordkeeping rules do not
constitute an economically significant regulatory action under
Executive Order 12866. (See 58 FR 51735, September 30, 1993). Executive
Order 12866 requires regulatory agencies to conduct an economic
analysis for significant rules. A rule is economically significant
under Executive Order 12866 if it will have an annual effect on the
economy of $100 million or more. This proposal does not satisfy that
criterion; as explained later in this notice, neither the benefits nor
the costs of the proposal equal or exceed $100 million. OSHA has also
determined that this proposal does not meet the definition of a major
rule under the Congressional Review provisions of the Small Business
Regulatory Enforcement Fairness Act (SBREFA). See 5 U.S.C. 804(2).
The Regulatory Flexibility Act of 1980, as amended by SBREFA in
1996, requires OSHA to determine whether the Agency's regulatory
actions will have a significant impact on a substantial number of small
entities. See 5 U.S.C. 601 et seq. OSHA's analysis indicates that the
proposed rule will not have such an impact.
This proposal simply reiterates and clarifies employers' existing
obligations to record work-related injuries and illnesses. This
proposal would not require employers to make records of any injuries or
illnesses for which records are not currently required. OSHA estimated
the costs to employers of these requirements when the existing
regulations were promulgated in 2001, see 66 FR 6081-6120, January 19,
2001. The proposed revisions impose no new cost burden.
Moreover, even if the proposed revisions to OSHA's recordkeeping
rules would result in some costs beyond those the Agency estimated in
2001, any such costs would be nominal. According to OSHA's 2014 request
to the Office of Management and Budget for an extension of the approval
of the information collection requirements in the recordkeeping rules,
an estimated 2.44 million injuries and illnesses must be recorded on
OSHA logs each year. See https://www.reginfo.gov/public/do/PRAViewDocument?ref_nbr=201405-1218-003. Although OSHA accounted for
the costs associated with full recordkeeping compliance as part of the
2001 rulemaking, the Agency assumes, for the sake of this analysis, a
non-compliance rate under the current rule of 1 percent of recordable
injuries and illnesses, or an additional 24,400 injuries and illnesses
that would be recorded as a result of the proposal. (In OSHA's view,
this is a high, or conservative, estimate.)
In 2014, OSHA prepared a Final Economic Analysis for a final rule
addressing the industries entitled to a partial exemption from
recordkeeping requirements and the reporting of injuries and fatalities
to the Agency. In that analysis, OSHA estimated that it takes .38 of an
hour to record an injury or illness on all required OSHA forms, taking
into account requirements for providing access to records. See 79 FR
56130, 56165 (September 18, 2014). And according to the 2014 ICR, the
average hourly rate for an Occupational Health and Safety Specialist
(Standard Occupational Classification code 29-9011) is estimated to be
$46.72 (which includes a 43% addition for benefits). See https://www.reginfo.gov/public/do/PRAViewDocument?ref_nbr=201405-1218-003. This
means that the total estimated cost of preparing OSHA records is $17.75
per injury or illness.
Thus, if 24,400 cases would be newly recorded as a result of the
proposal, the total cost associated with this regulatory action would
be 24,400 times $17.75, or approximately $433,100 per year. (The Agency
notes that if it makes the even more conservative assumption that 5
percent of 2.44 million injuries and illnesses (122,000) would be newly
recorded as a result of the proposal, the total estimated cost of the
proposed
[[Page 45129]]
rule, across all affected employers, would be under $2.2 million per
year.)
Just as there are no (or minimal) new costs associated with this
proposal, the proposal will result in no new economic benefits. OSHA
believes the proposed revisions to the recordkeeping rules are
technologically feasible because they do not require employers to
perform any actions that they are not performing under existing
requirements. And because the proposal does not impose any significant
new compliance costs, the Agency deems it economically feasible.
VII. Regulatory Flexibility Certification
In accordance with the Regulatory Flexibility Act, 5 U.S.C. 601 et
seq. (as amended), OSHA examined the regulatory requirements of the
proposed rule to determine if they would have a significant economic
impact on a substantial number of small entities. As indicated in
Section VI, Preliminary Economic Analysis, earlier in this notice, the
proposed rule is expected to have no effect, or at most a nominal
effect, on compliance costs and regulatory burden for employers,
whether large or small. Accordingly, the Agency certifies that the
proposed rule would not have a significant economic impact on a
substantial number of small entities.
