Laboratory Accreditation for Analyses of Foods, 68728-68831 [2021-25716]
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68728
Federal Register / Vol. 86, No. 230 / Friday, December 3, 2021 / Rules and Regulations
Food and Drug Administration
21 CFR Parts 1, 11, 16, and 129
[Docket No. FDA–2019–N–3325]
RIN 0910–AH31
Laboratory Accreditation for Analyses
of Foods
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Final rule.
The Food and Drug
Administration (FDA, the Agency, or
we) is amending its regulations to
establish a program for the testing of
food in certain circumstances by
accredited laboratories, as required
under the Federal Food, Drug, and
Cosmetic Act (FD&C Act). Establishing
this program will help FDA improve the
safety of the U.S. food supply and
protect U.S. consumers by helping
ensure that certain food testing of
importance to public health is
conducted subject to appropriate
oversight and in accordance with
appropriate model standards to produce
reliable and valid test results.
DATES: This rule is effective February 1,
2022. The incorporation by reference of
certain publications listed in the rule is
approved by the Director of the Federal
Register as of February 1, 2022.
ADDRESSES: For access to the docket to
read background documents or
comments received, go to https://
www.regulations.gov and insert the
docket number found in brackets in the
heading of this final rule into the
‘‘Search’’ box and follow the prompts,
and/or go to the Dockets Management
Staff, 5630 Fishers Lane, Rm. 1061,
Rockville, MD 20852, 240–402–7500.
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SUMMARY:
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With regard to the final rule: Stacie
Hammack, Chemist, Food and Feed
Laboratory Operations, Office of
Regulatory Affairs, Food and Drug
Administration, 60 8th Street NE,
Atlanta, GA 30309, 301–796–5817;
Stacie.Hammack@fda.hhs.gov.
With regard to the information
collection: Domini Bean, Office of
Operations, Food and Drug
Administration, Three White Flint
North 10A–12M, 11601 Landsdown
Street, North Bethesda, MD 20852, 301–
796–5733, PRAStaff@fda.hhs.gov.
SUPPLEMENTARY INFORMATION:
K. Comments Regarding Requesting FDA
Reconsideration or Regulatory Hearings
of FDA Decisions Under This Subpart
L. Comments Regarding Electronic Records
and Public Disclosure Requirements
M. Comments on Conforming and
Technical Amendments and FDA
Response
VI. Effective Date
VII. Economic Analysis of Impacts
VIII. Analysis of Environmental Impact
IX. Paperwork Reduction Act of 1995
X. Federalism
XI. Consultation and Coordination With
Indian Tribal Governments
XII. References
Table of Contents
I. Executive Summary
I. Executive Summary
A. Purpose and Coverage of the Final Rule
B. Summary of the Major Provisions of the
Final Rule
C. Legal Authority
D. Costs and Benefits
II. Table of Abbreviations/Commonly Used
Acronyms in This Document
III. Background
A. Need for the Regulation
B. Summary of Comments to the Proposed
Rule
C. General Overview of Final Rule
D. Incorporation by Reference
IV. Legal Authority
V. Comments on the Proposed Rule and
FDA’s Response
A. Introduction
B. General Comments
C. Comments Regarding General Provisions
D. Comments Regarding General
Requirements
E. Comments Regarding FDA Recognition
of Accreditation Bodies
F. Comments Regarding Requirements for
Recognized Accreditation Bodies
G. Comments Regarding FDA Oversight of
Recognized Accreditation Bodies
H. Comments Regarding LAAFAccreditation of Laboratories
I. Comments Regarding Requirements for
LAAF-Accredited Laboratories
J. Comments Regarding FDA Oversight of
LAAF-Accredited Laboratories
A. Purpose and Coverage of the Final
Rule
FOR FURTHER INFORMATION CONTACT:
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
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This rule is part of FDA’s
implementation of the FDA Food Safety
Modernization Act (FSMA) (Pub. L.
111–353), through which the Agency
intends to better protect public health
by, among other things, adopting a
modern, preventive, and risk-based
approach to food safety regulation. In
this document we establish the
Laboratory Accreditation for Analyses of
Foods (LAAF) program as required by
FSMA section 202(a), which added
section 422 to the FD&C Act (21 U.S.C.
350k). Under the LAAF program, FDA
will recognize accreditation bodies that
will accredit laboratories to the
standards established in this final rule.
Laboratories accredited to the LAAF
standard (‘‘LAAF-accredited
laboratories’’) are authorized to conduct
certain food testing as described in this
rule.
The program structure is portrayed in
the following diagram:1
1 For a description of how the program structure
diagram has been revised, see (Response 11).
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You are subject to this rule if you are
an accreditation body seeking
recognition to accredit laboratories
under this subpart, a recognized
accreditation body, a laboratory seeking
accreditation to conduct food testing
under this subpart, or an accredited
laboratory conducting food testing
under this subpart. This rule also
applies to owners or consignees that
must have certain food testing
conducted by a laboratory accredited
under this subpart. Although
participation in this program is
voluntary for accreditation bodies and
laboratories, only recognized
accreditation bodies may accredit
laboratories to conduct the testing of
food covered under this subpart.
This program for the testing of food by
accredited laboratories establishes
oversight, uniformity, and standards
necessary to help ensure that the results
of certain food testing of importance to
public health are reliable and accurate.
Establishing this program will
substantially improve our capability to
protect U.S. consumers from unsafe
food.
B. Summary of the Major Provisions of
the Final Rule
This rule contains model standards
that laboratories must meet in order to
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participate and conduct certain food
testing covered by this subpart. The rule
will establish a publicly available
registry listing accreditation bodies and
laboratories that have been recognized
or accredited under this program.
Results of food testing conducted by
laboratories under the program must be
sent directly to FDA. Laboratories
accredited under this program (‘‘LAAFaccredited laboratories’’) are required to
submit to FDA analytical reports as
specified in this final rule.
This rule contains eligibility
requirements for accreditation bodies to
qualify for FDA recognition and
requirements that accreditation bodies
must meet once recognized, such as
requirements related to assessing and
overseeing laboratories, conflicts of
interest, reporting, and records. The rule
contains eligibility requirements for
laboratories to qualify for LAAFaccreditation by a recognized
accreditation body and requirements
that laboratories must meet once LAAFaccredited, such as requirements related
to conflicts of interest, analysis,
reporting, and records. These
requirements will help ensure the
effectiveness of the recognized
accreditation bodies and LAAFaccredited laboratories under this
program. This rule contains procedures
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we will follow to recognize
accreditation bodies under this program
and procedures for accreditation bodies
to follow to LAAF-accredit laboratories
under this program. This rule contains
regulatory procedures and requirements
relating to our oversight of recognized
accreditation bodies and LAAFaccredited laboratories.
This rule applies when food testing is
conducted in certain circumstances.
‘‘Food testing’’ and ‘‘testing of food’’
include the analysis of human or animal
food, as well as testing of the food
growing or manufacturing environment
(i.e., ‘‘environmental testing’’).
C. Legal Authority
Section 422(a)(1)(A) the FD&C Act,
which was added by section 202(a) of
FSMA, directs us to establish a program
for the testing of food by accredited
laboratories. Therefore, section 422 of
the FD&C Act provides FDA with
authority for these final regulations,
which outline requirements for
participants in the program for the
testing of food by LAAF-accredited
laboratories. FDA also derives authority
for these requirements from section
701(a) of the FD&C Act (21 U.S.C.
371(a)), which authorizes FDA to issue
regulations for the efficient enforcement
of the FD&C Act.
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D. Costs and Benefits
The rule will require that testing of
food in certain circumstances be
performed by a laboratory that is LAAFaccredited by a recognized accreditation
body, and for the testing results to be
submitted directly to us. The costs of
the rule primarily will be incurred by
participating accreditation bodies,
participating laboratories, shell egg
producers, sprouts producers, bottled
drinking water manufacturers, owners
and consignees of certain import-related
food, and FDA. Rarely, certain firms
will have participating laboratories
conduct tests for other reasons
including as part of a corrective action
plan after an order suspending
registration, as part of evidence for a
hearing prior to issuance of a mandatory
recall order, as part of evidence for an
appeal of an administrative detention
order, and as required under a directed
food laboratory order (formerly, a food
testing order). We will incur costs to,
among other things, establish and
maintain the program for recognizing
accreditation bodies that apply to
participate in our program, evaluate
participating accreditation bodies and
review the performance of participating
laboratories, and review associated
documents and reports. The present
value of the costs of the rule ranges from
$38 million to $66 million when
discounted by 7 percent over 10 years
and from $43 million to $77 million
when discounted by 3 percent over 10
years. Annualized costs over 10 years
range from $5.8 million to $9.6 million
when discounted by 7 percent, and from
$5.9 million to $9.7 million when
discounted by 3 percent.
The rule will generate some
quantified and unquantified benefits.
Quantified benefits include a reduction
in the number of foodborne illnesses
from fewer false negative test results for
import-related food covered under the
rule and for shell eggs, sprouts, and
Abbreviation/acronym
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II. Table of Abbreviations/Commonly
Used Acronyms in This Document
What it means
AAVLD ........................................
ANSI ............................................
AOAC ..........................................
APA .............................................
CFR .............................................
CPSC ..........................................
CVM ............................................
DWPE .........................................
EO ...............................................
E. coli ..........................................
FDA .............................................
FD&C Act ....................................
FOIA ............................................
FR ...............................................
FRIA ............................................
FSMA ..........................................
FSVP ...........................................
HACCP ........................................
IBR ..............................................
IEC ..............................................
ILAC ............................................
IOM .............................................
ISO ..............................................
LAAF ...........................................
MRA ............................................
NIST ............................................
NRTE ..........................................
NTTAA ........................................
OMB ............................................
ORA ............................................
PLAP ...........................................
PRA .............................................
PRIA ............................................
SAHCODHA ................................
U.S.C. ..........................................
Vet-LIRN .....................................
WTO ............................................
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bottled drinking water testing covered
under the rule. We anticipate cost
savings from the clarification of the
process for compiling, submitting, and
reviewing analytical reports for importrelated food covered under this rule,
including reduced reporting burden.
There would be less revenue lost from
fewer false positive test results for
import-related food covered under the
rule and for tests of shell eggs, sprouts,
and bottled drinking water testing
covered under the rule. The present
value of the benefits of the rule ranges
from $46 million to $88 million when
discounted at 7 percent over 10 years
and ranges from $56 million to $106
million when discounted at 3 percent
over 10 years. Annualized benefits over
10 years range from $6.6 million to
$12.5 million when discounted by both
7 and 3 percent.
American Association of Veterinary Laboratory Diagnosticians.
American National Standards Institute.
AOAC International.
Administrative Procedure Act.
Code of Federal Regulations.
Consumer Product Safety Commission.
Center for Veterinary Medicine.
Detention Without Physical Examination.
Executive Order.
Escherichia coli.
United States Food and Drug Administration.
Federal Food, Drug, and Cosmetic Act.
Freedom of Information Act.
Federal Register.
Final Regulatory Impact Analysis.
FDA Food Safety Modernization Act.
Foreign Supplier Verification Program.
Hazard Analysis and Critical Control Point.
Incorporation by Reference.
International Electrotechnical Commission.
International Laboratory Accreditation Cooperation.
Investigations Operations Manual.
International Organization for Standardization.
Laboratory Accreditation for Analyses of Foods.
Mutual Recognition Arrangement.
National Institute of Standards and Technology.
Not Ready to Eat.
National Technology Transfer and Advancement Act of 1995.
Office of Management and Budget.
Office of Regulatory Affairs.
Private Laboratory Analytical Package.
Paperwork Reduction Act of 1995.
Preliminary Regulatory Impact Analysis.
Serious Adverse Health Consequences or Death to Humans or Animals.
United States Code.
Veterinary Laboratory Investigation and Response Network.
World Trade Organization.
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III. Background
A. Need for the Regulation
FSMA is transforming the nation’s
food safety system by shifting the focus
from responding to foodborne illness to
preventing it. Congress enacted FSMA
in response to dramatic changes in the
global food system and in our
understanding of foodborne illness and
its consequences, including the
realization that preventable foodborne
illness is both a significant public health
problem and a threat to the economic
well-being of the food system. FSMA
provides us with new enforcement
authorities designed to achieve higher
rates of compliance with risk-based,
prevention-oriented safety standards
and to better respond to and contain
problems when they do occur. In
addition, FSMA gives us important new
tools to better ensure the safety of
imported foods and encourages
partnerships with State, local, tribal,
and territorial authorities. In
implementing FSMA, we prioritized the
development of seven foundational
rules that provide the framework for
risk-based preventive controls and
enhance our ability to oversee their
implementation by industry for both
domestic and imported food. We have
finalized these foundational rules and
begun their implementation while also
developing additional programs
required by FSMA, including this
program for food testing by accredited
laboratories.
FSMA, in establishing section 422 of
the FD&C Act, underscores that food
testing can play a role in detecting and
responding to food safety problems.
Section 422(b)(1) of the FD&C Act
requires that food be tested by
laboratories accredited to the standards
we are establishing in this final rule in
four circumstances:
• In response to a specific testing
requirement under the FD&C Act or
implementing regulations, when
applied to address an identified or
suspected food safety problem;
• As required by the Secretary of
Health and Human Services (Secretary),
as the Secretary deems appropriate, to
address an identified or suspected food
safety problem;
• In support of admission of an article
of food under section 801(a) of the
FD&C Act (21 U.S.C. 381(a)); and
• Under an import alert that requires
successful consecutive tests.
With one exception, section 422(b)(2)
of the FD&C Act requires the results of
food testing conducted under section
422(b)(1) to be sent directly to FDA,
thereby allowing FDA to review the test
results.
Direct receipt of food testing results in
these circumstances is of particular
importance to the Agency and to public
health. This rule applies to food testing
conducted under specific testing
requirements in the FD&C Act and
implementing regulations that ‘‘address
an identified or suspected food safety
problem’’, and in directed food
laboratory orders that we will issue ‘‘as
required by the Secretary, as the
Secretary deems appropriate, to address
an identified or suspected food safety
problem.’’ Further, owners and
consignees often engage private
laboratories to test their food products
and submit the results of the testing,
along with associated analysis and data,
to us to show that the imported food
complies with the FD&C Act. If we
determine that the food testing results
are valid and that they demonstrate the
detained food product does not violate
the FD&C Act, we will release the food
from detention and allow it to proceed
into the United States. We use the
detention without physical examination
(DWPE) procedure when there exists a
history of the importation of violative
products, or products that may appear
violative, or when other information
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indicates that future entries may appear
violative. Import alerts inform FDA field
staff and the public that we have enough
evidence to allow for DWPE of products
that appear to be in violation of FDA
laws and regulations. Concerns
periodically have arisen regarding
importers’ manipulation or substitution
of the samples a private laboratory tests,
and practices such as ‘‘testing into
compliance,’’ in which multiple
samples from a shipment are tested, but
only those results that would allow the
shipment to enter the United States are
submitted to us. See, e.g., ‘‘The Safety
of Food Imports: Fraud & Deception in
the Food Import Process; Hearings
Before the Senate Committee on
Governmental Affairs, Permanent
Subcommittee on Investigations,’’
September 10, 1998 (statement of
‘‘Former Customs Broker’’) (Ref. 1, pages
26–34 and 137–140).
B. Summary of Comments to the
Proposed Rule
We published a proposed rule for
‘‘Laboratory Accreditation for Analyses
of Foods’’ (the proposed rule) in the
Federal Register on November 4, 2019
(84 FR 59452). The comment period was
extended twice (85 FR 11893 (February
28, 2020); 85 FR 19114 (April 6, 2020)).
Upon close of the comment period on
July 6, 2020, we had received
approximately 70 comment submissions
that covered almost every aspect of the
proposed rule.
C. General Overview of the Final Rule
We have made changes in the final
rule in response to public comments;
these changes are discussed in greater
detail in section V below. Additionally,
we have revised the final rule to
improve clarity and readability. We also
have reorganized the final rule as
described in the following table.
TABLE 1—SUMMARY OF SECTION NUMBERING CHANGES IN THE FINAL RULE
§ 1.1101
part?
§ 1.1102
§ 1.1103
Final rule
Proposed rule
General provisions
General provisions
What documents are incorporated by reference in this sub-
N/A.
What definitions apply to this subpart? ...................................
Who is subject to this subpart? ...............................................
§ 1.1102 What definitions apply to this subpart?
§ 1.1103 Who is subject to this subpart?
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General Requirements
§ 1.1107
General Requirements of this Subpart
When must food testing be conducted under this subpart? ...
§ 1.1108 When and how will FDA issue a directed food laboratory
order?
§ 1.1109 How will FDA make information about recognized accreditation bodies and LAAF-accredited laboratories available to the public?
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§ 1.1107 Under what circumstances must food testing be conducted
under this subpart by an accredited laboratory?
§ 1.1108 When and how will FDA issue a food testing order?
§ 1.1109 How will FDA make information about recognized accreditation bodies and accredited laboratories available to the public?
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TABLE 1—SUMMARY OF SECTION NUMBERING CHANGES IN THE FINAL RULE—Continued
Final rule
Proposed rule
General provisions
General provisions
§ 1.1110 What are the general requirements for submitting information
to FDA under this subpart?
FDA Recognition of Accreditation Bodies
Recognition of Accreditation Bodies
§ 1.1113 What are the eligibility requirements for a recognized accreditation body?
§ 1.1117 How may an accreditation body request reinstatement of
recognition?
§ 1.1113 What requirements must an accreditation body meet to be
recognized by FDA?
§ 1.1118 What are the general requirements for recognized accreditation bodies to remain recognized?
§ 1.1128 How does an accreditation body apply to FDA for recognition or renewal of recognition?
§ 1.1129 How will FDA review applications for recognition and applications for renewal of recognition?
§ 1.1132 What must a recognized accreditation body do if it wants to
voluntarily relinquish its recognition or does not want to renew its
recognition?
§ 1.1133 How does an accreditation body request reinstatement of
recognition?
Requirements for Recognized Accreditation Bodies
Requirements for Recognized Accreditation Bodies
N/A—(contents combined with § 1.1113) .................................................
§ 1.1123 What reports, notifications, and documentation must a recognized accreditation body submit to FDA?
§ 1.1124 What are the records requirements for a recognized accreditation body?
§ 1.1125 What are the internal audit requirements for a recognized
accreditation body?
§ 1.1118 What are the general requirements for recognized accreditation bodies to remain recognized?
§ 1.1119 What requirements apply to how a recognized accreditation
body must protect against conflicts of interests?
§ 1.1120 How must a recognized accreditation body evaluate laboratories seeking accreditation and oversee the performance of laboratories it accredits?
§ 1.1121 What appeal procedures must a recognized accreditation
body provide for appeals of decisions to not grant accreditation?
§ 1.1122(h) Appeals procedures.
§ 1.1122 When must a recognized accreditation body withdraw or reduce the scope of the accreditation of a laboratory, and when may a
recognized accreditation body put an accredited laboratory on probation?
§ 1.1123 What reports and notifications must a recognized accreditation body submit to FDA?
§ 1.1124 What records requirements must a recognized accreditation
body meet?
§ 1.1125 What internal audit requirements must a recognized accreditation body meet?
FDA Oversight of Recognized Accreditation Bodies
Procedures for Recognition of Accreditation Bodies
§ 1.1130 How will FDA oversee recognized accreditation bodies? .......
§ 1.1131 When will FDA require corrective action, put a recognized
accreditation body on probation, or revoke the recognition of an accreditation body?
§ 1.1130 How will FDA oversee recognized accreditation bodies?
§ 1.1131 When will FDA revoke the recognition of an accreditation
body or put a recognized accreditation body on probation?
LAAF-Accreditation of Laboratories
Accreditation of Laboratories
§ 1.1138 What are the eligibility requirements for a LAAF-accredited
laboratory?
§ 1.1139 How does a laboratory apply for LAAF-accreditation or extend its scope of LAAF-accreditation?
§ 1.1140 What must a LAAF-accredited laboratory do to voluntarily relinquish its LAAF-accreditation?
§ 1.1141 What is the effect on a LAAF-accredited laboratory if its recognized accreditation body is no longer recognized by FDA?
§ 1.1142 How does a laboratory request reinstatement of LAAF-accreditation?
§ 1.1138 What requirements must a laboratory meet to become accredited by a recognized accreditation body?
§ 1.1146 What are the general requirements for accredited laboratories to remain accredited?
§ 1.1158 How does a laboratory apply for accreditation or modification
of its scope of accreditation by a recognized accreditation body?
§ 1.1163 What if a laboratory wants to voluntarily relinquish its accreditation?
§ 1.1164 What is the effect on accredited laboratories if their accreditation body voluntarily or involuntarily loses its recognition?
§ 1.1165 How does a laboratory request reinstatement of accreditation?
Requirements for LAAF-Accredited Laboratories
Requirements for Accredited Laboratories
Content added to § 1.1138 .......................................................................
§ 1.1146 What are the general requirements for accredited laboratories to remain accredited?
§ 1.1147 What impartiality and conflict of interest requirements must
accredited laboratories meet?
§ 1.1114 How does an accreditation body apply to FDA for recognition or renewal of recognition?
§ 1.1115 How will FDA evaluate applications for recognition and renewal of recognition?
§ 1.1116 What must a recognized accreditation body do to voluntarily
relinquish or not renew its recognition?
§ 1.1119 What are the conflict of interest requirements for a recognized accreditation body?
§ 1.1120 How must a recognized accreditation body assess laboratories seeking LAAF-accreditation and oversee LAAF-accredited laboratories?
§ 1.1121 When must a recognized accreditation body require corrective action, suspend a LAAF-accredited laboratory, reduce the scope
of or withdraw the LAAF-accreditation of a laboratory?
§ 1.1122 What procedures must a recognized accreditation body provide for appeals of decisions to suspend, reduce the scope of, withdraw, or deny LAAF-accreditation?
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N/A.
§ 1.1147 What are the impartiality and conflict of interest requirements
for a LAAF-accredited laboratory?
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TABLE 1—SUMMARY OF SECTION NUMBERING CHANGES IN THE FINAL RULE—Continued
Final rule
Proposed rule
General provisions
General provisions
Content moved to § 1.1138 ......................................................................
§ 1.1148 What quality assurance requirements must accredited laboratories meet?
§ 1.1149 What oversight standards apply to sampling?
§ 1.1150 What requirements apply to analysis of samples by an accredited laboratory?
§ 1.1151 What requirements apply to the methods of analysis an accredited laboratory uses to conduct food testing under this subpart?
§ 1.1149 What oversight standards apply to sampling? ........................
§ 1.1150 What are the requirements for analysis of samples by a
LAAF-accredited laboratory?
§ 1.1151 What requirements apply to the methods of analysis a
LAAF-accredited laboratory uses to conduct food testing under this
subpart?
§ 1.1152 What notifications, results, reports, and studies must a
LAAF-accredited laboratory submit to FDA?
§ 1.1153 What are the requirements for submitting abridged analytical
reports?
§ 1.1154 What other records requirements must a LAAF-accredited
laboratory meet?
§ 1.1152 What notifications, results, and reports must accredited laboratories submit to FDA?
N/A.
§ 1.1153 What other records requirements must an accredited laboratory meet?
FDA Oversight of LAAF-Accredited Laboratories
§ 1.1159
§ 1.1160
Procedures for Accreditation of Laboratories
How will FDA oversee LAAF-accredited laboratories? ...........
How will FDA review test results and analytical reports? .......
§ 1.1161 When will FDA require corrective action, put a LAAF-accredited laboratory on probation, or disqualify a LAAF-accredited laboratory from submitting analytical reports?
§ 1.1162 What are the consequences if FDA puts a LAAF-accredited
laboratory on probation or disqualifies a LAAF-accredited laboratory?
How will FDA oversee accredited laboratories?
How will FDA review submitted test results and analytical reWhen will FDA put an accredited laboratory on probation or
the accreditation of a laboratory?
§ 1.1162 What are the consequences if FDA puts an accredited laboratory on probation or revokes the accreditation of a laboratory?
Requesting FDA Reconsideration or Regulatory Hearings of FDA
Decisions Under This Subpart
Requesting FDA Reconsideration, FDA Internal Review, or Regulatory
Hearings of FDA Decisions Under This Subpart
§ 1.1171 How does an accreditation body request reconsideration by
FDA of a decision to deny its application for recognition, renewal, or
reinstatement?
§ 1.1173 How does an accreditation body or laboratory request a regulatory hearing on FDA’s decision to revoke the accreditation body’s
recognition or disqualify a LAAF-accredited laboratory?
§ 1.1171 How does an accreditation body request reconsideration by
FDA of a decision to deny its application for recognition, renewal, or
reinstatement?
§ 1.1173 How does an accreditation body or laboratory request a regulatory hearing on FDA’s decision to revoke the recognized accreditation body’s recognition or revoke the accredited laboratory’s accreditation?
§ 1.1174 How does an owner or consignee request a regulatory hearing on a food testing order?
§ 1.1174 How does an owner or consignee request a regulatory hearing on a directed food laboratory order?
Electronic Records and Public Disclosure Requirements
Electronic Records and Public Disclosure Requirements under This
Subpart
§ 1.1199 Are electronic records created under this subpart subject to
the electronic records requirements of part 11 of this chapter?
§ 1.1200 Are the records obtained by FDA under this subpart subject
to public disclosure?
§ 1.1199 Are electronic records created under this subpart subject to
the electronic records requirements of part 11 of this chapter?
§ 1.1200 Are the records obtained by FDA under this subpart subject
to public disclosure?
Also, in one location in the proposed
rule we inadvertently misstated the title
of this subpart (the third codified
instruction, 84 FR 59452 at 59501).
Throughout the final rule we correctly
state the subpart title (‘‘Laboratory
Accreditation for Analyses of Foods’’).
D. Incorporation by Reference
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§ 1.1159
§ 1.1160
ports?
§ 1.1161
revoke
FDA is incorporating by reference two
consensus standards, which were
approved by the Office of the Federal
Register in accordance with 5 U.S.C.
552(a) and 1 CFR part 51. Both
standards are widely accepted globally.
The consensus standards may be
examined at FDA’s Dockets
Management Staff (see ADDRESSES).
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The standards listed below are
available for purchase from the
International Organization for
Standardization (ISO), Chemin de
Blandonnet 8, CP 401, 1214 Vernier,
Geneva, Switzerland, +41 22 749 01 11,
central@iso.org (https://www.iso.org/
store.html) or from any other source
from which the user is assured that the
copy to be received is an accurate
version of the standard.
ISO/IEC 17011:2017, Conformity
assessment—Requirements for
accreditation bodies accrediting
conformity assessment bodies, Second
edition, November 2017 (Ref. 2). ISO/
IEC 17011:2017 specifies the general
standards for accreditation bodies
assessing and accrediting conformity
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assessment bodies (‘‘conformity
assessment bodies’’ are organizations
providing testing, inspection,
management system certification,
personnel certification, or product
certification). Its incorporation by
reference should allow us to use a
framework that is familiar to
accreditation bodies and the laboratory
industry.
ISO/IEC 17025:2017, General
requirements for the competence of
testing and calibration laboratories,
Third edition, November 2017 (Ref. 3).
ISO/IEC 17025:2017 sets general
standards for the competence of testing
laboratories, including general
management requirements such as
impartiality and quality assurance. It is
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very familiar to the testing laboratories
that may be interested in applying to
conduct food testing under this subpart.
IV. Legal Authority
We are issuing this final rule under
the FD&C Act and FSMA. As noted,
section 202(a) of FSMA, ‘‘Laboratory
Accreditation for Analyses of Foods’’,
amends the FD&C Act to create a new
provision, section 422, under the same
name. Section 422 of the FD&C Act
directs us to establish a program for the
testing of food by accredited laboratories
and provides several requirements for
the program.
Additionally, section 701(a) of the
FD&C Act gives FDA the authority to
publish regulations for the efficient
enforcement of the FD&C Act. The
requirements discussed in this final rule
will allow FDA to efficiently enforce
section 422 of the FD&C Act. Thus, our
legal authority for this final rule is
derived primarily from section 422 and
section 701(a) of the FD&C Act. Further,
we also note that this rule is consistent
with section 404 of FSMA, which states
that nothing in FSMA should be
construed in a manner that is
inconsistent with the agreement
establishing the World Trade
Organization (WTO) or any other treaty
or international agreement to which the
United States is a party.
Section 379j–31 of the FD&C Act (21
U.S.C. 743) is one of many statutory
provisions that provide authority for
FDA’s regulations contained in part 1
(21 CFR part 1). We inadvertently
omitted that citation from the authority
citation in the proposed rule, but have
included it in the final rule.
V. Comments on the Proposed Rule and
FDA Response
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A. Introduction
We received approximately 70
comment submissions on the proposed
rule by the close of the comment period,
each containing one or more comments
on one or more issues. We received
comments from consumers, food
associations, accreditation bodies,
laboratory associations, laboratories,
consumer groups, and other
organizations.
In the remainder of this document, we
describe the comments that are within
the scope of this rulemaking, respond to
them, and explain any revisions we
made to the proposed rule.
We have numbered each comment to
help distinguish between different
comments. We have grouped similar
comments together under the same
number, and, in some cases, we have
separated different issues discussed in
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the same comment and designated them
as distinct comments for purposes of
our responses. The number assigned to
each comment or comment topic is
purely for organizational purposes and
does not signify the comment’s value or
importance or the order in which
comments were received.
Note that summaries of and responses
to comments on the estimated costs and
benefits of the proposed rule and other
topics covered by the Preliminary
Regulatory Impact Analysis (PRIA) may
be found in the Final Regulatory Impact
Analysis (FRIA) (Ref. 4).
B. General Comments
Many comments made general
remarks supporting or opposing the
proposed rule without focusing on a
particular proposed provision. Further,
several comments made overarching
comments that pertain to the rule more
generally, focusing on issues throughout
the rule such as program structure,
FDA’s role, terminology, and
implementation. In the following
paragraphs, we discuss and respond to
such general comments.
(Comment 1) We received many
comments expressing general support
for the proposed rule, most expressing
the view that the LAAF program would
help to ensure the safety of food. Some
of these comments stress the importance
of accurate and reliable food testing
results, and the role of valid results in
enhancing food safety. Some comments
focus on the advantages of setting
quality standards and establishing
accountability for food testing
laboratories. Some comments opine that
the laboratory accreditation program
will increase U.S. consumer confidence
in the safety of the food supply. Other
comments maintain that the program
will result in fewer illnesses, thus
reducing healthcare costs. Other
comments express support for
implementation of FSMA section 202
and the underlying goals of the
laboratory accreditation program, e.g.,
improved safety of imported food,
trustworthy testing results. A few
comments opine that the rule would
lead to more efficient food imports by
clarifying what information needs to be
in a laboratory analytical report, which
should in turn expedite FDA review of
those reports. These comments assert
that such efficiencies are particularly
valuable when the imported food is
perishable, such as produce. Some of
these comments further suggest that a
more efficient review process for FDA
could allow FDA to focus its limited
resources on imports that generally are
not subject to testing under this subpart.
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(Response 1) We appreciate the
comments in support of the proposed
rulemaking and moving forward to
implement the LAAF program. We agree
that the program established by the final
rule will help ensure the safety of food
and should increase U.S. consumer
confidence in the food supply. We also
agree that requiring analyses to be
performed by LAAF-accredited
laboratories that meet the standards set
forth in the final rule will make tests
consistently more accurate and prevent
illnesses. Further, setting model
standards for LAAF-accredited
laboratories will improve the reliability
and accountability of test results on
which we rely to make regulatory
decisions regarding certain foods.
We agree with comments predicting
fewer illnesses as a result of this final
rule. For additional discussion of the
cost benefit analysis associated with this
final rule, see section VII. We also agree
there will be efficiencies gained for
industry and FDA from clarifying the
requirements in an analytical report and
from the process that allows submission
of abridged analytical reports.
(Comment 2) Some comments
question whether the LAAF program
established by this final rule would
make a food safety impact because only
a small fraction of food testing
laboratories are likely to participate.
(Response 2) Although the laboratory
accreditation rule does not set
mandatory standards for all food testing
laboratories, the program will make an
important difference for the food testing
subject to the rule, as the testing
situations covered by the rule all
involve heightened food safety
concerns. Therefore, the food testing
covered by the rule addresses the
specific circumstances in which
accurate and reliable test results are
especially important to protect public
health. We also anticipate that some
owners or consignees who are not
covered by the rule may choose to use
a LAAF-accredited laboratory because
these laboratories will have met the
program standards; this would create a
benefit incidental to the program.
Finally, we expect that creating model
laboratory standards based on ISO/IEC
17025:2017 accreditation may
encourage other laboratories to work
toward these standards, including
accreditation.
(Comment 3) Some comments are
generally supportive of the proposed
rule but state that FDA already regulates
food safety, and because it is unclear
how much safer food would be as a
result of the proposed rule, the
resources necessary for this program
may be better spent elsewhere. A subset
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of these comments states that the
proposed rule would make food safety
regulations more complicated for small
food businesses and would also burden
small food businesses with additional
costs.
(Response 3) As described in section
422 of the FD&C Act, this final rule will
establish a program for the accreditation
of laboratories the use of which will be
required in certain circumstances where
heightened food safety concerns exist.
We estimate the benefits outweigh the
costs of the rule. For additional
information on the estimated costs and
benefits of this final rule, see section VII
and the FRIA (Ref. 4). As mentioned in
the preceding response, there may be
other benefits incidental to the LAAF
program.
Some comments express concern that
this rule may complicate the regulatory
landscape for small business owners
and consignees that are also subject to
other food safety regulations. It is true
that some small owners and consignees
will be required to use a LAAFaccredited laboratory for the testing
described in § 1.1107. However, this
rule does not create new testing
requirements; it merely requires certain
tests that are already occurring to be
conducted by a LAAF-accredited
laboratory. Further, in some cases the
regulation creating the underlying
testing requirement addresses this issue
in its application to small businesses.
For example, § 1.1107(a)(1)(ii) provides
that certain shell egg tests required by
the egg safety rule (see part 118 (21 CFR
part 118)) are covered by this final rule.
However, the egg safety rule does not
apply to producers with less than 3,000
laying hens at a particular farm (see
§ 118.1(a)). Accordingly, those small egg
producers are unaffected by this
provision of the final rule. We also
expect that the online registry of LAAFaccredited laboratories, described in
§ 1.1109, will make it easy for all
owners and consignees to locate
laboratories LAAF-accredited to
conduct the tests covered by this
subpart.
Regarding the concern that this final
rule will burden small owners and
consignees with additional costs, see the
discussion below in section VII and the
FRIA (Ref. 4).
(Comment 4) Some comments express
support for specific aspects of the
proposed rule, including the provisions
protecting against conflicts of interest,
and state that the program would
improve transparency and consistency
in the food testing that falls within its
scope. Some comments contend that
there have been situations in which a
food is described in terms such as
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‘‘safe’’ based on biased testing
conducted by the food’s producer.
(Response 4) We appreciate the
supportive comments regarding the
conflict of interest provisions. FDA
anticipates that the model laboratory
standards being established in this final
rule, as well as the program
requirements for LAAF-accreditation of
laboratories by recognized accreditation
bodies, will increase the reliability of
tests conducted under this subpart.
Ensuring that both accreditation bodies
and laboratories are free from conflicts
of interest is critical to the integrity of
food testing conducted under this
subpart. For more information on the
conflict of interest requirements
applicable to recognized accreditation
bodies, see the discussion of § 1.1119
below; for more information on the
conflict of interest requirements
applicable to LAAF-accredited
laboratories, see the discussion of
§ 1.1147 below.
(Comment 5) Some comments support
the establishment of laboratory
standards and appreciate the
transparency of the public registry that
will list recognized accreditation bodies
and LAAF-accredited laboratories but
express concern that laboratories would
conform to the standards only while
being actively monitored by the Agency.
These comments encourage the Agency
to address this risk.
(Response 5) We acknowledge a
hypothetical risk that LAAF-accredited
laboratories might conform to standards
only while being actively monitored by
FDA; however, we believe that the
model laboratory standards and
reporting requirements we are
establishing in this final rule, as well as
oversight of LAAF-accredited
laboratories by both recognized
accreditation bodies and FDA, will
adequately address this risk. For
example, under this subpart, FDA will
recognize accreditation bodies that will
LAAF-accredit laboratories to conduct
certain testing of food under this
subpart. Recognized accreditation
bodies’ assessment of LAAF-accredited
laboratories involves onsite and remote
assessments as described in § 1.1120 of
the rule. FDA may conduct an onsite or
remote review of a LAAF-accredited
laboratory at any reasonable time to
review performance (see § 1.1159(c)).
LAAF-accredited laboratories must
submit quality control results with each
analytical report (see §§ 1.1152(d)(8),
1.1153(c)(2)), so FDA will be able to
review the quality control results to
ensure that methods are performed
correctly. Further, for LAAF-accredited
laboratories that submit abridged
analytical reports, FDA may audit these
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reports by requesting that additional
documentation or a full analytical report
be submitted within 72 hours of the
request (see § 1.1153(d)(2)).
In sum, in this final rule, FDA is
establishing requirements for
accreditation bodies and laboratories
that will provide sufficient oversight of
LAAF-accredited laboratories such that
we expect consistent quality test results
to be the norm.
(Comment 6) A few comments
philosophically disagree with defining
and regulating food at all, and thus
oppose the establishment of a program
to require any laboratory testing of food.
(Response 6) Congress defined ‘‘food’’
in section 201(f) of the FD&C Act (21
U.S.C. 321(f)) and by statute has
authorized FDA to regulate food,
including in section 422 of the FD&C
Act, which directs FDA to establish this
program.
(Comment 7) Some comments ask
what effect the final rule will have on
existing food testing laboratories. Other
comments express a concern that some
individuals may perceive that test
results from laboratories not
participating in the LAAF program are
suspect or less valuable.
(Response 7) Food testing laboratories
are not required to participate in this
program; however, owners and
consignees will be required to use a
LAAF-accredited laboratory for the food
testing covered by this rule, such as
testing to support removal from import
alert and the shell egg testing required
by part 118 (see § 1.1107). Laboratories
that wish to conduct the food testing
covered by this rule will need to apply
to a recognized accreditation body and
must satisfy the standards established in
this final rule in order to voluntarily
participate in the program. A LAAFaccredited laboratory engaged by an
owner or consignee to conduct the food
testing covered by this final rule will
conduct the test and send the results
directly to FDA, in accordance with the
requirements of this subpart.
Food testing laboratories that do not
wish to conduct the testing described in
§ 1.1107 are not required to participate
in the program.
We do not expect this program to
decrease confidence in food laboratories
that choose not to become LAAFaccredited, in part due to the very large
number of food testing laboratories that
exist and conduct all sorts of food
testing for myriad customers and
purposes. We view the program as
beneficial to the food testing industry,
as an explicit goal of the statute is to
increase the number of qualified food
testing laboratories. See section
422(a)(3) of the FD&C Act.
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(Comment 8) Some comments
advocate for expanded roles for the
laboratories that participate in this
program. Some of these comments
suggest that LAAF-accredited
laboratories could conduct tests for
FDA’s surveillance sampling program
and argue that sufficient capacity exists
in the United States for ISO/IEC
17025:2017-accredited laboratories to
conduct all DWPE and FDA surveillance
sampling and testing. Under the
surveillance sampling program, FDA
focuses its sampling and testing efforts
on a few commodities at a time with the
goals of keeping contaminated products
from reaching consumers and
facilitating a greater understanding of
hazards. For more information on FDA’s
surveillance sampling, see https://
www.fda.gov/food/sampling-protectfood-supply/microbiologicalsurveillance-sampling. These comments
also suggest that FDA should create a
program whereby private laboratories
meet the standards of FDA laboratories,
such that FDA could rely on those
private laboratories for its testing needs
and therefore focus its resources
elsewhere. Finally, these comments
suggest that independent accredited
laboratories could also conduct
sampling and testing on imported food,
most of which is not sampled and tested
by FDA prior to entry.
(Response 8) This final rule
establishes the LAAF program, the
scope of which is specified in FD&C Act
section 422(b)(1) and described in
§ 1.1107. All the tests that will be
conducted by LAAF-accredited
laboratories are currently being
conducted by non-FDA laboratories
(e.g., private laboratories). Expanding
the scope of this program to include
testing currently conducted by FDA
laboratories, such as surveillance
sampling, was not proposed because it
is not contemplated by the statute. Any
future expansion of this program will be
accomplished via rulemaking and will
include an opportunity for public
comment.
(Comment 9) Some comments offer
general support for this subpart, stating
that it will improve the defensibility of
the resulting test data by ensuring that
all participating laboratories operate in
accordance with a robust quality
management system. These comments
suggest that as we continue to develop
the LAAF program, we consider two
documents that were developed to
improve the defensibility of human and
animal food laboratory data: The
Partnership for Food Protection
document, ‘‘Human and Animal Food
Testing Laboratories Best Practices
Manual,’’ (Ref. 5) and the Association
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for Public Health Laboratories
document, ‘‘Best Practices for
Submission of Actionable Human and
Animal Food Testing Data Generated in
State and Local Laboratories’’ (Ref. 6).
The former document is based on ISO/
IEC 17025:2017 and its purpose is to
‘‘promote mutual acceptance and
assurance of quality laboratory data
shared among Federal, State, local,
territorial, and tribal human and animal
food regulatory agencies.’’ (Ref. 5). The
latter document, focused on
unaccredited laboratories, provides
information on the minimum elements
of a quality management system.
(Response 9) FDA appreciates this
support and information. As an active
member of the Partnership for Food
Protection initiative, FDA is particularly
familiar with the former document. We
consider both documents to be helpful
resources for the intended audiences.
1. FDA’s Role and Related Terminology
In the proposed rule, FDA sought to
define ‘‘accreditation’’ to mean, ‘‘a
determination by a recognized
accreditation body that a laboratory
meets the applicable requirements of
this subpart to conduct food testing
under this subpart using one or more
methods of analysis’’ (emphasis added).
We then proceeded to use the word
‘‘accreditation’’ to mean that a
laboratory had been approved to
conduct testing under this subpart. For
example, we wrote that the proposed
rule ‘‘would establish certain model
laboratory standards that accredited
laboratories must meet to remain
accredited’’ (84 FR 59452 at 59478). By
way of another example, we wrote that
the proposed provision on duration of
accreditation under this subpart,
‘‘clarifies that an accredited laboratory’s
accreditation continues’’ until there is a
voluntary or involuntary separation
from the program (id. at 59489).
Consequently, when we used phrases
such as, ‘‘FDA may revoke
accreditation,’’ we intended to
communicate that FDA could cause the
involuntary separation of a laboratory
from this program. For example, we
wrote that ‘‘if we revoke the
accreditation in whole of a laboratory,
the laboratory would be immediately
ineligible to conduct food testing under
this rule’’ (id. at 59491).
We did not propose to define the term
‘‘assess.’’ However, we generally used it
interchangeably with ‘‘evaluate.’’ For
example, we entitled one section,
‘‘[h]ow must a recognized accreditation
body evaluate laboratories seeking
accreditation and oversee the
performance of laboratories it
accredits?’’ (Proposed § 1.1120, 84 FR
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59452 at 59469). By way of additional
examples, we also wrote, ‘‘[a]s the ISO/
IEC 17025 revision is still relatively
new, FDA is not able to adequately
assess the accreditation of entities that
only conduct sampling at this time’’ (id.
at 59476); we said it was critical that we
receive sufficient supporting
information ‘‘for us to understand the
test results and to assess the validity of
the underlying testing’’ (id. at 59482)
and we asserted authority to ‘‘exercise
some ability to oversee accredited
laboratories, via requesting records and,
if appropriate, conducting onsite
assessments’’ (id. at 59490).
(Comment 10) Numerous comments
request that FDA address and clarify the
roles and relationships among the
Agency, recognized accreditation
bodies, and LAAF-accredited
laboratories under this subpart.
Several comments contend that the
Agency should not use the words
‘‘assess’’ or ‘‘accredit’’ to describe
Agency actions toward laboratories.
Similarly, comments argued that FDA
could not revoke a laboratory’s
‘‘accreditation.’’ We understand several
comments to be suggesting that the
words ‘‘accredit’’ and ‘‘assess’’ have
particular meaning in the accreditation
body and laboratory community, and in
the context of food testing, that meaning
is always and necessarily related to the
voluntary consensus standard ISO/IEC
17025:2017. For example, some
comments state that FDA should limit
its onsite ‘‘assessments’’ of laboratories
to matters pertaining to this subpart.
Comments explain that failure by FDA
to use key terms as they are understood
in the industry will lead to market
confusion, e.g., regarding the ISO/IEC
17025:2017 accreditation status of
laboratories.
Some comments express concern that
FDA may be under the impression that
it can affect the ISO/IEC 17025:2017
accreditation of laboratories, either by
‘‘assessing’’ against the ISO/IEC
17025:2017 standard or by withdrawing
a laboratory’s ISO/IEC 17025:2017
accreditation. Comments argue that
such a role is contrary to the
Congressional intent underlying section
422 of the FD&C Act. Comments state
that Congress did not intend for FDA to
be an accreditation body. Some
comments contend that FDA’s role in
the rule as proposed would be
redundant of or ‘‘above’’ the role of the
recognized accreditation bodies. Some
comments express concern that FDA
would be able to coerce a recognized
accreditation body into withdrawing a
laboratory’s ISO/IEC 17025:2017
accreditation.
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Some comments suggest that FDA’s
role should be administering a program
that evaluates data or program integrity.
Some comments suggest that FDA
reframe its relationship with the
laboratories in terms of an agreement to
list and de-list the laboratories on our
online registry. Some comments
recommend that FDA grant each
laboratory a license to conduct testing
under this subpart. In this framework,
comments state that FDA’s role with
regard to the laboratories would be
limited to the review of test results and
analytical reports submitted to FDA by
the laboratories. Some comments
suggest that FDA should perform some
level of review, even if brief, of
laboratory applications approved by
recognized accreditation bodies. Finally,
some comments offer to work with FDA
to more clearly define roles and
responsibilities under this program.
(Response 10) We agree that
substantial revisions and considerable
clarification are in order.
In proposing to define
‘‘accreditation,’’ to reflect a positive
assessment by a recognized
accreditation body under this subpart,
we failed to sufficiently appreciate that
in the context of food testing, many
parties may perceive ‘‘accreditation,’’ to
mean accreditation to ISO/IEC
17025:2017. Similarly, when we used
the word, ‘‘assess,’’ we did not intend to
communicate, ‘‘assess against ISO/IEC
17025:2017.’’ Instead, we used the word
as consistent with its more general use:
The Cambridge Dictionary defines
‘‘assess’’ as, ‘‘to judge or decide the
amount, value, quality, or importance of
something.’’ (Ref. 7).