VIII. Environmental Impact Assessment
OSHA has reviewed the proposed rule in accordance with the
requirements of the National Environmental Policy Act (NEPA) (42 U.S.C.
4321 et seq.), the regulations of the Council on Environmental Quality
(40 CFR parts 1500 through 1508), and the Department of Labor's NEPA
procedures (29 CFR part 11). The Agency finds that the revisions
included in the proposal would have no major negative impact on air,
water, or soil quality, plant or animal life, the use of land or other
aspects of the environment. And recordkeeping and reporting
requirements normally qualify for categorical exclusion from NEPA
requirements in any event. See 29 CFR 11.10(a).
IX. Federalism
OSHA reviewed this proposed rule in accordance with the most recent
Executive Order on Federalism (Executive Order 13132, 64 FR 43255,
August 10, 1999). This Executive Order requires that Federal agencies,
to the extent possible, refrain from limiting State policy options,
consult with States prior to taking any actions that would restrict
State policy options, and take such actions only when clear
constitutional authority exists and the problem is national in scope.
Executive Order 13132 provides for preemption of State law only with
the expressed consent of Congress. Any such preemption must be limited
to the extent possible. Because this proposed rulemaking action
involves a regulation that is not an occupational safety and health
standard under section 6 of the OSH Act, it does not preempt State law.
See 29 U.S.C. 667(a). The effect of a final rule on states and
territories with OSHA-approved occupational safety and health plans is
discussed previously in Section V, State Plans.
X. Unfunded Mandates
OSHA cannot enforce compliance with its regulations or standards on
``any State or political subdivision of a State.'' 29 U.S.C. 652(5).
Under voluntary agreement with OSHA, some States enforce compliance
with their State standards on public sector entities, and these
agreements specify that these State standards must be equivalent to
OSHA standards. But the proposed rule does not involve any unfunded
mandates being imposed on any State or local government entity.
Moreover, as discussed previously, OSHA estimates that that there are
no, or minimal, compliance costs associated with the proposed rule.
Therefore, this proposed rule would not impose a Federal mandate on the
private sector in excess of $100 million in expenditures in any one
year. Thus, OSHA certifies that this proposed rule is not a significant
regulatory action within the meaning of Section 202 of the Unfunded
Mandates Reform Act (2 U.S.C. 1532).
XI. Consultation and Coordination With Indian Tribal Governments
OSHA reviewed this proposed rule in accordance with Executive Order
13175 (65 FR 67249, November 6, 2000) and determined that it does not
have ``tribal implications'' as defined in that order. The proposed
rule does not have substantial direct effects on one or more Indian
tribes, on the relationship between the Federal government and Indian
tribes, or on the distribution of power and responsibilities between
the Federal government and Indian tribes.
XII. Public Participation
Recordkeeping requirements promulgated under the Occupational
Safety and Health Act of 1970 (OSH Act) are regulations, not standards.
Therefore, this rulemaking is governed by the notice and comment
requirements in the Administrative Procedure Act (APA), 5 U.S.C. 553,
rather than by section 6(b) of the OSH Act (29 U.S.C. 655(b)) and 29
CFR part 1911 (both of which apply only to promulgating, modifying or
revoking occupational safety or health standards). The OSH Act
requirement for the Agency to hold an informal public hearing on a
proposed rule, when requested, does not apply to this rulemaking. See
29 U.S.C. 655(b)(3).
The APA, which governs this rulemaking, does not require a public
hearing; instead, it states that the agency must ``give interested
persons an opportunity to participate in the rulemaking through
submission of written data, views, or arguments with or without
opportunity for oral presentation.'' 5 U.S.C. 553(c). To promulgate a
proposed regulation, the APA requires the Agency to provide the terms
of the proposed rule (or a description of those terms) and specify the
time, place, and manner of rulemaking proceedings. See 5 U.S.C. 553(b).