Accordingly, it was not our intent to
communicate that FDA had the
authority to assess laboratories against
the ISO/IEC 17025:2017 standard. For
example, when we said in the proposed
rule that we had the authority to
conduct an ‘‘onsite assessment’’ of a
laboratory participating in this program,
we did not mean that our visit would be
for the purpose of assessing against ISO/
IEC 17025:2017. Nor did we intend to
communicate that we had the authority
to withdraw ISO/IEC 17025:2017
accreditation, or to pressure or demand
an accreditation body to take such an
action. We agree such a role would not
be appropriate or consistent with
section 422 of the FD&C Act.
To communicate our intent more
effectively, we have taken several steps.
First, we removed the definition of
‘‘accreditation’’ and no longer refer to
laboratories that have been approved by
a recognized accreditation body to
conduct testing under this subpart as
merely ‘‘accredited.’’ Instead, we use the
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more precise term ‘‘LAAF-accredited,’’
where ‘‘LAAF’’ is an acronym for the
title of this subpart, ‘‘Laboratory
Accreditation for Analyses of Foods.’’
We added a definition for ‘‘LAAFaccreditation’’ to § 1.1102. Where we do
use the word, ‘‘accredited’’ in this final
rule without further qualification, we
generally mean accredited to ISO/IEC
17025:2017.
Second, we no longer use the verb
‘‘assess’’ to refer to an action that FDA
takes regarding laboratories. We reserve
the word ‘‘assess’’ to refer to the action
a recognized accreditation body takes
toward a laboratory. We employ the
word ‘‘evaluate’’ to mean an activity
FDA takes with regard to an
accreditation body seeking to become
recognized or already recognized under
this subpart. Largely accepting the
suggestion of some comments, we
describe our relationship with regard to
the laboratories under this subpart as
‘‘reviewing’’ the performance of LAAFaccredited laboratories.
Third, we do not use the word
‘‘revoke’’ in the final rule to mean an
action FDA may take to remove a LAAFaccredited laboratory from this program.
Instead, although an accreditation body
may withdraw or reduce the scope of
LAAF-accreditation, we say that FDA
may ‘‘disqualify’’ a laboratory from
conducting testing under this subpart.
We note that although ‘‘disqualify’’ was
used in the proposed rule in connection
with permission to submit abridged
analytical reports, we have revamped
that process such that there is no longer
a disqualification period. In the final
rule, ‘‘disqualify’’ is used to describe the
action FDA may take to remove a
laboratory from the program; we say that
FDA may ‘‘disqualify a LAAFaccredited laboratory from submitting
analytical reports under this subpart’’
(see § 1.1161). For further information
on the process related to submitting
abridged analytical reports, see the
discussion of § 1.1153 below at
Response 124.
We agree in part with the comments
suggesting that FDA perform some level
of review of laboratory applications
approved by recognized accreditation
bodies. Although we have just
explained that it is not appropriate for
FDA to assess or accredit laboratories
ourselves, we nevertheless have a
responsibility to ensure that the
laboratories we list on our website have
been properly assessed by a recognized
accreditation body. To that end, we will
require the accreditation bodies to
submit certain information to us
concerning their assessment of a
laboratory, including the resulting
certificate listing the scope of LAAF-
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accreditation (see § 1.1123(d)). We
decline the suggestion to reframe FDA’s
relationship with LAAF-accredited
laboratories in terms of FDA granting a
license to such laboratories, or in terms
of entering into a listing agreement with
the laboratories. We note that some
comments suggest that such a construct
could prove helpful in relation to FDA
granting permission for certain
laboratories to submit abridged
analytical reports. Nevertheless, we
have determined that such a construct
would present complications (e.g.,
could be legally cumbersome for the
FDA to ‘‘license’’ laboratories) and is
unnecessary to achieve the goals of this
program.
We have implemented the revised
terminology described here throughout
the final rule. We also have tried to
avoid describing the proposed rule
using the now-discarded terminology
(e.g., FDA ‘‘assessing’’ a laboratory),
even if that is the language we originally
used in the proposed rule, because we
wish to reduce confusion and
communicate more clearly. We thank
the commenters for their feedback on
this important topic and we look
forward to contributions of all interested
shareholders as we implement the
LAAF program.
2. Program Structure
(Comment 11) In the proposed rule,
FDA proposed evaluating and
recognizing accreditation bodies, and
then those accreditation bodies would
assess and LAAF-accredit laboratories.
We received several comments on this
proposed structure. Some comments
express support because the rule relies
on the current accreditation bodylaboratory conformity assessment
structure and leverages existing publicprivate partnerships in the United
States.
Alternatively, some comments
contend that the structure was
unnecessary or ineffective. Some of
these comments advocate that
laboratories should simply send their
analytical reports to FDA and the
Agency would ensure the testing of food
was properly conducted. Some
comments contend that the only
requirement should be that
accreditation bodies are signatories to
the International Laboratory
Accreditation Cooperation (ILAC), and
then let the accreditation bodies assess
the laboratories for LAAF-accreditation,
applying the accreditation bodies’ usual
standards. Some comments argue that
FDA should not have any authority over
accreditation bodies, because such
authority would result in two entities
overseeing the laboratories, which these
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comments view as both confusing and
intrusive.
(Response 11) The structure of the
LAAF program is specified by the
statute, per section 422(a)(1)(B) and
(a)(2) of the FD&C Act. FDA will
recognize accreditation bodies, which in
turn will accredit laboratories. Further,
there are advantages and efficiencies to
relying on the structure of the existing
conformity assessment industry (i.e.,
accreditation bodies assess laboratories)
for the structure of this program. For
example, this familiarity may make it
easier for these stakeholders to
participate in the program. At the same
time that we are glad to leverage widely
accepted international voluntary
consensus standards as foundational
requirements, we are supplementing
those standards with certain
requirements that we have determined
will help ensure the integrity of the
testing under this program. As a
reminder, all the testing that we are
requiring be conducted by a LAAFaccredited laboratory is occurring in the
context of increased food safety concern
(see § 1.1107(a). For example, under
§ 1.1107(a)(4), testing to support the
release of food detained at the border
because it is or appears to be adulterated
or misbranded, is covered by this rule.
Accordingly, we have determined that it
is appropriate to impose some
requirements in addition to those of the
international voluntary consensus
standards.
Regarding the concern that FDA’s
exercise of authority over recognized
accreditation bodies for purposes of this
program will be confusing and
intrusive, we have structured the
program such that FDA evaluates the
recognized accreditation bodies, and the
accreditation bodies assess the
laboratories against the model standards
established in this rule, including
conformity to ISO/IEC 17025:2017. FDA
will not be assessing laboratory
applicants.
As shown in section I.A. above, we
have revised the program structure
diagram from the proposed rule (see 84
FR 59452 at 59453) to reflect changes
made in the final rule. The program
structure diagram incorporates revised
program terminology throughout (i.e.,
‘‘LAAF-accredited’’; see discussion at
Response 10). We also include a second
box representing FDA to better illustrate
our roles of recognizing accreditation
bodies and reviewing results and
supporting information submitted by
LAAF-accredited laboratories.
(Comment 12) Some comments opine
that the framework of the proposed rule
is inappropriate. These comments
contend that it is not appropriate for
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FDA to oversee accreditation bodies
because FDA is not an ILAC signatory.
These comments further state that only
accreditation bodies should oversee the
laboratories they accredit and that
therefore FDA’s involvement would be
both unnecessary and confusing. These
comments recommend that FDA simply
maintain a list of ILAC-signatory
accreditation bodies, and have
laboratories accredited by those listed
accreditation bodies submit test results
to us.
(Response 12) We disagree that the
framework of the rule, and FDA’s
oversight of both recognized
accreditation bodies and LAAFaccredited laboratories, is inappropriate.
Section 422 of the FD&C Act directs
FDA to establish this program and, in
relevant part, provide for the
recognition of laboratory accreditation
bodies that meet criteria established by
the Secretary (see section 422(a)(2) of
the FD&C Act). The Agency has
established that being an ILAC signatory
is a necessary, but not sufficient,
condition to being recognized by FDA to
LAAF-accredit laboratories. We have
determined it necessary and appropriate
to set additional standards for
accreditation bodies, such as the
conflict of interest requirements in
§ 1.1119. FDA must also evaluate the
work of the accreditation bodies to
ensure the integrity of the program.
Further, the statute directs the Agency
to periodically review a recognized
accreditation body’s compliance with
the requirements of the program.
Similarly, section 422(a)(6) of the
FD&C Act directs the Agency to develop
model standards that a laboratory must
meet to be LAAF-accredited to conduct
testing under this subpart. We have
adopted ISO/IEC 17025:2017
accreditation as a baseline requirement,
but given the specific circumstances in
which food testing is required to be
conducted by a LAAF-accredited
laboratory and since we use the results
of such tests to inform regulatory
decisions and protect public health, we
have included FDA oversight of LAAFaccredited laboratories among the
components of the program (see section
422(a)(6)(B) of the FD&C Act).
Therefore, FDA oversight of
recognized accreditation bodies is not
only appropriate, but it is also required
by statute. Further, FDA has determined
that oversight of LAAF-accredited
laboratories submitting test results to
FDA is appropriate given the Agency’s
use of the test results. The alternative
framework proposed by the comment is
not a viable option for a comprehensive
and effective program that is sufficiently
protective of public health.
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(Comment 13) A few comments
encourage FDA to reassess our proposal
to place laboratories or accreditation
bodies in probationary status, which is
noted on the public registry, after
finding one or more nonconformances.
These comments suggest that we
consider the variety of circumstances
that may surround nonconformance,
including that the entity may be in the
process of actively addressing the
nonconformance. The comments
express a concern that publication of
probationary status on the online
registry may negatively and unfairly
impact the entity, as the entity may be
in the process of addressing the issue
that resulted in a non-conformance.
(Response 13) We agree that entities
should have an opportunity to address
concerns before those concerns cause
the entity to be placed on probation,
particularly as probation will be noted
on the online registry. Accordingly, we
have revised the final rule such that
generally an entity will be notified of
deficiencies and provided an
opportunity to take corrective action
prior to being placed on suspension or
probation. Consistent with our decision
to incorporate by reference ISO/IEC
17011:2017 and ISO/IEC 17025:2017,
we have decided to leverage the
corrective action processes described in
those standards to provide such an
opportunity.
Under these ISO/IEC standards, the
corrective action process requires the
entity to do more than simply correct a
non-conformity. Instead, the entity is
required to consider the non-conformity
from a process perspective, including
identifying the cause of the nonconformity and considering whether
internal process changes are needed to
prevent its recurrence. FDA’s view is
that that this focus on looking for and
addressing any systemic weaknesses in
the entity’s procedures, rather than
simply remedying a single error or
lapse, will serve to strengthen both the
accreditation bodies and the laboratories
that participate in this program, and
therefore the LAAF program itself.
Section 1.1121(a) of the final rule
states that if a recognized accreditation
body observes a deficiency in a LAAFaccredited laboratory, the recognized
accreditation body may require
corrective action using the procedures
described by ISO/IEC 17025:2017
section 8.7 (Ref. 3). Similarly, we have
revised §§ 1.1131 and 1.1161 regarding
FDA oversight actions regarding
recognized accreditation bodies and
LAAF-accredited laboratories,
respectively, such that generally entities
will be provided an opportunity to take
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corrective action prior to being placed
on probation.
Some problems may warrant
immediate action by a recognized
accreditation body to suspend, reduce
the scope of, or withdraw the LAAFaccreditation of a laboratory or by FDA
to immediately disqualify a LAAFaccredited laboratory. For additional
information, see § 1.1121 (‘‘When must
a recognized accreditation body require
corrective action, suspend a LAAFaccredited laboratory, reduce the scope
of, or withdraw the LAAF-accreditation
of a laboratory?’’); § 1.1131 (‘‘When will
FDA require corrective action, put a
recognized accreditation body on
probation, or revoke the recognition of
an accreditation body?’’); and § 1.1161
(‘‘When will FDA require corrective
action, put a LAAF-accredited
laboratory on probation, or disqualify a
LAAF-accredited laboratory from
submitting analytical reports?’’).
Finally, note that we have revised the
final rule to refer to ‘‘suspension’’ of
LAAF-accredited laboratories by
recognized accreditation bodies instead
of ‘‘probation’’ as proposed. The final
rule retains and limits the term
‘‘probation’’ to refer to an action that
FDA may take with respect to a
recognized accreditation body or a
LAAF-accredited laboratory in certain
circumstances (see §§ 1.1131 and
1.1161). For more information on this
terminology change, see Comments 58,
71, and 82 and Responses.
3. Implementation
(Comment 14) Several comments
address implementation. In section VII
of the proposed rule, we proposed that
implementation would occur in a
stepwise fashion; we would focus first
on accreditation bodies and
subsequently, laboratories. See 84 FR
59452 at 59495. We proposed that after
the program attains sufficient laboratory
capacity, we would publish a notice in
the Federal Register giving 6 months’
notice that owners and consignees
would be required to use laboratories
approved for participation in this
program. All comments on this aspect of
our proposal endorse a stepwise
approach to implementation. These
comments also agree with providing
notice to affected entities via a Federal
Register document. Some comments
encourage the Agency to also issue
Federal Register notices to announce
when we will commence accepting
applications from accreditation bodies,
and when recognized accreditation
bodies are able to start accepting
applications from laboratories.
(Response 14) We appreciate
comments supporting our proposed
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implementation steps. As we stated in
the preamble to the proposed rule,
implementation of the LAAF program
will necessarily occur in a stepwise
fashion. We will announce when
accreditation bodies may apply for
recognition. When we have recognized
a sufficient number of accreditation
bodies, we will announce that
laboratories may apply to the recognized
accreditation bodies for LAAFaccreditation. When we have sufficient
LAAF-accredited laboratory capacity for
the testing covered by § 1.1107, we will
publish a document in the Federal
Register giving owners and consignees 6
months’ notice that they will be
required to use a LAAF-accredited
laboratory for such testing.
We decline to commit to publishing
notices in the Federal Register to
announce that we are ready to accept
applications from accreditation bodies
and that laboratories may apply to
recognized accreditation bodies. There
are a variety of methods to communicate
effectively with stakeholders and the
interested public; at the appropriate
time we will determine which methods
best advance the Agency’s interest in
transparency and the needs of the LAAF
program.
(Comment 15) Some comments
recommend that in addition to the
stepwise approach discussed in the
previous comment and response, we
also take a phased-in approach to
implementation. That means that FDA
would only require testing under the
rule for the various categories of tests
described in § 1.1107 as sufficient
laboratory capacity is attained for each.
Some comments suggest that we refrain
from requiring testing under the rule
until we have achieved sufficient
laboratory capacity for a majority of the
tests covered by the rule.
Some comments maintain that there
will be sufficient laboratory capacity for
the DWPE-related testing covered by the
final rule, because as we noted in the
proposed rule, 10 laboratories that
conduct the majority of such testing
already are ISO/IEC17025-accredited
(see 84 FR 59452 at 59457). These
comments state that there are
‘‘hundreds’’ of ISO/IEC 17025accredited independent food
laboratories in the United States that
potentially could participate in the
program, which would expand capacity.
These comments expect that the
program we are establishing in this final
rule would also increase incentives for
ISO/IEC17025 accreditation and
therefore expand capacity even further.
Some comments question whether,
and some comments ask when,
sufficient laboratory capacity will be
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68739
reached for all the tests covered by this
final rule. Other comments inquire how
FDA will determine when sufficient
laboratory capacity has been reached.
Some comments urge that when FDA
considers whether there is sufficient
laboratory capacity, we take into
account whether laboratories can
perform the testing in a timely manner.
Other comments suggest that when we
consider capacity, we take into account
laboratory location relative to owners
and consignees. Some comments predict
that it will take a long time to achieve
sufficient laboratory capacity, and some
comments request that we explain what
will happen if sufficient laboratory
capacity is not attained for a particular
category of testing. Some comments
encourage FDA to identify the LAAFaccredited laboratories publicly once
sufficient capacity is reached.
Further, some comments express
skepticism that the program would ever
be able to attain sufficient capacity to
implement the bottled drinking water
followup testing covered by the rule (see
§ 1.1107(a)(1)(iii)). These comments
state that such followup tests occur
rarely and suggest that no water testing
laboratory will find it worthwhile to
participate in this program for the
relatively little bottled drinking water
followup testing business it might gain
by doing so.
Other comments focus on laboratories
that currently test shell eggs and
maintain that many such laboratories
are not currently ISO/IEC 17025accredited. These comments question
whether those laboratories would
choose to become ISO/IEC 17025accredited in order to participate in this
program, as, according to these
comments, such laboratories would be
unlikely to test any commodities
covered by this final rule other than
shell eggs. These comments state it is
unclear how quickly additional
laboratories would be able to get
approved for participation in the
program and predict there could be a
logistical problem of bottlenecking if
sufficient laboratory capacity for a
particular test is not attained. These
comments encourage FDA to consult
with the National Poultry Improvement
Plan at the U.S. Department of
Agriculture and other Agencies that
have experience testing agricultural
products. Finally, these comments ask
that FDA allow adequate time for a
sufficient number of laboratories to
become LAAF-accredited to conduct the
shell egg testing described in
§ 1.1107(a)(1)(ii) before we require
owners and consignees to have those
tests conducted under this program.
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(Response 15) We agree that given the
breadth of matrices and methods
covered by the rule it may be necessary
to separately consider whether
sufficient laboratory capacity has been
attained for the variety of tests described
in § 1.1107. As discussed in the
preceding comment and response, the
first implementation step is for FDA to
receive, review, and evaluate
applications from accreditation bodies.
Once we have recognized a sufficient
number of accreditation bodies, we
anticipate that many laboratories will be
interested in becoming LAAFaccredited, but it is impossible for us to
predict various relevant factors
including how many laboratories will
apply, the methods for which they will
be successful, and the associated
timeframes. Perhaps sufficient
laboratory capacity will be promptly
attained for all tests covered by the rule;
that would allow us to issue a single
Federal Register document notifying
owners and consignees that in 6 months
they must use a LAAF-accredited
laboratory for all tests described in
§ 1.1107. That outcome is not assured,
however, and therefore we may phase in
implementation as suggested by some
comments. To the extent that some
comments suggest we wait to implement
any of the rule until we have attained
sufficient capacity for a majority of all
the tests covered by the rule, we decline
the suggestion due to the many variables
that are not entirely within our control
(the number of laboratories that apply as
soon as they are able, the number and
capacity of recognized accreditation
bodies that will be assessing the initial
laboratory applications, etc.).
We appreciate the comments
contending that there will be more than
sufficient laboratory capacity for all the
testing under this rule. This program
represents the least amount of change
for those private laboratories that are
already ISO/IEC 17025-accredited and
have been conducting the tests that
support admission of a food under
section 801(a) of the FD&C Act and
removal from DWPE under an import
alert and sending their test results and
associated analyses to FDA, some for
many years. Further, as indicated by
some comments, the data we analyzed
for the proposed rule indicated that
many of the laboratories that have been
conducting tests to support admission of
a food and removal from DWPE under
import alerts are already ISO/IEC 17025accredited; the cost for such laboratories
to become LAAF-accredited is relatively
low. We agree with comments
maintaining that our reliance on ISO/
IEC 17025 as a foundational
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requirement for LAAF-accreditation
provides an incentive for laboratories to
become ISO/IEC 17025-accredited and
we note that an explicit goal of section
422 is to increase the number of
laboratories qualified to conduct testing
under this subpart (see section 422(a)(3)
of the FD&C Act).
Determining whether the program has
attained sufficient laboratory capacity
may appear to be a simple comparison
of the number of a particular type of test
that is needed, to the number of
laboratories LAAF-accredited for that
method. The reality is far different. Test
demand cannot be predicted with
certainty; in part it is a result of the
prevalence of circumstances presenting
heightened food safety concerns (e.g.,
the number and breadth of import alerts;
how much food product is or appears to
be violative when offered for import)
and in part it is a result of business
choices outside of our control or
knowledge (e.g., how much food subject
to DWPE is offered for import; whether
a shell egg producer’s environment tests
positive for Salmonella Enteritidis and
whether the producer then chooses to
test its shell eggs or divert them to
treatment (see §§ 118.5(a)(2)(ii) and
(b)(2)(ii); 118.6(a)(2)). Some laboratories
are much bigger than others, and bigger
laboratories presumably can conduct
more tests than smaller laboratories, so
simply knowing how many laboratories
are LAAF-accredited for a given method
does not present a complete picture of
capacity. We acknowledge that location
is a relevant factor in choosing a
laboratory, in large part due to the time
and cost implications of shipping
samples to a laboratory that is relatively
far away, but the degree to which this
factor is relevant to laboratory capacity
may vary depending on the test at issue
(e.g., size of sample, whether there are
time and temperature requirements, the
degree to which a product is
perishable). Similarly, although
timeliness may be an important factor
for one sort of food test, it may be less
critical in other food testing contexts.
Other factors may also be relevant, and
as noted above, it is infeasible for us to
predict them all.
FDA is committed to implementing
this program promptly and, as in other
FSMA contexts, in a practical manner.
In determining laboratory capacity we
will take all relevant information and
factors into account. We remain
committed to providing owners and
consignees 6 months’ notice via a
document in the Federal Register before
requiring them to use a LAAFaccredited laboratory for the testing
covered by this rule. We will not
preclude the possibility that we may
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issue more than one Federal Register
document as laboratory capacity is
attained for various tests described in
§ 1.1107.
The publication of this final rule in
the Federal Register arguably marks the
beginning of the implementation of this
program. Although we expect to reach
sufficient laboratory capacity for all the
tests covered by this rule, we decline
the invitation of some comments to
predict how long it will take to achieve
that milestone. If sufficient laboratory
capacity is not reached for a particular
category or subcategory of the tests
described in § 1.1107, then the
immediate result would be that we not
require owners and consignees to use a
LAAF-accredited laboratory to conduct
those particular tests.
We anticipate a sufficient number of
LAAF-accredited laboratories for the
bottled drinking water tests covered by
this final rule (see § 1.1107(a)(1)(iii)).
For a related discussion, please see
Comment and (Response 87.
Some comments claim that the
laboratories that currently conduct shell
egg testing tend not to be accredited to
ISO/IEC 17025. These comments
express concern that such laboratories
may not become LAAF-accredited,
which may result in a bottleneck effect
(due to insufficient laboratory capacity).
First, as discussed earlier in this
response, FDA does not intend to
require owners and consignees to use a
LAAF-accredited laboratory for the
testing described in § 1.1107 until the
program has attained sufficient
laboratory capacity for the relevant
testing, even if that means that a LAAFaccredited laboratory is required for
some categories or subcategories of
testing described in § 1.1107 sooner
than for other categories or
subcategories. Accordingly, the
implementation of this program should
not result in a bottleneck for shell egg
testing.
The research supporting the FRIA for
this final rule (Ref. 4), and the
information we gleaned from our
consultations with the National Poultry
Improvement Plan, is consistent with
comments’ claim that the majority of
laboratories that currently conduct the
shell egg testing described in
§ 1.1107(a)(1)(ii) are not accredited to
ISO/IEC 17025. Although we believe
some of those laboratories will pursue
ISO/IEC 17025 and LAAF-accreditation
as a result of this final rule, we have no
way of knowing with certainty.
We estimate that once this final rule
is fully implemented, FDA will receive
about 3,771 analytical reports of shell
egg testing per year (Ref. 4). Due to the
testing regime required under the FDA
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egg safety rule, each analytical report
will consist of 50 tests (each shell egg
sample of 1,000 eggs is separated into 50
pools of 20 eggs each). (See § 118.6.)
Accordingly, we expect that more than
188,000 FDA-required shell egg tests
currently conducted each year to
comply with § 118.6 will eventually be
conducted by LAAF-accredited
laboratories. If the laboratory market
responds rationally, a sufficient number
of laboratories will react to the business
opportunity those shell egg tests create
and choose to become LAAF-accredited.
If a sufficient number of laboratories
that currently conduct shell egg tests
choose not to become LAAF-accredited,
then other laboratories will emerge to
seize this opportunity. The costs of
becoming LAAF-accredited for
laboratories new to shell egg testing will
be lowest for those laboratories that are
already accredited to ISO/IEC 17025; it
would therefore be reasonable to expect
such laboratories to pursue LAAFaccreditation to conduct shell egg
testing. The FRIA in section II.F.3.f.
accounts for the costs for some shell egg
producers to switch laboratories if the
one they are currently using is not
LAAF-accredited (Ref. 4).
Shell egg testing is only required if
the poultry house has tested positive for
Salmonella Enteritidis, and the
producer chooses not to divert the eggs
to treatment. The central purpose of this
final rule is to help ensure that the
68741
results of certain food testing that takes
place amidst just this sort of heightened
food safety concern, are reliable and
accurate. No comments suggest that
shell egg testing should be excluded
from the coverage of this final rule, or
subject to less stringent standards. We
expect to avoid the logistical problem
identified by these comments. And as
noted above, we are committed to
providing 6 months’ notice via a
Federal Register document before shell
egg producers are required to use a
LAAF-accredited laboratory to conduct
the testing described in
§ 1.1107(a)(1)(ii).
C. Comments Regarding General
Provisions
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TABLE 2—CHANGES TO GENERAL PROVISIONS
Final rule
Proposed rule
Note
§ 1.1101 What documents are incorporated
by reference in this subpart?
§ 1.1102 What definitions apply to this subpart?
§ 1.1103 Who is subject to this subpart? ........
N/A ....................................................................
New section for centralized incorporation by
reference (IBR).
See preamble table below for specific
changes to § 1.1102.
See preamble discussion below for specific
changes to § 1.1103.
1. What documents are incorporated by
reference in this subpart (§ 1.1101)?
In the proposed rule, we proposed to
incorporate by reference two
international voluntary consensus
standards: ISO/IEC 17011, Conformity
assessment—Requirements for
accreditation bodies accrediting
conformity assessment bodies, Second
edition, November 2017 (Ref. 2), for
accreditation bodies, and ISO/IEC
17025, General requirements for the
competence of testing and calibration
laboratories, Third edition, November
2017 (Ref. 3), for laboratories.
This final rule implements section
422 of the FD&C Act against the
backdrop of the broader Federal policies
on consensus standards and conformity
assessment under the National
Technology Transfer and Advancement
Act of 1995 (NTTAA) (Pub. L. 104–113).
The NTTAA, together with the Office of
Management and Budget (OMB)
Circular A–119, revised January 27,
2016 (81 FR 4673), directs Federal
Agencies to use voluntary consensus
standards in lieu of government-unique
standards except where inconsistent
with law or otherwise impractical. OMB
Circular A–119 states that the use of
voluntary standards, whenever
practicable and appropriate, is intended
to eliminate the cost to government of
developing its own standards; decrease
the cost of goods procured and the
burden of complying with Agency
regulation; provide incentives and
opportunities to establish standards that
serve national needs, and encourage
long-term growth for U.S. enterprises
and promote efficiency and economic
competition through harmonization of
standards; and further the policy of
reliance upon the private sector to
supply the government with costeffective goods and services (Ref. 8).
As directed by OMB in Circular A–
119, the National Institute of Standards
and Technology (NIST), in the Federal
Register of September 29, 2020 (85 FR
60904), issued updated policy guidance
on Federal conformity assessment
activities. The Federal conformity
assessment guidance is codified at 15
CFR part 287 and applies to all Federal
Agencies that set policy for, manage,
operate, or use conformity assessment
activities or results (85 FR 60904 at
60905). The guidance advises Agencies
on using conformity assessment to meet
government needs in a manner that is
efficient and cost-effective for both the
Agency and its stakeholders (15 CFR
287.1(a)). In keeping with these national
policies, FDA has determined that it is
appropriate and will be beneficial to
both the Agency and the public if we
rely on voluntary consensus standards
to provide the baseline requirements for
both accreditation bodies and
laboratories wishing to participate in the
LAAF program.
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§ 1.1102 What definitions apply to this subpart?
§ 1.1103 Who is subject to this subpart? ......
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In the proposed rule, the
incorporation by reference information
was repeated throughout the codified
text (e.g., § 1.1113(b) (ISO/IEC
17011:2017); § 1.1138(a)(2) (ISO/IEC
17025:2017)). On our own initiative, for
readability we have revised the final
rule to include a centralized
incorporation by reference section at
§ 1.1101. Note that throughout the
codified, after the year of each standard,
we included the letter ‘‘E’’ to clarify that
we are incorporating the standard in
English (e.g., ‘‘ISO/IEC
170211:2017(E)).’’ However for
readability, we did not repeat the ‘‘E’’
after each mention of the standards
throughout the preamble.
We received a few comments
regarding the proposal to incorporate by
reference the two consensus standards.
These comments are addressed below.
(Comment 16) Several comments
support our reliance on existing
international voluntary consensus
standards: ISO/IEC 17011:2017 for
accreditation bodies and ISO/IEC
17025:2017 for laboratories.
(Response 16) Voluntary consensus
standards such as ISO/IEC 17011:2017
and ISO/IEC 17025:2017 are developed
by organizations with the involvement
of interested parties representing
various roles, concerns, and
perspectives, via a robust process that
seeks to achieve consensus (Ref. 9). As
noted in the immediately preceding
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section, Federal law and policy direct us
to use voluntary consensus standards
rather than creating our own unique
standards whenever practical and
consistent with our legal obligations.
Further, section 422(a)(6) of the FD&C
Act specifically directs the FDA to
‘‘consult existing standards’’ in the
course of developing model standards
for this rulemaking.
Comments do not suggest that we
consider any other standard for
accreditation bodies wishing to
participate in this program. And
although some comments recommend
that we permit the participation of
laboratories that meet certain industryspecific standards (see Comment 87 and
Comment 88), no comment suggests a
standard other than ISO/IEC 17025:2017
as a baseline requirement. We
appreciate support for our position that
ISO/IEC 17011:2017 and ISO/IEC
17025:2017 are the most appropriate
globally recognized and widely used
standards for the LAAF final rule.
2. What definitions apply to this subpart
(§ 1.1102)?
TABLE 3—REVISIONS TO THE PROPOSED DEFINITIONS IN § 1.1102
Term
Revision
Accreditation ..............................
Term revised to ‘‘laboratory accreditation for analyses of foods (LAAF) accreditation’’ to clarify that decisions
regarding accreditation under this subpart are limited to the LAAF program.
Term revised to ‘‘LAAF-accredited laboratory.’’
No change.
New term that we define as an action taken by an accreditation body or laboratory to investigate and eliminate the cause of a deficiency so that it does not recur.
No change.
No change.
Term revised to ‘‘directed food laboratory order’’ to more accurately describe the order. Revised the definition
to strike reference to § 1.1107(a)(2); the definition now states the order is issued only under § 1.1108.
Definition revised to refer to the circumstances in § 1.1107(a) instead of repeating the circumstances in
§ 1.1107(a) in the definition.
Definition revised to refer to LAAF-accreditation of laboratories.
Definition revised to refer to the accreditation body’s authority with respect to LAAF-accredited laboratories.
Definition revised to clarify that accuracy is to a ‘‘statistically acceptable degree’’ in response to comments
and a grammatical revision made on our own initiative.
Definition revised to reference the individual who collects a sample.
New term that we define as an entity that provides sampling services.
Term revised to ‘‘scope of LAAF-accreditation’’ and definition revised to delete the second sentence of the
definition to remove the phrases, ‘‘in-whole’’ and ‘‘in-part’’ from the definition and throughout the rule.
Accredited laboratory .................
Analyst .......................................
Corrective action ........................
Food ...........................................
Food testing, testing of food ......
Food testing order .....................
Owner or consignee ..................
Recognition ................................
Recognized accreditation body ..
Representative sample ..............
Sampler ......................................
Sampling firm .............................
Scope of accreditation ...............
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We proposed to apply the definitions
in section 201 of the FD&C Act unless
otherwise specified. Additionally, we
proposed to codify several terms used in
the LAAF regulations. We received
several comments on this section. As
discussed in the following paragraphs,
we have revised many of the terms and
proposed definitions in response to
comments received, as well as on our
own initiative. Where we disagree with
comments or decline a suggested
revision, we offer an explanation in
response. Some definitions were
finalized as proposed.
The definitions for terms used in the
laboratory accreditation for analyses of
foods regulations are codified in
§ 1.1102.
Accreditation, Accredited Laboratory
We proposed to define accreditation
and accredited laboratory to relate to
determinations regarding a laboratory
under this subpart. On our own
initiative, we moved the phrase, ‘‘under
this subpart’’ in the definition of the
term, ‘‘LAAF-accredited laboratory’’ to
clarify that food testing is conducted
under this subpart as opposed to using
methods of analysis under this subpart,
as proposed.
(Comment 17) A number of comments
express concern with the proposed
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definitions of ‘‘accreditation’’ and
‘‘accredited laboratory,’’ suggesting that
they may result in confusion with
similar terms already being used by
industry. Some comments recommend
aligning the definitions of
‘‘accreditation’’ and ‘‘accredited
laboratory’’ under this regulation with
their meaning in the conformity
assessment industry to avoid potential
confusion. Others propose that we
differentiate the terms under this
regulation from those used elsewhere
and suggest the more specific terms,
‘‘Section 422 accreditation’’ and
‘‘Section 422 accredited laboratory’’ as
potential options.
(Response 17) We acknowledge the
potential for confusion regarding the
terms, ‘‘accreditation’’ and ‘‘accredited
laboratory’’ under this subpart with the
use and understanding of these terms by
industry. Accordingly, we have revised
the terms to be specific to the LAAF
program. Therefore, the terms have been
revised to ‘‘LAAF-accreditation’’ and
‘‘LAAF-accredited laboratory’’
respectively in § 1.1102 and throughout
the rule to clarify the impacts and
limitations of accreditation decisions
under this subpart. See also Comment
and Response 10.
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Analyst
We received no comments on the
proposed definition of ‘‘analyst’’ and
therefore have finalized the definition as
proposed.
Corrective Action
We have added a definition for
corrective action to clarify that in this
subpart, it means, ‘‘an action taken by
an accreditation body or laboratory to
investigate and eliminate the cause of a
deficiency so that it does not recur.’’ For
additional discussion, see Comment and
Response 31.
Food
In the proposed rule, we defined
‘‘food’’ as having the meaning given in
section 201(f) of the FD&C Act, except
that food does not include pesticides (as
defined in 7 U.S.C. 136(u)). The
proposed definition would align with
the definition of ‘‘food’’ in the
‘‘Accreditation of Third-Party
Certification Bodies to Conduct Food
Safety Audits and to Issue
Certifications’’ (21 CFR 1.600 et seq.)
(Accredited Third-Party Certification
Program) and the ‘‘Foreign Supplier
Verification Programs for Food
Importers’’ (21 CFR 1.500 et seq.)
(FSVP) regulations.
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(Comment 18) Some comments
express support for the proposed
definition of ‘‘food,’’ which the
comments characterize as being the
same as the definition in section 201(f)
of the FD&C Act.
(Response 18) We appreciate the
support for our proposed definition of
‘‘food’’ and we are retaining it without
change. We note that for the purposes of
this subpart, we are not giving the term,
‘‘food,’’ the same meaning as in section
201(f) of the FD&C Act. Under section
201(f), ‘‘food’’ is not defined to exclude
pesticides, whereas the definition in
this subpart expressly indicates that
food does not include pesticides. As we
stated in the proposed rule, we have not
identified a need for ‘‘food’’ to include
pesticides for purposes of this final rule,
and no comment suggests otherwise.
Food Testing, Testing of Food
We proposed to define ‘‘food testing’’
and ‘‘testing of food’’ to mean the
analysis of food product samples or
environmental samples.
(Comment 19) Numerous comments
indicate support for the inclusion of
environmental testing within the
definition for ‘‘food testing’’ and
‘‘testing of food’’ in the proposed rule.
These comments assert that both food
product and environmental testing are
important to protecting public health.
Conversely, multiple comments oppose
the proposal to include environmental
testing within the definition of ‘‘food
testing’’ and ‘‘testing of food.’’ Some of
these comments suggest that because
FSMA section 202 did not explicitly
mention environmental testing, the
statute only permits the testing of food
product samples, and not environmental
samples, within the scope of this
regulation. Other comments suggest that
the definition of ‘‘food testing’’ and
‘‘testing of food’’ should be consistent in
scope with the statutory definition of
‘‘food’’ in section 201(f) of the FD&C Act
and limited to the analysis of food
product samples only. Some comments
further specify that although they
oppose the inclusion of environmental
testing within the definition for ‘‘food
testing’’ and ‘‘testing of food,’’ they
recognize the utility of environmental
monitoring in ensuring food safety.
Similarly, some comments state that the
food industry has conducted
environmental testing for a long time
and argue that industry does not need
this final rule to cover environmental
testing to continue conducting such
testing.
(Response 19) After carefully
considering the comments and the
statute, we define ‘‘food testing’’ and
‘‘testing of food’’ to mean, ‘‘the analysis
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of food product samples or
environmental samples.’’
As discussed in the proposed rule, the
terms, ‘‘food testing’’ and ‘‘testing of
food,’’ used in section 422 of the FD&C
Act, are not defined in the statute (84 FR
59452 at 59460). We find these terms
ambiguous and rely on context for their
interpretation. Section 202(a) of FSMA
is located in Title II of FSMA, which is
titled ‘‘improving capacity to detect and
respond to food safety problems.’’
Further, in describing some of the
testing to be covered by this subpart,
section 422(b)(1)(A) of the FD&C Act
twice includes testing that addresses,
‘‘an identified or suspected food safety
problem.’’ This context indicates the
critical importance of ‘‘food testing’’ and
‘‘testing of food’’ being interpreted to
include the analysis of environmental
samples, so that this final rule will
cover an important method of detecting
and responding to identified and
suspected food safety problems. We
acknowledge and appreciate those
comments asserting that including
environmental testing is important to
addressing food safety concerns and
protecting public health. We also note
that even some comments that oppose
defining ‘‘food testing’’ and ‘‘testing of
food’’ to include environmental testing
state that such testing plays a valuable
role in identifying potential pathways
for contamination and helping to ensure
food safety.
We agree with aspects of comments
that acknowledge the importance of
testing food production environments
(e.g., the environment where food is
grown, harvested, packed, held,
processed, or manufactured). The term,
‘‘environment’’ includes food contact
surfaces such as utensils and table
surfaces. Pathogens in the environment
can be (and unfortunately, sometimes
are) transmitted to food. Therefore,
environmental testing is sometimes
used as a followup test to verify that
cleaning and sanitizing designed to
eliminate an identified pathogen, was
sufficient to eradicate that pathogen.
Environmental testing may also be
employed to determine the source of an
identified pathogen (e.g., in
circumstances where a food product
tested positive for a pathogen but it is
not yet known how the food became
adulterated). It is important that FDA be
able to utilize this subpart to help
ensure valid testing in the context of
those sorts of heightened food safety
concerns.
Some comments indicate that
Congress used the term, ‘‘environmental
testing’’ in other parts of the statute and
could have done so here. Although we
do not disagree with that statement, we
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note that Congress also used the term,
‘‘product testing,’’ in other parts of the
statute, and could have done so here.
We do not believe the absence of these
phrases implies a lack of statutory
authority to include both product and
environmental testing within the scope
of this final rule. Furthermore, the
inclusion of both types of testing within
the scope of the final rule serves a
central purpose of section 422 of the
FD&C Act, which is to improve FDA’s
access to reliable and accurate results of
public health significance, thus
improving our capability to protect U.S.
consumers from unsafe food.
Some comments contend that the
statutory definition of ‘‘food’’ limits our
definitions of ‘‘food testing’’ and
‘‘testing of food,’’ to product samples.
As we acknowledged in the preamble to
the proposed rule, that is one, but not
the only, reasonable interpretation of
the statute. For the reasons discussed,
we are adopting a different and more
public health-protective interpretation
and therefore finalize the definition of
‘‘food testing’’ and ‘‘testing of food’’
without change.
Finally, we appreciate that many in
the food industry have long monitored
their production environment through
environmental testing. We applaud and
encourage the continued practices of
firms that conduct robust environmental
monitoring programs. As discussed
further in Response 35, this final rule
does not cover routine environmental
testing.
Food Testing Order
We proposed to define ‘‘food testing
order’’ as an order issued by FDA under
§§ 1.1107(a)(2) and 1.1108 requiring
food testing to be conducted under this
subpart by or on behalf of an owner or
consignee. Although we did not receive
specific comments regarding the
proposed definition, we received many
comments about the food testing order
provisions in proposed §§ 1.1107 and
1.1108. We discuss those comments in
section V.D. below; however, we are
also making a change to the related
terminology. We have revised the term,
‘‘food testing order’’ to ‘‘directed food
laboratory order’’ throughout the rule to
more accurately reflect the order and its
impact. To reduce confusion, we
generally use the term, ‘‘directed food
laboratory order,’’ throughout this
document, even when referring to
discussions in the proposed rule.
On our own initiative, we revised the
definition to strike the reference to
§ 1.1107(a)(2) and now state the order is
issued solely under § 1.1108, as this
provision directly describes FDA’s
issuance of such orders.
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Owner or Consignee
We proposed to define ‘‘owner or
consignee’’ as a person with an
ownership interest in the food or
environment samples in the
circumstances described in proposed
§ 1.1107. On our own initiative, we have
revised the definition to refer more
generally to the circumstances described
in § 1.1107 instead of repeating the
circumstances in the definition.
Recognition
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We proposed to define ‘‘recognition’’
to mean a determination by FDA that an
accreditation body meets the applicable
requirements of the LAAF program and
is authorized to accredit laboratories
under this subpart. As a result of
revising the terms, ‘‘accreditation’’ and
‘‘accredited laboratory’’ to be specific to
the LAAF program, we have revised the
definition of ‘‘recognition’’ to reflect
that a recognized accreditation body
will LAAF-accredit laboratories to
conduct food testing under this subpart.
(Comment 20) Some comments state
that having a definition for
‘‘recognition’’ specific to this regulation
may result in confusion, as the term is
already used by the conformity
assessment industry in other contexts
outside of this regulation.
(Response 20) In contrast to the many
comments that argue that our proposed
use of the terms ‘‘accreditation,’’
‘‘accredited laboratory,’’ and
‘‘assessment,’’ created confusion, only a
small number of comments claim that
our proposed use of the term,
‘‘recognition,’’ would create the
potential for confusion. Further, these
comments provide no specific examples
of how the term, ‘‘recognition,’’ would
be confusing, and do not offer
alternative terms or definitions.
In addition, the FDA Foods Program
uses the term, ‘‘recognition,’’ in the
same way as proposed in our Accredited
Third-Party Certification Program (see
21 CFR 1.600), and has not heard from
those program participants that the term
has proved problematic. For more
information on the Accredited ThirdParty Certification Program, see https://
www.fda.gov/food/importing-foodproducts-united-states/accredited-thirdparty-certification-program.
Therefore, we are retaining the
definition of the term, ‘‘recognition’’ in
the final rule.
Recognized Accreditation Body
We proposed to define ‘‘recognized
accreditation body’’ as an accreditation
body that FDA has determined meets
the applicable requirements of this
subpart and is authorized to accredit
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laboratories under this subpart. We have
revised the definition to state that the
recognized accreditation body is
authorized to LAAF-accredit
laboratories under this subpart. This
change aligns with our overall revisions
to terminology throughout the rule.
Representative Sample
We proposed to define
‘‘representative sample’’ to mean ‘‘a
sample that accurately, to a
scientifically acceptable degree,
represents the characteristics and
qualities of the food product or
environment the sample was collected
from.’’
(Comment 21) Several comments
contend that the proposed definition of
‘‘representative sample’’ is vague and
impractical. Some comments suggest we
clarify that determining whether a
sample is ‘‘representative’’ involves an
assessment of various factors. Others
suggest that FDA clarify the Agency’s
expectations regarding ‘‘representative
sample’’ by specifying sampling
protocols within import alerts or
including specific procedures and
sampling plans for different foods and
analyses within the final rule. Some
comments suggest the addition of a
definition for ‘‘representative
sampling,’’ based on the concern that if
sampling is not performed
appropriately, results may be
invalidated.
Some comments specify that the
phrase, ‘‘to a scientifically acceptable
degree’’ is difficult to understand and
vague; these comments suggest that we
replace the phrase, ‘‘to a scientifically
acceptable degree,’’ with the phrase,
‘‘based on a scientific risk-based
rationale.’’ These comments also suggest
we add a second sentence to the
definition to explain that the suggested
phrase, ‘‘includes consideration of the
environment, food matrix, and analyte
of interest, among other factors.’’
(Response 21) We agree that whether
a food testing sample is representative
depends on a variety of factors. Relevant
factors include what is being sampled,
the population from which the sample
is taken, the dispersion pattern of
potential adulterants, and adherence to
any time and temperature controls, to
name just a few. We also appreciate the
desire for clarity expressed in the
comments suggesting that we specify
sampling protocols for the samples that
will be tested under this final rule.
However, the purpose of defining
‘‘representative sample’’ in this subpart
is not to prescribe how to achieve a
representative sample either generally
or specifically for the testing conducted
under this program. Instead, it is to
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accurately communicate the concept of
a representative sample. We considered
altering the definition, but because
every food product and environmental
testing circumstance is slightly
different, and as already noted, there are
many relevant factors that also vary, our
attempts to add specificity to the
definition resulted in unnecessarily
complex language or the introduction of
some inaccuracy. Accordingly, although
we understand that some comments
describe the proposed definition as
vague and impractical, we are retaining
it with limited changes because we
conclude that it broadly satisfies the
purpose for which it was created. We
also consider the definition to be similar
to and consistent with definitions that
are accepted nationally and
internationally. (See, e.g., Codex
Alimentarius Commission, General
Guidelines on Sampling document
CAC/GL–50–2004, § 2.2.3: ‘‘A
representative sample is a sample in
which the characteristics of the lot from
which it is drawn are maintained. It is
in particular the case of a simple
random sample where each of the items
or increments of the lot has been given
the same probability of entering the
sample’’ (Ref. 10).
Some comments suggest that the
proposed phrase, ‘‘to a scientifically
acceptable degree,’’ is difficult to
understand and vague, and suggest
instead the phrase, ‘‘based on a
scientific risk-based rationale.’’ We
agree that the proposed phrase could be
improved. However, we do not believe
the proffered alternative phrase is the
best choice, because it would not always
be applicable and also, is less common
in the laboratory industry and therefore
not widely understood. Instead, we have
replaced ‘‘to a scientifically acceptable
degree,’’ with, ‘‘to a statistically
acceptable degree,’’ which we believe
communicates with more precision than
the proposed phrase the need for
samples to be selected based on a
statistical sampling design. A sample
that represents the whole to a
statistically significant degree will yield
information about the average
composition of the whole, and therefore
enable valid, accurate test results.
We decline the suggestion to add a
second sentence to the definition to
explain the phrase at issue but have
already agreed with the concept it
expressed, which is that determining
whether a sample is representative
involves considering a host of varying
factors. We also decline the suggestion
to add a definition of ‘‘representative
sampling,’’ to this subpart. Although we
certainly agree that sampling techniques
are critical to obtaining a representative
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sample, this final rule does not set
standards for those techniques and
therefore our discussion of them is not
so extensive as to justify the need to
define the term.
On our own initiative, we also made
grammatical changes to this definition.
See our discussion of § 1.1149 below
for additional information on sampling
requirements and resources.
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Sampler
We proposed to define ‘‘sampler’’ as
an individual or individuals who
perform sampling.
(Comment 22) A few comments
disagree with the proposed definition of
‘‘sampler,’’ and state that a sampler may
also be an entity (for example, in the
case of laboratories that are
commercially liable for the performance
of the persons collecting the samples).
These comments suggest that FDA
include definitions for both ‘‘sampler’’
(an entity) and ‘‘sample collector’’
(individual(s)) within the final rule to
clarify this distinction.
(Response 22) We agree that it would
be clearer to use two distinct terms
throughout the rule regarding activities
related to sampling. First, we have
clarified the definition of the term,
‘‘sampler’’ to mean an individual who
collects samples. Second, we have
added a new term, ‘‘sampling firm,’’
which we define as an entity that
provides sampling services.
Accordingly, we have revised the final
rule to use the term, ‘‘sampling firm’’
where appropriate.
Scope of Accreditation
We proposed to define this term to
refer to the methods of analysis for
which the laboratory is accredited. The
proposed definition went on to state
that ‘‘[r]eferences in this subpart to
accreditation ‘in-whole’ refers [sic] to all
methods in the accredited laboratory’s
scope of accreditation and references to
accreditation ‘in-part’ refers [sic] to only
certain methods in the accredited
laboratory’s scope of accreditation.’’ 84
FR 59452 at 59502. We received no
comments on this proposed definition;
however, we have revised the proposed
term and definition to be consistent
with our terminology changes
throughout the final rule. The term has
been revised to ‘‘scope of LAAFaccreditation’’ and the definition of the
term has been revised to refer to ‘‘. . .
the methods of analysis for which the
laboratory is LAAF-accredited.’’
We have omitted the proposed second
sentence in the definition which
removes the terms, ‘‘in-whole’’ and ‘‘inpart.’’ Instead, in the final rule we
generally employ the construct that
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changes in LAAF-accreditation relate to
specific methods, or apply to all
methods, within a laboratory’s scope of
LAAF-accreditation. Additionally, in
the final rule, to better align with the
ISO/IEC conformity assessment
paradigm, we consistently use the word,
‘‘withdraw’’ to refer to the action a
recognized accreditation body takes to
remove all methods within the
laboratory’s scope of LAAFaccreditation, and we use the phrase,
‘‘reduce the scope of LAAFaccreditation’’ to refer to recognized
accreditation body actions which
remove only certain methods from the
laboratory’s scope of LAAFaccreditation.
Additional Definitions
On our own initiative, we have
included a definition for the term
‘‘street address’’ which appears
throughout the final rule. We define the
term to mean the full physical address,
including the country. We go on to
clarify that, for purposes of this rule, a
post office box number alone is
insufficient; however, a post office box
number may be provided in addition to
the street address.
We received comments requesting
that we include and define additional
terms in the final rule. We address these
comments below.
(Comment 23) Multiple comments
suggest adding a definition for
‘‘identified or suspected food safety
problem,’’ stating that doing so would
help to clarify when it would be
necessary to use a LAAF-accredited
laboratory for testing.
(Response 23) For the reasons stated
in the preamble to the proposed rule, we
decline the recommendation to include
a specific definition for ‘‘identified or
suspected food safety problem’’ (see 84
FR 59452 to 59462). Instead, we
proposed codifying the specific
circumstances in which use of a LAAFaccredited laboratory would be required
under this subpart. As discussed below
in section V.D, we have revised some of
the circumstances in response to public
comments and have added additional
discussion in the preamble.
(Comment 24) Some comments
suggest adding definitions for ‘‘quality
assurance’’ and ‘‘raw data,’’ stating that
similar terms are used by other
programs, entities, and regulations—
such as FDA’s Good Laboratory Practice
for Nonclinical Laboratory Studies at 21
CFR part 58—that may serve as a basis
for developing a definition under this
subpart.
(Response 24) We decline to add
definitions for these terms to the final
rule.
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Quality assurance is a critical pursuit
that must undergird both recognized
accreditation body and LAAFaccredited laboratory processes. Indeed,
we consider the integral nature of
quality assurance in ISO/IEC
17011:2017 and ISO/IEC 17025:2017 to
be among the standards’ greatest
strengths (Ref. 2, Ref. 3). In this final
rule we are establishing requirements
consistent with our perspective that
quality assurance must be nurtured (e.g.,
incorporation of the corrective action
process for both recognized
accreditation bodies and LAAFaccredited laboratories, submission by
recognized accreditation bodies of their
internal audit reports, proficiency test
requirements for each method within
the laboratories’ scope of LAAFaccreditation at least every 12 months).
Nevertheless, we decline the suggestion
to define ‘‘quality assurance’’ in this
subpart because we conclude a
definition is neither necessary nor
would it meaningfully add to the final
rule. We prefer instead to include in our
standards provisions that will require
the quality assurance processes and
actions we deem necessary for this
program.
We note that the term, ‘‘quality
assurance’’ appeared in § 1.1148 of the
proposed rule (‘‘What quality assurance
requirements must accredited
laboratories meet?’’). In the final rule,
we have omitted the specific section
regarding quality assurance
requirements and incorporated those
requirements into § 1.1138, which
addresses the eligibility requirements
for LAAF-accredited laboratories.
The term, ‘‘raw data’’ is not used so
extensively in the final rule as to
warrant a definition. In fact, it only
appears once in the codified text, in
§ 1.1152(d)(8), where we require as part
of a full analytical report, ‘‘[a]ll original
compilations of raw data secured in the
course of the analysis.’’ We explain the
term in two ways. First, section
1.1152(d)(8) includes some examples of
raw data, and second, in our discussion
of that provision at Response 119,
below, we have expounded on our
thinking regarding this requirement. We
consider these forms of explanation to
be sufficient in the context of this
subpart.
(Comment 25) Some comments state
that the term, ‘‘specific major food
testing discipline’’ is used throughout
the proposed rule and suggest that a
definition for the term be added to the
regulation for additional clarity.
(Response 25) We included the term,
‘‘specific major food testing discipline’’
in proposed § 1.1152(d) regarding
permission to submit abridged
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analytical reports. To clarify the term,
we have included detail in the final rule
at § 1.1153(a) regarding the three major
food testing disciplines under this rule
for purposes of submitting abridged
analytical reports. We identified these
in the preamble to the proposed rule
regarding § 1.1152(d) (see 84 FR 59484
(Nov. 4, 2019)) using slightly different
terms: ‘‘microbiology, chemistry, and
physical (filth).’’ In the final rule at 21
CFR 1.1153(a), we have codified the
specific major food testing disciplines
that will be used to categorize analytical
reports for purposes of determining
permission to submit abridged
analytical reports as ‘‘biological,
chemical, and physical.’’
3. Who is subject to this subpart
(§ 1.1103)?
Proposed § 1.1103 listed the entities
subject to the subpart: recognized
accreditation bodies, entities seeking to
become recognized accreditation bodies,
LAAF-accredited laboratories, entities
seeking to become LAAF-accredited
laboratories, and owners and consignees
who are required to use LAAFaccredited laboratories for the food
testing under this program.
We have made minor changes
throughout this section to reflect revised
program terminology. Specifically, we
have modified the term, ‘‘accreditation’’
to ‘‘LAAF-accreditation’’ in this section
and throughout the rule. Additionally,
we have made minor editorial changes
on our own initiative to improve clarity.
Comments regarding this section are
discussed below.
(Comment 26) Some comments
request clarification of which owners
and consignees will be covered by this
final rule, stating that there may be
multiple owners and consignees in the
context of imported food.
(Response 26) FDA-regulated
products imported into the United
States must comply with the same FDA
laws and regulations that apply to
domestic products. Entries are
submitted to U.S. Customs and Border
Protection which then refers entries of
FDA-regulated products to FDA for
review. Imported items may not be
distributed into commerce until FDA
has determined admissibility.
If FDA detains a food product at the
border under section 801(a) of the FD&C
Act because the food is or appears to be
adulterated or misbranded, but FDA has
not yet refused admission, the owner or
consignee of the food may introduce
testimonial evidence that the food is
admissible. Owners and consignees
often engage laboratories to test the food
and submit to FDA the results of the
testing, as testimony to support
admission. If FDA determines that the
food testing results are valid and that
they demonstrate the detained product
does not violate the FD&C Act, FDA will
release the food from detention and
allow it to proceed into the United
States. The testing of detained product
at the direction of such owners and
consignees is covered by this final rule
(see § 1.1107(a)(4)).
The DWPE procedure allows FDA to
detain an imported product without
physically examining it at the time of
entry. FDA employs the DWPE
procedure when there is a history of
product that violates or appears to
violate the FD&C Act, or when other
information indicates that future entries
may be violative. Import alerts inform
FDA staff and the public that we have
enough evidence to allow for DWPE of
particular products. Testing to support
removal from an import alert is also
covered by this final rule (see
§ 1.1107(a)(5)). For more information on
FDA’s import program generally see
https://www.fda.gov/industry/importprogram-food-and-drug-administrationfda; for more information on DWPE, see
https://www.fda.gov/media/71776/
download.
It is true that for a particular food
shipment or entry being offered for
import into the United States, multiple
parties may be considered owners and/
or consignees of the entry or of
particular products within that entry
(i.e., line items or lines). However, there
is generally only one importer of record
for each entry,2 and it is the importer of
record that is ultimately responsible for
ensuring that the product(s) complies
with the FD&C Act and implementing
regulations at the time of entry. (See
§ 1.83(a), where the term, ‘‘owner or
consignee’’ is defined for the purposes
of articles offered for import.) The
importer of record may negotiate or
contract with another party such that
the other party agrees to engage the
laboratory to test the product. Such
arrangements are purely between the
parties to the shipment; at the end of the
day the importer of record remains the
party ultimately responsible for the
compliance of that entry and therefore
is ultimately responsible for amassing
any testimonial evidence (e.g., test
results and associated analytical
documentation) in support of admission
of the food.
D. Comments Regarding General
Requirements
TABLE 4—REVISIONS TO GENERAL REQUIREMENTS
Final rule
Proposed rule
Notes
§ 1.1107 When must food testing be conducted under this subpart?
§ 1.1107 Under what circumstances must
food testing be conducted under this subpart by an accredited laboratory?
§ 1.1108 When and how will FDA issue a
food testing order?
§ 1.1109 How will FDA make information
about recognized accreditation bodies and
accredited laboratories available to the public?
N/A ....................................................................
Revised section title to simplify language and
incorporate revised terminology.
a bond. Some products are restricted from informal
entry (for example, high risk products), regardless
of value.) For such shipments that are not
accompanied by an importer of record when
making entry, the owner or consignee of the line(s)
will serve as the responsible party when presenting
evidence to FDA in support of admission of the
food.
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§ 1.1108 When and how will FDA issue a directed food laboratory order?
§ 1.1109 How will FDA make information
about recognized accreditation bodies and
LAAF-accredited laboratories available to the
public?
§ 1.1110 What are the general requirements
for submitting information to FDA under this
subpart?
2 There may not be an importer of record for some
informal entries. (Informal entries, as defined by
U.S. Customs and Border Protection regulations, are
usually valued at less than $2,500 (value subject to
change) (19 CFR 143.21), and usually do not require
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Revised section title to reflect revised terminology.
New section which consolidates requirements
from throughout the proposed rule.
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1. When must food testing be conducted
under this subpart (§ 1.1107)?
Proposed § 1.1107(a) stated that food
testing must be conducted under this
subpart whenever food testing is
conducted by or on behalf of an owner
or consignee in any of the following five
circumstances: (1) In response to
explicit testing requirements that
address an identified or suspected food
safety problem in existing FDA
regulations covering sprouts (21 CFR
112.146(a), (c) and (d)), shell eggs
(§§ 118.4(a)(2)(iii), 118.5(a)(2)(ii),
118.5(b)(2)(ii), 118.6(a)(2), 118.6(e)), and
bottled drinking water (§ 129.35(a)(3)(i)
(21 CFR 129.35(a)(3)(i))) (regarding the
requirement to test five samples from
the same sampling site that originally
tested positive for Escherichia coli (E.
coli)); (2) as required by FDA in a
directed food laboratory order (issued
under § 1.1108 of this rule); (3) to
address an identified or suspected food
safety problem and presented to FDA as
part of evidence for a hearing under
section 423(c) of the FD&C Act (21
U.S.C. 350l) prior to the issuance of a
mandatory food recall order, as part of
a corrective action plan under section
415(b)(3)(A) of the FD&C Act (21 U.S.C.
350d) submitted after an order
suspending the registration of a food
facility, or as part of evidence submitted
for an appeal of an administrative
detention order under section
304(h)(4)(A) of the FD&C Act (21 U.S.C.
334(h)(4)(A)); (4) in support of
admission of an article of food under
section 801(a) of the FD&C Act; and (5)
to support removal from an import alert
through successful consecutive testing.
Section 1.1107(b) of the proposed rule
stated that when food testing is
conducted under paragraph (a), analysis
of samples must be conducted by a
laboratory that is LAAF-accredited for
the appropriate method(s). Proposed
paragraph (c) stated the requirement for
food testing on articles of food offered
for import into the United States to be
conducted after the articles have arrived
in the United States unless FDA has
provided prior written authorization to
the owner or consignee that a sample(s)
of the article(s) taken prior to arrival in
the United States is or would be
representative of the article(s) offered
for import.
We revised the proposed rule section
title, ‘‘Under what circumstances must
food testing be conducted under this
subpart by an accredited laboratory?’’ to
‘‘When must food testing be conducted
under this subpart?’’ in the final rule.
We have made changes throughout this
section to incorporate revised
terminology. We also have made non-
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substantive revisions to paragraph (a)(2)
(to add the word, ‘‘issued’’), to
paragraph (a)(3) to add an inadvertently
omitted word (‘‘of’’), and to paragraph
(c) to improve clarity and readability.
Comments regarding this section are
discussed below.
(Comment 27) We received several
comments regarding the proposed
policy to allow all testing under this
subpart to be conducted ‘‘by or on
behalf of an owner or consignee.’’ Some
comments contend that laboratories
operated by owners or consignees (‘‘inhouse’’ laboratories) should be ineligible
to conduct some or all tests described in
§ 1.1107. Other comments voice
agreement with the proposal.
(Response 27) After considering the
comments in light of the statute, we are
retaining the proposed policy such that
in-house laboratories may become
LAAF-accredited to conduct any or all
the testing described in § 1.1107 as long
as those laboratories meet all the
laboratory requirements of this subpart.
Please see the discussion of this issue in
Response 101 where we address the
general eligibility of these laboratories,
as well as the impartiality and conflict
of interest requirements contained in
§ 1.1147.
(Comment 28) We received a few
comments asking us to clarify the foods
to which the testing requirements in the
final rule will apply. Some of these
comments ask whether any
commodities would be exempt from the
final rule and state that seafood, juice,
and low-acid canned foods are exempt
from certain requirements of the
‘‘Current Good Manufacturing Practice,
Hazard Analysis, and Risk-based
Preventive Controls for Human Food’’
(preventive controls for human food)
regulation (part 117 (21 CFR part 117)).
Other comments inquire whether the
final rule would apply to any
commodities other than sprouts, shell
eggs, and bottled drinking water.
(Response 28) Proposed § 1.1107(a)
described the specific circumstances
under which food testing would need to
be conducted under this subpart by a
LAAF-accredited laboratory. Sprouts,
shell eggs, and bottled drinking water
are the only commodities for which
specific testing requirements contained
in existing regulations are currently
covered by the final rule (see
§ 1.1107(a)(1)(i) through (iii)). The
remaining circumstances in § 1.1107(a)
could require food testing under this
subpart for any food or environment
within FDA’s jurisdiction. We note that
hazards addressed by hazard analysis
and critical control point (HACCP)
regulations for seafood (21 CFR part
123) and juice (21 CFR part 120), and
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those addressed by regulations for lowacid canned food (21 CFR part 113), are
exempt from certain requirements of the
preventive controls for human food
regulation because those commodities
and hazards are covered by commodityspecific HACCP or other regulations that
predate the preventive controls for
human food regulation. Seafood, juice,
and low-acid canned foods are not
exempt from this final rule. If seafood,
juice, low-acid canned foods, or any
article of food or environment within
FDA’s jurisdiction are covered by any of
the circumstances described in
§ 1.1107(a)(2) through (5), then food
testing must be conducted under this
subpart by a LAAF-accredited
laboratory. For a discussion of program
implementation, see Response 14.
(Comment 29) Some comments agree
with our proposal regarding the scope of
testing that would be covered by the
final rule. Some comments express
alignment with the general notion of
FDA requiring the use of LAAFaccredited laboratories in circumstances
where heightened food safety concerns
exist. Other comments support the
proposed requirement that testing
prescribed by certain explicit testing
requirements in FDA regulations to
address an identified or suspected food
safety problem should be covered by
this final rule. Specifically, some
comments support the inclusion of the
bottled drinking water testing required
in § 129.35(a)(3)(i) and agree that other
bottled drinking water testing required
by FDA regulations does not constitute
testing in connection with an
‘‘identified or suspected food safety
problem’’ and therefore was properly
excluded from coverage in the proposed
rule.
(Response 29) Section 422 of the
FD&C Act prescribes several
circumstances in which testing must be
conducted by a LAAF-accredited
laboratory. First, section 422(b)(1)(A)(i)
of the FD&C Act requires testing under
this subpart to be conducted, ‘‘in
response to a specific testing
requirement under this Act or
implementing regulations, when
applied to address an identified or
suspected food safety problem.’’ As
discussed in the proposed rule, we
proposed to interpret section
422(b)(1)(A)(i) to apply to provisions of
the FD&C Act or its implementing
regulations that explicitly require food
testing. 84 FR 59452 at 59462. We
identified nine explicit testing
requirements in our regulations that we
tentatively concluded address an
identified or suspected food safety
problem because each of those testing
requirements was a followup test after a
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routine test indicated the presence of a
pathogen or indicator organism (i.e., an
organism that indicates conditions in
which an environmental pathogen may
be present). For example, § 118.4(a)(2)(i)
of our shell egg safety regulation
requires an environmental test for
Salmonella Enteritidis when the pullets
are 14 to 16 weeks of age. If the
environmental test is positive,
§ 118.4(a)(2)(iii) requires shell egg
testing to commence within 2 weeks of
the start of egg laying (unless the eggs
are diverted to treatment, see
§ 118.6(a)(2)). We tentatively concluded
that the followup shell egg testing
would be covered by the rule, but the
initial environmental testing would not.
Section 422(b)(1)(A)(i) of the FD&C Act
is implemented in § 1.1107(a)(1) of this
final rule. For a discussion of FDA’s
interpretation of ‘‘identified and
suspected food safety problem,’’ see
Response 35.
Section 422(b)(1)(A)(ii) of the FD&C
Act requires testing to be conducted
under this subpart, ‘‘as required by the
Secretary, as the Secretary deems
appropriate, to address an identified or
suspected food safety problem.’’ Section
422(b)(1)(A)(ii) of the FD&C Act is
implemented in § 1.1108 of this final
rule, which addresses the directed food
laboratory order. (For discussion of the
directed food laboratory order, see
Comment 41 through Comment 56 and
Responses, below.) Section
422(b)(1)(A)(ii) of the FD&C Act also
authorizes § 1.1107(a)(3) of this final
rule, which requires that food testing be
conducted under this program when it
is conducted to address an identified or
suspected food safety problem and is
presented to FDA in three
administrative procedural settings: As
part of evidence for a hearing under
section 423(c) of the FD&C Act prior to
the issuance of a mandatory recall order,
as part of a corrective action plan under
section 415(b)(3)(A) of the FD&C Act
submitted after an order suspending the
registration of a food facility, or as part
of evidence submitted for an appeal of
an administrative detention order under
section 304(h)(4)(A) of the FD&C Act.
Section 422(b)(1)(B)(i) of the FD&C
Act requires testing to be conducted
under this subpart, ‘‘in support of
admission of an article of food under
section 801(a).’’ Section 422(b)(1)(B)(i)
of the FD&C Act is implemented in
§ 1.1107(a)(4) of this final rule. Section
422(b)(1)(B)(ii) of the FD&C Act requires
testing to be conducted under this
subpart when such testing is to support
removal from an import alert through
successful consecutive testing, and is
implemented in § 1.1107(a)(5) of this
final rule.
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We appreciate those aspects of
comments that express support for the
proposed testing provisions.
(Comment 30) Some comments note
that there have been foodborne illnesses
associated with shell eggs produced at
farms with less than 3,000 laying hens.
These comments also note that food
safety recalls associated with shell eggs,
including from cage-free and free-range
egg farms that have less than 3,000
laying hens, affect all egg farms. In the
view of these comments, FDA’s egg
safety rule should therefore not exclude
shell egg producers with less than 3,000
laying hens, and all egg farms regardless
of size should be subject to this rule for
the testing described in
§ 1.1107(a)(1)(ii).
(Response 30) This final rule requires
use of a LAAF-accredited laboratory for
certain followup tests that already are
required by other food safety regulations
(§ 1.1107(a)(1)). Because shell egg farms
that have less than 3,000 laying hens are
exempt from the egg safety rule, such
farms are not subject to this final rule
for the egg safety rule testing that falls
within the scope of this subpart.
(Comment 31) Some comments opine
that our use of the term, ‘‘corrective
action testing’’ with respect to followup
testing in response to an identified or
suspected food safety problem appears
to mean something different than it does
in the world of conformity assessment.
These comments assert that for
conformity assessment purposes,
‘‘corrective action’’ means that a
laboratory takes an ‘‘action to eliminate
the cause of a nonconformity and to
prevent recurrence;’’ these comments
cite ISO/IEC 9001.
(Response 31) In the proposed rule,
we used the term, ‘‘corrective action’’ to
refer to actions taken by a conformity
assessment entity in response to a
deficiency (see, e.g., 84 FR 59452 at
59491 (‘‘the probation notice would
either inform the laboratory that the
laboratory has a specified time period to
take corrective actions specified by
FDA[,] or request that the laboratory
submit a corrective action plan to FDA
for FDA’s approval that identifies the
corrective actions it will take to address
deficiencies identified’’). In the
proposed rule, we also used the term,
‘‘corrective action’’ to describe followup
activities undertaken by a food
manufacturer or processor after product
or environmental testing indicates the
presence of a pathogen or indicator
organism (84 FR 59452 at 59455).
We understand why comments
express the view that it may have been
confusing for the term, ‘‘corrective
action’’ to mean two different things in
the proposed rule. In addition, in the
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proposed rule, we could have been more
precise in our use of the term, ‘‘explicit
corrective action testing’’ to describe
testing covered by section
422(b)(1)(A)(i) of the FD&C Act. Section
422(b)(1)(A)(i) directs this program to
cover testing ‘‘in response to a specific
testing requirement under [the FD&C
Act] or implementing regulations, when
applied to address an identified or
suspected food safety problem.’’ Not all
the testing described by this statutory
language may be properly categorized as
corrective action testing, (e.g., the
sprouts environmental tests at 21 CFR
112.146(c) are considered verification
tests within the sprouts regulatory
framework; see § 1.1107(a)(1)(i)).3 To
improve clarity and precision, we use
the phrase, ‘‘explicit followup testing’’
in the final rule to mean the testing that
we have determined will be subject to
this subpart under our section
422(b)(1)(A)(i) authority.
For the foregoing reasons, including
to minimize risk of confusion and to
improve the final rule, we generally
reserve use of the term, ‘‘corrective
action,’’ to the conformity-assessment
context, in this document. Exceptions
include discussion related to the
preventive controls regulations; see
Comment and Response 37. For clarity
we have added the following definition
of ‘‘corrective action’’ to § 1.1102:
‘‘Corrective action means an action
taken by an accreditation body or
laboratory to investigate and eliminate
the cause of a deficiency so that it does
not recur.’’ Relatedly, in §§ 1.1121,
1.1131, and 1.1161 of the final rule, we
have added references to the specific
sections of the relevant ISO/IEC
standard to clarify the process a
recognized accreditation body or LAAFaccredited laboratory must take to
address deficiencies through corrective
action.
(Comment 32) In the proposed rule,
we described the circumstances under
which testing of imported food would
be subject to the requirements of this
final rule. In brief, we proposed that an
owner or consignee whose entry has
been detained because the food is or
appears to be adulterated or misbranded
must use a LAAF-accredited laboratory
to conduct the food testing used as
testimonial evidence supporting
admission to the United States. The
3 For more information on sprouts environmental
testing, see the ‘‘Compliance with and
Recommendations for Implementation of the
Standards for the Growing, Harvesting, Packing,
and Holding of Produce for Human Consumption
for Sprout Operations’’ draft guidance, available at
https://www.fda.gov/regulatory-information/searchfda-guidance-documents/draft-guidance-industrycompliance-and-recommendationsimplementation-standards-growing-harvesting.
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other import testing that we proposed to
cover in this final rule is testing to
support the removal of food from import
alert through successful consecutive
testing. Import alerts inform FDA’s field
staff and the public that the Agency has
enough evidence to allow for DWPE of
products that appear to be in violation
of FDA’s laws and regulations.
Some comments express appreciation
that the proposed rule included
information on when imported foods
would need to be tested. Some
comments support our proposal to
require the use of a LAAF-accredited
laboratory for testing conducted to
support removal from import alert.
These comments endorse the portion of
the proposed rule preamble that
discussed the importance of reliable
testing of imports and indicate that in
the past, food commodities subject to
import alert have caused multiple
foodborne illness outbreaks. These
comments state that although it will
take many tools and approaches to
ensure the safety of imported foods,
reliable testing is a critical component
of a successful strategy.
(Response 32) With appreciation for
these supportive comments, we confirm
that the import-related circumstances
under which food testing is required by
this subpart in the proposed rule remain
unchanged in the final rule: Testing in
support of admission of an article of
food under section 801(a) of the FD&C
Act (§ 1.1107(a)(4)) and testing to
support removal from an import alert
through successful consecutive testing
(§ 1.1107(a)(5)).
(Comment 33) Some comments
express confusion about when this final
rule would apply and asked when the
requirements of the final rule would
apply to regulatory feed testing
laboratories.
(Response 33) A regulatory feed
testing laboratory may choose to seek
LAAF-accreditation to conduct testing
under this subpart. If animal food were
the subject of testing required to be
conducted under this program (i.e., the
subject of food testing under
§ 1.1107(a)(2) through (5)), then an
owner or consignee would need to use
a LAAF-accredited laboratory to
conduct the test. For a discussion of
program implementation, see Response
14.
(Comment 34) Some comments
express the erroneous understanding
that the laboratory accreditation final
rule would apply only when food
testing is conducted in a food
manufacturing or processing facility.
These comments express the concern
that adulteration may occur after the
food leaves the production facility, in
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which case testing conducted during
production is outdated and inaccurate,
and potentially masks a food safety
problem.
(Response 34) We first clarify that the
testing covered by this rule is not
limited to testing in a food
manufacturing or processing facility.
Certain testing at farms is also covered;
for example, § 1.1107(a)(1)(ii) describes
shell egg testing, and those eggs
originate on a poultry farm. In addition,
this rule covers a significant number of
tests of imported food (§ 1.1107(a)(4)
and (5)). Because FDA agrees that
adulteration may occur while food is in
transit, the final rule generally requires
imported food products subject to this
final rule to be sampled and tested after
the food has arrived in the United
States. (See § 1.1107(c) and Response 40
for more on this topic.) Thus, testing of
imported food subject to this final rule
generally will occur at or near the U.S.
border.
FDA also has other tools to address
adulteration that occurs outside of
production establishments, including
another FSMA regulation, the ‘‘Sanitary
Transportation of Human and Animal
Food’’ regulation (part 1, subpart O),
which requires shippers, carriers by
motor vehicle or rail vehicle, receivers,
and other persons engaged in the
transportation of food, to use sanitary
transportation practices to ensure that
the food is not transported under
conditions that may render the food
adulterated.
(Comment 35) In the preamble to the
proposed rule, we discussed
considerations in our interpretation of
the phrase, ‘‘identified or suspected
food safety problem,’’ which appears in
section 422(b)(1)(A)(i) and (ii) of the
FD&C Act and is therefore important in
determining which testing will be
covered by this subpart. Among other
things, we explored other uses of similar
phrases elsewhere in FSMA. We
tentatively concluded that an
‘‘identified food safety problem’’ could
be present when a specific article of
food violates a provision of the FD&C
Act that relates to food safety. We
tentatively concluded that a ‘‘suspected
food safety problem’’ typically would
have a basis in fact about a particular
article of food (e.g., a lot or batch) or
food production environment (e.g., a
specific facility). We reasoned that the
requisite suspicion would not be
satisfied by the common or usual
characteristics of food (e.g., whether a
food is considered ‘‘high risk’’) or the
manner in which the food is typically
produced. We tentatively concluded
that the routine product testing and
environmental monitoring requirements
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required by the preventive controls for
human food regulation (see
§ 117.165(a)(2) and (3), respectively), are
not conducted to address a suspected
(or identified) food safety problem,
because this testing is conducted to
verify the implementation and
effectiveness of preventive controls
(‘‘verification testing’’) and not because
a food safety problem is suspected or
identified. 84 FR 59452 at 59462. This
same tentative conclusion would apply
to the routine product testing and
environmental monitoring requirements
required by the Current Good
Manufacturing Practice, Hazard
Analysis, and Risk-based Preventive
Controls for Food for Animals
(preventive controls for animal food)
regulation (§ 507.49(a)(2) and (3) (21
CFR 507.49(a)(2)) and (3), respectively).
In the proposed rule we explained
that, in the preventive controls for
human food regulation, FDA indicated
that an ‘‘unanticipated food safety
problem’’ could occur where a
preventive control is not properly
implemented, including where a
pathogen or indicator organism is
detected during routine product or
environmental testing (verification
testing). In the proposed rule we
tentatively concluded that, depending
on the circumstances, a routine test that
indicated the presence of an indicator
organism would not necessarily
constitute a suspected food safety
problem. 84 FR 59452 at 59462.
Some comments dispute our
interpretation of ‘‘identified or
suspected food safety problem.’’ From
their perspective, there is no need for
the problem to be particularized to an
article of food or a facility. These
comments state that the statute does not
direct that ‘‘an identified or suspected
food safety problem,’’ could only be
present in relation to a specific article
of food or facility. The comments argue
that the appearance of the phrase, ‘‘food
safety problems’’ in two FSMA titles
that cover multifaceted approaches to
food safety (Title I: ‘‘Improving Capacity
to Prevent Food Safety Problems’’ and
Title II: ‘‘Improving Capacity to Detect
and Respond to Food Safety Problems’’)
supports the position that Congress did
not intend for the same terms to be read
narrowly in the context of section 422
of the FD&C Act. These comments
indicate that the economic analysis
accompanying the proposed rule
estimated that far fewer tests would be
subject to the LAAF program under
section 422(b)(1)(A) than under section
422(b)(1)(B) of the FD&C Act.
(Response 35) The phrase, ‘‘identified
or suspected food safety problem,’’
appears twice in section 422(b)(1)(A) of
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the FD&C Act and therefore helps
demarcate which testing will be covered
by this subpart. The statute does not
define either ‘‘identified or suspected
food safety problem,’’ or ‘‘food safety
problem,’’ nor do those phrases appear
elsewhere in the body of FSMA. As
referenced above, the phrase, ‘‘food
safety problem’’ appears in the FSMA
titles: Title I, ‘‘Improving Capacity to
Prevent Food Safety Problems,’’ and
Title II, ‘‘Improving Capacity to Detect
and Respond to Food Safety Problems.’’
Comments urge us to infer from the
breadth of the various provisions within
each of those two titles, that when
Congress used the same phrase in
section 422(b)(1)(A) of the FD&C Act, it
intended the phrase to be broadly
interpreted. However, we cannot impute
such an intention to Congress without
some indication of that intent in section
422 of the FD&C Act or the legislative
history. Indeed, one could reasonably
infer the opposite—that from the
breadth of the provisions within FSMA
Titles I and II, Congress must have
intended for the phrase, ‘‘food safety
problems’’ to have different meanings in
different contexts. In sum, ‘‘food safety
problem’’ is not defined in the statute,
and thus it falls to FDA to elaborate on
its meaning.
In the proposed rule, we looked at
other FSMA standards and other FSMA
regulations, before making the tentative
conclusions described above in
Comment 35. We finalize those
conclusions without change.
In this vein, we observe that the
purpose of routine product and
environmental testing under the
preventive controls regulations is to
verify that preventive controls are
consistently implemented and are
effective (§§ 117.165(a) and 507.49(a)).
Accordingly, such testing does not
address an identified or suspected food
safety problem, and is not covered by
this subpart.
(Comment 36) In the proposed rule,
we tentatively concluded that although
section 422(b)(1)(B)(i) of the FD&C Act
requires testing, ‘‘in support of
admission of an article of food under
section 801(a)’’ to be conducted under
this subpart, it was reasonable not to
apply section 422(b)(1)(B)(i) to food
testing related to FSVP. We explained
that under section 801(a)(3) of the FD&C
Act, FDA may refuse admission of an
article of food if the food is, or appears
to be, adulterated or misbranded. When
FDA determines that an article of food
is, or appears to be, adulterated or
misbranded, we must notify the owner
or consignee of our determination, and
state the reason(s) for such
determination (§ 1.94(a)). FDA must also
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specify a period of time during which
the owner or consignee may introduce
testimony relevant to the admissibility
of the article of food. Id. Owners or
consignees often engage laboratories to
test the food and then introduce the test
results (along with associated data and
analysis) as evidence that the food is
admissible. If FDA determines that the
sampling methods and testing results
are valid and indicate that the article of
food does not appear to violate the
FD&C Act, FDA will determine that the
article of food is admissible, release it
from detention, and permit its entrance
into the United States. Thus, the focus
of section 422(b)(1)(B)(i) of the FD&C
Act is the characteristics of an article of
food that is pending at the border.
Under § 1.1107(a)(4) of this final rule,
the testing obtained by the owner or
consignee and submitted as testimony to
support release of the article of food
from detention, must be conducted
under this subpart.
FSMA amended the FD&C Act to add
section 805, ‘‘Foreign Supplier
Verification Program,’’ to require
persons who import food into the
United States to perform risk-based
foreign supplier verification activities
for the purpose of verifying that
imported food meets applicable U.S.
safety requirements. The FSVP
regulation, codified in §§ 1.500 through
1.514, specifies the foods and importers
to which the FSVP regulation applies
and establishes requirements related to
supplier verification. Depending on the
circumstances, sampling and testing of
a food may be an appropriate supplier
verification activity. See
§ 1.506(d)(1)(ii)(B). If an FSVP importer
fails to comply with the FSVP
regulations for a particular food, that
food may be refused admission under
section 801(a)(3) of the FD&C Act.4
However, such refusal is not because the
article of food pending at the border is,
or appears to be, adulterated or
misbranded. Instead, the refusal is a
consequence of the importer’s failure to
comply with its FSVP obligations.
Testing the article of food detained at
the border in this instance would have
no impact on its admissibility under
section 801(a)(3) of the FD&C Act,
because the detention is due to the
characteristics of the importer. In the
proposed rule we tentatively concluded
that, because the focus of the FSVP
provision in section 801(a)(3) of the
FD&C Act is entirely different than the
4 For more information on FSVP, see https://
www.fda.gov/food/food-safety-modernization-actfsma/fsma-final-rule-foreign-supplier-verificationprograms-fsvp-importers-food-humans-andanimals.
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focus of the circumstances addressed by
section 422(b)(1)(B)(i) of the FD&C Act,
it is reasonable not to apply the latter
subpart to the testing of food conducted
under FSVP.
Several comments agree with our
reasoning regarding testing under FSVP
and our proposal that such testing not
require use of a LAAF-accredited
laboratory. However, other comments
disagree, expressing the perspective that
as the proposed rule would cover testing
to support removal from import alert, it
seems more consistent with the FSMA
framework to also require testing related
to FSVP to be conducted under this
subpart. We understand these comments
to mean that, because FSVP addresses
the safety of food imports, and testing
related to import alerts also addresses
the safety of food imports, FDA is being
inconsistent in covering import alert
testing under this subpart, but not
testing related to FSVP. These
comments further suggest that we not
require test results related to FSVP to be
sent directly to FDA. The comments do
not explain why FSVP tests, which they
argue should be subject to this subpart,
should nevertheless be excepted from
the requirement that all test results
under this subpart be submitted directly
to FDA.
(Response 36) We disagree that our
determinations regarding testing related
to FSVP are inconsistent with covering
testing to support removal from import
alert under this subpart. As an initial
matter, the section of the statute
authorizing the LAAF program
explicitly directs that testing to support
removal from import alert be subject to
this program, and does not mention
FSVP. Further, for the reasons discussed
in the proposed rule and briefly
described in the comment summary
above, we conclude that it is reasonable
not to apply section 422(b)(1)(B)(i) of
the FD&C Act to food testing related to
FSVP. These comments do not explain
why FSVP test results would warrant an
exception from the § 1.1152(b)
requirement to submit all tests results
under this program directly to FDA, and
as the final rule will not cover testing
related to FSVP, the suggestion is
inapplicable.
(Comment 37) Some comments agree
with our tentative conclusion in the
proposed rule that the routine product
and environmental testing that occurs
pursuant to a preventive controls food
safety plan should not require the use of
a LAAF-accredited laboratory. Some of
these comments encourage FDA to make
explicit in the final rule that routine
product testing under the preventive
control regulations is performed to
verify that applied controls have been
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effective, and not to address an
identified or suspected food safety
problem, and therefore is not covered by
the laboratory accreditation final rule.
Some comments also request that FDA
clarify that environmental testing
conducted in response to routine
environmental monitoring results
indicating the presence of a pathogen or
indicator organism would not typically
be considered testing conducted to
address an identified or suspected food
safety problem, and would therefore
typically fall outside the scope of the
laboratory accreditation final rule.
According to these comments, facilities
should have an opportunity to perform
an analysis of the root cause for the
environmental positive, take corrective
actions and conduct additional testing
as needed, before FDA determines that
an identified or suspected food safety
problem exists and possibly warrants
testing by a LAAF-accredited laboratory.
On the other hand, some comments
urge FDA to include within the purview
of this final rule all food testing required
by our regulations, and at a minimum
the verification testing and followup
testing conducted under the preventive
controls and FSVP regulations.5 Some of
these comments contend that FDA has
misinterpreted the statute, and claim
that section 422(b)(1)(A) of the FD&C
Act grants broad discretion to FDA to
require use of a participating laboratory
in such circumstances.6 Some
comments highlight the language in
section 422(b)(1)(A)(ii) of the FD&C Act,
which states in relevant part, ‘‘as the
Secretary deems appropriate, to address
an identified or suspected food safety
problem,’’ and argue that such language
grants FDA ‘‘expansive’’ authority for
the final rule to cover circumstances
where either FDA or facilities
themselves have identified a food safety
hazard and are using testing as part of
the approach to address the hazard.
Such comments express the view that if
FDA does not require more domestic
food testing to be conducted under this
program, FDA is failing to address food
safety problems as Congress intended.
Comments encourage the Agency to
adopt a broader statutory interpretation
of section 422(b)(1)(A) of the FD&C Act
even if we do not expand the testing
subject to the final rule, so that we may
5 Some comments refer to ‘‘corrective action
testing;’’ we have changed the phrase to ‘‘explicit
followup testing.’’ See Response 31.
6 Some comments imply that the testing required
under section 422(b)(1)(A) of the FD&C Act is
limited to domestic food production circumstances.
However there is nothing in the statute that limits
section 422(b)(1)(A) to testing of food produced
domestically, and accordingly § 1.1107(a)(1)–(3) of
this final rule also refrains from imposing that
limitation.
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preserve the authority to add more
testing to § 1.1107 in the future.
In support of their contentions, some
comments offer an example of a Georgia
food processing facility that was
conducting environmental testing as
required by the preventive controls for
human food regulation but whose
products (boiled eggs) nevertheless
caused an outbreak, which, according to
the comments, calls into question the
accuracy of the test results and the
quality of the facility’s testing program.
These comments posit that perhaps
FDA did not propose to include testing
related to the preventive controls or
FSVP regulations within the scope of
this subpart because testing under those
regulations is not always required;
depending on the circumstances the
facility or importer may find other
actions sufficient. These comments find
such reasoning unpersuasive because in
their view, whenever testing is required
as a verification or followup activity
under the preventive controls or FSVP
regulations, the testing is being
conducted ‘‘in response’’ to a regulatory
requirement and so is covered by
section 422(b)(1)(A) of the FD&C Act.
These comments alternatively posit
that perhaps FDA did not propose to
cover preventive controls and FSVP
testing because this approach might be
burdensome for industry. According to
these comments, if that is the case, then
such concerns could be addressed by
providing additional time for
implementation; further, any such
concerns would be offset by the positive
health and economic benefits that they
suggest testing would create by
preventing outbreaks.
(Response 37) Some comments
contend that section 422(b)(1)(A) of the
FD&C Act grants FDA broad discretion
to require testing to be conducted under
this subpart. We address the two
subparagraphs of section 422(b)(1)(A) in
turn.
Section 422(b)(1)(A)(i) of the FD&C Act
Section 422(b)(1)(A)(i) of the FD&C
Act provides that testing must be
covered by this program when the
testing is conducted, ‘‘in response to a
specific testing requirement under this
Act or implementing regulations, when
applied to address an identified or
suspected food safety problem.’’ We
discussed our interpretation of
‘‘identified and suspected food safety
problem’’ in Response 35, above, and
concluded that routine product and
environmental testing that occurs
pursuant to a preventive controls food
safety plan (§§ 117.165(a) and 507.49(a))
is not covered by this subpart. We turn
now to our interpretation of the phrase,
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‘‘in response to a specific testing
requirement under this Act or
implementing regulations.’’
In the proposed rule, we tentatively
interpreted, ‘‘specific testing
requirement under this Act or
implementing regulations’’ to mean that
this subpart would cover food testing
explicitly required by a statutory or
regulatory provision. 84 FR 59452 at
59462. We identified nine testing
requirements in FDA regulations that
were both explicit and address an
identified or suspected food safety
problem: Five testing requirements in
the egg safety rule (§§ 118.4(a)(2)(iii),
118.5(a)(2)(ii), 118.5(b)(2)(ii),
118.6(a)(2), and 118.6(e)), three in the
standards for the growing, harvesting,
packing, and holding of sprouts
(§ 112.146(a), (c), and (d)), and one in
our regulations on the processing and
bottling of bottled drinking water
(§ 129.35(a)(3)(i)).
Comments do not directly dispute our
proposed interpretation of the term,
‘‘specific,’’ but some contend that all
food testing requirements in our
regulations should be covered by this
subpart. However, the statute only
authorizes testing to be covered by this
subpart if it is both an explicit testing
requirement and a testing requirement
that addresses an identified or
suspected food safety problem. Not all
food testing requirements in FDA
regulations satisfy those two prongs of
section 422(b)(1)(A)(i) of the FD&C Act.
Indeed, if Congress had intended for all
food testing required by FDA
regulations to be covered by this
program, they could have said so.
Some comments argue that testing
under the preventive controls and FSVP
regulations falls within the purview of
section 422(b)(1)(A)(i) of the FD&C Act.
More specifically, these comments
identify the testing done to verify the
effectiveness of controls, or as part of
corrective actions taken when issues are
identified, as testing that should be
covered by this subpart.
First, these comments discuss testing
in relation to FSVP jointly with testing
under the preventive controls
regulations. However, we have already
concluded that testing related to FSVP
is not covered by this subpart (see
Response 36); for the remainder of this
response we consider comments just in
relation to the preventive controls
regulations.
Some comments acknowledge that the
preventive controls regulations do not
always require testing. Briefly, the
preventive controls regulations apply to
most registered food facilities. A wide
variety of registered food facilities
process, manufacture, pack, or hold all
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kinds of foods, so these regulations are
structured to address a plethora of
circumstances. Under the preventive
controls regulations, facilities are
responsible for analyzing food safety
hazards to determine if there are
hazards requiring a control and then
developing and implementing a plan for
the control of those hazards. The
regulations are written to provide
significant flexibility to facilities, and
that flexibility is reflected in the
provisions that address testing.
For example, facilities must verify
that their controls are being consistently
implemented and are effective at
minimizing or preventing the identified
hazards. The regulations identify testing
as one verification activity, but the
facility is responsible for determining
which verification activities are
appropriate in their particular
circumstances. By way of another
example, facilities must establish and
implement corrective action procedures
that must be taken if a preventive
control was not properly implemented.
See §§ 117.150(a) and 507.42(a). A
routine verification test indicating the
presence of a pathogen or indicator
organism in a ready-to-eat product
would signal that a preventive control
was not properly implemented. See
§ 117.150(a)(1). In certain
circumstances, followup testing would
be one appropriate corrective action a
facility could take in response to such
a signal. However, the regulations do
not prescribe exactly when followup
testing is required, instead placing the
responsibility for making that
determination on the facility.
Comments argue that because any
verification or followup testing that
occurs under the preventive controls
regulations is ‘‘in response’’ to the
regulations, such tests fall within the
purview of section 422(b)(1)(A)(i) of the
FD&C Act. These comments may prefer
that the word, ‘‘specific’’ not appear in
section 422(b)(1)(A)(i) of the FD&C Act,
but it does, and it must be given
meaning. Regulatory provisions that
confer significant discretion on
regulated entities for determining when
food testing is necessary, are not explicit
testing requirements and therefore are
not covered by this subpart. We finalize
our proposed interpretation of
‘‘specific’’ testing requirements without
change and conclude that neither
routine verification testing nor followup
testing under the preventive controls
regulations is covered by this subpart
using our section 422(b)(1)(A)(i)
authority.