The APA does not specify a minimum period for submitting comments. In
accordance with the goals of Executive Order 12866, OSHA is providing
60 days for public comment (see section 6(a)(1) of Executive Order
12866).
Public Submissions: OSHA invites comments on all aspects of the
proposed rule. OSHA will carefully review and evaluate any comments,
information, or data received, as well as all other information in the
rulemaking record, to determine how to proceed.
When submitting comments, please follow the procedures specified in
the sections titled DATES and ADDRESSES of this document. The comments
should clearly identify the provision of the proposal being addressed,
the position taken with respect to each issue, and the basis for that
position. Comments, along with supporting data and references,
submitted by the end of the specified comment period will become part
of the rulemaking record, and will be available for public inspection
at the Federal eRulemaking Portal (https://www.regulations.gov) and at
the OSHA Docket Office, 200 Constitution Avenue NW.--Room N-2625,
Washington, DC 20210. (See the section titled ADDRESSES of this
document for additional information on how to access these documents.)
XIII. The Paperwork Reduction Act of 1995
The information collection requirements contained in 29 CFR part
1904 Recording and Reporting Occupational Injuries and Illnesses have
been approved by OMB and have been assigned OMB control number 1218-
0176. This proposal simply reiterates
[[Page 45130]]
and clarifies employers' existing obligations to record and maintain
work-related injuries and illnesses and does not add any new collection
of information requirements. Therefore, there are no increases or
decreases to the Recording and Reporting Occupational Injuries and
Illnesses burden hour and cost estimates. The Agency solicits comments
on this determination, and on the following items:
Whether the revised collection of information requirements
are necessary for the proper performance of the Agency's functions,
including whether the information is useful;
The accuracy of OSHA's estimate of the burden (time and
cost) of the information collection requirements, including the
validity of the methodology and assumptions used;
The quality, utility and clarity of the information
collected; and
Ways to minimize the compliance burden on employers, for
example, by using automated or other technological techniques for
collecting and transmitting information.
As required by 5 CFR 1320.5(a)(1)(iv) and 1320.8(d)(2), the
following paragraphs provide information about this ICR:
Title: 29 CFR part 1904 Recordkeeping and Reporting Occupational
Injuries and Illnesses (29 CFR part 1904).
Description of the ICR: The Occupational Safety and Health Act and
29 CFR part 1904 require that certain employers generate, maintain, and
post records of job-related injuries and illnesses; and report to OSHA
any work-related incident resulting in the death of the worker and
work-related incidents resulting in in-patient hospitalization,
amputation or loss of an eye.
Summary of the Collections of Information: Completion of the OSHA
Forms 300 and 301; Entry on privacy concern case confidential list;
Complete, certify and post OSHA Form 300A, Employee access to OSHA
Forms 300 and 301; Reporting fatalities/catastrophes to OSHA; Requests
for variances.
Number of respondents: 1,594,040.
Frequency of responses: Frequency of response varies depending on
the specific collection of information.
Number of responses: 6,312,003.
Average time per response: Ranges from 58 minutes to complete,
certify and post Form 300A to five minutes for employers to allow
employees, former employees, or employee representatives access to
records being maintained by 29 CFR part 1904.
Estimated total burden hours: 2,881,842.
Estimated costs (capital-operation and maintenance): 0.
Members of the public who wish to comment on the Agency's revised
collection of information must send their written comments to the
Office of Information and Regulatory Affairs, Attn: OMB Desk Officer
for the Department of Labor, OSHA (please reference control number
1218-0176 in order to help ensure proper consideration), Office of
Management and Budget, Room 10235, Washington, DC 20503, Fax: 202-395-
5806 (this is not a toll-free number), email:
OIRA_submission@omb.eop.gov. The Agency encourages commenters also to
submit their comments related to the Agency's clarification of the
collection of information requirements to the rulemaking docket (Docket
Number OSHA-2015-0006) along with their comments on other parts of the
proposed rule. For instructions on submitting these comments to the
rulemaking docket, see the sections of this Federal Register document
titled DATES and ADDRESSES. You also may obtain an electronic copy of
the complete ICR by visiting the Web page at https://www.reginfo.gov/public/do/PRAMain and scrolling under ``Currently Under Review'' to
``Department of Labor (DOL)'' to view all of the DOL's ICRs, including
those ICRs submitted for proposed rulemakings. To make inquiries, or to
request other information, contact Mr. Todd Owen, Directorate of
Standards and Guidance, OSHA, Room N-3609, U.S. Department of Labor,
200 Constitution Avenue NW., Washington, DC 20210; telephone (202) 693-
2222.