Some comments opposing our
interpretation of section 422(b)(1)(A)(i)
of the FD&C Act discuss whether we
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chose not to include verification and
followup testing under the preventive
controls regulations because it would
place a greater burden on those
facilities. Comments state that if that is
the case, our concerns could be
addressed by providing more time for
such entities to comply with this final
rule. Comments also state that there
would be public health benefits from
requiring the use of a LAAF-accredited
laboratory for such testing. However, as
discussed above, we have determined
that the regulatory provisions describing
verification and followup testing in the
preventive controls regulations are not
explicit testing requirements, and
therefore we do not interpret them to
satisfy the statutory requirements of
section 422(b)(1)(A)(i).
For the foregoing reasons, we
conclude that we have properly
identified the nine FD&C Act testing
requirements that are currently covered
by this subpart under our section
422(b)(1)(A)(i) authority. It is possible
that in the future, FDA may require
additional specific followup testing in
FD&C Act regulations, and that testing
would be covered by this subpart.
However for now, we finalize
§ 1.1107(a)(1) without change.
Section 422(b)(1)(A)(ii) of the FD&C Act
Section 422(b)(1)(A)(ii) authorizes
FDA to require testing to be conducted
under this subpart, ‘‘as required by the
Secretary, as the Secretary deems
appropriate, to address an identified or
suspected food safety problem.’’ In the
final rule we rely on this statutory
provision to require that testing
conducted pursuant to a directed food
laboratory order be conducted under
this subpart; see § 1.1108. Very briefly,
as we interpret this statutory provision,
directed food laboratory orders will
generally be limited to the rare
situations when we have reason to
question the accuracy or reliability of
past or present test results, and an
identified or suspected food safety
problem exists. (The directed food
laboratory order is discussed in
Comment 41 through Comment 56 and
Responses, below.) We also rely on our
section 422(b)(1)(A)(ii) authority to
require in the final rule that testing
related to certain administrative
proceedings be conducted under this
subpart; see § 1.1107(a)(3). (For
discussion of the use of section
422(b)(1)(A)(ii) authority to cover
certain administrative proceedings
testing under this subpart, see the
proposed rule (84 FR 59452 at 59463–
64)). We agree with those aspects of
comments noting that the language of
section 422(b)(1)(A) of the FD&C Act is
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broad enough that, in the future, we
could cover additional testing under
this subpart by relying on that authority.
This could occur if we deem it
appropriate to expand this program to
cover additional testing, and the
additional testing addresses an
identified or suspected food safety
problem. Further, we intend to make
such a change only through notice-andcomment rulemaking.
Some comments request that FDA
clarify that environmental testing
conducted in response to routine
environmental monitoring results
indicating the presence of a pathogen or
indicator organism would not typically
be considered testing conducted to
address an identified or suspected food
safety problem, and would therefore
typically fall outside the scope of the
laboratory accreditation final rule. We
have determined that the routine
verification and followup testing
provisions in the preventive controls
regulations do not state explicit testing
requirements and are therefore not
appropriate to include in § 1.1107(a)(1);
therefore, they will typically fall outside
the scope of this final rule. We have also
determined that routine verification
testing that occurs pursuant to a
preventive controls food safety plan
(§§ 117.165(a) and 507.49(a)) does not
address an identified or suspected food
safety problem (Response 35). However,
followup testing in response to routine
verification test results indicating the
presence of a pathogen or indicator
organism in either a food product or the
food production environment may
qualify as testing that addresses an
identified or suspected food safety
problem, depending on the
circumstances. We affirm the statement
we made in the proposed rule that,
depending on the circumstances, a
positive indicator organism test would
not necessarily constitute a suspected
food safety problem; for example, a
single positive Listeria spp. on a food
contact surface in a facility would not
necessarily constitute a suspected food
safety problem. However, when a
routine verification test of a food
product indicates the presence of a
pathogen, in many circumstances we
would conclude that there is at least a
suspicion of a food safety problem. For
example, the presence of Salmonella in
nuts indicates a suspicion of a food
safety problem, but the presence of
Bacillus cereus in tree nuts is not likely
to indicate a food safety problem, since
the organism cannot grow to the high
numbers needed to cause illness due to
the low water activity of tree nuts.
Additionally, in many circumstances a
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routine environmental monitoring test
result indicating the presence of a
pathogen in a facility producing a readyto-eat product could be classified at
least as a suspected food safety problem.
Followup testing that addresses an
identified or suspected food safety
problem under the preventive controls
regulations—or in the context of the
FD&C Act, or any FDA food safety
regulation—may fall within the purview
of section 422(b)(1)(A)(ii) of the FD&C
Act. Under this final rule, this means
that such testing may be the subject of
a directed food laboratory order under
§ 1.1107(a)(2), and may be the subject of
the testing in certain administrative
proceedings described in § 1.1107(a)(3).
We do not anticipate frequent testing
under § 1.1107(a)(2) or (3); as a result,
under this final rule, followup testing
that addresses an identified or
suspected food safety problem, but that
is not expressed in an explicit testing
requirement, will typically fall outside
the scope of this subpart. Again, were
we to seek to expand the testing subject
to this final rule, we would go through
the rulemaking process. (For discussion
of the circumstances in which we
anticipate issuing a directed food
laboratory order, see Response 47.)
We do not agree that the 2019
foodborne illness outbreak linked to
hard-boiled eggs and cited in comments
is evidence that this final rule should
generally cover routine verification and
followup testing under the preventive
controls regulations. In the abovereferenced situation, the facility was
processing shell eggs into hard-boiled
egg products; the hard-boiled eggs were
linked to an outbreak of Listeria
monocytogenes infections. The facility
was processing a ready-to-eat product
that was exposed to the facility
environment prior to packaging; in
those circumstances, the preventive
controls for human food regulation
generally requires that the facility
establish sanitation controls verified in
part by an environmental monitoring
program that involves regularly testing
the facility environment. See
§ 117.165(a)(3). We thus maintain the
view that the existing preventive
controls for human food regulation
adequately covers this situation. When
FDA collected environmental samples
as part of its investigation, the facility
did as well. There would be no point in
requiring tests such as those taken by
the facility to be subject to this subpart
when FDA was onsite to conduct its
own investigational tests. Indeed, the
tests of environmental samples the
facility collected alongside FDA
inspectors would not be categorized as
verification or followup tests, and thus
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would not fall within the purview of
this final rule, even if the rule did cover
these test categories.7
As support for their argument that
FDA is applying section 422(b)(1)(A) of
the FD&C Act too narrowly, some
comments state that the economic
analysis accompanying the proposed
rule indicated that many more tests
would be conducted under this subpart
stemming from section 422(b)(1)(B) than
section 422(b)(1)(A). The economic
analysis accompanying a rule simply
reflects the rule it analyzes; this point
appears to be another facet of the
argument that we have misinterpreted
the statute. We disagree for the reasons
already stated.
We also disagree that in issuing this
final rule FDA is falling short of
addressing important food safety
problems. For the reasons discussed
throughout this response, we believe we
have interpreted the statute
appropriately, and we look forward to
achieving significant public health
benefits as a result of this rule (Ref. 4).
(Comment 38) Some comments
generally urge a broader scope for the
laboratory accreditation final rule. Some
of these comments discuss the critical
role food laboratories play in helping to
keep the food supply safe, including the
corresponding need for accurate and
reliable results, and therefore seek
Federal oversight of all food testing
laboratories. Some of these comments
advocate for a requirement that all food
testing laboratories be accredited, which
we understand to mean either that these
comments express the belief that all
food testing laboratories should be
required to be accredited to ISO/IEC
17025:2017, or should be subject to
LAAF-accreditation under this subpart.
Other comments suggest that all
laboratories that test food for human
consumption should be required to
satisfy the baseline requirement of this
final rule and be accredited to ISO/IEC
17025:2017. These latter comments
suggest that the additional requirements
of this final rule could then be reserved
just for the testing identified in
§ 1.1107(a).
(Response 38) We appreciate the
critical role that all food testing
laboratories play in helping to keep the
food supply safe, and we acknowledge
the importance of accurate and reliable
test results. However, section 422 of the
FD&C Act does not contemplate FDA
regulation of all food testing
laboratories, or of all laboratories that
7 Comments also state that the facility in question
engaged a laboratory to validate a process control,
but comments do not suggest that this final rule
should cover such testing.
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test food for human consumption. We
therefore do not require that all food
testing, or human food testing,
laboratories be accredited to ISO/IEC
17025:2017 or comply with the
laboratory requirements in this subpart.
(Comment 39) Some comments
request additional information about the
role the LAAF-accredited laboratories
will play in relation to food
manufacturing facilities that are subject
to required product or environmental
testing under the final rule. These
comments assert that the proposed rule
was ‘‘not clear regarding the level of
authority an accredited lab has in order
to perform on-site collection activities at
food manufacturing facilities.’’ These
comments recommend that FDA clarify
in the final rule the roles and
responsibilities of the participating
laboratory and facility, such as which
information and records the facility
would be required to make available to
the laboratory.
(Response 39) We believe these
comments misunderstood the proposed
rule. When food testing is required to be
conducted under this subpart, an owner
or consignee must use a LAAFaccredited laboratory. However, the
owner or consignee will select a LAAFaccredited laboratory from the online
registry (see § 1.1109), and engage the
laboratory, and that laboratory will have
no more authority over the owner or
consignee than specified in the business
arrangement between the parties. The
final rule requires that the sample be
collected by a person qualified by
training or experience to do so, and
requires certain sampling documents
(§ 1.1149), but the owner or consignee
may select any sampler or sampling firm
it likes, as long as the entity or person
is qualified and will provide the
documentation required under the final
rule. Sometimes owners or consignees
collect their own samples, sometimes
they engage third-party sampling firms,
and sometimes they pay the laboratory
that will analyze the sample to collect
the sample. Under this subpart, that
choice remains with the owner or
consignee. Therefore, FDA declines to
further articulate any roles or
responsibilities of these parties beyond
the requirements of the final rule.
(Comment 40) In the proposed rule,
for imported food, we provided that
testing under this rule generally could
only be conducted on samples taken
after the articles of food have arrived in
the United States. We proposed one
exception to that policy, where FDA
determines that a sample taken prior to
arrival is representative of the article of
food offered for import. We said that we
would make such a determination on a
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case-by-case basis. We received several
comments on this aspect of our
proposal.
First, some comments appear to
understand that we proposed that
sampling prior to arrival may be
allowed in certain circumstances, but
they seem unsure whether testing prior
to arrival may also be allowed. These
comments ask whether foreign
laboratories could participate in this
program and encourage FDA to clarify
the extent to which the requirements of
this final rule would apply to such
foreign laboratories.
Some comments support allowing
sampling and testing prior to arrival in
certain circumstances, such as sampling
for removal from import alert. Other
comments maintain that we should
allow no exceptions to the policy that
sampling of imports occur after arrival
in the United States. These comments
opine that allowing sampling prior to
entry would amount to ‘‘self-policing’’
by the owner or consignee. They also
argue that allowing sampling prior to
entry would ignore the risk that changes
may occur during transit that would
impact the test results. They view the
proposed exception as creating a public
health concern.
Additionally, some comments in favor
of the proposed policy suggest that
when FDA determines that a sample
taken prior to entry is or would be
representative of the article of food
offered for import, FDA should make its
determination publicly and widely
available (i.e., ‘‘publish’’ it).
(Response 40) To clarify, foreign
laboratories may seek LAAFaccreditation to conduct food testing
under this subpart. All laboratories that
choose to participate, whether foreign or
domestic, must meet the same
accreditation standards and comply
with all provisions of the final rule (see
section 422(a)(5) of the FD&C Act).
There is no requirement that testing of
imports subject to this rule must be
conducted by a laboratory in the United
States; testing may be conducted by any
LAAF-accredited laboratory, regardless
of location. However, we are finalizing
the proposed policy that under this
subpart, sampling generally must occur
after arrival in the United States, unless
FDA has granted an exception. This
requirement protects public health by
helping to ensure that the test results we
are relying on to make admissibility
decisions accurately reflect the
conditions of the article of food when
offered for import into the United
States.
At the same time, we disagree with
the comments contending that all
import sampling should occur after
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arrival without exception. We are
finalizing the proposed exception for
those situations in which we determine
that food sampled prior to export is
representative of the article offered for
import (§ 1.1107(c)). The FDA
determination to grant the exception
must be received by the owner or
consignee, in writing, prior to testing of
samples taken prior to arrival in the
United States (id.). We generally would
base such a determination on specific
circumstances of each shipment (e.g.,
characteristics of the product and
analyte, specifics of packaging and
transportation) and grant any exceptions
on a case-by-case basis. We decline the
suggestion to publish our
determinations of scenarios where a
sample taken prior to arrival is or would
be representative of the article of food
offered for import because we expect
our determinations to be situationspecific. We may consider issuing
guidance in the future on the factors we
evaluate in making such determinations,
which we believe would be more useful
to our constituents than case-by-case
publication.
It is possible that we could make such
a determination for an article of food
subject to DWPE (on an import alert).
Again, any such determination generally
would be made on a case-by-case basis,
based on clear evidence that the product
sampled is representative of the product
offered for import (see § 1.1107(c); 84 FR
59452 at 59465). In the proposed rule,
we solicited feedback on whether
circumstances warrant application of
the exception broadly, for instance, to a
particular commodity or analyte
generally. We received no comments
with suggestions for broader
applications of the exception.
As discussed in Response 101, the
rule does not prohibit owners or
consignees from collecting a sample or
conducting their own test, as long as all
the requirements of the rule are
satisfied.
2. When and how will FDA issue a
directed food laboratory order
(§ 1.1108)?
Proposed § 1.1108 described the
circumstances under which we would
issue a food testing order. Paragraph (a)
described when we would require an
owner or consignee to have food testing
conducted under this subpart (‘‘. . . to
address an identified or suspected food
safety problem related to the article of
food.’’) Proposed § 1.1108(b) and (c) also
specified what we would include in the
order (e.g., the food product or
environment to be tested, any particular
methods, and other elements required
by part 16 (21 CFR part 16) related to
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a regulatory hearing). As previously
discussed, we have changed the
terminology in this section from ‘‘food
testing order’’ to ‘‘directed food
laboratory order,’’ and to avoid
confusion we use the new term
throughout this document, even when
referring to discussions in the proposed
rule.
On our own initiative, we made a few
revisions to this section. We revised the
proposed rule section title, ‘‘When and
how will FDA issue a food testing
order?’’ to ‘‘When and how will FDA
issue a directed food laboratory order?’’
in the final rule and made changes in
the section to incorporate revised
terminology. We removed the
unnecessary phrase, ‘‘related to the
article of food’’ in § 1.1108(a). We also
removed the phrase, ‘‘of an article of
food’’ from § 1.1108(a) since the
definition of owner or consignee in
§ 1.1102 specifies interest related to the
food product or environment subject to
food testing. We also made minor
editorial changes to this section.
Many comments support the
rulemaking and the Agency’s efforts to
implement section 422 of the FD&C Act;
however, they do not support the
directed food laboratory order
provision. Some comments raise
‘‘substantial’’ concerns with the
Agency’s proposal, specifically legal,
policy, and practical aspects of the
proposed rule with respect to directed
food laboratory orders. We address these
comments below.
(Comment 41) A number of comments
argue that the Agency lacks explicit and
implied statutory authority in FSMA
and the FD&C Act to issue directed food
laboratory orders. The comments
conclude that the Agency is limited by
the authority delegated by Congress in
FSMA and under the FD&C Act, and
that because neither the plain terms nor
the core purpose of the relevant sections
of the statute contemplate directed food
laboratory orders, there is no explicit
authority to issue a directed food
laboratory order.
The comments further argue that the
Agency has misinterpreted section
422(b)(1)(A)(ii) of the FD&C Act as
providing implied authority to issue
directed food laboratory orders.
Comments explain that section
422(b)(1)(A)(ii) is limited by section
422(b)(1)(A)(i) because the clauses are
linked by the word, ‘‘and’’ and therefore
must be read conjunctively. To support
this interpretation, several comments
cite the plain language of the statute and
case law in support of the associated
canon of statutory interpretation.
Comments assert a presumption that
Congress intended ‘‘and’’ to be read
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conjunctively. Some comments indicate
that even though sections 422(b)(1)(A)(i)
and 422(b)(1)(A)(ii) of the FD&C Act
repeat the phrase, ‘‘to address an
identified or suspected food safety
problem,’’ this repetition does not
support reading the ‘‘and’’ disjunctively
to signify ‘‘or.’’ To support this position,
the comments cite the case of Loving v.
IRS (917 F. Supp.2d 67), in which the
D.C. Circuit Court rejected the IRS
argument that existence of overlapping
or redundant statutory language should
override the plain meaning of ‘‘and.’’
The comments thus conclude that the
statute may only be read to require food
testing under this subpart in two
circumstances, as opposed to the five
circumstances specified in § 1.1107 of
the proposed rule.
Interpreting the statute in this way to
require food testing in only two
circumstances, some comments claim
that the two circumstances when LAAFaccredited laboratories must be used are
when food testing is conducted: (1) In
response to a specific testing
requirement under the FD&C Act or
implementing regulations, when
applied to address an identified or
suspected food safety problem and as
required by the Secretary, as the
Secretary deems appropriate, to address
an identified or suspected food safety
problem or (2) in support of admission
of an article of food under section 801(a)
of the FD&C Act and under an import
alert that requires successful
consecutive tests. Comments add that
even if the plain meaning is proven
otherwise to read the ‘‘and’’
disjunctively, it still does not provide
the Agency with discretionary authority
to issue directed food laboratory orders.
Comments urge that this authority
cannot be expanded even if the intent is
to further the goals of Congress.
Comments explain that the plain
language of the statute requires that
section 422(b)(1)(A) of the FD&C Act
apply only ‘‘in response to’’ and ‘‘to
address’’ a food safety problem, not to
seek one out. Were directed food
laboratory orders implemented as
proposed, comments argue that this
approach would create an additional
investigative tool not contemplated by
the statute. Comments express that FDA
already has the authority to conduct
food testing and to choose a laboratory.
Comments state further that there is no
evidence that Congress intended to shift
the Agency’s responsibilities to owners
and consignees.
Some comments state that any
authority provided under section 422 of
the FD&C Act to require food testing
under this subpart, absent an explicit
requirement in statute or regulation to
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conduct testing, must only apply in
narrow circumstances where the basis
for the food safety problem has been
established. These comments state they
would support testing by accredited
laboratories as part of evidence for a
hearing prior to the issuance of a
mandatory recall order, an order
suspending a food facility’s registration,
or an administrative detention order.
Likewise, other comments add support
for the Agency to issue a directed food
laboratory order as part of the corrective
action plan after a facility’s registration
has been suspended.
Some comments echo the call for FDA
to keep the scope of the rule narrow and
support applying the rule to specific
testing requirements in FDA’s
regulations, e.g., certain postremediation testing after E. coli has been
identified in the source water for bottled
drinking water.
A few comments characterize
Congress’s grant of authority to the FDA
to address an ‘‘identified or suspected
food safety problem’’ in FSMA as broad
and state that these terms were not
defined; however, the comments do not
support the use of the statute to add
what they view as a new enforcement
tool, namely, the directed food
laboratory order. These comments seek
additional background regarding how
this tool fits with other FDA authorities
as they did not anticipate the Agency
implementing the statute through the
use of directed food laboratory orders as
set forth in the proposed rule.
(Response 41) We disagree with the
assertions in the comments that the
Agency lacks the statutory authority to
issue directed food laboratory orders.
Section 422(b)(1)(A)(ii) provides
authority for testing under this subpart
‘‘as required by the Secretary, as the
Secretary deems appropriate, to address
an identified or suspected food safety
problem.’’ The ‘‘and’’ joining the two
clauses in sections 422(b)(1)(A) and (B)
is appropriately read as joining lists
containing two separate and distinct
circumstances. Reading the ‘‘and’’
conjunctively as some comments urge
would create an absurd result since both
clauses of 422(b)(1)(A) repeat the
phrase, ‘‘to address an identified or
suspected food safety problem.’’
We also disagree with the notion that
directed food laboratory orders would
inappropriately shift the burden of
testing to owners or consignees. The
responsibility to produce safe food rests
with the food producers. Food testing by
LAAF-accredited laboratories under this
subpart will provide assurance of the
accuracy of the results conducted in
response to identified or suspected food
safety problems of significance to public
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health and will better enable both the
Agency and the owner or consignee to
act in the best interest of public health.
As we discuss below in Response 47,
we believe the circumstances in which
we anticipate using a directed food
laboratory order and the examples
provided demonstrate that a directed
food laboratory order will be used ‘‘to
address’’ an identified or suspected food
safety problem.
We also disagree with aspects of
comments asserting that the basis for the
food safety problem must be
‘‘established’’ in order for food testing to
be subject to this subpart. The statutory
standard for when the Agency may issue
a directed food laboratory order is
explicitly set forth in section
422(b)(1)(A)(ii) of the FD&C Act: Such
an order may be issued ‘‘as required by
the Secretary, as the Secretary deems
appropriate, to address an identified or
suspected food safety problem.’’
As proposed, we agree that this
subpart will apply to testing in relation
to certain administrative proceedings.
Under § 1.1107(a)(3), certain testing as
part of evidence for a hearing prior to
the issuance of a mandatory recall order,
as part of the corrective action plan after
a food facility’s registration has been
suspended, as well as an appeal of an
administrative detention order, is
subject to this subpart.
(Comment 42) Several comments
argue that the directed food laboratory
order provision violates the
Administrative Procedure Act (5 U.S.C.
551 et seq.) (APA), because the proposal
lacked a reasoned explanation for the
provision and contained insufficient
detail to facilitate meaningful public
comment. These comments conclude
that finalizing the directed food
laboratory order provision as proposed
would put this tool at risk of being
invalidated if challenged as arbitrary
and capricious under the APA. Some
comments state that the Agency can
finalize the laboratory accreditation rule
and meet all statutory obligations
without issuing directed food laboratory
orders and therefore conclude directed
food laboratory orders are not ‘‘fit for
purpose.’’
Many comments state that directed
food laboratory orders are not aligned
with the purpose and principles of
FSMA and the intent of section 422 of
the FD&C Act. Comments state that
Congress’s purpose in section 422 of the
FD&C Act is to address the practice of
importers engaging in ‘‘laboratory
shopping’’ (i.e., a practice whereby an
owner or consignee sends samples to
several laboratories in hopes that one
will return results indicating the sample
complies with FDA requirements and if
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so, the owner or consignee submits only
that result to FDA) by requiring that
food testing results be sent directly to
the Agency; these comments argue that
the directed food laboratory order
provision of the proposed rule does not
advance this objective.
Other comments frame the purpose of
section 422 of the FD&C Act as ensuring
reliable and accurate test results. These
comments counter that instead of
supporting this purpose, the proposed
directed food laboratory order creates a
new investigatory and enforcement tool
for FDA, which is unnecessary given the
Agency’s existing enforcement tools;
namely, that FDA may already sample
the product and the environment and
choose the laboratory to conduct the
analysis. Comments state that Congress
carefully considered which additional
tools were necessary through FSMA and
did not contemplate a duplicative
enforcement tool. Comments state that
there is no indication that Congress
intended to shift this burden to industry
through directed food laboratory orders
in section 422 of the FD&C Act and that
doing so would be unfair. Comments
suggest that additional Agency funding
is the more appropriate solution to
address limited Agency resources.
Several comments offer revisions to the
directed food laboratory order provision
that they consider necessary to link the
proposed provision to the purpose of
the statute. Additionally, some
comments indicate that facilities must
implement environmental and product
testing according to food safety plans
under other FSMA provisions and FDA
may review this information during
routine inspections; comments express
the belief that this represents sufficient
oversight into testing methodology,
laboratory choice, procedures, and test
results. In sum, comments argue that
without a demonstrated concern with
laboratory integrity and a public health
need, directed food laboratory orders are
inappropriate and outside the scope of
section 422 of the FD&C Act.
Comments argue that the proposed
rule preamble provided limited
information regarding the Agency’s
need or justification for directed food
laboratory orders, such as historical
events or situations when such orders
would have been useful. Regarding the
justification, many comments state that
the preamble fails to explain the
problem directed food laboratory orders
are intended to address, as there is no
documented issue regarding the
reliability of test results that would
warrant testing by LAAF-accredited
laboratories. Some comments state that
without a clear explanation for the
Agency’s need for what they perceive as
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a potentially expansive enforcement
tool, comments cannot support the
directed food laboratory order
provision. Additionally, some
comments state that the Agency has not
considered how the proposed directed
food laboratory order provision would
harm industry, including by increasing
costs to food companies associated with
the use of LAAF-accredited laboratories
and disrupting production to hold
product while waiting for test results.
Some comments state that in the
proposed rule we did not address
operational details of the directed food
laboratory order such as who in FDA
would issue such orders, how the orders
would be delivered; how long the
directed food laboratory order would be
in place; and when and how a directed
food laboratory order would be lifted.
We understand some comments to argue
that it was legally necessary for FDA to
describe these operational details in the
proposed rule. Finally, according to
some comments, the proposed rule
should have reflected that we
considered alternative approaches to the
directed food laboratory order.
(Response 42) The proposed rule
contained a reasoned explanation and
sufficient detail on this topic to
facilitate meaningful comment and
therefore fully satisfied APA
requirements. In the proposed rule we
articulated the legal authority for the
directed food laboratory order, a
description of the tool, and the
substantive issues involved. We stated
that we were interpreting section
422(b)(1)(A)(ii) of the FD&C Act to give
FDA authority to propose the directed
food laboratory order. We described the
proposed content of the directed food
laboratory order (e.g., it will specify the
timeframe for the testing, and any
method that must be used). We
communicated that the proposed
directed food laboratory order addresses
an identified or suspected food safety
problem, and we discussed the meaning
of that phrase at some length. We made
clear that the proposed tool could be
used to compel either product or
environmental testing and explained
our basis for including environmental
testing within the proposed definition of
‘‘food testing.’’ We also explained that
under the proposed rule owners or
consignees subject to a directed food
laboratory order may request a
regulatory hearing.
Comments also argue that the
proposed rule was insufficient because
the Agency failed to explain a need for
the directed food laboratory order, for
example by describing past enforcement
cases in which the Agency would have
found it helpful to employ such a tool.
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It is true that we did not describe a past
case, but it was clear from the proposed
rule that the tool is directed at
unreliable test results in circumstances
where we have reason to suspect, or
have identified, a particular food safety
problem for which a particular owner or
consignee is responsible. Further,
although we did not discuss our
consideration of alternative approaches
in the proposed rule, based on our
knowledge and experience
implementing FSMA, we have
determined that the directed food
laboratory order is an appropriate
application of section 422(b)(1)(A)(ii) of
the FD&C Act. See also, Response 41
and the analysis of regulatory
alternatives to this rule in the FRIA (Ref.
4).
With regard to comments expressing
concern that we did not justify an
expansive new tool in the proposed
rule, we believe this reflects a
misperception: The directed food
laboratory order is a precise new tool
that will help us protect public health
in a relatively narrow set of
circumstances. Section 422(b)(1)(A)(ii)
of the FD&C Act gives FDA authority to
require testing to be conducted under
this subpart as we deem appropriate, to
address an identified or suspected food
safety problem. As we interpret this
statutory provision, directed food
laboratory orders will generally be
limited to the rare situations when we
have reason to question the accuracy or
reliability of past or present test results,
and an identified or suspected food
safety problem exists. (See Response 47
for discussion of the standard; see
Response 35 for discussion of
‘‘identified or suspected food safety
problem.’’)
Some comments appear to express
doubt that there are ever any problems
with the reliability of food testing
conducted by or for owners or
consignees, and claim that because the
proposed rule did not document that
such problems exist, and threaten
public health, there is insufficient
justification for the directed food
laboratory order. We suspect that this
reflects the misperception in some
comments regarding the directed food
laboratory order as an expansive new
tool, which in turn may have created a
belief that the proposed rule should
contain a lengthy description of
widespread problems with the validity
of an array of test results. As clarified
above, however, the directed food
laboratory order is not a tool that we
expect to apply broadly or frequently.
Rather, it will be applied in
particularized circumstances. If there
were never any particularized problems
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with the reliability of food testing
conducted by or for owners and
consignees, Congress would not have
enacted section 422 of the FD&C Act.
However, in this provision of the FD&C
Act, Congress has specifically reserved
for the Agency the authority to require
testing to be conducted under this
subpart in circumstances beyond just
those defined by Congress. And, given
some of the egregious situations and
behaviors FDA has encountered in
enforcing the food safety provisions of
the FD&C Act, many of which have been
widely publicized, we do not believe
anyone could reasonably doubt the
existence of particular circumstances in
which owners or consignees failed to
use a quality, reliable laboratory and
where public health harm resulted. (See
Response 47 for examples of situations
in which a directed food laboratory
order may be appropriate.)
Similarly, some comments claim that
registered food facilities conduct routine
testing consistent with their obligations
under the preventive controls
regulations, and there is no evidence
that, ‘‘as a general matter,’’ those test
results are unreliable. Again, the
directed food laboratory order is not
intended to be applied generally; it will
be applied in response to a particular set
of circumstances. Unfortunately, some
registered food facilities do not perform
routine testing in a manner that is
consistent with their preventive controls
obligations. We also note that the
directed food laboratory order may be
applied to entities that are not subject to
the preventive controls regulations.
One piece of evidence indicating the
sufficiency of the proposed rule with
respect to the directed food laboratory
order is the quality of the public
comments on the topic. We appreciate
commenters’ robust feedback and assure
them we have carefully considered their
input. Several comments contained
questions, suggestions, and requests
regarding the details of the application
of the directed food laboratory order; to
the extent possible, we respond to those
comments in the subsequent responses
in this section of the preamble.
However, the fact that such details,
including operational details, did not
appear in the proposed rule does not
call into question the legal sufficiency of
the proposal. In sum, the proposal
adequately apprised the public of the
proposal under consideration in a
manner that allowed for meaningful
comment on the directed food
laboratory order.
We reject the contention that, because
it would be possible to implement other
portions of section 422 of the FD&C Act
without the directed food laboratory
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order, the tool must not be ‘‘fit for
purpose.’’ The degree to which the
directed food laboratory order affects
the success of the overall LAAF program
framework does not define its fitness for
purpose. The relevant question is
whether the statute authorizes FDA to
implement the directed food laboratory
order, which it does, as discussed in
Response 41.
In contrast to the contention of some
comments, the directed food laboratory
order squarely aligns with both the
purpose of FSMA and the intent of
section 422 of the FD&C Act. We
particularly agree with those aspects of
comments stating that a central purpose
of section 422 of the FD&C Act is to help
ensure accurate and reliable test results
in certain circumstances identified in
the statute. Directed food laboratory
orders will serve that purpose by
increasing confidence in testing results
in particular circumstances when we
have reason to question the accuracy or
reliability of past or present test results
and an identified or suspected food
safety problem exists. To the extent that
preventing ‘‘laboratory shopping’’ was a
purpose of section 422(b)(2) of the FD&C
Act, which requires all test results to be
submitted directly to FDA, such
purpose must be consistent with the rest
of section 422, including the provision
granting discretion to the Agency to
include in this final rule testing, ‘‘as the
Secretary deems appropriate, to address
an identified or suspected food safety
problem.’’ Section 422(b)(1)(A)(ii) of the
FD&C Act.
The central purpose of FSMA was to
shift the focus of food safety efforts to
preventing contamination of the food
supply, rather than primarily
responding to problems after they occur.
Directed food laboratory orders serve
this purpose by addressing the need for
reliable food testing when there are
particular circumstances where past or
current testing is suspect and FDA has
determined there is an identified or
suspected food safety problem. Testing
in such circumstances would be aimed
at gathering trustworthy scientific
information to help FDA and others
avoid or mitigate a food safety event.
Some comments categorize the
proposed directed food laboratory order
as a new investigatory and enforcement
tool, and maintain that FDA already has
the authority to collect samples and
send those samples to the laboratory of
the Agency’s choosing. They also state
that, through the preventive controls
regulations, FDA already has the
authority to review records of test
results when inspecting a registered
food facility, which provides sufficient
oversight of such testing. Again, the
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directed food laboratory order is a tool
that may be applied to owners and
consignees that are not registered food
facilities subject to the preventive
controls regulations. Further, section
422(b)(1)(A) of the FD&C Act makes
plain that Congress intended to require
entities to be subject to this subpart
even though FDA already regulates
testing for that industry. Accordingly, it
is irrelevant that FDA may already have
the authority to collect samples at an
enterprise or review the enterprise’s
testing records; the directed food
laboratory order is an appropriate new
tool authorized by section
422(b)(1)(A)(ii) of the FD&C Act.
It is also irrelevant whether Congress
specifically contemplated the existence
of the directed food laboratory order
because Congress delegated authority to
the FDA to require testing to be
conducted under this subpart, as we
deem appropriate, when an identified or
suspected food safety problem exists
and the codified use of directed food
laboratory orders is fully consistent with
the text and purpose of the statute. We
disagree that the directed food
laboratory order is a mechanism to shift
the burden of enforcement and
investigation onto private industry or
stretch FDA’s budget; it is a precise tool
that will be rarely used and is not
anticipated to impose significant burden
on regulated entities. We discuss
comments on the estimated costs of the
directed food laboratory order in the
FRIA (Ref. 4). (For more information on
all the estimated costs and benefits of
the final rule, see the FRIA (Ref. 4).)
(Comment 43) Several comments raise
concerns that directed food laboratory
orders will have negative policy
implications that the Agency has not
considered. These comments state the
belief that directed food laboratory
orders could disincentivize facilities
from implementing ‘‘seek and destroy’’
pathogen environmental monitoring.
These comments assert that in response
to FSMA, the industry already has
implemented robust environmental
monitoring programs. These comments
further argue that the food safety and
public health benefits of these programs
could be jeopardized by directed food
laboratory orders and the possibility
that a facility’s own routine testing
could result in issuance of a directed
food laboratory order. These comments
state that uncertainty regarding the
timing, duration, and cost associated
with directed food laboratory orders
will cause facilities to avoid routine
testing for fear of triggering such an
order. A few comments state that some
firms may modify their environmental
testing programs to avoid finding
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positive results, negating what the
comments characterize as the ‘‘positive
steps’’ FDA has taken ‘‘to encourage
aggressive environmental sampling in
the 2017 publication of the (‘‘Control of
Listeria monocytogenes in Ready-To-Eat
Foods: Guidance for Industry’’ draft
guidance (Ref. 11)), through the
acknowledgment that a finding for
Listeria species on a food contact
surface does not render product
adulterated.’’ 8
Some comments express concern that
basing a directed food laboratory order
on environmental results increases the
risk that the test results could be taken
out of context; several of these
comments mention that there would be
a lack of information connecting the test
result to a product. A few comments
request that FDA reiterate that routine
testing of product and environment
related to a facility’s food safety plan is
not required to be performed by LAAFaccredited laboratories under this
subpart and that followup sampling and
testing in response to routine
environmental monitoring positive
results for pathogen/indicator organisms
should not be covered by this subpart.
Some comments express concern that
the LAAF program will cause testing by
laboratories not participating in the
program to be devalued or viewed as
suspect. Some comments warn that
widespread use of directed food
laboratory orders could cause testing
performed by laboratories not LAAFaccredited under FDA’s program to be
scrutinized. These comments assert that
many in-house and external laboratories
are not ISO-accredited; however, the
laboratories still ensure integrity and
accuracy of test results and data. These
comments stress the important role inhouse and other laboratories play in
providing timely test results on which
food safety decisions are made. These
comments suggest that these
laboratories may choose not to
participate in the LAAF program.
Further, some comments are concerned
8 The ‘‘Control of Listeria monocytogenes in
Ready-To-Eat Foods: Guidance for Industry’’ draft
guidance describes followup actions a facility
should take in response to a finding of Listeria spp.
on a food contact surface. Although it is true that
the draft guidance indicates that we expect to find
Listeria in certain food facilities, we also expect that
such facilities will implement environmental
monitoring plans to find Listeria when present and
take followup actions to ensure that Listeria does
not contaminate food. Our investigators will inspect
a facility’s environmental monitoring results and
the followup activities the facility performs in the
event of an environmental positive, to ensure that
product does not become adulterated. If we have
concerns about the facility’s application of current
good manufacturing practices and preventive
controls with respect to L. monocytogenes, we may
perform our own sampling of the facility’s
environment and may also take food samples.
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that FDA and investigators may
question analytical results from nonLAAF-accredited laboratories. Overall,
comments assert there is no evidence to
suspect that non-ISO-accredited
laboratories produce inaccurate or
suspect results.
Some comments urge FDA to consider
the potential significant costs associated
with directed food laboratory orders as
well as the potential business disruption
that may occur if product subject to
testing is placed on hold pending
results. A few comments explain that
holding product under a directed food
laboratory order could challenge the
company’s hold capacity and disrupt
both production and the supply chain,
as well as have additional costs for
industry. Several comments state that
the preliminary economic impact
analysis did not include any costs for
directed food laboratory orders and
should be revised accordingly.
(Response 43) We disagree that the
directed food laboratory order
provision, as clarified, will have
negative policy implications. The
authority under section 422 of the FD&C
Act is intended to increase confidence
in receiving accurate and reliable test
results. As stated in Response 35, the
purpose of routine environmental
testing under the preventive controls
regulations (§§ 117.165(a) and 507.49(a))
is to verify that preventive controls are
consistently implemented and are
effective. Therefore, such testing does
not address an identified or suspected
food safety problem and is not covered
by this subpart. The additional clarity
we are providing in this final rule
regarding the directed food laboratory
order in terms of the standard of
issuance, authority to issue such orders,
and procedural details, should provide
sufficient boundaries to enable firms to
continue or expand robust
environmental monitoring programs
developed in the wake of FSMA and in
support of an overall culture of food
safety, without fearing that such
programs will invite issuance of a
directed food laboratory order. We
expect that it will be uncommon for us
to issue a directed food laboratory order.
Further, we expect that facilities that
have implemented robust
environmental monitoring programs and
that are taking appropriate corrective
actions in response to positive findings
(‘‘seek and destroy’’) generally are not
likely to be subject to such an order.
However, as discussed in Response
37, followup testing in response to
routine environmental test results that
indicate the presence of a pathogen or
indicator organism in the food
production environment may qualify as
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testing that addresses an identified or
suspected food safety problem, and
therefore could warrant issuance of a
directed food laboratory order,
depending on the circumstances. We
disagree with the contention that use of
a directed food laboratory order for
environmental testing could cause
results to be taken out of context. As
explained in Response 47, the use of a
directed food laboratory order is
appropriate only in a narrowly defined
set of circumstances. Accordingly, in
our view, the context (including
relevant product(s)) for any
environmental tests required by a
directed food laboratory order) will be
sufficiently clear.
Absent a specific reason to question
the reliability and accuracy of results
from a particular firm or laboratory, we
do not believe that testing from an inhouse, third-party private, or other
laboratory that is not LAAF-accredited
would be questioned solely based on the
decision of that laboratory not to
participate in this program, and
certainly not as a result of the directed
food laboratory order tool. We discuss
examples of circumstances in which we
would employ a directed food
laboratory order in Response 47. As
reiterated throughout our discussion of
the directed food laboratory order in
this preamble, and as reflected in the
FRIA, we do not expect widespread use
of such orders (Ref. 4). We address costs
related to a directed food laboratory
order in the FRIA, see (Ref. 4).
(Comment 44) Several comments state
that the proposed rule does not specify
who has the authority to issue a directed
food laboratory order, nor does it
indicate whether such authority could
be delegated. These comments
recommend that the authority to issue a
directed food laboratory order remain a
non-delegable function of the FDA
Commissioner. A subset of these
comments mentions that this
recommendation aligns with section
415(b)(7) of the FD&C Act (regarding the
authority to issue an order to suspend
a registration or vacate an order of
suspension [of a food facility]) and
mandatory recall authority. Some
comments assert that the authority to
issue a directed food laboratory order
would not be appropriate for FDA
investigators or State inspectors. A few
comments ask whether State regulators
inspecting farms under the produce
safety rule would have authority to
issue a directed food laboratory order.
(Response 44) In proposed § 1.1108,
we stated that a directed food laboratory
order may be issued by FDA. Although
we agree that the authority to issue a
directed food laboratory order would
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not be delegated to FDA investigators or
State inspectors, we decline to make the
issuance of a directed food laboratory
order a non-delegable function of the
FDA Commissioner. Section 415(b)(7) of
the FD&C Act and section 423(h) of the
FD&C Act contain explicit provisions
limiting certain authority to the
Commissioner. Section 422 of the FD&C
Act (21 U.S.C. 350k) does not include a
similar limitation. Absent an explicit
statutory limitation regarding
delegation, we find no reason to impose
one for the issuance of a directed food
laboratory order. Consistent with
longstanding Agency practice and the
APA, we intend to limit the delegation
of authority to issue a directed food
laboratory order under this subpart to
FDA officials with the appropriate level
of responsibility. See 5 U.S.C. 553(a)(2).
(Comment 45) Several comments state
that the proposed directed food
laboratory order procedures raise due
process concerns for the potential
recipient of such an order. In support of
this position, the comments describe
their perception of the uncertain
standards and the Agency’s unfettered
discretion to issue a directed food
laboratory order. Some comments urge
FDA to have a transparent process and
clear standards with a documented
sound scientific basis for issuance of a
directed food laboratory order. Some
comments request more specific
examples of when the Agency would
issue a directed food laboratory order.
These comments argue that without
specifying who in the Agency may issue
a directed food laboratory order, it
appears that FDA investigators could
issue them. The comments state that the
perceived lack of a process prior to
issuance and the perceived lack of a
guaranteed process once a directed food
laboratory order has been received
contribute to the overall insufficient due
process associated with the proposed
provision.
(Response 45) We address several
aspects of these concerns elsewhere in
this preamble, in Response 44 and
Response 47. Specifically, we clarify the
standard of issuance for a directed food
laboratory order, who has the authority
to issue such an order, and certain
procedural aspects associated with
issuance of such an order. With these
details and the applicable procedures of
part 16 in place, we believe there is
sufficient due process associated with
the directed food laboratory order
provision.
(Comment 46) Several comments state
that food testing pursuant to a directed
food laboratory order should be limited
to product testing and should not
include environmental testing. These
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comments state that FSMA section 202,
Laboratory Accreditation for Analyses of
Foods, refers only to ‘‘food testing’’ and
‘‘testing of food,’’ without defining these
terms. The comments indicate that
while environmental testing is not
specifically mentioned in section 202,
Congress explicitly refers to
environmental testing elsewhere in
FSMA (section 103, which creates
section 418(f)(4) of the FD&C Act).
Further, some comments suggest that
including environmental testing would
create the potential for test results to be
taken out of context; several of these
comments state that there would be a
lack of information connecting the test
result to a product. A few comments
explain that routine testing, including
environmental testing, is covered by
FDA guidance and considers multiple
variables; these comments state that it is
not clear whether and how all variables
will be considered in determining when
a directed food laboratory order is
issued. Some comments conclude that
there is no legal basis for requiring
environmental testing under a directed
food laboratory order and that directed
food laboratory orders must only be
used for food product testing.
(Response 46) We decline to limit
directed food laboratory orders to
product testing. As already discussed in
Response 19, FDA defines ‘‘food
testing’’ and ‘‘testing of food’’ to include
environmental testing for purposes of
this subpart. As stated in Response 19
and discussed further in Response 35,
routine environmental testing
(§§ 117.165(a)(3) and 507.49(a)(3)) is not
covered by this subpart. As we noted in
Response 43, we do not believe the
directed food laboratory order will
cause environmental test results to be
taken out of context. For these reasons,
in light of our legal authorities under
section 422 of the FD&C Act, and for the
policy reasons already discussed in
relation to both environmental testing
and the directed food laboratory order,
under this final rule and as appropriate,
FDA may issue a directed food
laboratory order subjecting either
product testing or environmental testing
to the requirements of this subpart.
(Comment 47) Some comments state
that the proposed rule did not provide
enough information regarding the
standard for issuance of a directed food
laboratory order. These comments
express concern that the proposed
standard, an identified or suspected
food safety problem, could be present
regardless of whether the article of food
violates the FD&C Act. Comments state
that the examples provided in the
preamble to the proposed rule suggest
that mere suspicion of a food safety
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problem, such as the presence of Listeria
monocytogenes on a food contact
surface, could lead to issuance of a
directed food laboratory order when
there is no violative article involved.
Comments argue that issuance of a
directed food laboratory order when
there is no violative product would
exceed FDA’s authority. Otherwise,
comments suggest the results of a food
facility’s routine testing could
inappropriately trigger a directed food
laboratory order. Comments propose
instead that an identified or suspected
food safety problem should only give
rise to a directed food laboratory order
when there is a public health need or
when the food has a reasonable
probability of serious adverse health
consequences or death to humans or
animals (SAHCODHA).
A few comments express concerns
that although FDA notes the suspicion
will ‘‘typically be particularized’’ as it
relates to specific articles of food or a
specific portion of the food production
environment, it is not clear that this will
always be the case. Several comments
suggest that the suspicion standard
could lead to bias or subjective
determinations by an investigator where
no problem exists. Some comments
propose instead that directed food
laboratory orders should include a
direct reference to a violation. Other
comments state that issuance of a
directed food laboratory order should
require a reasonable belief that the food
is violative, similar to the standard set
forth in FSMA section 101 (relating to
inspections of records).
These comments recommend that if
the directed food laboratory order
provision remains in the final rule, it
should be limited to circumstances
when both of the following factors are
met: (1) An identified or suspected food
safety problem representing a
SAHCODHA hazard is established and
(2) a substantiated concern exists
regarding the adequacy of the laboratory
used by the owner or consignee such
that testing by an accredited laboratory
under this program is necessary to
determine the food safety problem has
been resolved. Comments state that a
concern about laboratory adequacy is
necessary as Congress intended section
202 of FSMA to address ‘‘laboratory
shopping’’ and other situations which
raise questions about the validity of
laboratory results. The comments state
that the directed food laboratory order
should not be used by FDA as an
investigative tool.
Some comments recommend that
issuance of the directed food laboratory
order be limited to cases where the
pathogen risk is immediate and FDA’s
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existing enforcement tools are not
adequate to address the situation.
A few comments ask FDA to
specifically exempt from a directed food
laboratory order pathogen/indicator
organism positive results from routine
environmental testing since the
manufacturer should have the
opportunity to resolve any associated
concerns through corrective actions.