OSHA notes that a federal agency cannot conduct or sponsor a
collection of information unless it is approved by OMB under the PRA
and displays a currently valid OMB control number, and the public is
not required to respond to a collection of information unless the
collection of information displays a currently valid OMB control
number. Also, notwithstanding any other provision of law, no person
shall be subject to penalty for failing to comply with a collection of
information if the collection of information does not display a
currently valid OMB control number.
List of Subjects in 29 CFR Part 1904
Health statistics, Occupational safety and health, Safety,
Reporting and recordkeeping requirements, State plans.
Authority and Signature
This document was prepared under the direction of David Michaels,
Ph.D., MPH, Assistant Secretary of Labor for Occupational Safety and
Health, U.S. Department of Labor. It is issued pursuant to 29 U.S.C.
657, 673; 5 U.S.C. 553; and Secretary of Labor's Order No. 1-2012 (77
FR 3912, January 25, 2012).
Signed at Washington, DC, on July 16, 2015.
David Michaels,
Assistant Secretary of Labor for Occupational Safety and Health.
Accordingly, the Occupational Safety and Health Administration
proposes that part 1904 of title 29 of the Code of Federal Regulations
be amended as follows:
PART 1904--RECORDING AND REPORTING OCCUPATIONAL INJURIES AND
ILLNESSES
0
1. Revise the authority citation for part 1904 to read as follows:
Authority: 29 U.S.C. 657, 658, 660, 666, 669, 673, Secretary of
Labor's Order No. 3-2000 (65 FR 50017), or 1-2012 (77 FR 3912), and
5 U.S.C. 553.
0
2. Revise Sec. 1904.0 to read as follows:
Sec. 1904.0 Purpose.
The purpose of this rule (part 1904) is to require employers to
make and maintain accurate records of and report work-related
fatalities, injuries, and illnesses, and to make such records available
to the Government and to employees and their representatives so that
they can be used to secure safe and healthful working conditions. For
purposes of this part, accurate records are records of each and every
recordable injury and illness that are made and maintained in
accordance with the requirements of this part.
Note to Sec. 1904.0: Recording or reporting a work-related
injury, illness, or fatality does not mean that the employer or
employee was at fault, that an OSHA rule has been violated, or that
the employee is eligible for workers' compensation or other
benefits.
Subpart C--Making and Maintaining Accurate Records, Recordkeeping
Forms, and Recording Criteria
0
3. Revise the heading of subpart C as set forth above.
0
4. In Sec. 1904.4, revise paragraph (a) introductory text and add a
note to Sec. 1904.4(a) to read as follows:
Sec. 1904.4 Recording criteria.
(a) Basic requirement. Each employer required by this part to keep
records of fatalities, injuries, and illnesses must, in accordance with
the requirements of
[[Page 45131]]
this part, make and maintain an accurate record of each and every
fatality, injury, and illness that:
* * * * *
Note to Sec. 1904.4(a): This obligation to make and maintain an
accurate record of each and every recordable fatality, injury, and
illness continues throughout the entire record retention period
described in Sec. 1904.33.
* * * * *
0
5. Revise Sec. 1904.29(b)(3) to read as follows:
Sec. 1904.29 Forms.
* * * * *
(b) * * *
(3) How quickly must each injury or illness be recorded? You must
enter each and every recordable injury or illness on the OSHA 300 Log
and on a 301 Incident Report within seven (7) calendar days of
receiving information that the recordable injury or illness occurred. A
failure to meet this deadline does not extinguish your continuing
obligation to make a record of the injury or illness and to maintain
accurate records of all recordable injuries and illnesses in accordance
with the requirements of this part. This obligation continues
throughout the entire record retention period described in Sec.