A few comments request that the
Agency provide additional information,
guidance, and examples for when a food
safety problem is ‘‘suspected’’ in animal
food, as well as more specific examples
of when a directed food laboratory order
would be issued under the rule.
(Response 47) Per section
422(b)(1)(A)(ii) of the FD&C Act, the
standard for issuance of a directed food
laboratory order is ‘‘as required by the
Secretary, as the Secretary deems
appropriate, to address an identified or
suspected food safety problem.’’ We
disagree that SAHCODHA should be the
standard, as Congress explicitly
specified a different standard here. For
the same reason, we decline to use the
standard set forth in FSMA section 101
(reasonable belief that the food is
violative). The statutory clause in the
section related to the LAAF program,
‘‘identified or suspected food safety
problem’’ specifically allows for
issuance of a directed food laboratory
order when there is no violative
product.
Regarding the standard of issuance,
we believe the phrase, ‘‘as the Secretary
deems appropriate,’’ in the context of
the FSMA laboratory accreditation
program, generally would limit our
issuance of a directed food laboratory
order to situations where we have
evidence or experience with a firm or
laboratory which calls test results into
question, i.e., situations in which we
have reason to question the accuracy or
reliability of past or present test results.
In such circumstances, there would be
a clear benefit to receiving analytical
results directly from a LAAF-accredited
laboratory. Ensuring accurate and
reliable test results is the precise issue
Congress intended to address in section
202 of FSMA. In the final rule, we have
revised the language in § 1.1108(a) to
better align with the statutory text by
adding the qualifying language, ‘‘as FDA
deems appropriate.’’
In terms of the comment expressing
apprehension that FDA will use the
directed food laboratory order as a tool
to gather testing information in the
absence of heightened food safety
concerns, we reiterate that the order is
only appropriate to address an
identified or suspected food safety
problem. Similarly, regarding the
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contention in some comments that a
directed food laboratory order should
only be issued if there are concerns with
laboratory adequacy, as just noted, we
interpret, ‘‘as the Secretary deems
appropriate’’ to mean that the tool
would generally only be appropriate if
we have reason to question past or
present test results.
Further, we intend to use a directed
food laboratory order within the context
of other Agency authorities and tools,
FSMA-related and otherwise;
accordingly, positive results from
routine testing would not normally
trigger a directed food laboratory order
absent other circumstances (e.g., suspect
test results) necessitating a directed food
laboratory order. Therefore, we decline
to include specific exemptions for
pathogen/indicator organism positive
results from routine environmental
testing or to limit issuance of a directed
food laboratory order to cases when the
pathogen risk is immediate and the
Agency’s other enforcement tools are
not adequate to address the situation.
We offer the following examples of
the types of situations in which we
believe a directed food laboratory order
would be useful and appropriate ‘‘as
required by the Secretary, as the
Secretary deems appropriate, to address
an identified or suspected food safety
problem.’’ Some of these descriptions
are modeled on our experience with
past compliance cases.
• Following a for-cause inspection of
a human food firm with a documented
history of falsified laboratory reports,
after the Agency’s receipt of information
from an employee informant indicating
that the firm continued to provide false
or misleading certificates of analysis to
conceal the production of adulterated
human food;
• Following a recall by an animal
food firm because the firm’s laboratory
historically used an inappropriate
method and reported results that
differed from FDA laboratory results;
and
• If FDA laboratories have on
multiple occasions obtained positive
pathogen results on food products in
past years that conflict with the
company’s contract laboratory’s results.
Given a pattern of past ineffective
monitoring by the company, coupled
with the public health risk, on the next
positive finding by FDA that leads to a
voluntary recall for pathogen
adulteration in this company’s food
products, FDA might issue a directed
food laboratory order.
In light of the additional parameters
for issuance of a directed food
laboratory order discussed above and
limitations on who can issue a directed
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food laboratory order (discussed in
Response 44), we believe issuance of
directed food laboratory order would be
insulated from bias.
(Comment 48) A few comments state
that pathogens in not ready to eat
(NRTE) food, and specifically in raw
agricultural commodities such as grains,
which do not undergo a kill step in the
mill, should not be considered an
identified or suspected food safety
problem subject to a directed food
laboratory order. These comments state
further that the preamble to the
proposed rule offered few examples of
circumstances that could generate a
suspected food safety problem and
mentioned ‘‘potential contamination
events’’ as an example although we did
not define this phrase. These comments
request that the Agency define that
phrase and explicitly state that the
presence of pathogens in NRTE foods is
not considered an identified or
suspected food safety problem. The
comments express the concern that
directed food laboratory orders could be
used as a basis for requiring the milling
industry generally to sample food
manufacturing environments or
products through use of LAAFaccredited laboratories. The comments
suggest that any testing in these
circumstances would not be
appropriate, regardless of whether the
use of a LAAF-accredited laboratory is
required.
(Response 48) The proposed rule
explored the meaning of the statutory
phrases, ‘‘identified food safety
problem,’’ and ‘‘suspected food safety
problem.’’ (84 FR 59452 at 59455,
59462). In Response 35, above, we
finalize our tentative conclusions about
the meaning of those phrases.
A number and variety of factors
impact food safety risk (e.g., the
pathogen, the history of foodborne
illness outbreaks associated with the
pathogen in the food, whether the food
undergoes further processing with a kill
step at a registered food facility). In
some circumstances a pathogen in an
NRTE food may be considered an
identified or suspected food safety
problem. For example, foodborne illness
outbreaks have been associated with
Salmonella in raw tuna (https://
www.cdc.gov/salmonella/newport-0419/) and Shiga-toxin
producing E. coli in raw bison burgers
(https://www.cdc.gov/ecoli/2019/bison07-19/). The strains of
pathogens associated with the outbreaks
are capable of causing severe illnesses
(both outbreaks resulted in
hospitalizations), and these raw foods
were consumed without a treatment to
significantly minimize the hazard and
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prevent illnesses. Consistent with the
broader food safety regulatory
framework, which includes the
preventive controls for human food
regulation and the preventive controls
for animal food regulation, FDA will
consider all applicable regulations and
relevant circumstances in determining
whether an identified or suspected food
safety problem exists. As explained in
Response 47, a directed food laboratory
order is appropriate in situations in
which an identified or suspected food
safety problem exists along with specific
evidence or experience with a firm or
laboratory which calls past or present
test results into question. Accordingly,
we expect to employ the directed food
laboratory order rarely. In many cases
involving a pathogen in an NRTE food,
other food safety regulations or tools
outside the scope of the LAAF program
may adequately address the risk.
We decline the request to define
‘‘potential contamination event.’’ We
have defined the terms that describe the
standard of issuance for a directed food
laboratory order (see Response 35).
Consistent with these definitions, a
directed food laboratory order may be
appropriate in circumstances related to
potential contamination events; e.g.,
where a pathogen in the food
production environment is transmitted
to the food, thereby causing the food to
be adulterated, and where we have
specific evidence or experience with a
firm or laboratory which calls past or
present test results into question.
(Comment 49) A few comments
suggest that neither chemical nor
physical hazards would be appropriate
for a directed food laboratory order.
According to such comments, the
directed food laboratory order should be
limited to circumstances where there is
a reasonable likelihood of serious
adverse health consequences or death to
humans or animals due to the potential
for pathogens to be present in the food
product.
(Response 49) We decline to exempt
chemical or physical hazards from a
potential directed food laboratory order.
As previously stated, a directed food
laboratory order will generally be
limited to the rare situation when we
have reason to question the accuracy or
reliability of past or present test results
and where an identified or suspected
food safety problem exists. In addition
to biological hazards, both chemical and
physical hazards are capable of causing
food safety problems. Therefore it is
possible that any of the three types of
hazard could, in certain circumstances,
form the basis for issuance of a directed
food laboratory order.
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We also note that chemical and
physical hazards are specifically
covered by other FSMA regulations
such as the preventive controls
regulations (§§ 117.130 and 507.33). We
believe it is appropriate to align
coverage of a potential directed food
laboratory order with the potential
hazards covered by those regulations.
(Comment 50) Several comments raise
questions about operational details
related to the issuance of directed food
laboratory orders. These comments ask
about the intended recipient of the
directed food laboratory order
(corporate parent, facility, or both),
means of transmission (electronic, inperson, mail), and whether the issuance
would change based on multiple owner
or consignee scenarios. Comments state
that these details are critical given the
proposed 24-hour appeal deadline for
directed food laboratory order
recipients.
(Response 50) FDA intends to provide
the most legally responsible person at
the firm that day with written notice of
a directed food laboratory order,
generally via email. We will make every
attempt to call to inform the firm of the
order prior to its arrival.
In the imports context, there are
sometimes multiple owners or
consignees. In such a case, we would
generally deliver the written notice to
the importer of record. (See Response 26
for additional discussion of multiple
owner or consignee scenarios.)
As discussed in Response 138, we
have extended the appeal deadline from
24 hours to within 3 business days of
receipt of a directed food laboratory
order.
(Comment 51) Several comments
suggest that the lack of detail
surrounding the duration and
termination of directed food laboratory
orders raises due process issues. These
comments recommend that a directed
food laboratory order should be
‘‘closed’’ once the identified or
suspected food safety problem has been
resolved. These comments also request
that FDA include a hearing process to
permit owners or consignees to submit
evidence in support of the resolution to
terminate a directed food laboratory
order or to have the directed food
laboratory order vacated. Additionally,
some comments request that directed
food laboratory orders include a
timeframe for the order and frequency
for testing. Further, a few comments
suggest that FDA use a hearing process
if the Agency seeks to modify a directed
food laboratory order once issued. Some
comments request that FDA provide
additional information on what is
considered a reasonable timeline to
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conduct testing required by a directed
food laboratory order.
(Response 51) In general, a directed
food laboratory order would last until
we have adequate assurances that the
underlying known or suspected food
safety problem has been resolved.
However, we agree that the order will be
‘‘closed’’ once the identified or
suspected food safety problem has been
resolved. We anticipate that this
approach will incentivize firms to
resolve issues quickly. However, details
regarding the duration and termination
of a directed food laboratory order will
be contingent on the specific facts and
circumstances of the order, which will
vary greatly. For example, whether the
order covers product or environmental
testing, whether it is designed to
address a very discrete issue or a
system-wide issue, the applicable
regulations, and the role of other
resources and tools applied to the
circumstances, are just a few of the
factors that may impact the length of
time a directed food laboratory order
would be appropriate. Some orders may
initially define the timeframe and
testing frequency, but again, we will
determine these matters on a case-bycase basis.
At present we do not believe it
necessary to create a hearing process
around the conclusion of a directed food
laboratory order; however, we expect to
be in dialogue with the entity subject to
the order and intend to take their
feedback into consideration.
(Comment 52) Some comments state
that the proposed rule did not include
details regarding whether or how
directed food laboratory orders would
be made public. These comments
request that FDA clarify that directed
food laboratory orders will not be made
public. The comments argue that only
the owner or consignee must take action
under a directed food laboratory order,
so there is no need to make a directed
food laboratory order public.
(Response 52) We may include
directed food laboratory orders on an
Agency website such as the data
dashboard (see https://www.fda.gov/
about-fda/transparency/fda-datadashboard), so that other entities in the
supply chain can be aware of their
existence as they research and evaluate
suppliers. We similarly publicize
injunctions, seizures, and warning
letters on the data dashboard and
believe that inclusion of directed food
laboratory orders would contribute to
the overarching goals of FDA’s food
safety communication strategy.
We also note that a directed food
laboratory order generally would be
subject to the Freedom of Information
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Act (FOIA). Any disclosures would be
made in accordance with our
regulations in part 20 (21 CFR part 20)
(i.e., redacting any confidential
commercial information as necessary).
(Comment 53) A few comments
request additional information regarding
whether directed food laboratory orders
only apply domestically. These
comments argue that directed food
laboratory orders must apply to both
domestic and foreign facilities
producing food for consumption in the
United States to comply with
international commitments. The
comments state that, as proposed,
directed food laboratory orders will be
issued more frequently to domestic
entities, resulting in unfair treatment,
since the FDA conducts more domestic
inspections, therefore giving rise to
more opportunities to issue such orders
domestically. These comments state that
there may be significantly fewer LAAFaccredited laboratories outside of the
United States, which could make it
more difficult for foreign manufacturers
to comply with the requirements of a
directed food laboratory order. These
comments argue there is an inherent
unfairness to the lack of parity and ask
FDA to consider this when determining
the need for directed food laboratory
orders.
(Response 53) We agree that a
directed food laboratory order could be
used in both foreign and domestic
settings; however, we disagree that
conducting more domestic inspections
necessarily will mean there are more
opportunities to issue a directed food
laboratory order domestically. As
discussed in Response 44, FDA
investigators will not be able to issue
directed food laboratory orders. This
limitation and the additional
clarifications provided regarding the
standard of issuance (see Response 47)
will limit use of a directed food
laboratory order to those limited
circumstances discussed and address
the potential for unfairness.
LAAF-accredited laboratory capacity
for testing under this subpart is
addressed in Response 15 and will
include consideration of both foreign
and domestic laboratories.
(Comment 54) Some comments
request additional information regarding
whether FDA will specify the method to
the owner or consignee of the food
subject to a directed food laboratory
order so that the owner or consignee can
provide such information to the LAAFaccredited laboratory.
(Response 54) We will specify the
method to the owner or consignee and,
in some circumstances, may provide
flexibility to use equivalent methods, so
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that there may be access to a greater
number of LAAF-accredited laboratories
that may conduct the food testing. See
§ 1.1151(b)(2).
(Comment 55) Some comments
maintain that directed food laboratory
orders should be issued only where a
validated test method exists and where
there is sufficient LAAF-accredited
laboratory capacity for that method and
the specific food matrix.
These comments are concerned that if
a directed food laboratory order were
issued for a method requiring
validation, it could effectively prohibit
the facility from operating until a
method is validated. Comments estimate
validation of a single method could take
6 months or more and cost between
$35,000 and $300,000, depending on the
complexity of the method. Comments
contend that the proposed rule was not
clear regarding who bears the cost of
validating a method; these comments
argue industry should not have to bear
such costs as a result of the issuance of
a directed food laboratory order.
Comments state further that costs to
validate a method were not included in
the preliminary economic impact
analysis. A few comments assert that if
directed food laboratory orders are
limited to SAHCODHA hazards posed
by pathogens, there would be fewer
method validation concerns.
Some comments state that proposed
§ 1.1151(e) would allow an accredited
laboratory to request FDA’s permission
to use a method outside its scope of
accreditation but FDA would only
approve the request if there is a ‘‘food
emergency.’’ These comments express
concern that FDA could define a ‘‘food
emergency’’ to exclude circumstances
specific to a particular food or facility.
If narrowly construed in this manner,
the comments argue the lack of a
validated method or LAAF-accredited
laboratory availability necessary under a
directed food laboratory order could
effectively block a facility from
operating. Further, these comments
assert that this provision would not
mitigate the concerns raised regarding
the impact of a directed food laboratory
order for a method requiring validation.
(Response 55) We intend to issue a
directed food laboratory order when
there exist both a validated method and
sufficient laboratories LAAF-accredited
to that method. Under § 1.1108(b), FDA
will specify the test method in a
directed food laboratory order.
As discussed above in Response 47,
the general standard for issuance of a
directed food laboratory order is that
FDA has reason to question the accuracy
or reliability of past or present test
results and an identified or suspected
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food safety problem exists. Necessarily,
then, if a directed food laboratory order
has been issued, the food testing at issue
is not novel because it has been
happening for at least long enough that
FDA has reason to question the results.
In such circumstances, we believe a
validated method will exist. Section
422(b)(3) of the FD&C Act expressly
gives FDA the authority to waive
requirements of the LAAF program if:
(1) A new methodology or
methodologies have been developed and
validated but a laboratory has not yet
been accredited to perform such
methodology or methodologies and (2)
the use of such methodology or
methodologies are necessary to prevent,
control, or mitigate a food emergency or
foodborne illness outbreak.
(Comment 56) Many comments assert,
based on legal, policy, and practical
concerns with the proposed rule, that
directed food laboratory orders should
be removed from the final rule. Some of
these comments suggest that since
FSMA section 202 does not contemplate
directed food laboratory orders,
inclusion of the directed food laboratory
order provisions in the final rule is not
required as part of the rulemaking.
Comments suggest that removing the
directed food laboratory order provision
will help FDA meet its deadline to issue
a final rule.
Several comments argue that if FDA
can establish both statutory authority
and a justified public health need for
directed food laboratory orders, either
an independent rulemaking or a
supplemental notice of proposed
rulemaking would be necessary to allow
for additional input, to clarify the
proposal in terms of scope, procedures,
and policy concerns, and to avoid
litigation. Some comments suggest FDA
has good cause to request modification
of the consent decree deadline to extend
the deadline due to the issues raised in
the comments and the COVID–19
pandemic’s impact on the Agency.
Some of these comments raise the
concern that additional time is needed
to allow the Agency to give due
consideration to the issues raised and to
engage industry on the food safety
concerns addressed by directed food
laboratory orders.
However, some comments
recommend revisions to directed food
laboratory orders to limit their scope
and otherwise address procedural
aspects that they believe would make
directed food laboratory orders feasible
if not removed from the final rule. These
comments insist that a supplemental
notice of proposed rulemaking is
necessary to fully vet any revised
proposal. A few comments ask that
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directed food laboratory orders be used
judiciously with specific guidance for
use, should FDA confirm it has
authority to issue directed food
laboratory orders.
Some comments suggest that FDA
should publish additional guidance on
directed food laboratory orders prior to
issuing a directed food laboratory order.
(Response 56) We decline the
recommendation to remove the directed
food laboratory order from the final rule.
As discussed above throughout the
comments and responses related to
directed food laboratory orders, we have
addressed the necessary legal, policy,
and practical concerns raised.
Additionally, we received meaningful
comments which we have carefully
considered in developing the directed
food laboratory order provision of the
final rule. Therefore, we do not agree a
supplemental rulemaking is necessary.
We will consider issuing additional
guidance on directed food laboratory
orders.
4. How will FDA make information
about recognized accreditation bodies
and LAAF-accredited laboratories
available to the public (§ 1.1109)?
Proposed § 1.1109(a) provided that
FDA would place on our website a
publicly available registry listing
recognized accreditation bodies and
LAAF-accredited laboratories in the
LAAF program. The proposed list
would include certain information
regarding each recognized accreditation
body and LAAF-accredited laboratory
such as the name, contact information,
duration of an accreditation body’s
recognition, and the scope of
accreditation for each laboratory. We
also proposed including certain
information about changes in
recognition of an accreditation body,
including probation, revocation,
voluntary relinquishment, or expiration
and the effective date for any change.
Likewise, we proposed including
certain information regarding changes in
LAAF-accreditation of laboratories, such
as withdrawal, revocation, probation,
voluntary relinquishment and the
effective date for any change. Proposed
§ 1.1109(b) reiterated the statutory
requirement for FDA to coordinate with
the Department of Homeland Security
regarding the online registry.
On our own initiative, we have
revised the section title to include
‘‘LAAF-accredited laboratories,’’
consistent with terminology changes
throughout the rule. We also have
clarified in the final rule that FDA will
place on its website a publicly available
registry listing information about
recognized accreditation bodies and
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LAAF-accredited laboratories. As
discussed at Response 10, we have
revised the terminology used in the final
rule to better clarify roles and actions
taken by recognized accreditation
bodies and FDA under this subpart. As
discussed in section V.C. regarding of
the definition of ‘‘scope of LAAFaccreditation’’ above, in the final rule
we also changed the verbiage,
‘‘withdraw in part,’’ to ‘‘reduce the
scope of LAAF-accreditation.’’ This
section has been updated to reflect the
revised terminology. For transparency,
we added denial of renewal of
recognition to the changes in
recognition that will be included on the
website (see § 1.1109(b) of the final
rule); we stated we would post
information about denial of renewal of
recognition in § 1.1129(h) of the
proposed rule, which appears in
§ 1.1115(h) of the final rule.
Additionally, on our own initiative, we
removed the language that appeared in
§ 1.1109(b) of the proposed rule. Section
422(a)(4) of the FD&C Act directs FDA
to coordinate with the Department of
Homeland Security on the time,
manner, and form of the online registry
of recognized accreditation bodies and
LAAF-accredited laboratories; we have
done so. It is unnecessary to reiterate
this duty in the codified text and so we
have removed that text from the final
rule. We also revised the section to
improve clarity and readability.
Comments regarding this section are
discussed below.
(Comment 57) Several comments
support our proposal to maintain on our
website a registry of recognized
accreditation bodies and participating
laboratories. Some comments request
that the registry include information
regarding the methods to which specific
laboratories are accredited. Some
comments suggest that the registry
include hyperlinks to the websites of
the recognized accreditation bodies, as
those are updated regularly with
information on LAAF-accredited
laboratories, including current scope
information.
Some comments request that the
registry include information beyond that
related to recognized accreditation
bodies and LAAF-accredited
laboratories; they advocate for FDA to
maintain a list of all ISO/IEC
17011:2017 accreditation bodies that are
ILAC-Mutual Recognition Arrangement
(MRA) signatories and accredit food
laboratories, as well as all food
laboratories that are accredited to ISO/
IEC 17025:2017. These comments
express the view that such a listing
would be a helpful public service.
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Some comments propose that the
registry indicate which participating
laboratories are permitted to submit
abridged analytical reports; from their
perspective, such information would be
helpful to industry in choosing a
laboratory.
Other comments ask how the public
will know which laboratories are LAAFaccredited, and some comments
consider the proposed rule to be unclear
regarding how the public will know the
methods for which each laboratory is
LAAF-accredited and recommend this
information be posted on the public
website.
(Response 57) We appreciate the
support for the public registry and note
that its establishment is required by
section 422(a)(1)(B) of the FD&C Act. To
be clear, under the final rule, the online
registry will list all LAAF-accredited
laboratories and the scope of LAAFaccreditation for each, among other
things. See § 1.1109.
We decline the recommendation to
include on the public registry
hyperlinks to the websites of recognized
accreditation bodies and LAAFaccredited laboratories. Recognized
accreditation bodies and LAAFaccredited laboratories must report
changes that impact their recognition
and LAAF-accreditation as specified in
this final rule. This will ensure the
public registry contains accurate and
up-to-date information for use by
owners and consignees.
We also decline the recommendation
to expand the registry to include a list
of all ISO/IEC 17011:2017 accreditation
bodies that are ILAC–MRA signatories
that accredit food laboratories and all
ISO/IEC 17025:2017-accredited
laboratories; expansion of the registry in
this manner is not specified in section
422(a)(1)(B) of the FD&C Act, which
describes the registry as including
information regarding accreditation
bodies recognized by the FDA and the
laboratories which are LAAF-accredited
by the recognized accreditation bodies.
Finally, we also decline the
recommendation to indicate on the
public registry which LAAF-accredited
laboratories are permitted to submit
abridged analytical reports. We do not
consider testing conducted by
laboratories permitted to submit
abridged analytical reports to be of a
higher quality than testing conducted by
laboratories without such permission.
Nor do we have any reason to conclude
that owners and consignees would get
test results faster from a laboratory with
permission to submit abridged
analytical reports. Note that under
§ 1.1153(d), FDA may request that a
LAAF-accredited laboratory that is
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permitted to submit abridged analytical
reports submit additional
documentation or a full analytical report
within 72 hours of FDA’s request. As
stated in § 1.1150(d) of the proposed
and final rule, a LAAF-accredited
laboratory must document the testing
information and test results to the extent
necessary to account for all information
that is required to be in a full analytical
report.
(Comment 58) Regarding the public
registry that lists recognized
accreditation bodies and participating
laboratories, some comments express
concern about our proposal to include
revocation or probation information in
the registry. These comments take issue
with our proposed use of both terms,
and those issues are discussed at
Response 10. Specifically, regarding the
term, ‘‘probation,’’ the comments
indicate that including references to this
status on the public registry would
inaccurately convey that such
organizations are in poor standing,
given what the term, ‘‘probation’’
normally means in the conformity
assessment arena. Regarding the term,
‘‘revocation,’’ the comments express the
belief that attaching such a label to
laboratories in the public registry would
cause confusion because it would imply
that FDA can revoke the ISO/IEC
17025:2017 accreditation of a
laboratory, which is not the case.
(Response 58) We have made
revisions throughout the final rule to
address terminology concerns (see
Response 10). As discussed in
Responses 13, 71, and 82, we revised
the final rule so that a recognized
accreditation body may suspend a
LAAF-accredited laboratory under
§ 1.1121 whereas FDA may place a
recognized accreditation body or a
LAAF-accredited laboratory on
probation under §§ 1.1131 and 1.1161,
respectively. We also revised the final
rule to allow corrective action under
§ 1.1161 prior to any public change in
LAAF-accreditation status (see
Response 133). With these clarifications,
the status information contained on the
public registry is more clearly limited to
the LAAF-accreditation status of the
laboratory as opposed to the laboratory’s
ISO/IEC 17025 accreditation status.
Given the revisions throughout the final
rule, we will retain, with clarifications,
the provision which makes public a
LAAF-accredited laboratory’s
probationary status to maintain
transparency for the public and
specifically for the owners and
consignees with food testing subject to
this subpart.
5. What are the general requirements for
submitting information to FDA under
this subpart (§ 1.1110)?
On our own initiative, we added
§ 1.1110 to consolidate information
previously repeated throughout the
proposed codified text regarding the
requirement to submit applications,
reports, notifications, and records
required by this subpart to FDA
electronically and in English, unless
otherwise specified. The section states
further that if records are maintained in
a language other than English, the
recognized accreditation body or LAAFaccredited laboratory must provide an
English translation within a reasonable
time. Paragraph (b) specifies that a
program applicant must provide
translation and interpretation services
needed by FDA during the processing of
the application, including during any
onsite assessments of the applicant. See
table 5 for a list of consolidated sections
in § 1.1110.
TABLE 5—CONSOLIDATION OF PROPOSED RULE SECTIONS RELATED TO
SUBMITTING INFORMATION TO FDA
UNDER THIS SUBPART
Final rule
Proposed rule
§ 1.1110 What are the general requirements for submitting information to FDA
under this subpart?
§ 1.1123(a)
§ 1.1124(b)
§ 1.1128(d)
§ 1.1129(f)
§ 1.1131(b)(2)
§ 1.1132(a)
§ 1.1152(a)
§ 1.1153(c)
§ 1.1162(c)
§ 1.1163(a)
§ 1.1171(b)
§ 1.1173(b)
§ 1.1174(b)
E. Comments Regarding FDA
Recognition of Accreditation Bodies
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TABLE 6—REORGANIZATION OF SECTIONS REGARDING FDA RECOGNITION OF ACCREDITATION BODIES
Final rule
Proposed rule
Notes
FDA Recognition of Accreditation Bodies .........
Recognition of Accreditation Bodies ................
§ 1.1113 What are the eligibility requirements
for a recognized accreditation body?
§ 1.1113 What requirements must an accreditation body meet to be recognized by FDA?
§ 1.1118 What are the general requirements
for recognized accreditation bodies to remain recognized?
§ 1.1114 How does an accreditation body
apply to FDA for recognition or renewal of
recognition?
§ 1.1115 How will FDA evaluate applications
for recognition and renewal of recognition?
§ 1.1128 How does an accreditation body
apply to FDA for recognition or renewal of
recognition?
§ 1.1129 How will FDA review applications
for recognition and applications for renewal
of recognition?
Added ‘‘FDA’’ to clarify that FDA is making
recognition determinations.
Consolidated these two proposed sections
and revised the section title.
Made conforming changes to reflect eligibility
requirements as opposed to requirements
for seeking recognition and remaining recognized.
Moved section to 1.1114 of the final rule.
§ 1.1116 What must a recognized accreditation body do to voluntarily relinquish or not
renew its recognition?
§ 1.1132 What must a recognized accreditation body do if it wants to voluntarily relinquish its recognition or does not want to
renew its recognition?
§ 1.1133 How does an accreditation body request reinstatement of recognition?
§ 1.1117 How may an accreditation body request reinstatement of recognition?
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Moved section to 1.1115 of the final rule.
Changed ‘‘review’’ to ‘‘evaluate’’ in the section
title.
Removed second instance of ‘‘applications
for’’ in the section title.
Moved section to 1.1116 of the final rule.
Minor editorial changes to section title.
Moved section to 1.1117 of the final rule.
Minor editorial changes to section title.
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1. What are the eligibility requirements
for a recognized accreditation body
(§ 1.1113)?
Proposed § 1.1113, ‘‘What
requirements must an accreditation
body meet to be recognized by FDA?’’
included the requirements an
accreditation body must meet to become
recognized by FDA under this subpart,
including the following: (a) Be a full
member of ILAC and a signatory to the
ILAC–MRA that has demonstrated
competence to ISO/IEC 17011:2017; (b)
demonstrate it meets the requirements
of ISO/IEC 17011:2017; (c) demonstrate
that it possesses sufficient scientific/
technical expertise to be able to
substantively assess certain work of the
laboratories it accredits; and (d)
demonstrate it is capable of complying
with this rule’s proposed requirements
for recognized accreditation bodies.
Similarly, proposed § 1.1118, ‘‘What are
the general requirements for recognized
accreditation bodies to remain
recognized?’’ included the requirement
that recognized accreditation bodies
continue to meet the requirements of
§ 1.1113 in order to remain recognized
by FDA.
In the final rule, FDA has
consolidated proposed §§ 1.1113 and
1.1118. The new consolidated section is
titled ‘‘What are the eligibility
requirements for a recognized
accreditation body?’’ and is located at
§ 1.1113 of the final rule. Accordingly,
FDA has revised the section title to refer
to eligibility requirements for
recognized accreditation bodies and has
made minor conforming changes
throughout the section to accommodate
the change. We also have reordered the
list of eligibility requirements and split
the requirement that appeared in
paragraph (a) of the proposed sections
into two distinct items, i.e., separating
the requirement of full membership of
ILAC from status as a signatory to the
ILAC–MRA that has demonstrated
competence to ISO/IEC 17011:2017 with
a scope of ‘‘Testing: ISO/IEC 17025.’’
FDA has added the clarification that a
scope of ‘‘Testing: ISO/IEC 17025’’ is
required; this requirement previously
appeared only among the LAAFaccredited laboratory requirements
against which a recognized
accreditation body must assess a
laboratory seeking LAAF-accreditation.
FDA also has removed the
requirement in proposed § 1.1113(c)(1)
through (3) regarding a recognized
accreditation body’s scientific and
technical expertise to review certain
validation and verification required by
proposed § 1.1138(a)(1), to review
laboratory determinations regarding the
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availability of proficiency testing
program, and to assess the adequacy of
a laboratory’s proposal to use a
comparison program in lieu of a
proficiency. For additional discussion
regarding this change, see Comment 62
and Response. Finally, FDA has revised
the section to modify ‘‘accreditation’’
with the prefix ‘‘LAAF-’’ to incorporate
revised terminology for the final rule
discussed at Response 10. Comments
regarding this section are discussed
below.
(Comment 59) Some accreditation
bodies, including ones located outside
of the United States, express interest in
participating in this program and
request information about their role.
(Response 59) We appreciate global
interest in the LAAF program. An
accreditation body that meets the
eligibility requirements in § 1.1113 may
apply to FDA to become recognized,
regardless of where the accreditation
body is located. See Response 14 for our
implementation discussion.
Recognized accreditation bodies will
assess and oversee laboratories seeking
LAAF-accreditation against the
requirements in this final rule. The
requirements for recognized
accreditation bodies are in §§ 1.1113–
1.1131 and the requirements for LAAFaccredited laboratories are in §§ 1.1138–
1.1162.
(Comment 60) Many comments
endorse the proposed requirement that
a recognized accreditation body must be
an ILAC–MRA signatory that has
demonstrated competence to ISO/IEC
17011:2017. They support the use of
both ISO/IEC 17011:2017 and ISO/IEC
17025:2017 as the foundational
requirements for this rule. Some of the
comments express the belief that
reliance on the ILAC framework and
ISO standards will ensure an efficient
and effective food testing program by
FDA.
Some comments mention that the
rigorous ILAC–MRA process provides
ongoing reassurance to regulators that
ILAC–MRA signatories and their
accredited laboratories are meeting
relevant international standards and
criteria for competence. Some
comments provide examples of other
Federal government Agencies and
programs that rely on ILAC member
accreditation bodies including the
Consumer Product Safety Commission
(CPSC), Environmental Protection
Agency (EPA) National Lead Laboratory
Accreditation Program, and Department
of Defense Environmental Laboratory
Accreditation Program. Other comments
refer to the analysis we described in the
proposed rule which indicated that all
the accredited laboratories that
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submitted import-related food testing
results in 2016 and 2017 were
accredited by accreditation bodies that
are full members of ILAC and
signatories to the ILAC–MRA.
According to these comments, it is
unsurprising that owners and
consignees choose to rely on
laboratories accredited by ILAC–MRA
signatories.
Similarly, some comments state that
accreditation bodies already satisfy the
foundational requirements for
participating in the LAAF program.
Further, these comments state that
accreditation bodies are willing to
establish internal procedures and
processes to ensure that they and the
laboratories they LAAF-accredit meet all
additional program requirements
beyond ISO/IEC 17011:2017, ILAC–
MRA signatory status, and ISO/IEC
17025:2017. Finally, some comments
encourage FDA to collaborate with NIST
as we establish this accreditation
program. Some comments applaud
FDA’s proposed adoption of voluntary
consensus standards and state that such
action is in furtherance of the NTTAA.
(Response 60) We appreciate the
support expressed for the selected
standards and requirements for
recognized accreditation bodies in the
LAAF program. We also appreciate the
information provided regarding the
accreditation landscape, as well as the
support expressed in these comments
for the LAAF program generally. We
have consulted with NIST throughout
this rulemaking process and appreciate
their technical assistance and support.
(Comment 61) In the proposed rule,
when we discussed our proposal to
require accreditation bodies to be ILAC–
MRA signatories, we mentioned the
laboratory accreditation program
established by the CPSC (84 FR 59452
at 59467). We restated with approval the
CPSC’s rationale for establishing the
same requirement.
A few comments suggest that we also
consider emulating the CPSC’s
laboratory accreditation program. Some
comments particularly appreciate that,
according to these comments, CPSC
relies solely on ILAC–MRA signatory
status to determine whether an
accreditation body may accredit
laboratories under CPSC’s program;
CPSC imposes no additional standards
or requirements for accreditation bodies.
According to these comments, CPSC
also exercises very minimal oversight of
accreditation bodies.
We note that the CPSC does not
directly regulate accreditation bodies,
but instead requires that laboratories
participating in its program be
accredited to ISO/IEC 17025 by an
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accreditation body that is an ILAC–MRA
signatory (see § 1112.13(a)(2)(i)).
Comments contend that a similar
approach by FDA would provide
accreditation bodies with more
flexibility and reduce FDA’s costs
related to accreditation body oversight.
These comments suggest that even with
a reduced oversight role, FDA still could
participate in accreditation body
assessments and ILAC peer evaluations,
as do other Federal Agencies with
accreditation programs. Other
comments appear to misunderstand our
discussion related to the CPSC in the
proposed rule and perceive it as a
potential framework FDA intends to use
as a model for our relationship with
accreditation bodies under this subpart.
(Response 61) Under Federal law,
children’s products must be tested by a
third party, CPSC-accepted laboratory to
ensure compliance with relevant safety
requirements. The CPSC established
requirements for third party conformity
assessment bodies wishing to conduct
these tests and maintains on its website
a list of those conformity assessment
bodies that have been accepted by the
CPSC for that purpose. (For more
information on the CPSC program, see
https://www.cpsc.gov/Regulations-LawsStandards/Rulemaking/Final-andProposed-Rules/Third-PartyConformity-Assessment-Bodies/.)
Emulating the framework of the CPSC
program is not feasible for the LAAF
program. Whereas the CPSC does not
have a formal relationship with
accreditation bodies, section 422 of the
FD&C Act requires that FDA establish
standards for, and recognize,
accreditation bodies. The statute also
directs FDA to periodically review the
recognition of accreditation bodies and
to provide a public registry of
recognized accreditation bodies.
Therefore, we believe the statutory
requirements for the LAAF program
preclude using the CPSC framework as
a model for our program.
(Comment 62) In proposed
§ 1.1113(c), we provided that
accreditation bodies seeking recognition
demonstrate sufficient scientific and
technical expertise to be able to review
validation and verification studies,
assess a laboratory’s determination that
no proficiency test is available for a
given method, and assess the adequacy
of a laboratory’s proposed alternative to
a proficiency test, where none is
available. In the preamble we stated that
we did not consider such reviews and
determinations to be traditional
functions of accreditation bodies and
that accreditation bodies may need to
hire or contract with additional persons
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possessing this scientific/technical
expertise.
Many comments support the notion
that accreditation bodies must have the
expertise to conduct substantive reviews
of validation and verification studies, as
well as alternatives to proficiency
testing when a proficiency test is not
available. However, several comments
express the view that FDA need not
include such a requirement in this rule
because an equivalent requirement
already exists, albeit in general terms, in
ISO/IEC 17011:2017, and in order to be
an ILAC–MRA signatory. Further,
several of these comments disagree with
FDA’s statement that conducting a
substantive review of validation and
verification studies and assessing
proposed alternatives to proficiency
testing constitute non-traditional
functions for accreditation bodies.
Instead, these comments clarify that
accreditation bodies routinely conduct
those activities as part of the ISO/IEC
17025:2017 assessment and routinely
hire qualified staff and assessors to carry
out this work. They also state that
satisfying the ILAC requirement is
enforced and ensured by way of ILAC’s
robust peer evaluation process. Other
comments offer conditional support for
the proposed requirement that
accreditation bodies demonstrate that
they possess scientific/technical
expertise, as long as our requirements
do not impair the ability of accreditation
bodies to fulfill their mission.
Some comments stress the robust
nature of the peer evaluation system
that provides evaluation and
surveillance of ILAC–MRA signatories.
Some comments express the belief that
an ILAC–MRA signatory accreditation
body necessarily would possess the
scientific/technical expertise that FDA
described in proposed § 1.1113(c).
(Response 62) Upon consideration of
these comments, we agree that the
requirement in proposed § 1.1113(c)
regarding scientific and technical
expertise is unnecessary; it does not
appear in the final rule. Also, as
described above, we proposed to require
that accreditation bodies seeking
recognition demonstrate sufficient
scientific and technical expertise in part
to support their review of certain
validation and verification studies that
would be required in connection with
the testing conducted under this
subpart. Under the final rule FDA will
review all verification and validation
studies that are required in connection
with the testing conducted under this
subpart. See Comment and Response
122.
(Comment 63) In the proposed rule, in
connection with our discussion of
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recognized accreditation bodies
assessing certain validation and
verification studies required under this
subpart as well as alternatives to
proficiency tests, we stated that we may
consider a variety of activities such as
issuing guidance and regular roundtable
meetings with recognized accreditation
bodies, to communicate our
expectations for such assessments. (See
84 FR 59452 at 59467). Several
comments encourage FDA to provide
such guidance. Some comments request
a defined list of the items FDA
considers necessary for a complete
validation report. These comments state
that an accreditation body’s recognition
may be revoked if the accreditation
body allows a laboratory to use a
method and the method was not
appropriate due to errors or omissions
in the validation study. Several
comments suggest that clearly
communicated expectations from FDA
would better ensure consistency among
laboratories and accreditation bodies
and increase the likelihood that the
studies and alternatives would be
satisfactory to the Agency.
(Response 63) We acknowledge that
these comments encourage FDA to issue
guidance communicating our
expectations for the validation and
verification studies required under this
subpart. Although we may do so, there
is information already available on our
website regarding FDA expectations for
validation studies: Foods Program
Methods Validation Processes and
Guidelines are available at https://
www.fda.gov/food/laboratory-methodsfood/foods-program-methodsvalidation-processes-and-guidelines.
2. How does an accreditation body
apply to FDA for recognition or renewal
of recognition (§ 1.1114)?
Section 1.1128 of the proposed rule
concerned how an accreditation body
would apply to FDA for recognition or
renewal of recognition. Paragraphs (a)
and (b) of proposed § 1.1128 included
the requirement for an accreditation
body to submit its application for
recognition or renewal of recognition to
FDA. Paragraph (c) of the proposed
section discussed the specific
documentation requirements for an
accreditation body applicant, including
documentation of conformance with
ISO/IEC 17011:2017, separate
documentation of ILAC–MRA signatory
status demonstrating competence to
ISO/IEC 17011:2017, and
documentation of compliance with
proposed § 1.1113(c) and (d)
(concerning the requirement to possess
sufficient scientific and technical
expertise: (1) To review certain
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validation and verification studies, (2)
to assess a laboratory’s determination
regarding proficiency test availability,
and (3) to assess a laboratory’s proposed
comparison program; and the
requirement to meet all additional
requirements of the subpart) or
proposed § 1.1118(c) and (d) (which
covered the same provisions as
proposed § 1.1113(c) and (d) for
recognized accreditation bodies seeking
renewal of recognition). Paragraph (d) of
proposed § 1.1128 included the
requirement to submit the application
electronically and in English and to
provide any required translation
services needed by FDA during the
processing of the application or an
onsite assessment of the accreditation
body. Finally, paragraph (e) of proposed
§ 1.1128 covered requirements for
signing the application for recognition
or renewal of recognition.
As part of our overall reorganization
of the final rule, we have moved the
contents of proposed § 1.1128 to
§ 1.1114 of the final rule. We received
no comments directly related to this
section of the rule; however, we have
made several editorial and conforming
changes to improve clarity and
readability and to streamline the
section. We combined proposed
paragraphs (a) and (b) into a single
paragraph (a) of the final rule to cover
both initial and renewal applications.
Paragraph (c) of the proposed rule
regarding documentation has been
updated to reflect correct crossreferences since proposed §§ 1.1113 and
1.1118 were combined; the
documentation paragraph of the final
rule is now paragraph (b). We relocated
the contents of proposed paragraph (d)
(regarding submitting documents to
FDA electronically and in English) to
§ 1.1110 of the final rule. Finally,
proposed paragraph (e) is now
paragraph (c) of the final rule.
3. How will FDA evaluate applications
for recognition and renewal of
recognition (§ 1.1115)?
Section 1.1129 of the proposed rule,
‘‘How will FDA review applications for
recognition and applications for renewal
of recognition?’’ concerned FDA
evaluation of applications for
recognition and renewal of recognition.
Paragraph (a) of proposed § 1.1129
stated that FDA would notify an
accreditation body applicant if the
application is incomplete and would
review completed applications in the
order in which the completed
application is received; however, FDA
reserved discretion to prioritize review
to meet program needs. Paragraph (b) of
proposed § 1.1129 stated that FDA
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would evaluate applications and may
include an onsite visit to determine
whether the accreditation body
applicant meets the requirements for
recognition. We also noted that we may
extend the term of recognition for an
accreditation body if FDA’s review of
the application for renewal of
recognition was not complete prior to
the term’s expiration. In paragraphs (c)
and (d), we stated that we would notify
an accreditation body if the application
is approved and that we may grant
recognition for a period up to 5 years
from the date of recognition, unless our
review of the application extends past
the expiration of the term of recognition
(as covered in proposed paragraph (b)).
Proposed § 1.1129 also provided that we
would notify an accreditation body
applicant if we deny the application for
recognition or renewal of recognition,
including the basis for the denial and
procedures for requesting
reconsideration (see proposed
§ 1.1129(e)). If we deny an application
for renewal of recognition, paragraph (f)
stated that the accreditation body
applicant would have to identify a
records custodian to maintain records
pursuant to proposed § 1.1124, and
provide the custodian’s contact
information including email and street
address. As discussed above regarding
changes to § 1.1102, throughout this
subpart when we say, ‘‘street address,’’
we mean full physical address including
country; a mailing address that is not a
physical address (e.g., post office
number) is insufficient, though
supplying both types of address is
acceptable (see new definition of street
address in § 1.1102 of the final rule).
Paragraphs (g) and (h) of proposed
§ 1.1129 stated that when the
application for renewal of recognition is
denied FDA would provide notice to
laboratories accredited by the
accreditation body and public notice on
the website described in proposed
§ 1.1109.
As part of our overall reorganization
of the final rule, we have moved the
contents of proposed § 1.1129 to
§ 1.1115 of the final rule and revised the
section title to ‘‘How will FDA evaluate
applications for recognition and renewal
of recognition?’’ We relocated the
requirement in proposed § 1.1129(f)
regarding submitting notifications
electronically and in English to § 1.1110
of the final rule. We have made several
revisions to the contents of this section
to incorporate revised terminology and
to improve clarity and readability.
Comments regarding this section are
discussed below.
(Comment 64) Some comments
suggest that FDA establish an initial
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accreditation body application deadline,
and an approval date for all the
accreditation bodies that apply for
recognition by that deadline. They state
that this approach would avoid any
competitive advantage that might
otherwise accrue to the accreditation
body that first gains FDA recognition.
The comments also suggest that FDA set
up additional rounds of accreditation
body application deadlines and
recognition decisions.
(Response 64) As discussed in
Response 14, we intend to implement
the LAAF program in a stepwise
fashion. The first step will be
announcing that accreditation bodies
may apply for recognition. We
understand and acknowledge the
concern that a competitive advantage
may accrue to the first accreditation
body recognized. We will consider this
matter and communicate further on the
details of the accreditation body
application process when we announce
that applications may be submitted.
4. What must a recognized accreditation
body do to voluntarily relinquish or not
renew its recognition (§ 1.1116)?
Section 1.1132 of the proposed rule,
‘‘What must a recognized accreditation
body do if it wants to voluntarily
relinquish its recognition or does not
want to renew its recognition?’’
concerned the procedures for voluntary
relinquishment of recognition and nonrenewal of recognition of a recognized
accreditation body, including the
requirement to provide to FDA a notice
of intent 60 days prior to relinquishing
recognition as well as a records point of
contact for records required by proposed
§ 1.1124 (see proposed § 1.1132(a)).
Paragraph (b) required the accreditation
body to provide notice of intent to
relinquish recognition to the
laboratories the accreditation body
LAAF-accredits, and paragraph (c)
noted that FDA would provide notice of
the same on the website described in
proposed § 1.1109.
As part of our overall reorganization
of the final rule, we have moved the
contents of proposed § 1.1132 to
§ 1.1116 of the final rule. We received
no comments directly related to this
section of the rule; however, we made
certain changes on our own initiative.
First, we revised the section title to
read, ‘‘What must a recognized
accreditation body do to voluntarily
relinquish or not renew its
recognition?’’ In paragraph (a) we
clarified that when a recognized
accreditation body notifies FDA of its
intention to leave the program it must
specify the date on which the
relinquishment or expiration will occur.
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We also deleted ‘‘electronically, in
English’’ in paragraph (a) since this is
covered by the new § 1.1110 in the final
rule. We also made several conforming
changes to update cross-references
throughout the section to reflect the
reorganized structure of the final rule
and to update terminology, such as the
change to ‘‘LAAF-accreditation.’’ We
revised paragraphs (a) and (b) of the
final rule to specify ‘‘calendar’’ days.
Finally, we have made revisions to
improve clarity and readability of the
final rule.
5. How may an accreditation body
request reinstatement of recognition
(§ 1.1117)?
Section 1.1133 of the proposed rule,
‘‘How does an accreditation body
request reinstatement of recognition?’’
concerned an accreditation body’s
request for reinstatement of recognition.
Under proposed § 1.1133(a), an
accreditation body that had its
recognition revoked could seek
reinstatement of recognition by
submitting a new application along with
evidence that the grounds for revocation
have been resolved. As described in
proposed § 1.1133(b), an accreditation
body that allowed its recognition to
expire or voluntarily relinquished
recognition could submit a new
application without additional
requirements.
As part of our overall reorganization
of the final rule, we have moved the
contents of proposed § 1.1133 to
§ 1.1117 of the final rule and revised the
title to read, ‘‘How may an accreditation
body request reinstatement of
recognition?’’ We received no comments
directly related to this section of the
rule; however, we revised the section to
update cross-references to reflect the
reorganized structure of the final rule
and have made revisions to improve the
clarity and readability of the final rule.
F. Comments Regarding Requirements
for Recognized Accreditation Bodies
TABLE 7—CHANGES TO THE SECTIONS REGARDING REQUIREMENTS FOR RECOGNIZED ACCREDITATION BODIES
Final rule
Proposed rule
N/A (contents combined with § 1.1113) ............
§ 1.1118 What are the general requirements
for recognized accreditation bodies to remain recognized?
§ 1.1119 What requirements apply to how a
recognized accreditation body must protect
against conflicts of interests?
§ 1.1120 How must a recognized accreditation body evaluate laboratories seeking accreditation and oversee the performance of
laboratories it accredits?
§ 1.1121 What appeal procedures must a
recognized accreditation body provide for
appeals of decisions to not grant accreditation?
§ 1.1122(h) Appeals procedures.
§ 1.1119 What are the conflict of interest requirements for a recognized accreditation
body?
§ 1.1120 How must a recognized accreditation body assess laboratories seeking LAAFaccreditation and oversee LAAF-accredited
laboratories?
§ 1.1121 When must a recognized accreditation body require corrective action, suspend
a LAAF-accredited laboratory, or reduce the
scope of or withdraw the LAAF-accreditation
of a laboratory?
§ 1.1122 What procedures must a recognized
accreditation body provide for appeals of decisions to suspend, reduce the scope of,
withdraw, or deny LAAF-accreditation?
§ 1.1123 What reports, notifications, and documentation must a recognized accreditation
body submit to FDA?
§ 1.1124 What are the records requirements
for a recognized accreditation body?
§ 1.1125 What are the internal audit requirements for a recognized accreditation body?
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1. What are the conflict of interest
requirements for a recognized
accreditation body (§ 1.1119)?
Proposed § 1.1119 concerned conflict
of interest requirements for recognized
accreditation bodies. In addition to
meeting the impartiality and conflict of
interest requirements in ISO/IEC
17011:2017, proposed § 1.1119(a)(1)
stated the following requirements: An
accreditation body, including its
officers, employees, and other agents
involved in accreditation activities,
could not own, have a financial interest
in, manage, or otherwise control a
laboratory, including affiliates, parents,
or subsidiary, that it LAAF-accredits.
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Notes
§ 1.1122 When must a recognized accreditation body withdraw or reduce the scope of
the accreditation of a laboratory, and when
may a recognized accreditation body put an
accredited laboratory on probation?
§ 1.1123 What reports and notifications must
a recognized accreditation body submit to
FDA?
§ 1.1124 What records requirements must a
recognized accreditation body meet?
§ 1.1125 What internal audit requirements
must a recognized accreditation body meet?
Paragraph (a)(2) prohibited the
acceptance of money, gifts, gratuities,
and other items of value by an
accreditation body’s officers, employees,
and other agents from a laboratory it
LAAF-accredits. Proposed § 1.1119(b)
excluded the following from prohibited
items of value: (1) Money representing
payment for accreditation fees and
services, (2) reimbursement of direct
costs associated with an onsite
assessment, and (3) lunch of a de
minimis value in certain circumstances.
Proposed § 1.1119(c) stated that the
financial interest of a spouse or child
under 18 years of age of any recognized
accreditation body officer, employee, or
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Editorial changes to section title.
Revised section title to change ‘‘evaluate’’ to
‘‘assess’’ and to modify ‘‘accreditation’’ with
the prefix ‘‘LAAF-’’.
Relocated section and revised section title to
reflect opportunity for corrective action, to
revise this use of ‘‘probation’’ to ‘‘suspension,’’ to modify ‘‘accreditation’’ with the prefix ‘‘LAAF-,’’ to refer to scope reduction, and
to re-order the terms.
Relocated section and revised section title to
include appeals for suspension, scope reduction, withdrawal, or denial of LAAF-accreditation.
Revised title to include ‘‘documentation’’ to
more accurately reflect the contents of the
section.
Editorial changes to section title.
Editorial changes to section title.
other agent involved in accreditation
activities would be considered the
financial interest of such officer,
employee, or other agent for purposes of
the rule.
In addition to the changes discussed
below, we have revised cross-references
and terminology throughout the final
rule to reflect the reorganization and
revised terms in the final rule. We
revised the title of the section to read,
‘‘What are the conflict of interest
requirements for a recognized
accreditation body?’’ We have relocated
the contents of proposed paragraph (c)
to paragraph (b) of the final rule to
better accommodate the addition of two
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new paragraphs described below. We
also changed the phrase ‘‘lunch of de
minimis value’’ (see proposed
§ 1.1119(b)(2)) to ‘‘meal of de minimis
value’’ in § 1.1119(e)(2) of the final rule
to provide flexibility. We also have
revised this section to improve clarity
and readability. Comments regarding
this section are discussed below.
(Comment 65) Many comments agree
with the proposed accreditation body
conflict of interest provisions in
§ 1.1119. Some comments express
particular support that our proposed
policy would allow individuals
involved in accreditation decisions to
accept both; (1) payment for
accreditation services, including
reimbursement for direct costs, and (2)
lunch of de minimis value during an
onsite assessment. However, some
comments state that our proposed
requirements would be duplicative of
requirements in ISO/IEC 17011:2017.
(Response 65) We appreciate
comments in support of the conflict of
interest provisions. We disagree that the
requirements of § 1.1119 are duplicative
of ISO/IEC 17011:2017. The ISO/IEC
17011:2017 requirements for conflict of
interest are stated in general terms and
included in the sections on impartiality.
ISO/IEC 17011:2017 section 4.4.4
specifically addresses financial conflict
of interest as follows: ‘‘All accreditation
body personnel and committees who
could influence the accreditation
process shall act objectively and shall be
free from any undue commercial,
financial and other pressures that could
compromise impartiality. The
accreditation body shall require all
personnel and committee members to
disclose any potential conflict of
interest whenever it may arise’’ (Ref. 2).
In contrast, § 1.1119 offers more detailed
and specific information than specified
by ISO/IEC 17011:2017 with respect to
what is permitted.
(Comment 66) Among the proposed
conflict of interest provisions for
accreditation bodies, one would
prohibit the officers, employees, or
other agents of an accreditation body
from owning or having a financial
interest in any laboratory (including an
affiliate, parent, or subsidiary) LAAFaccredited by the accreditation body.
Some comments specifically applaud
this proposed policy. Other comments
express concern that this proposed
provision contains a much broader
interpretation of ‘‘conflict’’ than is
either the industry standard or practical
in application. They state that, as
proposed, this provision may apply to
accreditation body board members,
decision panel members, and technical
committee members, among others, and
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could prohibit such individuals from
investing in a mutual fund that includes
a company with a financial interest in
a laboratory accredited by the
accreditation body, even if that
laboratory is not LAAF-accredited and
conducts no food testing. These
comments suggest that FDA limit its
conflict of interest provisions in two
ways. First, they suggest that we limit
our financial conflict of interest
restrictions for accreditation bodies to
the more limited cases of owning or
having a financial interest in food
testing laboratories LAAF-accredited by
the accreditation body under this
program, or that are in direct
competition with listed laboratories,
rather than all laboratories the
accreditation body has accredited.
Second, they seem to imply that the
conflict of interest restrictions should
apply only to individuals involved in
assessments and LAAF-accreditation
decisions. Certain comments from
accreditation bodies explain that their
practice is to ask the laboratories being
assessed to declare that no conflict
exists between the laboratory and the
individual assessor(s) or accreditor(s).
Finally, these comments mention that
their conflict of interest policies have
been deemed sufficient by other
regulators as well as peer evaluators.
(Response 66) We appreciate support
for the conflict of interest provisions
proposed in § 1.1119. As a threshold
matter, we note that the proposed rule
defined ‘‘accreditation’’ in § 1.1102, in
relevant part, as being limited to
accreditation under this subpart.
Therefore, proposed section 1.1119(a)(1)
was intended only to prevent an
accreditation body’s ownership,
financial interest in, management of, or
control of any laboratory it LAAFaccredits under this subpart. As
discussed at Response 10, we
understand the potential for confusion
and have updated the terminology to
better clarify the scope of the rule and
these conflict of interest provisions.
With revisions to reflect these
terminology changes, § 1.1119(a)(1) of
the final rule specifies that the
prohibited interests relate solely to
laboratories that are LAAF-accredited by
the recognized accreditation body. We
decline the suggestion to apply the
conflict of interest requirements for
accreditation bodies as a prohibition
against having a financial interest in
laboratories in direct competition with
LAAF-accredited laboratories because
such a provision would be extremely
challenging to monitor and enforce.
In response to concerns raised in
these comments, we have added new
paragraph (c) to this section in the final
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68769
rule to permit a recognized accreditation
body, including officers, employees, or
other agents involved in LAAFaccreditation activities to have interest
in a publicly traded or publicly
available fund (such as a mutual fund),
or a widely held pension or similar fund
if the accreditation body exercises no
control over the financial interests in
the funds. We believe this type of
interest to be low-risk and not to pose
a meaningful conflict of interest for a
recognized accreditation body.
However, we decline to only apply
these and other conflict of interest
restrictions to those individuals
involved in LAAF-accreditation or
LAAF assessment decisions. If any
officer, employee, or other agent of the
accreditation body owns or has a
financial interest in, manages or
otherwise controls a laboratory that the
accreditation body LAAF-accredits, a
conflict of interest exists. Protecting
against conflicts of interest is critical to
the integrity of this program.
(Comment 67) With regard to the
proposed conflict of interest provisions
for accreditation bodies, some
comments indicate that whereas our
proposed rule focused solely on
financial conflicts of interest, ISO/IEC
17011:2017 also addresses other types of
conflicts of interest such as
consultation. We understand these
comments to be asking whether
individuals who provide consulting
services to a LAAF-accredited
laboratory apart from, or in preparation
for, an assessment by an accreditation
body (e.g., the consultant who assists
the laboratory with determining how to
design their quality management
system, or the consultant who provides
services to the laboratory such as
performing the laboratory’s required
internal audit) will be prohibited from
serving as the consulting assessor that
assesses the laboratory on behalf of the
recognized accreditation body.
(Response 67) Proposed § 1.1119(a)
stated that the conflict of interest
requirements in that section were in
addition to the conflict of interest
requirements in proposed § 1.1118(b),
which incorporated by reference, in its
entirety, ISO/IEC 17011:2017. Likewise,
in the final rule, § 1.1119(a) states that
the conflict of interest requirements in
that section are in addition to the
conflict of interest requirements in
§ 1.1113(a), which incorporates by
reference, in its entirety, ISO/IEC
17011:2017. Thus, all the requirements
in ISO/IEC 17011:2017, including those
regarding other conflicts of interest, are
required by the final rule. Sections
4.4.11 through 4.4.13 of ISO/IEC
17011:2017 address consultancy among
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the activities an accreditation body is
restricted from performing. In addition
to consultancy, this section of ISO/IEC
17011:2017 also addresses testing;
calibration; inspection; certification of
management systems, persons,
products, processes and services;
provision of proficiency testing;
production of reference materials; and
validations and verifications (Ref. 2).
(Comment 68) Some comments on the
proposed section regarding conflict of
interest requirements for accreditation
bodies request that FDA clarify the term,
‘‘other agents.’’ These comments ask
whether our proposal to include ‘‘other
agents’’ among the actors prohibited
from having a financial interest in any
laboratory the accreditation body
accredits, is intended to prohibit the
accreditation body from contracting
with technical assessors who may also
work for a laboratory that the
accreditation body LAAF-accredits.
These comments state that the use of
contract assessors who work in
accredited laboratories is common in
the industry. If we intended to prohibit
that practice, these comments
recommend that we instead allow it to
continue. They further recommend that
the applicant laboratory be made aware
that the contract assessor is from
another accredited laboratory and be
given an opportunity to object to that
assessor.
(Response 68) In light of these
concerns, we have revised the final rule
to include new § 1.1119(d) which
permits a recognized accreditation body
to use a contract assessor with a
specified financial interest in a
laboratory the recognized accreditation
body assesses for LAAF-accreditation, if
all the following circumstances apply:
First, the contract assessor’s primary
occupation is owning or having a
financial interest in, managing, or
otherwise controlling a LAAFaccredited laboratory. Second, the
assessor contracts with the recognized
accreditation body to provide
assessment services on an intermittent
or part-time basis. Third, the contract
assessor does not assess the LAAFaccredited laboratory that the assessor
owns or has a financial interest in,
manages, or otherwise controls. Finally,
the contract assessor and the recognized
accreditation body inform any
laboratory that the contract assessor may
assess or reassess for LAAFaccreditation, that the contract assessor
owns or has a financial interest in,
manages, or otherwise controls a LAAFaccredited laboratory. The laboratory
seeking LAAF-accreditation assessment
or reassessment must acknowledge that
the contract assessor owns or has a
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financial interest in, manages, or
otherwise controls a LAAF-accredited
laboratory and be provided the option to
be assessed by a different representative
of the recognized accreditation body.
The addition of this paragraph to the
final rule is intended to facilitate the
existing industry practice of
accreditation bodies using contract
assessors from LAAF-accredited
laboratories. We believe that any
potential conflict of interest arising from
this narrow exception is mitigated by
the disclosure of the financial interest of
the contract assessor to the laboratory
subject to assessment for purposes of
LAAF-accreditation, as well as an
acknowledgement by the laboratory and
the option to request a different
assessor.
To accommodate changes to the final
rule regarding the excepted interests
described in § 1.1119(c) and (d) (see
Responses 66 and 67) we have revised
§ 1.1119(a)(1) to expressly reference the
new exceptions.
2. How must a recognized accreditation
body assess laboratories seeking LAAFaccreditation and oversee LAAFaccredited laboratories (§ 1.1120)?
Section 1.1120 of the proposed rule,
‘‘How must a recognized accreditation
body evaluate laboratories seeking
accreditation and oversee the
performance of laboratories it
accredits?’’ concerned recognized
accreditation body assessment of LAAFaccredited laboratories. This proposed
section stated that recognized
accreditation bodies would need to
conduct an initial assessment of a
laboratory seeking LAAF-accreditation
onsite, unless the recognized
accreditation body had conducted an
onsite assessment of the laboratory in
the last 2 years in accordance with ISO/
IEC 17025:2017. The proposed section
stated in paragraph (c) that a recognized
accreditation body that had conducted
an onsite assessment of a laboratory in
the last 2 years in accordance with ISO/
IEC 17025:2017 could conduct the
initial assessment of such laboratory
seeking LAAF-accreditation remotely
and need only address the requirements
beyond ISO/IEC 17025:2017. Once
LAAF-accredited, proposed paragraph
(d) required that a recognized
accreditation body oversee the
performance of a laboratory it LAAFaccredits in accordance with the
requirements of this subpart. Proposed
paragraph (e) required the assessment of
the sample of the scope of LAAFaccreditation to be conducted onsite and
at least every 2 years, unless, as
proposed paragraph (f) stated, the initial
assessment was conducted remotely
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under the exception in proposed
paragraph (c), in which case the first
assessment of the sample of the scope of
LAAF-accreditation must be conducted
within 2 years of the last onsite
assessment in accordance with ISO/IEC
17025:2017. Proposed § 1.1120(g) also
required that the reassessment of at the
end of the LAAF-accredited laboratory’s
LAAF-accreditation cycle be conducted
onsite. In all assessment scenarios in
this proposed section, certain
assessment activities could be
conducted remotely if it would not aid
the assessment to conduct them onsite.
Finally, in paragraph (h), we proposed
that any additional assessments beyond
those referred to in the section could be
conducted remotely.
We have updated cross-references and
terminology throughout the section and,
correspondingly, we revised the section
title to read, ‘‘How must a recognized
accreditation body assess laboratories
seeking LAAF-accreditation and oversee
LAAF-accredited laboratories?’’ On our
own initiative, we revised § 1.1120(e) to
improve clarity and readability. To
better distinguish between initial
assessment activities and activities
conducted in subsequent assessments,
we replaced several instances of
‘‘assessment’’ with ‘‘reassessment.’’ We
also deleted references to assessing ‘‘in
accordance with’’ ISO/IEC 17011:2017
because such references were redundant
of the foundational ISO/IEC 17011:2017
requirement (§ 1.1113). Comments
regarding this section are discussed
below.
(Comment 69) Some comments praise
FDA for the clarity of the requirements
in § 1.1120. These comments state that
the accreditation body would be
responsible for deciding, within the
parameters set by the rule, whether and
when remote assessment would be
sufficient.
A few comments indicate that the
proposed rule did not distinctly address
a laboratory’s request to expand or
extend its scope of LAAF-accreditation
or propose requirements for how a
recognized accreditation body would
assess such a request. These comments
suggest that a remote assessment should
be allowed if the laboratory is simply
adding analytes to a technique or
method for which it is already LAAFaccredited. In contrast, these comments
recommend that an onsite assessment be
required if the request to extend the
scope of LAAF-accreditation involves
techniques or methods that are new to
that laboratory.
(Response 69) We appreciate the
support and agree that this section
indicates minimum requirements but
does not prevent a recognized
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accreditation body from conducting
additional site visits or remote visits if
they so choose, provided they are not in
conflict with our requirements.
Proposed § 1.1120 did not explicitly
address assessments for extensions of
LAAF accreditation. However, such
assessments would be governed by the
terms of § 1.1120, meaning that if such
an assessment was not required to be
onsite under paragraphs (a), (e), or (g),
it would be covered by paragraph (h)
and the recognized accreditation body
would determine whether going onsite
would aid the assessment. In most
circumstances FDA would recommend
that recognized accreditation bodies go
onsite to assess a LAAF-laboratory for
techniques, technology, and types of
instrumentation that have not been
previously observed during an onsite
assessment. In our view, remote offcycle assessments are generally
sufficient in circumstances such as the
addition of analyte(s) to a method
previously evaluated during an onsite
assessment, the addition of matrices to
a method previously evaluated during
an onsite assessment, and the addition
of a method for a technique or
technology that the laboratory has been
determined to have competence to
perform based on a previous onsite
assessment.
3. When must a recognized
accreditation body require corrective
action, suspend a LAAF-accredited
laboratory, or reduce the scope of or
withdraw the LAAF-accreditation of a
laboratory (§ 1.1121)?
Proposed § 1.1122 concerned the
probation, withdrawal, and reduction of
scope of a laboratory’s LAAFaccreditation. Paragraphs (a) and (c) of
this proposed section described the
grounds for withdrawal of LAAFaccreditation as when a laboratory
substantially fails to comply with this
subpart; it also provided that
withdrawal may be limited to certain
methods if the deficiencies only impact
those methods within the scope of
LAAF-accreditation. Paragraph (b) of
this proposed section described grounds
for probation as when a laboratory
demonstrates deficiencies less serious
than those warranting withdrawal that
are reasonably likely to be fixed within
a specified period of time. Proposed
§ 1.1122(d) stated the provision to
submit required records as requested by
the recognized accreditation body to
assist in determining whether
withdrawal or probation is warranted.
This proposed section also included the
procedures for withdrawal of LAAFaccreditation and for probation of a
LAAF-accredited laboratory as well as
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the consequences of each: specifically, a
laboratory would not be eligible to
conduct testing under this subpart for
any methods for which LAAFaccreditation had been withdrawn and a
laboratory on probation could continue
to conduct testing under this subpart.
Paragraph (h) of this proposed section
included the requirements for appeals
procedures a recognized accreditation
body would need to establish and
implement for a laboratory to appeal
any decision to withdraw LAAFaccreditation.
As a threshold matter, we moved the
contents of proposed § 1.1122 to
§ 1.1121 in the final rule. Additionally,
we have revised this section to remove
proposed § 1.1122(h) regarding appeals
procedures for reducing the scope of or
withdrawal of LAAF-accreditation; this
content has been incorporated into
§ 1.1122 of the final rule regarding
appeals procedures for decisions to
suspend, reduce the scope of, withdraw,
or deny LAAF-accreditation. We have
also revised the section to clarify that a
recognized accreditation body can use
suspension on a method-specific basis;
we believe this change better aligns
LAAF-accreditation with ISO/IEC
17025:2017 accreditation.
In response to comments, we have
made substantial revisions to this
section. In addition to updating
terminology, we also have revised the
section to include the opportunity to
implement corrective action prior to
suspension of a LAAF-accredited
laboratory. See § 1.1121(a). A laboratory
with its LAAF-accreditation suspended
also has a corrective action opportunity
before its LAAF-accreditation is
withdrawn by the recognized
accreditation body. We revised the
section title to read, ‘‘When must a
recognized accreditation body require
corrective action, suspend a LAAFaccredited laboratory, or reduce the
scope of or withdraw the LAAFaccreditation of a laboratory?’’ to
incorporate revised terminology and to
better reflect the contents of the section
in the final rule.
(Comment 70) Section 1.1122(a) of the
proposed rule provided that a
recognized accreditation body must
withdraw a laboratory’s LAAFaccreditation if the laboratory
substantially fails to comply with this
rule. We have addressed in Response 10
the confusion and concern some
comments express regarding our
proposed use of the word,
‘‘accreditation’’ to mean the laboratory
had been approved to conduct testing
under this subpart. Here we address the
proposed requirement that an
accreditation body act to remove a
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laboratory from this program if the
laboratory substantially fails to comply
with this rule.
Some comments state support for this
proposed requirement, stating that it
reflects common industry practice.
(Response 70) We appreciate support
for the proposed requirements and note
that the final rule is limited to impact
on a laboratory’s LAAF-accreditation, as
opposed to having any impact on ISO/
IEC 17025:2017 accreditation.
(Comment 71) Many comments
highlight that the term, ‘‘probation’’
typically is not used in conformity
assessment. Many comments also argue
that marketplace confusion and
commercial harm would likely result
from use of the term, ‘‘probation’’ to
describe an action that a recognized
accreditation body could take against a
laboratory—particularly in combination
with our proposed specialized
definition of the term, ‘‘accreditation’’ to
mean that the laboratory satisfies the
requirements of this subpart and the
proposal that laboratories be labeled
publicly with ‘‘probation’’ status via our
online registry.
Some comments recommend that the
rule allow for three actions that could be
taken against a LAAF-accredited
laboratory: probation, suspension, and
withdrawal. Some comments
recommend that FDA not establish
another accreditation status outside of
the ILAC–MRA and ISO/IEC
17011:2017, which provides for
suspension, withdrawal, and reduction
of the scope of accreditation. Some
comments urge that, if FDA does use the
term, ‘‘probation’’ in this subpart, we
use the term solely to describe an action
we might take, e.g., in relation to the
online registry, rather than an action
taken by the accreditation body.
Some comments contend that a
laboratory should not be placed on
‘‘inactive’’ status if it has been cited for
noncompliance during an assessment.
We understand this comment to mean
that a laboratory should not be placed
on probation or suspension from this
program until after the laboratory has
had an opportunity to take corrective
action.
(Response 71) We understand that the
term, ‘‘probation’’ typically is not used
in this context and appreciate the
recommendations for other terms. We
have revised the terminology used here
and throughout the rule to be more
specific to LAAF-accreditation. In
§ 1.1121, we have revised the section to
refer to ‘‘suspension’’ instead of
‘‘probation,’’ as we understand this to be
a more appropriate term based on
context. We also agree that the
opportunity for corrective action should
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be afforded prior to suspending a
laboratory and we have revised the
section to include such opportunity
prior to a recognized accreditation body
suspending a LAAF-accredited
laboratory or withdrawing or reducing
the laboratory’s scope of LAAFaccreditation. We have retained the
term, ‘‘probation’’ in the final rule to
refer to an action taken by FDA with
respect to a recognized accreditation
body (see § 1.1131) or a LAAFaccredited laboratory (see § 1.1161).
We also acknowledge that laboratory
suspension may occur at the request of
the laboratory to accommodate
temporary circumstances unrelated to
deficiencies, such as to move locations,
remodel, or while certain equipment is
inoperable or otherwise unavailable. A
suspension of ISO/IEC 17025
accreditation for any reason would
necessarily impact LAAF-accreditation
and therefore must be reported to FDA
by the recognized accreditation body
under § 1.1123. We intend to accurately
maintain the information contained on
the public registry described in § 1.1109.
Although we proposed in § 1.1122(g)
that a LAAF-accredited laboratory
would be permitted to continue to
conduct food testing under this subpart
while on probation, we have also
revised the final rule to better align with
the consequences of suspension in
section 4.3.1 of ISO/IEC 17011:2017
(Ref. 2). Since a laboratory would not be
able to hold itself out as accredited for
a method subject to suspension,
§ 1.1121(f)(1) of the final rule states that
a LAAF-accredited laboratory may not
conduct food testing under this subpart
using suspended methods.
(Comment 72) Some comments
express concern about the proposed
provisions regarding recognized
accreditation bodies placing laboratories
on probation or withdrawing LAAFaccreditation for the laboratory’s failure
to comply with the rule, when
combined with what these comments
describe as ‘‘punitive and excessive’’
documentation and reporting proposed
requirements associated with analytical
reports. We understand these comments
to be expressing concern that if FDA
applies exacting standards to all
contents of the full analytical report, a
laboratory may be deemed out of
compliance with the rule for failing to
satisfy those reporting requirements, at
which point the recognized
accreditation body may place the
laboratory on probation or withdraw
LAAF-accreditation.
(Response 72) We have revised the
final rule to clarify that probation is an
action that only FDA will take; under
§ 1.1121, a recognized accreditation
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body may suspend a LAAF-accredited
laboratory. (See Response 10 for
additional discussion of clarifying
terminology changes in the final rule.)
It remains true in the final rule that
a recognized accreditation body ‘‘must
reduce the scope of or withdraw the
LAAF-accreditation of a laboratory it
LAAF-accredits when the laboratory
substantially fails to comply with this
subpart’’ (§ 1.1121(c)). However, the
word, ‘‘substantially’’ is included in this
regulatory provision for a reason, and
that is to distinguish minor or isolated
infractions from more serious failings.
In the context of laboratory reporting
requirements, ‘‘substantially’’ means
that it would be unnecessary and
inappropriate for an accreditation body
to place a LAAF-accredited laboratory
on probation, or to reduce the scope of
or withdraw its LAAF-accreditation, for
minor administrative errors in analytical
reports. Nor would such errors
ordinarily result in FDA placing the
laboratory on probation or disqualifying
the laboratory. Further, it is FDA’s
responsibility, and not the recognized
accreditation body’s, to review the
performance of LAAF-accredited
laboratories, including reviewing
submitted analytical reports.
For more information on laboratory
reporting requirements, see our
discussion of § 1.1152, below. For more
information on FDA review of analytical
reports, see our discussion of § 1.1160
below.
4. What procedures must a recognized
accreditation body provide for appeals
of decisions to suspend, reduce the
scope of, withdraw, or deny LAAFaccreditation (§ 1.1122)?
Proposed § 1.1121 concerned the
procedures for appeals of decisions to
deny LAAF-accreditation. This
proposed section specified requirements
for appeals procedures in addition to
those in ISO/IEC 17011:2017, including
the requirement to make appeals
procedures publicly available, and to
use a competent person free from bias
who has not participated in the
accreditation decision and is not the
subordinate of a person who
participated in the accreditation
decision.
As mentioned above, we have moved
the contents of proposed § 1.1121 to
§ 1.1122 in the final rule. Considering
the overlap between proposed §§ 1.1121
and 1.1122(h) (regarding appeals
procedures for withdrawal of LAAFaccreditation), we have revised § 1.1122
of the final rule to cover appeals of
denial, reduction of scope, and
withdrawal of LAAF-accreditation.
Additionally, we include appeals of
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suspension decisions in this section of
the final rule; this requirement
previously only appeared in § 1.1124 of
the proposed rule. Accordingly, we have
revised the section title to reflect the
contents of the section in the final rule
(‘‘What procedures must a recognized
accreditation body provide for appeals
of decisions to suspend, reduce the
scope of, withdraw, or deny LAAFaccreditation?’’) We also have revised
the section in the final rule to update
cross-references and to make minor
editorial changes to improve clarity and
readability. Comments regarding this
section are discussed below.
(Comment 73) Several comments
support the proposed provision
describing the appeal procedures that a
recognized accreditation body must
provide. Some comments state that ISO/
IEC 17011:2017 does not specify which
accreditation body actions may be
appealed, and thus appreciate that the
proposed rule would create appeal
rights for accreditation decisions. Some
comments also support our proposed
requirement that an accreditation body’s
appeal procedures be written and
publicly available. Some comments
mention that at least some accreditation
bodies already have internal appeals
policies and procedures, some of which
meet our proposed requirements, and
some comments state that our proposed
requirements describe the current
appeals practices of ILAC–MRA
accreditation bodies.
However, some comments disagree
with the proposed policy that would
render subordinates of the person who
made the initial accreditation decision
ineligible to decide the appeal. These
comments suggest bias would be
sufficiently avoided as long as the rule
requires someone different than the
initial decision-maker to decide an
appeal.
(Response 73) We appreciate the
comments in support of the proposed
appeals procedures. Since publication
of the proposed rule we have learned
that ISO/IEC 17011:2017 specifies
which actions an accredited laboratory
may appeal within the definitions
section of the standard. ISO/IEC
17011:2017 definitions, section 3.21
defines ‘‘appeal’’ as: ‘‘request by a
conformity assessment body (3.4) for
reconsideration of any adverse
accreditation decision (3.13) related to
its desired accreditation (3.1) status’’.
Section 3.13 then defines ‘‘accreditation
decision’’ as: ‘‘decision on granting
(3.14), maintaining (3.15), extending
(3.16), reducing (3.17), suspending
(3.18) and withdrawing (3.19)
accreditation (3.1)’’ (Ref. 2). We
nevertheless specify the actions a
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LAAF-accredited laboratory may appeal
in § 1.1122 to maintain consistency and
clarity within the subpart.
Furthermore, we also have come to
appreciate that the requirement for a
written and publicly available appeals
procedure is required by ISO/IEC
17011:2017 as follows: section 7.13.1
requires ‘‘The accreditation body shall
have a documented process to receive,
evaluate and make decisions on
appeals’’; 8.2.1(b)(5) states that ‘‘[t]he
accreditation body shall make publicly
available . . . information on
procedures for lodging and handling
complaints and appeals.’’ (Ref. 2). We
are deleting from the final rule the
requirement for a recognized
accreditation body to make its appeals
procedure publicly available because
that requirement is already addressed by
ISO/IEC 17011:2017.
Regarding the additional requirement
in the proposed rule that would prohibit
subordinates of the person who made
the initial accreditation decision from
hearing the appeal, we decline to
remove this requirement because
subordinates are generally not free to
exercise authority that is fully
independent of the supervisor, and are
to some extent under the control and
influence of the supervisor. Prohibiting
subordinates from hearing the appeal
will therefore better ensure a fair and
unbiased review.
(Comment 74) A few comments
request clarification as to whether an
accredited laboratory can continue to
conduct food testing under the LAAF
program while appealing a recognized
accreditation body’s withdrawal of
LAAF-accreditation. The comments
opine that laboratories should not be
permitted to conduct testing under this
subpart during the appeal process.
(Response 74) We agree that
laboratories should not be permitted to
conduct testing under this subpart
during the appeal process. Consistent
with the intent of the proposed rule, the
final rule provides that if a recognized
accreditation body withdraws the
LAAF-accreditation of a laboratory, the
laboratory is immediately ineligible to
conduct food testing under this rule. If
the recognized accreditation body
reduces the scope of LAAFaccreditation, the laboratory is
immediately ineligible to conduct food
testing under this rule with respect to
the specific methods for which LAAFaccreditation was withdrawn. See
§ 1.1121(f)(2). The proposed rule would
have allowed LAAF-accredited
laboratories to continue to conduct tests
under this subpart even if the
recognized accreditation body had
placed the laboratory on what we then
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called ‘‘probation’’ (and now call
‘‘suspension’’). To align with how
suspension is handled under ISO/IEC
17011:2017 (see, e.g., section 3.18 (Ref.
2)), the final rule provides that a LAAFaccredited laboratory may not conduct
food testing under this subpart for any
suspended methods. See § 1.1121(f)(1).
Although the final rule requires the
recognized accreditation body to
provide an appeals process for decisions
to suspend, reduce the scope of, or
withdraw, LAAF-accreditation
(§ 1.1122), pending such appeal, the
laboratory is still suspended, has had its
scope reduced, or has had its LAAFaccreditation withdrawn, and therefore
cannot conduct applicable testing under
this subpart.
5. What reports, notifications, and
documentation must a recognized
accreditation body submit to FDA
(§ 1.1123)?
Proposed § 1.1123 concerned reports
and notifications a recognized
accreditation body must submit to FDA.
Proposed paragraph (a) of this section
included the general requirements for
all reports and notifications under this
subpart and specific recognized
accreditation body and LAAFaccredited laboratory identifying
information to be included as
applicable. Proposed paragraph (b) of
this section described the internal audit
reporting requirements for a recognized
accreditation body. Proposed § 1.1123(c)
required immediate notification (within
48 hours) to FDA of the following:
changes that affect the recognition status
of the accreditation body and any
LAAF-accreditation decisions such as
granting, denying, or withdrawing
LAAF-accreditation, putting a LAAFaccredited laboratory on probation,
learning of a LAAF-accredited
laboratory’s intent to voluntarily
relinquish LAAF-accreditation, and
awareness of LAAF-accredited
laboratory fraud. The proposed section
included specific information to be
included with each item requiring
immediate notification.
On our own initiative, we revised the
section title to read, ‘‘What reports,
notifications, and documentation must a
recognized accreditation body submit to
FDA?’’ to more accurately reflect the
contents of the section in the final rule.
We have revised subsection (a) to
remove the requirement to submit
reports and notifications to FDA
electronically and in English; this
requirement is now in § 1.1110 of the
final rule. We also revised paragraph (b)
to specify ‘‘calendar’’ days. We have
reorganized the section by the category
of information to be submitted (e.g.,
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changes affecting recognition, changes
in LAAF-accreditation) and have made
revisions to improve clarity and
readability, incorporate revised
terminology, and update crossreferences. Also, in § 1.1123(d) we have
clarified that a certificate reflecting the
scope of accreditation must be
submitted by a recognized accreditation
body within 48 hours of a change in
LAAF-accreditation (e.g., grant of LAAF
accreditation, reduction in scope). We
note that there will not be such a
certificate when the recognized
accreditation body denies LAAFaccreditation for all methods requested
by the laboratory. In that scenario, the
recognized accreditation body need only
submit the information described in
§ 1.1123(d)(2): (i) The scope of LAAFaccreditation requested by the
laboratory, (ii) the scope of LAAFaccreditation denied, and (iii) the
grounds for denial.
On further review of the proposed
rule, we identified a potentially
duplicative notification regarding a
laboratory relinquishing LAAFaccreditation; under the proposed rule,
the LAAF-accredited laboratory would
have to notify the recognized
accreditation body and FDA 60 days
prior to relinquishing LAAFaccreditation. Additionally, proposed
§ 1.1123(c)(4) required the recognized
accreditation body to notify FDA within
48 hours after it receives notice a LAAFaccredited laboratory intends to
relinquish LAAF-accreditation. We have
clarified in the final rule that the
recognized accreditation body must
only provide notice to FDA if the
laboratory has not provided notice to
FDA 60 calendar days prior to
relinquishment as required by § 1.1140
(see § 1.1123(d)(3) of the final rule). For
clarity and to align with common
conformity assessment terminology, in
the final rule we consistently use the
verb, ‘‘extend,’’ rather than sometimes
also using the term, ‘‘expand,’’ to refer
to the action of adding a method to the
scope of LAAF-accreditation. That
change is reflected in paragraph
(d)(1)(iii) of § 1.1123, (‘‘the effective date
of the . . . extension’’). We deleted the
word ‘‘alleged’’ that appeared in
§ 1.1123(c)(7)(ii) of the proposed rule so
that the requirements related to
reporting laboratory fraud or false
statements to FDA are internally
consistent and clearly communicate the
requirements for submitting such
information; see § 1.1123(e)(2) of the
final rule. Finally, we have clarified in
§ 1.1123(d)(4)(iii) that notification of a
reduction of scope or withdrawal of
LAAF-accreditation must include the
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effective date. We have also made other
conforming terminology and minor
editorial revisions in this section.
Comments regarding this section are
discussed below.
(Comment 75) Proposed § 1.1123
listed the reports and notifications that
a recognized accreditation body would
be required to submit to FDA and
contained proposed timeframes for
submission of the reports and
notifications. In § 1.1123(b) we
proposed that a recognized accreditation
body must submit results of an internal
audit to FDA no later than 45 days after
completing the audit. Some comments
suggest we extend the deadline to 90
days, contending that 45 days may be
insufficient for the resolution of some
corrective actions.
(Response 75) Although 45 days may
be insufficient time for the complete
resolution of some corrective actions,
we believe it is sufficient time to
complete the investigation required by
the corrective action process unless
information is needed from an outside
source that is not within the control of
the accreditation body. Proposed
§ 1.1123(b)(3) required a description of
any corrective action taken and any
corrective action that the accreditation
body will take; this provision of the
proposed rule acknowledged that
implementation or monitoring of a
proposed corrective action may not have
been completed within 45 calendar days
but expected that a recommendation for
a proposed corrective action should
reasonably be completed within the 45
calendar day window. Accordingly, we
decline to revise the final rule to extend
the deadline to 90 calendar days.
(Comment 76) Section 1.1123(c)(1)
proposed to require a recognized
accreditation body to immediately
notify FDA if the recognized
accreditation body was aware of a
change that would affect their
recognition under this subpart.
Comments seek clarification of what we
meant by changes that would ‘‘affect
recognition.’’ Some comments suggest it
would be clearer if we require
recognized accreditation bodies to
submit to FDA reports resulting from
evaluations of adherence to ISO/IEC
17011:2017.
(Response 76) The preamble
discussed specific examples of ‘‘any
changes it is aware of that would affect
its recognition’’ as referenced in
1.1123(c) of the proposed rule. The
changes listed were not exclusively
those changes that would be included in
the reports resulting from evaluations of
adherence to ISO/IEC 17011:2017. As
stated in the preamble to the proposed
rule, some examples of changes that
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affect recognition include, but are not
limited to, ‘‘changes in the name or
operations of a recognized accreditation
body, such as the purchase of a
recognized accreditation body by a
company, as well as changes that would
cause the recognized accreditation body
to no longer meet the requirements of
this proposed program, including if the
recognized accreditation body ceases
membership in ILAC or is no longer a
signatory of the ILAC MRA
demonstrating competence to ISO/IEC
17011:2017’’ (84 FR 59452 at 59471).
(Comment 77) In § 1.1123(c)(2)
through (7), we proposed to require that
a recognized accreditation body
immediately notify FDA of certain
information related to the LAAFaccreditation status of laboratories it
LAAF-accredits or laboratories that have
sought LAAF-accreditation. Proposed
§ 1.1123(c)(2) through (6) addressed
information related to accreditation or
status (e.g., grants or denials of
accreditation). Proposed § 1.1123(c)(7)
addressed information indicating that a
LAAF-accredited laboratory committed
fraud or submitted to FDA a material
false statement. We proposed a
timeframe of 48 hours for a recognized
accreditation body to notify FDA of
information covered by § 1.1123(c)(2)
through (7).
Some comments request clarification
of when the 48-hour clock starts for
purposes of proposed § 1.1123(c)(2)
through (6); comments ask whether the
clock starts from the date the LAAFaccreditation decision is made or the
date the recognized accreditation body
issues the laboratory’s certificate of
LAAF-accreditation. These comments
state that there can be a lag between
when the decision is made and when
the certificate is issued and appears on
the accreditation body’s website. These
comments recommend that the 48-hour
timeframe commence when the LAAFaccreditation certificate is issued to the
laboratory.
With regard to proposed
§ 1.1123(c)(7), some comments familiar
with accreditation body practice explain
that, if an accreditation body is notified
of potential fraud by an accredited
laboratory, the accreditation body
would conduct a full investigation prior
to deciding whether to withdraw
accreditation. According to these
comments, accreditation bodies may
place laboratories on suspension until
the investigation is complete. The
comments further state that the
suspension would be lifted if and when
the accreditation body receives evidence
of ‘‘sufficient corrective action’’ from
the laboratory and conducts followup
onsite visits.
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(Response 77) We understand that
some comments ask when the 48-hour
notification deadline starts in matters
relating to LAAF accreditation. To
clarify, the 48-hour window begins
when the recognized accreditation body
issues the certificate of LAAFaccreditation. Note that in the final rule,
we have clarified that within those 48
hours, the recognized accreditation
body must notify and submit to FDA the
certificate reflecting the scope of LAAFaccreditation (§ 1.1123(d)). When the
recognized accreditation body denies
LAAF-accreditation for all methods
requested by a laboratory, there is no
scope certificate, and the 48-hour
notification window begins when the
recognized accreditation body makes
the denial decision.
If a recognized accreditation body
places a LAAF-accredited laboratory on
suspension while it investigates
potential fraud, then both the
suspension and the fraud allegation
would need to be reported within 48
hours. Any further decision regarding
withdrawal of LAAF-accreditation or
lifting of the suspension would in turn
be an additional change in the
laboratory’s accreditation status that
would trigger the 48-hour reporting
requirement.
6. What are the records requirements for
a recognized accreditation body
(§ 1.1124)?
Proposed § 1.1124 concerned records
requirements for recognized
accreditation bodies in addition to those
required by ISO/IEC 17011:2017.
Proposed § 1.1124(a) required
recognized accreditation bodies to
maintain electronically, for 5 years after
the date of creation, certain records
related to compliance with this subpart,
including records regarding:
Applications for LAAF-accreditation;
LAAF-accreditation decisions; appeals
of adverse LAAF-accreditation
decisions; oversight of LAAF-accredited
laboratories; oversight of the recognized
accreditation body’s compliance with
this subpart; reports, notifications, and
supporting documents required under
this subpart; and records of fee
payments and direct costs. Records
relating to a recognized accreditation
body’s oversight of laboratories it has
LAAF-accredited include records of
related to proficiency testing and
comparison programs (see
§ 1.1138(a)(2)). Proposed § 1.1124(b)
stated the requirement that a recognized
accreditation body make required
records available to FDA upon request
for copying and inspection or
electronically, if requested as such; the
recognized accreditation body would be
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responsible for submitting an English
translation of any records maintained in
another language. Proposed § 1.1124(c)
stated that a recognized accreditation
body must not prevent or interfere with
FDA’s access to the records of the
laboratories it LAAF-accredits.
We have updated the applicable
section in the final rule to incorporate
revised terminology and to update
cross-references. On our own initiative,
we made minor editorial changes to the
section title to read, ‘‘What are the
records requirements for a recognized
accreditation body?’’ Additionally, we
removed the word, ‘‘electronically,’’
from paragraph (a) to allow flexibility
around how recognized accreditation
bodies maintain records. We revised
paragraph (a)(2) to specify that records
of decisions to suspend or lift the
suspension of a LAAF-accredited
laboratory must be maintained under
this section. We revised paragraph (a)(3)
to reflect changes to § 1.1122 of the final
rule to incorporate each type of appeal.
We also removed the requirement in
paragraph (b) to submit an English
translation of records electronically
since that requirement is covered by
§ 1.1110 of the final rule. Also, as a
result of the new accommodation added
to manage conflicts of interest
associated with contract assessor
activities (see § 1.1119(d) of the final
rule), we have added as a required
record documentation demonstrating
compliance with the requirements for
assessment activities by contract
assessors with certain financial interests
described in § 1.1119(d). See
§ 1.1124(a)(8) of the final rule.
Comments regarding this section are
discussed below.
(Comment 78) A few comments
request that FDA specify those records
that are to be retained for 5 years, and
caution that without a clear list,
accreditation bodies may be delayed in
submitting the documents to FDA. The
comments suggest the following records
be included in a specific list of records
subject to 5-year retention: 1.
Assessment report; 2. Corrective actions
related to the assessment; 3. Complaints
records; 4. Dispute/appeals records; 5.
Proficiency testing results.
(Response 78) Proposed § 1.1124(a)
lists the records that a recognized
68775
accreditation body must maintain for 5
years and remains unchanged in the
final rule. We note that the
recommended list aligns with our
proposed and final requirements.
7. What are the internal audit
requirements for a recognized
accreditation body (§ 1.1125)?
Section 1.1125 of the proposed rule
concerned internal audit requirements
for a recognized accreditation body,
including the requirements in ISO/IEC
17011:2017 and the requirement to
audit compliance with the additional
requirements of this subpart for
recognized accreditation bodies. We
received no comments directly related
to this section of the rule. On our own
initiative, we revised the section to
update cross-references to reflect the
reorganized structure of the final rule
and made minor revisions to improve
clarity and readability, including
revising the section title (‘‘What are the
internal audit requirements for a
recognized accreditation body?’’).
G. Comments Regarding FDA Oversight
of Recognized Accreditation Bodies
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TABLE 8—CHANGES TO SECTIONS REGARDING FDA OVERSIGHT OF RECOGNIZED ACCREDITATION BODIES
Final rule
Proposed rule
Notes
FDA Oversight of Recognized Accreditation
Bodies.
§ 1.1130 How will FDA oversee recognized
accreditation bodies?