1904.33. See Sec. Sec. 1904.4(a); 1904.32(a)(1); 1904.33(b)(1); and
1904.40(a).
* * * * *
0
6. Revise the heading and paragraphs (a) and (b)(1) of Sec. 1904.32 to
read as follows:
Sec. 1904.32 Year-end review and annual summary.
(a) Basic requirement. At the end of each calendar year, you must:
(1) Review that year's OSHA 300 Log to verify that it contains
accurate entries for all recordable injuries and illnesses that
occurred during the year, and make any additions or corrections
necessary to ensure its accuracy;
(2) Verify that each injury and illness recorded on the 300 Log,
including any injuries and illnesses added to the Log following your
year-end review pursuant to Sec. 1904.32(a)(1), is accurately recorded
on a corresponding 301 Incident Report form;
(3) After you have verified the accuracy of the Log, create an
annual summary of injuries and illnesses recorded on the Log;
(4) Certify the summary; and
(5) Post the summary.
(b) * * *
(1) How extensively do I have to review the OSHA 300 Log at the end
of the year? You must review the Log and its entries as extensively as
necessary to verify that all recordable injuries and illnesses that
occurred during the year are entered and that the Log and its entries
are accurate.
* * * * *
0
7. Revise the heading and paragraph (b) of Sec. 1904.33 to read as
follows:
Sec. 1904.33 Retention and maintenance of accurate records.
* * * * *
(b) Implementation--(1) Other than the obligation identified in
Sec. 1904.32, do I have further recording duties with respect to the
OSHA 300 Logs and 301 Incident Reports during the five-year retention
period? You must make the following additions and corrections to the
OSHA Log and Incident Reports during the five-year retention period:
(i) The OSHA Logs must contain entries for all recordable injuries
and illnesses that occurred during the calendar year to which each Log
relates. In addition, each and every recordable injury and illness must
be recorded on an Incident Report. This means that if a recordable case
occurred and you failed to record it on the Log for the year in which
the injury or illness occurred, and/or on an Incident Report, you are
under a continuing obligation to record the case on the Log and/or
Incident Report during the five-year retention period for that Log and/
or Incident Report;
(ii) You must also make any additions and corrections to the OSHA
Log that are necessary to accurately reflect any changes that have
occurred with respect to previously recorded injuries and illnesses.
Thus, if the classification, description, or outcome of a previously
recorded case changes, you must remove or line out the original entry
and enter the new information; and
(iii) You must have an Incident Report for each and every
recordable injury and illness; however, you are not required to make
additions or corrections to Incident Reports during the five-year
retention period.
(2) Do I have to make additions or corrections to the annual
summary during the five-year retention period? You are not required to
make additions or corrections to the annual summaries during the five-
year retention period.
0
8. Revise paragraphs (b)(2) introductory text and (b)(2)(iii) of Sec.
1904.35 to read as follows:
Sec. 1904.35 Employee involvement.
* * * * *
(b) * * *
(2) Do I have to give my employees and their representatives access
to the OSHA injury and illness records? Yes, your employees, former
employees, their personal representatives, and their authorized
employee representatives have the right to access accurate OSHA injury
and illness records, with some limitations, as discussed below.
* * * * *
(iii) If an employee or representative asks for access to the OSHA
300 Log, when do I have to provide it? When an employee, former
employee, personal representative, or authorized employee
representative asks for copies of your current or stored OSHA 300
Log(s) for an establishment the employee or former employee has worked
in, you must give the requester a copy of the relevant and accurate
OSHA 300 Log(s) by the end of the next business day.
* * * * *
Subpart E--Reporting Accurate Fatality, Injury, and Illness
Information to the Government
0
9. Revise the heading of subpart E as set forth above.
0
10. Revise the heading and paragraph (a) of Sec. 1904.40 to read as
follows:
Sec. 1904.40 Providing accurate records to government
representatives.
(a) Basic requirement. When an authorized government representative
requests the records you keep under part 1904, you must provide
accurate records, or copies thereof, within four (4) business hours of
the request.
* * * * *
[FR Doc. 2015-18003 Filed 7-28-15; 8:45 am]
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