§ 1.1131 When will FDA require corrective
action, put a recognized accreditation body
on probation, or revoke the recognition of an
accreditation body?
Procedures for Recognized Accreditation Bodies.
§ 1.1130 How will FDA oversee recognized
accreditation bodies?
§ 1.1131 When will FDA revoke the recognition of an accreditation body or put a recognized accreditation body on probation?
Revised section title to reflect revised terminology.
No changes to the section title.
1. How will FDA oversee recognized
accreditation bodies (§ 1.1130)?
Consistent with the discussion in
Response 10, we have updated the
section to refer to FDA’s actions as
‘‘evaluations’’ instead of ‘‘assessments’’
to further distinguish the role of FDA
from that of a recognized accreditation
body. Additionally, we have made
explicit that FDA may conduct certain
evaluation activities remotely if it will
not aid in the evaluation to conduct
them onsite. We also restructured and
revised this section in the final rule to
update terminology and to make minor
changes to improve clarity and
readability. Comments regarding this
section are discussed below.
(Comment 79) Some comments agree
that FDA should have the authority to
schedule onsite visits to observe
recognized accreditation bodies, but
they contend FDA should not conduct
such site visits unannounced. In their
view, it would be unproductive for FDA
to make an unannounced onsite visit to
a recognized accreditation body,
because recognized accreditation bodies
need notice to ensure staff will be there
to answer FDA questions about the
program or else risk wasting Agency
time and resources. Comments also state
that FDA may review accreditation body
records and reports remotely and thus
would not gain any further information
from unannounced visits.
(Response 79) Onsite evaluations of
accreditation bodies are one of several
tools we will use for LAAF program
oversight. Flexibility to conduct
unannounced onsite evaluations will
support program integrity as there may
be cases where such visits may be the
only way the Agency can be assured an
accurate assessment of the situation.
The Agency recognizes that some
personnel may be not be onsite and
would necessarily take this into account
when planning unannounced visits. We
view this as a rare but necessary tool.
Proposed § 1.1130 concerned FDA
oversight of recognized accreditation
bodies to determine compliance with
this subpart. Proposed § 1.1130(a) stated
that FDA’s evaluation of a recognized
accreditation body would occur by at
least 4 years after the date of a
recognition for a 5-year term or by the
mid-term point for a recognition period
less than 5 years. This section stated
that FDA oversight could include
review of records, an onsite assessment
of the recognized accreditation body,
and an onsite assessment of one or more
laboratories it LAAF-accredits, with or
without the recognized accreditation
body present. Proposed § 1.1130(b)
reserved the right of FDA to conduct
additional evaluations of a recognized
accreditation body at any time to review
compliance with this subpart.
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Revised section title to reflect opportunity for
corrective action and to re-order actions to
match the section contents.
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(Comment 80) A few comments
recommend that it would be preferable
for FDA to evaluate a recognized
accreditation body’s program
performance by observing the
accreditation body while they are
conducting an accreditation assessment
for a laboratory. Similarly, some
comments recommend that FDA observe
the ILAC peer evaluation of
accreditation bodies. In the view of
these comments, FDA has the right to
review all aspects of the accreditation
program at any time.
(Response 80) We appreciate these
suggestions. As stated in the proposed
and final rule, we will make evaluations
through a wide variety of means and the
recommended approaches could be
used.
2. When will FDA require corrective
action, put a recognized accreditation
body on probation, or revoke the
recognition of an accreditation body
(§ 1.1131)?
Proposed § 1.1131 concerned FDA
revocation of recognition and probation
of a recognized accreditation body.
Proposed § 1.1131(a) and (b) stated the
grounds and process for revocation of
recognition; FDA would revoke
recognition if the accreditation body
failed to meet the requirements of this
subpart or if FDA determined the
accreditation body committed fraud or
submitted material false statements to
FDA. The proposed process for
revocation of recognition included
issuance of a notice with a statement of
the grounds for revocation and the
procedures for requesting a hearing or
reinstatement of recognition as well as
the requirement for an accreditation
body to provide a records point of
contact for provision of records once the
accreditation body is no longer
recognized. Proposed § 1.1131(c) stated
that FDA may place a recognized
accreditation body on probation if there
are deficiencies that are less serious and
more limited than those for revocation
and the deficiencies are reasonably
likely to be corrected within a
reasonable amount of time. Under
paragraph (d) of this proposed section,
we stated that probation would remain
in effect until the identified deficiencies
are sufficiently addressed or until FDA
revokes recognition. Proposed
§ 1.1131(e) stated the procedures for
probation and proposed paragraph (f)
stated the effect of probation or
revocation: an accreditation body that
has had its recognition revoked may not
LAAF-accredit laboratories or continue
to oversee the laboratories it has LAAFaccredited; a recognized accreditation
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body on probation would be expected to
continue to oversee the laboratories it
has LAAF-accredited and permitted to
continue to LAAF-accredit laboratories.
Paragraphs (g) and (h) of this section
stated that FDA would notify impacted
LAAF-accredited laboratories of the
probation or revocation of recognition of
the accreditation body that LAAFaccredits the laboratory and that FDA
would provide notice on the public
website described in proposed § 1.1109.
We have revised the section title of
the final rule to more accurately reflect
the contents of the revised section, to
read as ‘‘When will FDA require
corrective action, put a recognized
accreditation body on probation, or
revoke the recognition of an
accreditation body?’’ We also clarify in
§ 1.1131(d)(1) of the final rule that in the
revocation of recognition procedures,
FDA’s notice will include the date on
which the revocation is effective. We
have revised the section to incorporate
revised terminology and to update
cross-references. We have made several
changes in response to comments,
discussed below.
(Comment 81) A few comments assert
that it is not a usual conformity
assessment practice to place an
accreditation body on ‘‘probation’’
(proposed § 1.1131(c), (g), and (h)),
especially if the accreditation body has
only demonstrated deficiencies in
matters that are less serious and do not
raise concerns about the accreditation
decisions of the accreditation body.
These comments also state that public
notice of probationary status, if done
without adequate justification, may be
undeserved and could potentially
damage both the accreditation body and
the LAAF program. We understand
these comments to be expressing the
concern that if the registry indicates an
accreditation body is on probation, such
a characterization could cause harm to
the accreditation body’s reputation and
business interests. Further, such
comments express the view that if
probation was undeserved, such harm
would be unwarranted. We further
understand these comments to be
expressing that accreditation bodies
may hesitate to participate in this
program if they are concerned that they
may be characterized unfairly on the
registry. Similarly, a few comments
recommend that FDA provide an
accreditation body with an opportunity
to take corrective action before FDA
revokes recognition. These comments
argue that revocation of an accreditation
body’s recognition without first
providing such an opportunity would
adversely impact both the accreditation
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body and the laboratories it LAAFaccredits and would represent a ‘‘very
aggressive approach.’’
(Response 81) We agree that it is
appropriate to afford a recognized
accreditation body the opportunity to
take corrective action prior to putting
the recognized accreditation body on
probation and notifying the public. We
have revised § 1.1131 to reflect this
position. Although the opportunity for
corrective action and probation may be
appropriate prior to revocation of
recognition, we maintain that some
circumstances warrant more immediate
revocation of recognition. As described
in the proposed and final rule,
circumstances that may warrant
immediate revocation of recognition
include failure to meet the requirements
of the subpart or a determination that
the recognized accreditation body has
committed fraud or submitted material
false statements to FDA.
(Comment 82) A few comments
request that we clarify exactly when a
recognized accreditation body will be
placed in probationary status.
(Response 82) We understand from
various comments that ‘‘probation’’ is
not a status term typically utilized in
the conformity assessment arena. We
intend the status to be an intermediary
step after corrective action and before
we proceed to revoke our recognition of
an accreditation body.
As revised, § 1.1131 provides that if
FDA identifies a deficiency, utilizes the
recognized accreditation body’s
complaint process (under ISO/IEC
17011:2017 section 7.12), but
determines that the corrective action
(under ISO/IEC 17011:2017 section 9.5)
is not acceptable, we may place the
accreditation body on probation.
Section 1.1131(b) states that probation
may be appropriate when FDA
determines that a recognized
accreditation body, ‘‘has not effectively
implemented corrective action or
otherwise fails to address deficiencies
identified.’’
Under § 1.1131(b)(1), FDA will notify
the recognized accreditation body that it
is on probation, will provide the
grounds for the probation, and list all
deficiencies that must be corrected.
Note that under § 1.1131(b)(2),
probationary status will be reflected on
the online registry described in § 1.1109.
Probationary status will endure until
either FDA is satisfied with the
recognized accreditation body’s
corrective actions or FDA revokes the
recognition under § 1.1131(c) and (d).
H. Comments on LAAF-Accreditation of
Laboratories
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Final rule
Proposed rule
LAAF-Accreditation of Laboratories ..................
§ 1.1138 What are the eligibility requirements
for a LAAF-accredited laboratory?
Accreditation of Laboratories ...........................
§ 1.1138 What requirements must a laboratory meet to become accredited by a recognized accreditation body?
§ 1.1146 What are the general requirements
for accredited laboratories to remain accredited?
§ 1.1159 How does a laboratory apply for accreditation or modification of its scope of accreditation by a recognized accreditation
body?
§ 1.1163 What if a laboratory wants to voluntarily relinquish its accreditation?
§ 1.1139 How does a laboratory apply for
LAAF-accreditation or extend its scope of
LAAF-accreditation?
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§ 1.1140 What must a LAAF-accredited laboratory do to voluntarily relinquish its LAAFaccreditation?
§ 1.1141 What is the effect on a LAAF-accredited laboratory if its recognized accreditation body is no longer recognized by FDA?
§ 1.1142 How does a laboratory request reinstatement of LAAF-accreditation?
1. What are the eligibility requirements
for a LAAF-accredited laboratory
(§ 1.1138)?
In proposed § 1.1138 we stated the
baseline requirements for a laboratory to
participate in the LAAF program. In
paragraph (a)(1)(i) we proposed that a
laboratory must demonstrate to a
recognized accreditation body that a
laboratory is capable of conducting the
method(s) it wishes to perform under
this subpart by submitting information
to demonstrate appropriate verification
or validation of each method. In
paragraph (a)(1)(ii) we proposed that a
laboratory must annually pass a
proficiency test (or comparison
program, where no proficiency test is
available or practicable) for each
method. In paragraph (a)(2) we
proposed that a laboratory must be
accredited to ISO/IEC 17025:2017 and
we incorporated that standard by
reference; in paragraph (b) we proposed
to except certain provisions of ISO/IEC
17025:2017. In paragraph (c) we
proposed that a laboratory must
demonstrate it is capable of meeting and
operating in conformance with all other
requirements for laboratories under this
subpart.
On our own initiative, we made some
organizational changes. The proposed
title for the section was, ‘‘What
requirements must a laboratory meet to
become accredited by a recognized
accreditation body?’’ We proposed a
separate section, § 1.1146, to address the
requirements for accredited laboratories
to remain accredited. There was
significant overlap between the two
sections. To improve efficiency and
readability, we combined § 1.1146 with
this section and made certain editorial
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Notes
Revised to reflect new terminology.
Combined sections in the final rule.
Relocated section, revised section title to incorporate new terminology and improve
clarity.
§ 1.1164 What is the effect on accredited
laboratories if their accreditation body voluntarily or involuntarily loses its recognition?
§ 1.1165 How does a laboratory request reinstatement of accreditation?
Relocated the section, revised section title to
incorporate new terminology and improve
clarity.
Relocated the section, revised section title to
incorporate new terminology and improve
clarity.
Relocated the section, revised section title to
incorporate new terminology.
changes to effect the merge, including
revising the section title to read, ‘‘What
are the eligibility requirements for a
LAAF-accredited laboratory?’’
Proposed § 1.1148 addressed quality
assurance requirements for LAAFaccredited laboratories. Proposed
§ 1.1148(a) required, in brief, annual
proficiency testing for each method.
Proposed § 1.1148(b) required a LAAFaccredited laboratory to ‘‘[e]nsure its
procedures for monitoring the validity
of the results of testing it conducts
under this subpart include the use of
reference materials or quality control
samples with each batch of samples it
tests under this subpart.’’ There was
significant overlap between the
proficiency test provisions in proposed
§ 1.1138(a)(1)(ii) and those in
§ 1.1148(a). For clarity and efficiency,
we merged the proficiency test content
from proposed § 1.1148(a) into what is
now § 1.1138(a)(2) of the final rule. We
also moved to this section the
requirement for laboratory quality
assurance procedures to include the use
of reference materials or quality control
samples with each batch of samples
tested under this subpart, because we
view these tools as vital to a laboratory’s
demonstration of capability to conduct
a method. (Relatedly, we have added
quality control results to the required
contents of an abridged analytical
report; see the discussion of
§ 1.1153(c)(2), below.)
Also, as explained in our discussion
of § 1.1101 above, we moved the
language formally incorporating ISO/
IEC 17025:2017 from this section to
§ 1.1101. Finally, we made conforming
and minor editorial changes, including
specifying calendar days in
§ 1.1138(a)(2)(iii) (this requirement
appeared in § 1.1153(b) of the proposed
rule and did not specify ‘‘calendar’’
days). We discuss additional changes to
the section made in response to
comments below.
(Comment 83) Some comments
inquire about the laboratory standards
we are establishing in this final rule.
Some ask which criteria should be set.
A few comments appear to ask how
FDA would determine which of the
many existing food testing laboratories
satisfy the standards we are
establishing.
Some comments encourage us to
ensure that all laboratory requirements
are clear and concise. Other comments
urge FDA to avoid what they perceive
as vague and ambiguous phrases such as
‘‘strongly encourage’’ and instead to use
clearer language such as ‘‘must.’’
(Response 83) The laboratory
standards we are establishing are
contained in this final rule, specifically
in §§ 1.1138 through 1.1142. We agree
that clear and concise requirements will
benefit the LAAF program and we have
done our best to achieve that goal. The
task of determining which laboratories
satisfy our requirements is the
responsibility of the recognized
accreditation bodies which will assess
laboratories against our standards.
In the proposed rule, after stating that
we would not propose to require the
accreditation of sampling, we said that
we ‘‘strongly encourage all samplers to
consider accreditation’’ 84 FR 59452 at
59476. When we use such language, we
do not intend to state a requirement, nor
do we create any obligation. Only the
codified section of a rule becomes the
regulation. The preamble discussion
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represents our current thinking on the
matters addressed in the text of the
regulation.
(Comment 84) In the proposed rule, a
laboratory would be required to
demonstrate it is capable of conducting
each method it wishes to use in food
testing under this subpart by submitting
verification or validation information to
a recognized accreditation body, as well
as a statement that the laboratory was
able to properly apply the method. The
proposed rule would also have required
a laboratory to pass a proficiency test (or
comparison program when no
proficiency testing is available or
practicable) for each method it wishes to
use to conduct food testing under this
subpart once per year. Some comments
express support for these requirements.
Some comments state that these
requirements are similar to existing ISO/
IEC 17025:2017 requirements.
(Response 84) We are gratified that
several comments support these
requirements.
We agree that these requirements are
similar to provisions in ISO/IEC
17025:2017. With regard to validation
and verification information, ISO/IEC
17025:2017 requires a laboratory to
submit to the accreditation body
verification or validation information on
each method for which it is seeking
accreditation. Our requirement would
accomplish the same. However,
although the validation information we
require a laboratory to send to a
recognized accreditation body aligns
with information required in ISO/IEC
17025:2017, we specify (in
§ 1.1151(d)(2)) the verification
information in greater detail than does
ISO/IEC 17025:2017 (Ref. 3).
At the same time, as discussed above
at Response 10, after careful
consideration of the comments we are
clarifying in this subpart the roles of the
FDA and recognized accreditation
bodies with respect to LAAF-accredited
laboratories. Consistent with our
clarified role of reviewing the
performance of LAAF-accredited
laboratories via individual analytical
reports, we have determined that it is
appropriate for LAAF-accredited
laboratories to submit the verification
and validation studies relevant to their
analytical reports to FDA (see
§ 1.1152(c) and discussion at Response
122). This change means FDA will
receive the more detailed verification
information that, under the proposed
rule, we would have required a
laboratory to send to the recognized
accreditation body. Given that the
specified verification information will
be submitted to FDA, we are
comfortable removing the requirement
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that it be submitted to the recognized
accreditation body.
Having resolved that difference
between proposed § 1.1138(a)(1)(i) and
ISO/IEC 17025:2017, there remains no
substantive difference between the two
standards with regard to the validation
and verification information to be
submitted to an accreditation body.
Accordingly, we have removed from the
final rule the provision in proposed
§ 1.1138(a)(1)(i) requiring laboratories to
send validation or verification
information to the recognized
accreditation body and will rely on ISO/
IEC 17025:2017 for that requirement.
With regard to the proposed
requirement that a laboratory pass a
proficiency test for each method (or a
comparison program, where no
proficiency test is available or
practicable) ‘‘once per year,’’ the
provision in ISO/IEC 17025:2017 is
similar. Section 7.7.2 of ISO/IEC
17025:2017 requires a laboratory to
monitor its performance by engaging in
either proficiency testing or
interlaboratory comparisons but does
not indicate a frequency (Ref. 3). We
remain committed to the frequent nature
of this requirement and therefore the
final rule requires that a LAAFaccredited laboratory must successfully
pass a proficiency test (or where one is
not available or practicable, a
comparison program) for each LAAFaccredited method at least once every 12
months. For additional discussion of the
proficiency testing requirements under
this subpart, see Responses 92–94,
below.
(Comment 85) Some comments
support the proposed policy that LAAFaccreditation should be awarded on a
method-by-method basis. In fact, some
comments consider method-specific
LAAF-accreditation so important that
they suggest we communicate that
requirement more clearly in the final
rule. Some comments encourage us to
clarify the use of open or flexible scopes
under this subpart.
(Response 85) We agree that it is
essential that the competency of
laboratories be assessed, and LAAFaccreditation awarded, on a methodspecific basis. Test methods vary widely
and even within the same discipline,
competence to one method does not
correlate or imply competence to
another method. Further, laboratory
competence to the particular method
employed is integral to the validity of
the test result. Accordingly, we accept
the suggestion in the comments
summarized above and have revised
§ 1.1138 to include ‘‘each method’’ in
paragraph (a) and (a)(1).
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ISO/IEC 17011:2017 defines a flexible
scope (sometimes referred to as an open
scope), as a ‘‘scope of accreditation . . .
expressed to allow [laboratories] to
make changes in methodology and other
parameters which fall within the
competence of the [laboratory] . . . as
confirmed by the accreditation body.’’
(ISO/IEC 17011:2017 section 3.7, (Ref.
2)). Flexible scopes can have flexibility
for analytes, matrices, and methods.
ISO/IEC 17011:2017 requires
accreditation bodies to have written
procedures describing how the
accreditation body will administer
flexible scopes. As relevant to this
discussion, these written procedures
must include a description of how the
accreditation body will maintain for the
laboratories they LAAF-accredit
certificates of scope that include matrix
(materials or products); analyte(s)
(component, parameter or
characteristic); and method or
technology (Ref. 2).
An open or flexible scope is employed
when an accreditation body assesses a
laboratory’s competency in using a
particular technology or technique.
Once the laboratory proves that
competency, it is able to add methods,
analytes, or matrices to its scope
without the need for an additional
assessment by the accreditation body as
long as those additions fall within the
broader scope of the accredited
technology and meet the requirements
of ISO/IEC 17025:2017.
Given that ISO/IEC 17011:2017
requires accreditation bodies to
maintain certificates of accreditation
that communicate which analytes,
matrices, and methods are covered by
the flexible scope, and § 1.1123(c)(2)
requires that a recognized accreditation
body must immediately notify FDA
when it grants or extends a laboratory’s
LAAF-accreditation, we are prepared to
accommodate open or flexible scopes
under this subpart.
(Comment 86) We proposed in
§ 1.1138(a)(2) that, as a baseline matter,
laboratories wishing to conduct testing
under this subpart must be accredited to
ISO/IEC 17025:2017, and we proposed
to incorporate ISO/IEC 17025:2017 by
reference into our regulation. We
proposed in § 1.1138(b) to exclude three
portions of ISO/IEC 17025:2017 from
the incorporation by reference, and from
the requirements under this subpart.
First, we proposed to exclude
provisions of ISO/IEC 17025:2017 that
relate to the relationship between the
laboratory and its customers, to the
extent that such provisions establish
obligations that conflict with the
requirements of this subpart. Second,
we proposed to exclude section 7.3
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because, we reasoned, it addresses
sampling and we did not propose to
require the accreditation of samplers.
Finally, we proposed to exclude section
7.8, which describes requirements for
reporting test results to customers,
based on a concern that it might conflict
with the test reporting requirements in
this subpart (Ref. 3).
Many comments support the baseline
laboratory requirement of accreditation
to ISO/IEC 17025:2017. Some comments
commend the use of this standard,
noting that it may be a means to
improve the quality of tests, and is
accepted globally. Some comments
maintain that accreditation to ISO/IEC
17025:2017 increases confidence in a
laboratory’s data. Some comments
indicate that many laboratories that test
imported food have already sought ISO/
IEC 17025:2017 accreditation
voluntarily to improve the quality of
their test results. Some comments assert
that conformance to ISO/IEC
17025:2017 helps ensure scientific
integrity in food testing. Some
comments state that relying on ISO/IEC
17025:2017 accreditation will be more
efficient for FDA. A few comments
express the belief that all private
laboratories should be required to be
ISO/IEC 17025:2017-accredited.
A few comments agree that ISO/IEC
17025:2017 is currently the
predominant standard for the type of
laboratory that would conduct testing
under this subpart, but encourage FDA
to allow more flexibility, stating that
over time ISO/IEC 17025:2017 might
become less predominant.
Some comments encourage FDA to
rely solely and entirely on ISO/IEC
17025:2017; we understand these
comments to discourage us from adding
any additional requirements or varying
at all from ISO/IEC 17025:2017. (To the
extent that some comments reference
ISO/IEC 17065, which is a conformity
assessment standard for bodies that
certify products, that standard does not
apply here.) These comments express
preference for a single uniform
accreditation standard and contend that
varying standards can present
challenges both to laboratories
attempting to maintain multiple
differing accreditation schemes and to
their customers. Some comments state a
risk that variations in standards, even
different standards based on ISO/IEC
17025:2017, may result in a need for
laboratories to be accredited by more
than one accreditation body, and
encourage FDA to reduce or eliminate
redundant accreditations. Some
comments encourage FDA to work with
leading standard and scientific
organizations so that the various
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standards align and have scientific
integrity.
With regard to the ISO/IEC
17025:2017 sections that we proposed to
exclude from our requirements, some
comments support some or all the
exclusions. Some of these comments
agree with our proposal not to require
the accreditation of samplers and
express consequent support for the
exclusion of ISO/IEC 17025:2017
section 7.3, which addresses sampling.
Some comments concur with our
proposed exclusion of customer-related
ISO/IEC 17025:2017 provisions, but
disagree with the proposed exclusions
related to sampling and reporting results
because these comments state the belief
that FDA should require the
accreditation of samplers and better
align its reporting requirements with
those of ISO/IEC 17025:2017.
On the other hand, many comments
encourage us not to exclude certain or
any ISO/IEC 17025:2017 provisions.
Some comments specifically suggest
that we include ISO/IEC 17025:2017
requirements related to customers, as
owners and consignees under this rule
could be considered the customers of
LAAF-accredited laboratories. Some of
these comments disagree that the
provisions we proposed to exclude
conflict with the requirements in this
subpart, and suggest that even if they
do, any conflicts can be effectively
addressed without excluding ISO/IEC
17025:2017 provisions.
Relatedly, some comments state that
adherence to certain requirements
contained in ISO/IEC 17025:2017 is
required only by specific customers;
these comments request that we clarify
who is the customer of a LAAFaccredited laboratory (i.e., FDA or the
owner or consignee). These comments
also ask whether ISO/IEC 17025:2017
requirements with which the customer
requires adherence will apply to State
laboratories that become LAAFaccredited.
A few comments express the belief
that documents can be developed to
supplement ISO/IEC 17025:2017
accreditation, and that such documents
would cover the additional
requirements codified in this subpart.
Some comments argue that excluding
certain parts of the ISO/IEC 17025:2017
standard from our requirements while
still labeling a laboratory, ‘‘accredited,’’
would cause confusion and would
conflict with established business and
operational models in laboratories fully
compliant with ISO/IEC 17025:2017.
Similarly, some comments request that
FDA require ISO/IEC 17025:2017 as a
baseline matter, and then indicate
additional requirements to clarify or
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expand upon the standard. Comments
also state that FDA should stay current
with any changes to ISO/IEC
17025:2017.
(Response 86) We remain committed
to ISO/IEC 17025:2017 as a baseline
requirement for laboratories that wish to
conduct food testing under this subpart.
Many comments agree with that aspect
of the proposed rule and identify
various benefits of this policy such as
improved test quality; greater scientific
integrity; and global acceptance of, and
increased confidence in, the test results.
We concur. As described in the FRIA
(Ref. 4), we also agree that FDA will
experience certain efficiencies as a
result of this rule. And while we
encourage all food testing laboratories to
consider becoming accredited to ISO/
IEC 17025:2017, we lack the authority to
compel such action.
Regarding the possibility that ISO/IEC
17025:2017 may not always be the
predominant standard for food testing
laboratories, we are confident that ISO/
IEC 17025:2017 will be an appropriate
baseline for the foreseeable future. Other
parts of FDA, and many other Federal
Agencies, also rely on ISO/IEC
17025:2017 to establish baseline
requirements for their laboratory
accreditation programs (e.g., FDA Center
for Devices and Radiological Health
Accreditation Scheme for Conformity
Assessment, CPSC, Department of
Defense Environmental Laboratory
Program). Every time ISO/IEC updates
the 17025 standard, we will consider
whether to update this subpart (through
notice-and-comment rulemaking) to
require accreditation to the updated
standard. If during those considerations
we conclude that ISO/IEC 17025:2017 is
no longer an appropriate baseline for
our requirements, we will revise this
subpart accordingly (through noticeand-comment rulemaking).
Some comments encourage us to
simply rely on ISO/IEC 17025:2017 and
neither add nor subtract any
requirements. Comments advocating
that we not add requirements to ISO/IEC
17025:2017 discuss the advantages of a
uniform standard. We do not discount
those advantages or the challenges that
laboratories face in satisfying varying
accreditation schemes. Nevertheless
each laboratory requirement that we add
to the ISO/IEC 17025:2017 baseline
serves an important program purpose.
For example, requiring successful
proficiency tests for each method at
least every 12 months (§ 1.1138(a)(2))
provides increased quality assurance,
and requiring at least the creation and
retention of the records that comprise a
full analytical report will preserve
FDA’s ability to conduct a meaningful
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indepth scientific review of the test
(§§ 1.1150(d), 1.1154(a)(2)). As a
reminder, all the food testing that takes
place under this subpart occurs in the
context of heightened public health
concern. Laboratories that wish to
conduct food testing under this subpart
will be required to satisfy requirements
in addition to those specified in ISO/IEC
17025:2017 (Ref. 3).
After carefully considering the
comments, we have decided not to
exclude any provisions of ISO/IEC
17025:2017. Comments successfully
argued that our proposed exclusions
would unnecessarily complicate the
work of the recognized accreditation
bodies and LAAF-accredited
laboratories and provide limited benefit.
We also appreciate the comments
remarking that market confusion could
result from our exclusion of portions of
ISO/IEC 17025:2017 while labeling
laboratories ‘‘accredited.’’ Although we
doubt our proposed exclusion of a small
number of ISO/IEC 17025:2017
provisions would result in a need for
duplicative accreditation body
assessments, we need not belabor that
issue raised in the comments, given our
decision.
In particular, we are persuaded that
we do not need to formally exclude
from our regulation ISO/IEC 17025:2017
section 7.3, which addresses sampling,
even though we are not requiring
sampling accreditation (Ref. 3). Section
7.3 is not necessary to ISO/IEC
17025:2017 accreditation. Indeed, many
laboratories are accredited to ISO/IEC
17025 for diverse types of methods and
yet not for sampling. When a recognized
accreditation body assesses a laboratory
for LAAF-accreditation, the recognized
accreditation body may simply note
section 7.3 as not applicable.
We also proposed to exclude any
provisions of ISO/IEC 17025:2017 that
relate to the relationship between the
laboratory and its customer, to the
extent that the provision would conflict
with the requirements of this subpart.
For example, in the preamble to the
proposed rule we expressed concern
that including ISO/IEC 17025:2017
section 7.2.1.4, which indicates that the
customer may specify the test method,
could create a conflict for the laboratory
(see 84 FR 59452 at 59477 to 59478). We
are now convinced that provisions of
ISO/IEC 17025:2017 that mention the
customer do not conflict with
obligations under this subpart because
under ISO/IEC 17025:2017, ‘‘customer’’
has a broader meaning than simply the
entity who pays the laboratory, and FDA
qualifies as a customer alongside the
owner or consignee that engages the
laboratory (Ref. 3). We appreciate
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comments noting that the owners or
consignees are customers and we should
therefore not exclude the ISO/IEC
17025:2017 customer provisions on that
basis. We agree that owners and
consignees are appropriately considered
customers of the laboratory and
appreciate that under this subpart,
LAAF-accredited laboratories will fulfill
their obligations to owners and
consignees, as well as their obligations
to FDA. This is ensured by the
requirement in ISO/IEC 17025:2017
section 5.4 that ‘‘Laboratory activities
shall be carried out in such a way as to
meet the requirements of this document,
the laboratory’s customers, regulatory
authorities and organizations providing
recognition’’ (Ref. 3). Regarding the
question of whether state or other public
laboratories that become LAAFaccredited will be bound by the
customer provisions in ISO/IEC
17025:2017, we confirm that they will.
The many public laboratories that are or
will become ISO/IEC 17025:2017accredited are required to meet the same
requirements of ISO/IEC 17025:2017 as
private laboratories, including both
customer provisions and the
requirements of section 5.4.
Finally, we proposed to exclude ISO/
IEC 17025:2017 section 7.8, which
addresses reports, based on a concern
that it would conflict with the reporting
requirements under this subpart. Again,
we have come to appreciate that a
laboratory’s reporting duties under ISO/
IEC 17025:2017 do not present any
conflict for the laboratory also fulfilling
the reporting requirements under this
subpart (Ref. 3).
Accordingly, the final rule
incorporates ISO/IEC 17025:2017 in its
entirety.
(Comment 87) Some comments
recommend that FDA allow the bottled
drinking water tests in § 1.1107(a)(1)(iii)
(i.e., the requirement in § 129.35(a)(3)(i)
to test five samples from the same
sampling site that originally tested
positive for E. coli) to be conducted by
laboratories certified or accredited to
other water-related laboratory
accreditation or oversight programs
such as the National Environmental
Laboratory Accreditation Program, or
EPA or State water testing certification
programs. From the perspective of these
comments, the EPA and State water
testing certification programs are an
existing laboratory oversight system and
FDA should leverage those
certifications, in place of LAAFaccreditation, for purposes of the bottled
drinking water testing subject to this
final rule. These comments predict that
if we fail to do so, an insufficient
number of laboratories will become
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LAAF-accredited to conduct the bottled
drinking water testing required by
§ 1.1107(a)(1)(iii). Relatedly, these
comments disagree with our proposed
conforming revision in the bottled
drinking water regulations. Instead of
revising the bottled drinking water
regulation to require that the testing
required in § 129.35(a)(3) be conducted
under this subpart, these comments
recommend that the bottled drinking
water regulations be revised to require
that the testing in § 129.35(a)(3) be
conducted by a competent commercial
water testing laboratory that is EPA or
State-certified for E.coli testing and
sends the results directly to FDA.
(Response 87) For a variety of reasons,
we decline this request.
First, FDA lacks the authority under
section 422 of the FD&C Act to directly
accredit laboratories or otherwise
approve them to conduct the food
testing described in § 1.1107. FSMA
section 202 directed that FDA recognize
accreditation bodies, establish standards
for laboratories, and create a public
registry of recognized accreditation
bodies and LAAF-accredited
laboratories (section 422(a)(1)(b) and
(a)(6) of the FD&C Act). FSMA section
202 describes only the recognized
accreditation bodies as having the
ability to accredit a laboratory (see, e.g.,
section 422(a)(1)(B), (a)(2), (a)(5), (a)(6),
and (b)(1) of the FD&C Act). In contrast,
FSMA section 307 directed FDA to
establish a very similar program: ‘‘a
system for the recognition of
accreditation bodies that accredit thirdparty auditors’’ 9 (Section 808(b)(1)(A)(i)
of the FD&C Act). However FSMA
section 307 specifically granted FDA
authority to directly accredit third-party
auditors if, 2 years after establishing the
required system, FDA had not
recognized an accreditation body
(section 808(b)(1)(A)(ii) of the FD&C
Act). As Congress specifically provided
FDA with authority to directly accredit
third-party auditors in FSMA section
307, we presume their decision not to
provide FDA with similar authority in
FSMA section 202 was intentional.
Accordingly, we lack the authority to
directly accredit or otherwise approve
laboratories for inclusion in the LAAF
program generally or the public registry
in particular.
The only way a laboratory may
conduct the food testing described in
9 Under that authority we issued the
‘‘Accreditation of Third-Party Certification Bodies
To Conduct Food Safety Audits and To Issue
Certifications Final Rule,’’ 80 FR 74569 (Nov. 27,
2015) which established the Accredited Third-Party
Certification Program (see https://www.fda.gov/
food/importing-food-products-united-states/
accredited-third-party-certification-program).
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§ 1.1107, then, is through a favorable
assessment by a recognized
accreditation body. In conducting such
an assessment, a recognized
accreditation body assesses the
laboratory against the model laboratory
standards we are creating in this final
rule. Theoretically we could tailor our
model standards to allow for sectorspecific standards, if we were confident
that those sector-specific standards
provided equal rigor and public health
protections. For example, theoretically
we could allow laboratories that
conduct the testing described in
§ 1.1107(a)(1)(iii) to substitute our
laboratory requirements based on
accreditation to ISO/IEC 17025:2017
with a sector-specific accreditation
standard such as the standard of the
National Environmental Laboratory
Accreditation Program, or the standard
of the EPA water testing certification
programs. However, FDA lacks the
resources to perform indepth
comparisons of various program
standards, whether related to bottled
drinking water or any other sector, with
ISO/IEC 17025:2017 and the remainder
of our requirements. Indeed, a prime
advantage of relying on an international
voluntary consensus standard for our
baseline requirement is uniformity. ISO/
IEC 17025:2017 is a single standard that
addresses technical competency and
quality management universally; its
requirements mean the same thing in
every country and context in which it is
used. For those practical and
philosophical reasons, we decline the
comments’ suggestion that we allow
bottled drinking water sector-specific
laboratory standards in place of the
model laboratory standards established
in this subpart.
In declining this suggestion, we offer
a few additional notes. To the extent a
sector-specific standard is also based on
ISO/IEC 17025:2017, it should not be
difficult or costly for a laboratory
accredited to such a sector-specific
standard to become LAAF-accredited.
Further, the tests described in
§ 1.1107(a)(1)(iii) (and methods deemed
acceptable under § 129.35(a)(3)(ii))
involve analyzing water for the presence
of E. coli, which is not an uncommon
capability among food laboratories
accredited to biological methods.
Meanwhile, we estimate that there will
be one testing occasion per year
resulting in five separate tests under
§ 1.1107(a)(1)(iii). (Ref. 4). We therefore
believe it is reasonable to anticipate
sufficient capacity among LAAFaccredited laboratories to handle the
bottled drinking water testing covered
by this final rule.
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(Comment 88) Some comments
describe the positive features of the
American Association of Veterinary
Laboratory Diagnosticians (AAVLD)
laboratory accreditation standard. These
comments state that results from
AAVLD laboratories are accepted by
Federal Agency laboratory networks
focused on disease surveillance, and
that AAVLD laboratories already
perform research and emergency
response work for FDA. These
comments further state that the AAVLD
standard is aligned with ISO/IEC
17025:2017.
(Response 88) AAVLD-accredited
laboratories play a critical role in FDA
programs. Many of the veterinary
diagnostic laboratories that are part of
FDA’s Veterinary Laboratory
Investigation and Response Network
(Vet-LIRN) are AAVLD-accredited. VetLIRN laboratories enhance public health
by providing testing of food and animal
feed products for zoonotic pathogens.
These laboratories also perform
pathogen and chemical toxin testing in
response to foodborne and animal
feed-associated illnesses. Vet-LIRN
laboratories respond to requests for
testing as directed by FDA resulting
from consumer complaints, and
participate in surveillance studies,
method development activities, and
proficiency tests. These laboratories
primarily analyze animal samples (e.g.,
stool, urine, blood, tissue) and
nonregulatory animal food samples (e.g.,
leftover opened foods and feed) to help
FDA’s Center for Veterinary Medicine
(CVM) investigate potential problems
with CVM-regulated products (such as
animal feeds or animal drugs). Use of a
LAAF-accredited laboratory is required
for those tests described in § 1.1107, but
the vast majority of the analyses
performed as part of the Vet-LIRN do
not fall under § 1.1107. Accordingly, it
is not necessary for laboratories
participating in the Vet-LIRN to become
LAAF-accredited.
To the extent that an AAVLDaccredited laboratory wishes to
participate in the food testing described
in § 1.1107, it would need to meet all
the requirements for a LAAF-accredited
laboratory in this subpart. For reasons
discussed above in Response 87, FDA
cannot admit laboratories meeting other
standards into this program. The only
way a laboratory may become LAAFaccredited is through a favorable
assessment by an accreditation body
recognized under this subpart. That
construct does not comport with the
structure of the AAVLD laboratory
accreditation program. AAVLD
laboratory accreditation is awarded by
AAVLD itself, following an assessment
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by a committee of laboratory
professionals from other AAVLD
laboratories. However, AAVLD is not an
ILAC–MRA signatory accreditation body
that comports with ISO/IEC 17011:2017.
Accordingly, it is not eligible for
recognition under this subpart.
Moreover, our analysis of the AAVLD
standard indicates that although the
AAVLD standard is aligned with ISO/
IEC 17025:2017, differences remain. For
example, the AAVLD standard is
designed to assess the laboratory as a
whole, rather than particular testing
methods. Also, the AAVLD
reassessments occur at least once every
5 years, whereas ISO/IEC 17011:2017
section 7.9.3 requires that laboratories
be reassessed at least every 2 years (Ref.
2).
For the foregoing reasons, an AAVLD
laboratory wishing to conduct the food
testing described in § 1.1107 would
need to be accredited to ISO/IEC
17025:2017 and satisfy the other
laboratory requirements described in
this final rule. However, LAAFaccreditation is not required for an
AAVLD laboratory to continue to
participate in the Vet-LIRN.
(Comment 89) Some comments
request that we consider a modified set
of requirements for small specialized
laboratories such as those that solely
analyze DWPE samples to determine the
presence of filth and decomposition in
seafood. These comments suggest that
we not require ISO/IEC 17025:2017
accreditation for small specialized
laboratories; instead, such laboratories
should be required to provide the
laboratory analyst’s qualifications, the
materials and methods used to conduct
the test, and be subject to random FDA
audits. A subset of these comments
states that, for small specialized
laboratories, the ISO/IEC 17025:2017
accreditation requirement would be too
onerous for such laboratories to
continue operating. Specifically,
comments list the cost of initial
certification, annual fee, training,
internal program writing, and corrective
action responses as examples of
particularly onerous requirements.
These comments emphasize the overrepresentation of small laboratories in
the total number of laboratories that
conduct analyses of food subject to
DWPE by referring to estimates reported
in the preamble to the proposed rule
that 84 percent of the current DWPE
analyses are performed by 10
laboratories, while about 90 laboratories
performed the remaining 16 percent of
the analyses. The comments assert that
providing modified requirements for
small businesses would be consistent
with other FSMA regulations.
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(Response 89) We decline to provide
a modified set of requirements for
specialized laboratories of any size. The
purpose of the LAAF program is to help
ensure quality testing in the context of
heightened food safety concerns. To
achieve this public health goal, we have
determined that without exception, only
laboratories that satisfy all applicable
laboratory standards may conduct the
tests covered by this subpart. We reach
the same conclusion when we consider
the specific testing mentioned in some
of these comments: DWPE testing of
seafood for filth and decomposition.
FDA places products on DWPE when
we have evidence that such products
appear to be in violation of FDA’s laws
and regulations. Moreover, seafood
products which were filthy and
decomposed have been implicated in
past foodborne illness outbreaks (e.g.,
scombrotoxin fish poisoning; (Ref. 12)).
Filth and decomposition are specified as
the reasons some seafood products are
subject to DWPE (e.g., https://
www.accessdata.fda.gov/cms_ia/
importalert_19.html; https://
www.accessdata.fda.gov/cms_ia/
importalert_43.html). We cannot find
any basis for concluding that DWPE
testing of seafood for filth and
decomposition should be subject to
different quality standards.
ISO/IEC 17025:2017 includes
technical competency, impartiality, and
quality management system standards,
and we view these components as
critical in the context of testing covered
by this subpart. By way of example,
section 4.1 of ISO/IEC 17025:2017
provides that laboratory activities must
be managed to safeguard impartiality
and states that the laboratory may not
allow commercial and financial
pressures to compromise its impartiality
(Ref. 3). The testing covered by this
subpart involves heightened food safety
concerns, and we can find no basis to
justify modifying these standards or the
other protections included in ISO/IEC
17025:2017 accreditation.
Next we address the data analysis
supporting the proposed rule, which
indicated that 96 laboratories conducted
about 16 percent of the analyses on food
products detained when offered for
import because the food was or
appeared to be violative (84 FR 59452 at
59457) (Ref. 15). The same data analysis
indicated that 34 of those 96
laboratories were accredited to ISO/IEC
17025, and that 44 laboratories already
accredited to ISO/IEC 17025 conducted
about 95 percent of the analyses. The
same data analysis indicated that 62
unaccredited laboratories accounted for
the remaining 5 percent of importrelated analyses.
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To the extent that comments
requesting modified standards for
specialized laboratories intend to imply
that most or all of the 62 unaccredited
laboratories that conducted importrelated food testing were small, we do
not have enough information to reach
this conclusion. In addition, we have no
way of knowing how specialized these
62 laboratories are; some may conduct
only DWPE testing, but we cannot tell
the range of analyses each conducts.
Even if we assume a high proportion
of small, specialized laboratories that
focus on DWPE testing, we expect the
costs for such laboratories to become
ISO/IEC 17025:2017-accredited to be
less than the costs for larger laboratories
and those with a more diverse set of
testing capabilities. Reasoned
assumptions which may reduce the cost
of ISO/IEC 17025 accreditation for
small, specialized laboratories include:
(1) The ability to efficiently manage data
collection and maintenance using
relatively simpler in-house databases,
particularly for seafood filth and
decomposition testing, which generates
discrete data; (2) lower onsite
assessment costs since an accreditation
body necessarily will spend less time
assessing a smaller scope of
accreditation (e.g., 1–3 methods); 10 and
(3) reduced costs for equipment and
proficiency samples due to the small
number of methods performed.
All testing covered by this subpart,
including filth and decomposition
testing in seafood for DWPE purposes, is
of critical public health significance. As
described above, we estimate that the
costs of ISO/IEC 17025:2017
accreditation generally should be lower
for laboratories with very few methods
in their scope. On balance, we do not
think the costs of requiring relatively
small laboratories that conduct
specialized testing to become ISO/IEC
17025:2017-accredited to perform
covered testing outweigh the benefits
that will be derived from doing so.
For these reasons, we decline the
request to modify LAAF program
standards for certain laboratories.
(Comment 90) Some comments
recommend that FDA require
laboratories wishing to conduct food
testing under this subpart to be
accredited to both ISO/IEC 17025:2017
and the supplemental document,
‘‘AOAC International Guidelines for
Laboratories Performing Microbiological
and Chemical Analyses of Food, Dietary
Supplements, and Pharmaceuticals, An
Aid to Interpretation of ISO/IEC
17025:2017’’ (the AOAC 17025
10 A laboratory that is ‘‘specialized’’ necessarily
performs a narrow range of methods.
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Guidelines) (Ref. 13). Other comments
maintain that the AOAC 17025
Guidelines are not appropriate for
laboratories that test only animal food or
feed, and not human food. Instead, these
latter comments suggest that for
laboratories testing animal food or feed,
FDA should require the accreditation to
ISO/IEC 17025:2017 and ‘‘Quality
Assurance/Quality Control Guidelines
for Feed Laboratories,’’ the guidance on
interpreting ISO/IEC 17025:2017 issued
by the Association of American Feed
Control Officials (AAFCO) (Ref. 14). For
laboratories that test both human food
and animal food or feed, these
comments recommend FDA require
accreditation to both supplemental
guidelines.
(Response 90) In several places in the
preamble to the proposed rule, FDA
took note of how a matter is addressed
in the AOAC 17025 Guidelines. For
example, in our discussion of our
proposed requirement that laboratories
pass a proficiency test (or a comparison
program if no proficiency test is
available or practicable) annually for
each method to which they are LAAFaccredited, we noted that the AOAC
17025 Guidelines contain a similar
requirement and exception (84 FR
59452 at 59477). It appears that some
readers may have misunderstood these
discussion points, and mistakenly
believed that we proposed to require
laboratories to comply with all AOAC
17025 Guidelines or to be accredited to
both ISO/IEC 17025:2017 and the AOAC
17025 Guidelines. Although we found it
instructive to consider the approach
taken by the AOAC 17025 Guidelines on
certain matters, we did not propose that
laboratories must be accredited to both
ISO/IEC 17025:2017 and the AOAC
17025 Guidelines. In addition, we
acknowledge the AAFCO guidelines
provide equally useful supplemental
information in animal food testing
matters. The AAFCO guidelines share
best practices which would assure that
data of appropriate quality are generated
by laboratories for feed programs and
may be useful for producing reliable and
defensible analytical test results. After
careful consideration, we decline the
suggestion to require either the AOAC
or AAFCO guidelines in this subpart,
but agree that both provide useful
supplemental information. We do not
presently perceive a need for such a
requirement, and as some comments
have pointed out, there may be
challenges around the breadth of the
AOAC 17025 Guidelines considering
the wide variety of tests required to be
conducted by LAAF-accredited
laboratories under this subpart.
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(Comment 91) A few comments seek
clarification of the roles of Federal,
State, and local regulatory laboratories
with respect to this rule. Some
comments seek clarification on whether
State and local regulatory laboratories
that are already accredited to ISO/IEC
17025:2017 by an ILAC–MRA signatory
and may have agreements with FDA for
testing related to food safety
inspections, will need to do anything
differently as a result of this rule. Some
comments posit that only a few public
laboratories are conducting the testing
covered by this subpart, and those
laboratories may already operate under
quality management systems, and
perhaps even ISO/IEC 17025:2017.
Some comments suggest that Federal
laboratories (e.g., a laboratory within a
Federal Agency) should be considered
equivalent to LAAF-accredited
laboratories. Stated differently, these
comments recommend that if an owner
or consignee uses a Federal laboratory,
the result should be acceptable to FDA
even if the laboratory is not LAAFaccredited.
(Response 91) Federal, State, and
local regulatory laboratories perform the
vital function of testing product samples
of human food, and animal food and
feed, collected by public health officials
either in the course of an investigation
or as part of routine market surveillance.
Over the years great strides have been
made at all levels of government to
build an integrated food safety system;
improving coordination with and among
public regulatory laboratories has been
an important part of that work. This
subpart does not impact those tests and
so it may be irrelevant to many public
regulatory laboratories.
On the other hand, in addition to
testing samples collected by public
health officials, some public regulatory
laboratories may also currently conduct
some of the food testing that is covered
by this subpart. For full details see
§ 1.1107, but the bulk of the testing
covered by this subpart falls within the
categories of certain tests of bottled
drinking water, shell eggs, and sprouts;
testing to support removal from import
alert; and testing to support admission
of an imported food product detained at
the border because FDA has determined
that the food is, or appears to be,
adulterated or misbranded. Once this
subpart is fully implemented, all testing
covered by this rule must be conducted
by a LAAF-accredited laboratory. Public
regulatory laboratories may become
LAAF-accredited laboratories; indeed,
the statute specifically contemplates
public laboratories participating in this
program (‘‘laboratories, including
independent private laboratories and
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laboratories run and operated by a
Federal Agency (including the
Department of Commerce), State, or
locality’’ (section 422(a)(2) of the FD&C
Act)). All laboratories, including public
regulatory laboratories, that wish to
become LAAF-accredited must satisfy
the requirements of this subpart.
Similarly, an array of laboratories
throughout the Federal government
conduct a variety of tests in service to
the missions of their organizations. Any
Federal laboratories that wish to become
LAAF-accredited to conduct the testing
covered by this subpart will need to
satisfy the requirements of this subpart.
(Comment 92) We received several
comments regarding the frequency with
which we should require proficiency
testing (or a comparison program, where
no proficiency test is available or
practicable). Some comments applaud
the proposed requirement for an annual
proficiency test for each method (or
comparison program, where no
proficiency test is available or
practicable). Some comments suggest
that the annual frequency be set as a
minimum requirement, as even more
frequent proficiency testing would
allow for trending of results. Other
comments suggest FDA defer to ISO/IEC
17025:2017 for proficiency testing
frequency. Some of these comments
seek to clarify how the FDA will handle
the annual proficiency testing
requirement in the case of open or
flexible scopes. Some comments express
that it is hard to find a proficiency test
provider that includes all analytes for
such a method. Other comments state
that owners or consignees may have a
difficult time finding laboratories that
are both ISO/IEC 17025:2017-accredited
and have performed a proficiency test
for the analyte/method combination
within the last year for emerging issues,
new methods, or novel matrices being
sampled and tested.
(Response 92) Proficiency testing is a
quality assurance mechanism provided
by an independent provider that results
in an indication of a laboratory’s
performance of a method. A successful
proficiency test round indicates that a
laboratory can competently analyze
samples by that method whereas an
unsatisfactory result indicates that the
laboratory needs to investigate and
correct the cause(s) of the unsatisfactory
result.
Although participation in proficiency
testing provided by an outside,
independent provider is desired for all
testing, we recognize that it is not
available for all test methods, specific
analytes, or matrices; or that, where
available, it may not occur at the
required frequency. Therefore, we allow
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as an option a similarly designed
comparison program which will provide
a demonstration of the laboratory’s
competence to perform a method not
covered by an available proficiency test
program. The comparison program
should be an independent or blind test
of the laboratory’s performance of a
method that is evaluated against the
expected performance of the method
resulting in a conclusion of the
laboratory’s performance as acceptable
or unacceptable. All the testing covered
by this subpart is occurring in the
context of heightened public health
concern. We must therefore be assured
that LAAF-accredited laboratories are
producing accurate test results. For
example, the results of testing
conducted under § 1.1107(a)(4) are used
as evidence to overcome an appearance
that a product detained at the border
violates FDA laws and regulations.
We agree that requiring LAAFaccredited laboratories to successfully
complete an annual proficiency test (or
a comparison program, where no
proficiency test is available or
practicable) for each LAAF-accredited
method is important to support the
testing under this subpart. We have
determined that deferring to the
proficiency test requirement in ISO/IEC
17025:2017 will not meet the needs of
this program, given the context of
heightened public health concern. As
noted in the proposed rule, our
proficiency testing frequency
requirement is similar to that of the
AOAC 17025 Guidelines.11 Although
even more frequent proficiency testing
may be instructive, we are not requiring
it under this subpart. Accordingly, we
are finalizing the requirement that a
LAAF-accredited laboratory must
successfully complete a proficiency test
or comparison program for each method
every 12 months. We avoid stating the
requirement must be satisfied every
‘‘year,’’ to avoid implying that the
proficiency tests or comparison
programs requirement applies per
calendar-year.
In light of the comments, and
considering the critical role that
proficiency testing plays in the context
of this final rule to help ensure both the
integrity of specific tests conducted
under this subpart and this laboratory
accreditation program as a whole, we
are revising the proficiency testing
provisions so that positive results are
11 Some comments explain that although we
stated in the proposed rule that section 5.9.1 of the
AOAC 17025 Guidelines addresses proficiency
testing, the AOAC 17025 Guidelines have been
updated. The updated AOAC 17025 Guidelines
address proficiency testing in section 7.7.2. FDA
appreciates the comments.
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explicitly required. In the language of
the proposed rule LAAF-accredited
laboratories were required to
‘‘participate’’ and ‘‘conduct’’ a
proficiency test annually, per method.
The final rule requires that a proficiency
test for each method must be
‘‘successfully passed’’ within a 12month cycle, unless one is not available
or practicable. § 1.1138(a)(2)(i). In that
case, the final rule requires that the
LAAF-accredited laboratory
‘‘demonstrate competency through
participation in [a] comparison
program.’’ § 1.1138(a)(2)(ii). As we
discuss further below in (Response 96,
the LAAF-accredited laboratory must
submit all proficiency test and
comparison program results, regardless
of outcome, to the recognized
accreditation body within 30 calendar
days of receipt. § 1.1138(a)(2)(iii).
For laboratories LAAF-accredited to
an open or flexible scope, the
requirement would be for a proficiency
test or comparison program within 12
months for each method within the
open or flexible scope.
With regard to comments expressing
concern that it may be hard for an
owner or consignee to find a laboratory
that is ISO/IEC 17025:2017-accredited
and meets our proficiency test
requirements, we note that we will be
maintaining an public registry of all
LAAF-accredited laboratories (and
recognized accreditation bodies) online;
see § 1.1109 for additional discussion of
the public registry.
(Comment 93) Some comments
express confusion regarding whether
FDA expects each analyst performing a
method in the LAAF-accredited
laboratory to annually fulfill the
proficiency testing requirement for that
method. These comments reference the
requirement proposed at
§ 1.1152(g)(12)(iv) that a full analytical
report include, ‘‘[i]ndividual proficiency
test worksheets’’ and suggest that we
clarify our requirement.
(Response 93) The requirement is for
the laboratory to successfully pass a
proficiency test for each LAAFaccredited method within the last 12
months. We have revised the full
analytical report requirement to clarify;
for more information see the discussion
of § 1.1152, below.
(Comment 94) Some comments
express confusion regarding whether
FDA expects the LAAF-accredited
laboratory to inform the recognized
accreditation body that the laboratory
has determined that a proficiency test is
either not available or practicable, and
so the laboratory intends to participate
in a comparison program instead.
Comments speculate regarding whether
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FDA might have intended that the
recognized accreditation body review
such determinations when it audits the
laboratory.
(Response 94) The LAAF-accredited
laboratory’s determination that a
proficiency test is not available or
practicable must be approved by its
recognized accreditation body; we
revised the proficiency test provisions
of the final rule to clarify this
requirement; see § 1.1138(a)(2)(ii). The
LAAF-accredited laboratory’s proposed
alternative to a proficiency test also
must be approved by its recognized
accreditation body, prior to the
laboratory’s participation in the
alternative.
We consider quality assurance
measures vital to the integrity of the
LAAF program and the testing that
occurs under this subpart. Although one
aspect of that quality assurance is
requiring proficiency testing for each
LAAF-accredited method within each
12-month period, an additional aspect is
having the recognized accreditation
body concur with both the laboratory’s
determination that no proficiency test is
available to the laboratory, and the
alternative proposed by the laboratory.
(Comment 95) In the proposed rule,
we noted that ISO/IEC 17043:2010
‘‘Conformity Assessment—General
Requirements for Proficiency Testing’’
(Ref. 16) provides specific standards for
proficiency test providers. We requested
comment on whether FDA should
require the use of proficiency test
providers accredited to ISO/IEC
17043:2010.
Some comments support the proposed
requirement that proficiency testing
providers must be ‘‘competent,’’ and do
not recommend that we specify
accreditation to ISO/IEC 17043:2010.
Some comments state that many
proficiency test providers that are not
accredited to the ISO/IEC 17043:2010
standard have equivalent quality
systems and are established programs in
the industry or in government
organizations. Some comments state
that international proficiency test
providers are less likely to be accredited
to ISO/IEC 17043:2010 as this standard
is not utilized very much outside of the
United States. Some comments suggest
that recognized accreditation bodies can
institute processes for determining
equivalency for such proficiency test
providers.
Other comments recommend that we
require the use of proficiency test
providers accredited to ISO/IEC
17043:2010. Some assert that
accreditation of proficiency test
providers provides assurances regarding
both the accuracy of the proficiency test
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and the technical competence of the
laboratories that successfully
participate. Some comments suggest
that FDA could require the use of ISO/
IEC 17043:2010 accredited proficiency
test providers when available. Other
comments suggest that the FDA adopt
the stance taken in AOAC 17025
Guidelines section 7.7.2 which states
that an ISO/IEC 17043 accredited
proficiency test provider should be
given preference. Some comments ask
FDA to clarify which steps should be
taken if we require ISO/IEC 17043:2010
accreditation for proficiency test
providers, but where none is available
for certain methods.
(Response 95) FDA appreciates the
detailed responses to our question on
this matter.
Having considered the comments, we
have decided against requiring the use
of proficiency test providers accredited
to ISO/IEC 17043:2010. We agree with
the specification in the AOAC 17025
Guidelines that such providers should
be given preference, and we encourage
laboratories to seek providers with such
accreditation. However, at the present
time there are many methods for which
no proficiency test provider exists at all,
let alone one accredited to ISO/IEC
17043:2010. Given the importance of an
independent, third-party evaluation of a
laboratory’s competence—as provided
by a proficiency test within every 12month cycle—we have decided to allow
a wide selection of proficiency test
providers to cover as many of the testing
methods covered by this regulation as
possible. Although the use of an ISO/
IEC 17043:2010 accredited proficiency
test provider may give the laboratory
confidence in the quality and
consistency of the proficiency test
material and the evaluation of
laboratory test results, at the present
time, the breadth of testing covered by
ISO/IEC 17043:2010 providers is not
sufficient to support making this a
requirement.
(Comment 96) Some comments
disagree with the proposed
requirements in § 1.1153(b)(1) and (2)
that within 30 days of receipt, the
LAAF-accredited laboratory must
submit proficiency test results to the
recognized accreditation body and that
failing proficiency test results must also
be submitted to the FDA; comments
state that this deviates from current ISO/
IEC 17025:2017 procedures. Comments
explain that proficiency test results for
an ISO/IEC 17025:2017-accredited
laboratory are assessed annually by an
accrediting body. Comments further
explain that ISO/IEC 17025:2017accredited laboratories address
unsatisfactory results by conducting a
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root cause analysis and taking corrective
action.
Some comments agree with proposed
§ 1.1153(b)(2), which required the
LAAF-accredited laboratory to submit
failing proficiency test results to FDA
within 30 days of receipt. Other
comments state that requiring
recognized accreditation bodies to
review proficiency test results without
specified timeframes is not efficient,
and the 30-day timeframe may not
provide enough time for the laboratory
to complete its corrective action
process. Comments express concern that
failing results submitted to the
recognized accreditation body and FDA
could be used against the laboratory
without consideration of the
laboratory’s corrective action
procedures.
Comments state that FDA should
defer to ISO/IEC 17025:2017 proficiency
test reporting requirements and that
recognized accreditation bodies can
submit non-conforming laboratory
results to the FDA during their onsite
assessments. Comments also state that
some accreditation bodies require that
the proficiency testing data be
submitted directly to the accreditation
body from the proficiency test provider
and that procedures already are in place
for review of proficiency testing
schemes. A few comments have asked
FDA to clarify what would be
considered a ‘‘questionable’’ or failing
proficiency test result. Comments state
that some proficiency test providers
consider consecutive questionable
results when determining a laboratory’s
proficiency test performance and
comments ask for clarification on how
FDA would evaluate consecutive
questionable results.
(Response 96) We have moved the
proficiency test result reporting
requirements from § 1.1153(b) to
§ 1.1138(a)(2)(iii) so that they appear
alongside the main proficiency test
requirements.
After considering the comments, we
have decided to revise the requirements
regarding LAAF-accredited laboratories’
sharing results of proficiency tests (or a
comparison program, where no
proficiency test is available or
practicable) with the recognized
accreditation body and FDA. First, we
have determined that it is sufficient for
the LAAF-accredited laboratory to share
results with the recognized
accreditation body and have therefore
deleted the requirement that failing
results also be submitted to FDA. Upon
consideration of the comments on these
provisions, the comments encouraging
greater delineation of FDA’s role, and
the requirements in § 1.1138(a)(2)(ii)
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that recognized accreditation bodies
must concur in both the determination
that no proficiency test is available and
the alternative chosen, we conclude that
it better suits the role of the
accreditation body to review proficiency
test results.
We acknowledge that current ISO/IEC
procedures only require the
accreditation body to review a
laboratory’s proficiency test results
annually, and that reviewing all results,
and on an ongoing basis, will not be as
efficient for the accreditation body.
(According to the comments, some
accreditation bodies go beyond what is
required under the ISO/IEC standard
and so, may already receive results of all
proficiency test results, sometimes
directly from the proficiency test
provider itself; our requirements may
not be as much of a change for those
accreditation bodies.) However, we view
proficiency testing (or comparison
programs, where no proficiency test is
available or practicable) as a very
important tool to either reflect the
continued competence of a laboratory
with regard to a particular method or
provide an opportunity for the
laboratory to determine why it did not
receive a fully acceptable result and
address any related need for process
improvements. We believe that
providing the recognized accreditation
body with proficiency test results on an
ongoing basis will allow the recognized
accreditation body to maintain greater
and more timely awareness of a
laboratory’s competency.
At the same time, we take the point
of the comments stating that if the result
is less than fully acceptable, it is
unlikely that the LAAF-accredited
laboratory will complete its corrective
action process within 30 calendar days
of receiving the result. In addition, as
explained above, we want recognized
accreditation bodies to be in possession
of additional information about
laboratory competency in a timelier
fashion than annual reviews provide.
Therefore in the final rule we are
retaining the 30 calendar day timeframe
for submission to the recognized
accreditation body of the results of the
proficiency test (or comparison
program, where no proficiency test is
available or practicable).
We note that a LAAF-accredited
laboratory must successfully pass a
proficiency test (or comparison
program, if a proficiency test is not
available or practicable) as described in
§ 1.1138(a)(2) to gain or maintain LAAFaccreditation for a particular method.
Finally, with regard to the proposed
requirement that a LAAF-accredited
laboratory submit to FDA results of
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‘‘failed’’ proficiency tests, comments
request that we clarify what would be
considered a failing result. We
acknowledge and agree with comments
indicating that proficiency test results
generally are phrased in terms such as
‘‘satisfactory’’ or ‘‘fully acceptable,’’ or
‘‘unsatisfactory’’ or ‘‘questionable.’’ We
have revised the requirement in the
final rule to require that a laboratory
submit all proficiency test and
comparison program results, regardless
of outcome, to the recognized
accreditation body within 30 calendar
days of receipt (see § 1.1138(a)(2)(iii)).
(Comment 97) We received several
comments regarding the quality
assurance requirements in proposed
§ 1.1148. Some comments agree with the
proposed requirement that reference
materials or quality control samples be
used with each test conducted under
this subpart. Some comments ask that
FDA provide more details of the
requirements for a quality assurance
process, including how quality is
assured and by whom, who performs
audits and how they are issued, and,
regarding proposed § 1.1148, who is
accountable for findings and corrective
action. Some comments include for
FDA’s consideration examples of how
quality assurance is defined and
implemented in other organizations,
including mention of the AOAC 17025
Guidelines’ treatment of reference
materials and quality control samples.
(Response 97) FDA considers quality
assurance to be vital to the integrity of
this program and the testing that occurs
under this subpart. We have included
various requirements throughout this
subpart that address quality assurance
precisely because confidence in LAAFaccredited testing is essential. One
example is the requirement that LAAFaccredited laboratories ensure that
policies and procedures for monitoring
the validity of the results of testing they
conduct under this subpart include the
use of reference materials or quality
control samples with each batch of
samples tested under this subpart
(§ 1.1138(a)(3)), a policy that aligns with
the AOAC 17025 Guidelines (Ref. 13).
Relatedly, we have revised the final rule
to require submission of quality control
results even with abridged analytical
reports, again, because of the
importance we place on quality
assurance. ISO/IEC 17025:2017
similarly contains quality assurance
requirements, and not as a stand-alone
provision, but integrated throughout the
standard (Ref. 3).
In our view, quality assurance is most
effective when it is not treated as a
distinct activity or addendum, but
rather as a commitment that should be
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reflected in many facets of laboratory
operations. Accordingly, we decline the
invitation to include a definition of
‘‘quality assurance.’’ We do not believe
a definition would significantly advance
the degree to which LAAF-accredited
laboratories pursue and conduct quality
assurance.
Commenters interested in additional
details about the quality assurance
process under this subpart need only
become more familiar with its
provisions. Both the recognized
accreditation bodies and LAAFaccredited laboratories are subject to
requirements that we believe will
promote quality assurance.
(Comment 98) We received many
comments regarding whether FDA
should require LAAF-accreditation for
the entities that collect the samples that
get tested under this subpart.
In the proposed rule we chose not to
include requirements for the
accreditation of samplers. We
acknowledged the importance of proper
sampling procedures and that
accreditation for sampling could
potentially help ensure the collection of
representative samples. We stated that
although only laboratories were eligible
for ISO/IEC 17025 accreditation under
the 2005 version of that standard, the
2017 version of the standard allows for
the accreditation of entities that only
collect and do not analyze samples
(‘‘stand-alone sampling entities’’) (see
84 FR 59452 at 59476). As the revision
was relatively new at the time of the
proposed rule, we were not able to
adequately assess the accreditation of
such entities. We solicited comments on
several related issues, such as the
capacity of accredited samplers (both
laboratories and stand-alone sampling
entities), which international voluntary
consensus standard would serve as the
optimal basis for a consensus sampling
standard, and which standards are
currently employed to assess samplers
and whether such standards are
effective and sufficient. We proposed
instead, in § 1.1149, to require LAAFaccredited laboratories to develop or
obtain certain sampling documents that
would allow FDA to exercise oversight
of the sampling conducted as part of
this program. Comments on proposed
§ 1.1149 are addressed below.
Several comments endorse not
requiring the accreditation of samplers
at the present time. Some of these
comments contend samplers are
adequately qualified and therefore an
accreditation requirement is not
warranted. These comments consider
that the FDA oversight of samples made
possible by proposed § 1.1149 will
provide adequate assurance of samplers’
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qualification and will provide helpful
flexibility in allowing different entities
to collect the sample. Some comments
claim that for many food facilities, the
preventive controls regulations already
require that sampling activities be
performed by a qualified individual and
be overseen by a person with
specialized training in food safety
preventive controls (i.e., a preventive
controls qualified individual).
We understand some comments to
argue that without substantive sampling
protocols to which samplers could refer,
it would be difficult for accreditation
bodies to accredit samplers to ISO/IEC
17025:2017 or assess against proposed
§ 1.1149. These comments recommend
that, at a minimum, FDA should
provide a mechanism whereby samplers
could verify sampling protocols with
FDA. See discussion of this point with
respect to § 1.1149, below.
Some comments agree with our
assessment in the proposed rule that
accreditation of stand-alone samplers is
still relatively new. Some comments
agree that we should review this issue
in the future. Some comments contend
that requiring the accreditation of
samplers would necessitate significant
investments of time and expense by
industry to obtain such accreditation
but would not result in significant
public health benefit.
Other comments disagree with FDA’s
proposed decision and instead argue
that the final rule should require the
accreditation of samplers. Some of these
comments contend that the statute
requires samplers to be accredited under
this subpart; comments specifically
quoted or referenced section
422(a)(6)(A)(iv) and (b)(1) of the FD&C
Act.
Some comments contend that
allowing sampling by unaccredited
entities would fail to provide the clarity
needed for proper sample collection,
which can have a significant impact on
the quality of the test results and related
uncertainty. These comments state that
analysis of an improper sample can
invalidate the test results, and argue that
requiring accredited samplers is crucial
to the integrity of both the sample itself
and the resulting test data. A few
comments claim that requiring the
accreditation of samplers would ensure
traceability, which we understand to
mean the ability to connect the sample
back to a lot or shipment.
Some comments contend that aspects
of ISO/IEC 17025:2017 are necessary to
ensure quality sampling. Some
comments reason that, if samplers are
not required to be ISO/IEC 17025:2017accredited, there is a risk they may be
connected to owners and consignees,
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and thus have an interest in the
outcome of the sampling and food
testing. These comments express the
concern that allowing unaccredited
samplers may lead to the analysis of
biased, substituted, or manipulated
samples. Comments suggest that
accreditation to the ISO/IEC 17025:2017
standard would protect against such
conflict of interest concerns. Some
comments also champion the value of
ISO/IEC 17025:2017 to establish
standards for sampler qualifications.
Some comments disagree with the
Agency’s assessment in the proposed
rule that ISO/IEC 17025:2017
accreditation for stand-alone sampling
entities is relatively new and the FDA
does not have enough information to
assess their accreditation. Comments
disagree that accreditation bodies do not
have the experience or bandwidth to
satisfy a requirement under this subpart
that samplers be ISO/IEC 17025:2017accredited.
Regarding current capacity among
ISO/IEC 17025:2017-accredited
samplers, some comments assert that
there is more than sufficient accreditedsampler capacity to conduct all the
DWPE sampling that would be required
under this subpart. They claim that
current ISO/IEC 17025:2017-accredited
sampling providers can expand their
workforce as needed to meet increased
demand. They also contend that if we
were to require the accreditation of
samplers under this subpart, we would
be creating additional incentive for
sampling entities to become ISO/
IEC17025:2017-accredited, which would
further increase capacity. Other
comments seem to suggest that
accredited sampling capacity will
increase over time for market reasons (as
accreditation generates revenue),
regardless of whether we incentivize by
requiring sampling accreditation under
this subpart.
Certain comments suggest that the
sampling requirements in ISO/IEC
17025:2017 in conjunction with FDA’s
Investigations Operations Manual (IOM)
(Ref. 17) would provide comprehensive
standards for sampling. Comments also
maintain that ILAC is in the process of
considering the circumstances in which
it may be appropriate to require
accredited sampling.
(Response 98) As discussed at some
length in the proposed rule, proper
sampling procedures are essential to
meaningful test results. Accordingly, it
is important that this subpart address
samplers’ training and procedures. After
careful consideration of the comments,
we have decided that the most
appropriate way to support those goals
at the present time is through the
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oversight provisions at § 1.1149 rather
than by requiring ISO/IEC 17025:2017accreditation of samplers.
Although we have decided not to
require the accreditation of sampling at
this time, it should be noted that with
the adoption of ISO/IEC 17025:2017
without exclusions, those laboratories
that include sampling on their scope of
accreditation will be assessed by their
accreditation body to the requirements
of ISO/IEC 17025:2017 section 7.3 on
sampling. Even though many sampling
entities are not part of an ISO/IEC
17025:2017-accredited laboratory, we
conclude that the general requirements
in ISO/IEC 17025:2017 section 7.3 are
sufficiently addressed in § 1.1149 (Ref.
3). There currently is no other
consensus standard specific to sampling
of which we are aware; nor is there a
single, widely accepted sampling
standard for us to incorporate or on
which to rely. Instead, there are several
publications that address the
appropriate statistical sampling that is
required to obtain the representative
sample referred to in § 1.1149. Some
comments suggest that the FDA IOM
could serve as the substantive standard.
However, while the FDA Compliance
Programs 12 and the IOM define the
general process for all sampling to
ensure that the sample is representative
of the entire lot and in conformance
with FDA sampling procedures and
methods, many of the instructions in
these documents are specific to FDA
operations and would not be
appropriate for incorporation within
this subpart. We also acknowledge the
point of the comments that argue that
the 2017 version of ISO/IEC 17025 is not
still ‘‘new,’’ and the comments that
maintain that accreditation bodies have
the capacity to accredit entities for
sampling. Nevertheless, in the absence
of any other consensus standard specific
to sampling of which we are aware; nor
a single, widely accepted standard on
sampling criteria and specifications, we
believe more time is needed for industry
to flesh out, and for us to assess, the
ISO/IEC 17025:2017 accreditation of
entities (including non-testing entities)
for sampling. Additionally, due to the
absence of a predominant substantive
sampling standard, we do not agree with
the position expressed in comments that
accreditation alone would provide
sufficient clear direction on sampling
protocols to ensure proper sample
collection. For additional discussion
12 For more information on FDA Compliance
Programs, see https://www.fda.gov/inspectionscompliance-enforcement-and-criminalinvestigations/compliance-manuals/complianceprogram-guidance-manual-cpgm.
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regarding FDA substantive sampling
resources, see FDA Compliance
Programs and IOM Ch. 4.
Despite the contentions of some
comments, the statute does not specify
that FDA must require the accreditation
of samplers in this subpart. Comments
point to section 422(a)(6)(A)(iv) and
(b)(1) of the FD&C Act to support the
argument that sampling accreditation is
necessary. Section 422(a)(6)(A)(iv) of the
FD&C Act states that the model
standards established in this subpart
must include methods to ensure that
(among other things), ‘‘individuals who
conduct the sampling and analysis are
qualified by training and experience to
do so.’’ This language does not mention
accreditation; instead, it provides (in
relevant part) that FDA require samplers
to be qualified. We are fulfilling that
obligation in § 1.1149. Section 422(b)(1)
of the FD&C Act lists the tests that must
be covered by this subpart; the
introductory text reads (in relevant
part), ‘‘food testing shall be conducted
by Federal laboratories or non-Federal
laboratories that have been accredited
for the appropriate sampling or
analytical testing methodology or
methodologies.’’ This provision refers to
accreditation, but the ‘‘or’’ is important;
by stating ‘‘sampling or analytical
testing methodology,’’ the statute allows
for the satisfaction of just one type of
accreditation. Thus, this language
explicitly allows for testing to be
conducted by laboratories accredited for
just the appropriate test method.
As we stated in the proposed rule, in
the 2-year period from 2016–2017, about
63 percent of DWPE sampling was
conducted by 5 entities accredited for
sampling under ISO/IEC 17025:2017
(see 84 FR 59452 at 59476). About 37
percent of DWPE sampling was
conducted by more than 300 entities not
accredited for sampling (see id.). In the
proposed rule, we specifically solicited
feedback regarding the current capacity
of accredited samplers. Some comments
respond that there is sufficient capacity
among already-accredited samplers to
conduct all DWPE sampling, and that it
would be relatively easy for such
entities to expand capacity much
further. We appreciate the time taken by
commenters to thoroughly address our
specific inquiries.
This subpart reaches beyond testing to
support removal from import alert, and
entities focused on the sampling and
testing needs at ports of entry may not
be convenient choices for non-import
related owners and consignees needing
the services of a LAAF-accredited
entity. We note incidentally that some
of the non-import sampling needs under
this subpart are unique; there are
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serious biosecurity concerns that would
need to be addressed by any outside
entity collecting the shell egg samples
the testing of which is covered by this
subpart under § 1.1107(a)(1)(ii). See,
e.g., Biosecurity Basics for Poultry
Growers (Ref. 18). We did not receive
any comments describing the current
capacity of accredited samplers to
collect non-import samples, though as
stated, some comments express the view
that it would be relatively easy to
expand capacity, and some comments
make the point that if we require the
accreditation of samplers we would be
creating an incentive to become
accredited for sampling.
Some comments suggest that there is
no indication current samplers are
unqualified. For current purposes it is
sufficient to acknowledge that the
statute directs FDA to address sampler
qualifications in this subpart. Some
comments claim that sampling that
takes place pursuant to the FSMA
preventive controls regulations is
already required to be conducted by a
trained individual, and overseen by
another person with specialized food
safety preventive controls training. (See
the definition of preventive controls
qualified individual in §§ 117.3 and
507.3.) It is true that each of those
regulations requires sampling to be
conducted by an individual qualified by
education, training, or experience to
carry out such sampling (§§ 117.3,
117.4(b); §§ 507.3, 507.4(b)), but the
preventive controls regulations only
require a preventive controls qualified
individual to prepare or oversee the
preparation of the food safety plan that
would detail the sampling regimen, not
to oversee the sampling activity
(§§ 117.180, 507.53). In addition, very
few of the samples that must be tested
by a LAAF-accredited laboratory would
be collected from registered food
facilities subject to either of the
preventive controls regulations; we
estimate that almost all of the laboratory
analytical reports submitted in
accordance with this subpart will be
related to sprouts (see § 1.1107(a)(1)(i)),
shell eggs (see § 1.1107(a)(1)(ii)), and
imports under section 801(a) (see
§ 1.1107(a)(4), (5)) (Ref. 4).
Some comments raise concerns about
biased sampling. These comments
contend that the conflict of interest
provisions in ISO/IEC 17025:2017
protect against samplers that have an
interest in the outcome of the test from
submitting unrepresentative (e.g.,
‘‘cherry picked’’ or manipulated)
samples. Although we also appreciate
that ISO/IEC 17025:2017 contains
conflict of interest provisions, the
requirements in § 1.1149(a)(2) and (3)
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for a sampling plan and collection
report will ensure that the sample
collection procedures and preparation
techniques, as well as the chain of
custody including controlling for the
representative nature of the sample, are
documented and reviewed by FDA. For
more information on the sampling
documentation required by this final
rule, see the discussion of § 1.1149,
below.
Regarding sampler qualifications,
ISO/IEC 17025:2017 section 6.2 requires
accredited entities to document (among
other things) the educational, training,
and experiential needs of each position
and ensure that personnel possess the
necessary competence to perform their
function (Ref. 3). Although we do not
dispute that these aspects of ISO/IEC
17025:2017’s quality management
system are valuable, we are addressing
sampler qualifications, albeit using a
different approach, in this rule. Section
1.1149(a)(1) requires the qualifications
of each sampler to be submitted to FDA.
Reviewing the documentation of
samplers’ training and experience will
provide FDA with a means of helping to
ensure that each sampler possesses
qualifications sufficient for the task.
A few comments claim that requiring
the accreditation of samplers would
facilitate connecting a sample back to a
lot or shipment. However, the
requirements in § 1.1149(a)(1) through
(3) for the written documentation of the
sampler’s qualifications by training and
experience, the written sampling plan
used to conduct the sampling, and the
collection report combined should
include the information required to
allow for tracing back to the lot or
shipment.
A number of pending developments
may cause us to revisit this issue.
Contrary to the assertion of some
comments, our understanding is that
ILAC is not considering developing
standards or advice regarding the
circumstances in which it would be
appropriate to require sampling
accreditation. However, a number of
other developments may cause us to
revisit this issue, including our
experience administering this program,
which will include reviewing sampling
documents from both LAAF-accredited
laboratories and unaccredited samplers.
Any change we propose to this subpart
will be effected through rulemaking and
include an opportunity for public
comment.
2. How does a laboratory apply for
LAAF-accreditation or extend its scope
of LAAF-accreditation (§ 1.1139)?
This topic appeared in § 1.1158 of the
proposed rule. In the proposed rule,
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paragraph (a) of this section directed a
laboratory seeking LAAF-accreditation
to apply to a recognized accreditation
body. It also noted that a laboratory that
had previously been disqualified from
the program by FDA or had its LAAFaccreditation withdrawn by a
recognized accreditation body must
meet additional requirements to be
reinstated; those requirements are
contained in § 1.1142 of the final rule
(proposed § 1.1165).
In the proposed rule, paragraph (b) of
this section stated that a laboratory
seeking LAAF-accreditation may use
documentation of conformance with
ISO/IEC 17025:2017 in meeting the
requirements of this subpart.
In the proposed rule, paragraph (c) of
this section provided that LAAFaccreditation endures as long as the
laboratory maintains compliance with
all requirements of this subpart, unless
the laboratory relinquishes its LAAFaccreditation, FDA disqualifies the
laboratory from the program, or the
recognized accreditation body
withdraws the laboratory’s LAAFaccreditation.
On our own initiative, we specified
the relevant paragraph in the crossreference to § 1.1142 and made other
conforming and minor editorial
changes. Conforming terminology
changes include adding the phrase,
‘‘reduced in scope,’’ and the term,
‘‘disqualified’’ to the list of ways LAAFaccreditation may end, in paragraph (c).
Whereas in the proposed rule, the
words, ‘‘withdrawn’’ and ‘‘revoked’’
included ‘‘in part’’ withdrawal or
reduction, in the final rule we use the
word, ‘‘reduce,’’ to mean that some (but
not all) methods are removed from the
scope of LAAF-accreditation and we use
‘‘disqualify’’ to refer to the action FDA
takes with respect to a LAAF-accredited
laboratory. Additionally, we have
revised the section to remove reference
to ‘‘modification of scope,’’ instead
referring to extension of scope in the
final rule. We also revised the section
title accordingly to read, ‘‘How does a
laboratory apply for LAAF-accreditation
or extend its scope of LAAFaccreditation?’’ Comments regarding
this section are discussed below.
(Comment 99) We received a few
comments on this section; they concern
paragraph (c). Comments state that as
proposed, LAAF-accreditation would
continue indefinitely, and accreditation
bodies may approach this policy
differently. Some accreditation bodies
take a proactive approach and prompt
laboratories to begin the renewal
accreditation process for ISO/IEC
17025:2017 well in advance of
expiration.
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(Response 99) We acknowledge that
accreditation bodies vary in their
approaches to the duration and renewal
of ISO/IEC 17025:2017 accreditation.
Nevertheless, we are comfortable with
the policy that LAAF-accreditation for a
particular method endures indefinitely
for a variety of reasons including that
ISO/IEC 17011:2017 section 7.9.1
prescribes that ISO/IEC 17025:2017
accreditation may be for a maximum of
5 years (Ref. 2); § 1.1120(e) of this
subpart requires recognized
accreditation bodies to conduct an
onsite assessment of a sample of the
laboratory’s scope every 2 years; and we
have included various quality assurance
requirements in this subpart such as the
requirement in § 1.1138(a)(2) for a
successful proficiency test at least every
12 months for each method to which a
laboratory is LAAF-accredited.
3. What must a LAAF-accredited
laboratory do to voluntarily relinquish
its LAAF-accreditation (§ 1.1140)?
This topic appeared in § 1.1163 in the
proposed rule. We proposed to title this
section, ‘‘What if a laboratory wants to
voluntary relinquish its accreditation?’’
For precision and in keeping with the
terminology changes described above at
Response 10, the title has been
reworded to read, ‘‘What must a LAAFaccredited laboratory do to voluntarily
relinquish its LAAF-accreditation?’’.
In the proposed rule, paragraph (a) of
this section provided that a LAAFaccredited laboratory must notify FDA
and its recognized accreditation body at
least 60 days before relinquishing its
LAAF-accreditation either in whole or
in part. We proposed that the notice
must include the date on which the
relinquishment will occur, and if the
laboratory is relinquishing its LAAFaccreditation in whole, certain
information on a records custodian.
In the proposed rule, paragraph (b)
stated that FDA will provide notice of
the relinquishment on the public
registry described in § 1.1109.
On our own initiative, we made a few
changes to this section. First, we
removed the language requiring the
notice of relinquishment to be electronic
and in English; requirements for
submitting information to FDA under
this subpart are now addressed in
§ 1.1110. We also removed mention of
the fact that the relinquishing laboratory
must make its records available to FDA
as required by § 1.1153 because it was
superfluous. We also made minor
editorial changes and specified
‘‘calendar’’ days in paragraph (a).
We received no comments solely
related to this section and made no
further changes to it.
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4. What is the effect on a LAAFaccredited laboratory if its recognized
accreditation body is no longer
recognized by FDA (§ 1.1141)?
This topic appeared in § 1.1164 in the
proposed rule. We proposed to title this
section, ‘‘What is the effect on
accredited laboratories if their
accreditation body voluntarily or
involuntarily loses its recognition?’’ We
rephrased the title for efficiency and in
keeping with the terminology changes
described above at Response 10 so that
it now reads, ‘‘What is the effect on a
LAAF-accredited laboratory if its
recognized accreditation body is no
longer recognized by FDA?’’.
In the proposed rule, paragraph (a)(1)
of this section explained the actions a
LAAF-accredited laboratory must take if
its recognized accreditation body
departs the program. Within 30 days of
FDA issuing a notice informing the
LAAF-accredited laboratory of the
recognized accreditation body’s
departure, the laboratory must submit to
FDA its most recent internal audit (see
§ 1.1154(a)(5) of the final rule),
documentation showing compliance
with the conflict of interest
requirements in § 1.1147, and
documentation of the most recent
proficiency test for each method to
which the laboratory is LAAFaccredited (see proposed § 1.1148(a),
(b)). Proposed paragraph (a)(2) stated
that within 1 year of receiving FDA’s
notice informing the laboratory of its
accreditation body’s departure from the
program, the laboratory must become
LAAF-accredited by a recognized
accreditation body.
In the proposed rule, paragraph (b)
provided that the laboratory need not
comply with paragraph (a) if, within 15
days of receiving FDA’s notice
informing the laboratory of its
accreditation body’s departure from the
program, the laboratory initiates
relinquishment of its LAAFaccreditation in whole (see proposed
§ 1.1163, final rule § 1.1140) with the
relinquishment to occur within no more
than 90 days.
In addition to changes made in
response to comments discussed below,
we made several changes to this section
on our own initiative in the final rule.
We restructured the section to change
proposed paragraph (a) to a chapeau
introducing paragraphs (a) and (b) of the
final rule and reordered the language of
the chapeau to match the order in which
the notifications are listed in the final
rule. On our own initiative we replaced
the phrase, ‘‘30 days after FDA issues
the notice to the accredited laboratory’’
with, ‘‘30 calendar days after receiving
the notice,’’ because these notices do
not always come from FDA and it is
clearer to specify ‘‘calendar’’ days here
and in paragraph (b) of this section. In
the case of a recognized accreditation
body that chooses to allow its
recognition to expire or voluntarily
relinquishes its recognition, § 1.1116(b)
requires the recognized accreditation
body to notify the laboratories it has
LAAF-accredited. We also updated
cross-references to the sections
requiring notice to the LAAF-accredited
laboratories. In addition, we corrected
the reference to the section addressing
a recognized accreditation body
allowing expiration of, or voluntarily
relinquishing, its recognition.
Comments regarding this section are
discussed below.
(Comment 100) Comments state that
the 15-day timeframe proposed in
§ 1.1164(b), during which time a LAAFaccredited laboratory ‘‘orphaned’’ by its
recognized accreditation body may
inform FDA that the laboratory intends
to relinquish its LAAF-accreditation,
instead of taking the actions required by
paragraph (a), is inconsistent with the
timeframes established in the section on
relinquishment (see § 1.1140 of the final
rule). Section 1.1140 of the final rule
states that a LAAF-accredited laboratory
that chooses to voluntarily relinquish its
LAAF-accreditation must provide at
least 60 calendar days advance notice of
the intention to relinquish. Comments
indicate that the 15-day timeframe in
proposed § 1.1164(b) seems irrelevant
because a laboratory could decide to
depart the program on the 25th day after
receiving FDA’s notice and still comply
with the timeframes established in
§ 1.1140.
(Response 100) We agree with these
aspects of the comments and so have
revised the introduction of this section
to provide that the LAAF-accredited
laboratory has 30 calendar days to either
provide to FDA the required
documentation (i.e., its most recent
internal audit (see § 1.1154(a)(5)),
documentation showing compliance
with the conflict of interest
requirements in § 1.1147, and
documentation of the most recent
proficiency test for each method to
which the laboratory is LAAFaccredited (see § 1.1138(a)) or inform
FDA of its intent to relinquish under
§ 1.1140(a).
5. How does a laboratory request
reinstatement of LAAF-accreditation
(§ 1.1142)?
This topic appeared in § 1.1165 in the
proposed rule. In the proposed rule,
paragraph (a) of this section provided
that a laboratory that had any portion of
its LAAF-accreditation withdrawn by
the recognized accreditation body or
was disqualified by FDA for any portion
of its LAAF-accreditation, may seek
reinstatement by submitting a new
application for LAAF-accreditation. We
also proposed that the laboratory take
additional actions: Notify FDA of
certain information prior to submitting
the application to the recognized
accreditation body and demonstrate to
the recognized accreditation body to
which the laboratory is newly applying
that the grounds for the withdrawal or
disqualification have been resolved and
the laboratory has implemented
measures to prevent recurrence.
In the proposed rule, paragraph (b) of
this section stated that a LAAFaccredited laboratory that voluntarily
relinquished any portion of its LAAFaccreditation may seek reaccreditation
by submitting a new application to a
recognized accreditation body.
We revised the section and section
title to reflect updated terminology and
made other conforming and minor
editorial changes within the section. In
this section and throughout the final
rule, we removed ‘‘legal’’ as a modifier
for certain names required to be
submitted (for example, names of the
laboratory and recognized accreditation
body in this section and the analyst
names in other sections) as the
distinction was unnecessary and
inconsistently used in the proposed
rule. We also removed ‘‘valid’’ as a
modifier for contact information in
§ 1.1142(a)(1) as it was also
unnecessary. We received no comments
solely related to this section.
I. Comments Regarding Requirements
for LAAF-Accredited Laboratories
TABLE 10—CHANGES TO SECTIONS REGARDING REQUIREMENTS FOR LAAF-ACCREDITED LABORATORIES
Final rule
Proposed rule
Requirements for LAAF-Accredited Laboratories.
Requirements for Accredited Laboratories ......
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Notes
Revised to reflect new terminology.
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TABLE 10—CHANGES TO SECTIONS REGARDING REQUIREMENTS FOR LAAF-ACCREDITED LABORATORIES—Continued
Final rule
Proposed rule
Notes
N/A .....................................................................
§ 1.1146 What are the general requirements
for accredited laboratories to remain accredited?
§ 1.1147 What impartiality and conflict of interest requirements must accredited laboratories meet?
§ 1.1148 What quality assurance requirements must accredited laboratories meet?
§ 1.1149 What oversight standards apply to
sampling?
§ 1.1150 What requirements apply to analysis of samples by an accredited laboratory?
§ 1.1151 What requirements apply to the
methods of analysis an accredited laboratory uses to conduct food testing under this
subpart?
§ 1.1152 What notifications, results, and reports must accredited laboratories submit to
FDA?
New section ......................................................
Merged contents of proposed section with
§ 1.1138.
§ 1.1147 What are the impartiality and conflict
of interest requirements for a LAAF-accredited laboratory?
N/A .....................................................................
§ 1.1149 What oversight standards apply to
sampling?
§ 1.1150 What are the requirements for analysis of samples by a LAAF-accredited laboratory?
§ 1.1151 What requirements apply to the
methods of analysis a LAAF-accredited laboratory uses to conduct food testing under
this subpart?
§ 1.1152 What notifications, results, reports,
and studies must a LAAF-accredited laboratory submit to FDA?
§ 1.1153 What are the requirements for submitting abridged analytical reports?
§ 1.1154 What other records requirements
must a LAAF-accredited laboratory meet?
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1. What are the impartiality and conflict
of interest requirements for a LAAFaccredited laboratory (§ 1.1147)?
In the proposed rule, § 1.1147(a)
required LAAF-accredited laboratories
to generally prohibit employees,
contractors, and agents involved in food
testing and related activities from
accepting any money or other item of
value from the owner or consignee of
the food that is being, or will be, tested
by the laboratory. Proposed paragraph
(b) excepted from the general
prohibition the payment of fees for
testing services; reimbursement of direct
costs associated with the testing; and for
laboratories owned by the owner or
consignee, payment of salary. Proposed
paragraph (c) required that payment by
the owner or consignee for the testing
service, and any direct reimbursement
related to the testing, must be
independent of the test outcome.
On our own initiative we revised
paragraph (b)(1). In the proposed rule,
paragraph (b)(1) excepted, ‘‘payment of
fees for food testing services.’’ In the
final rule, it excepts, ‘‘[p]ayment of fees
for food testing under this subpart and
related services,’’ because owners and
consignees may pay a LAAF-accredited
laboratory for services incidental to
testing, such as to collect a sample or for
shipping and handling costs.
We have revised the text of this
section to update terminology and to
make other conforming and editorial
changes. We also revised the section
title to read, ‘‘What are the impartiality
and conflict of interest requirements for
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Revised to reflect new terminology and to improve clarity.
Removed this section and relocated content to
§ 1.1138.
Section title remains the same.
Revised to reflect new terminology and to improve clarity.
Revised to reflect new terminology.
Revised to reflect new terminology and include ‘‘studies’’.
§ 1.1153 What other records requirements
must an accredited laboratory meet?
Created new stand-alone section for the portions of § 1.1152 related to abridged reports.
Relocated records section and revised to reflect new terminology.
a LAAF-accredited laboratory?’’ We
discuss additional changes to the
section made in response to comments
below.
(Comment 101) We proposed to allow
laboratories owned by the owner or
consignee (‘‘in-house’’ laboratories) to
become LAAF-accredited. We received
several comments regarding this
proposed policy.
Some comments express support for
the proposed policy. These comments
state that the LAAF-accreditation
process and other requirements in the
proposed rule would protect against
potential conflicts of interest. Some of
these comments express the view that
although in-house laboratories should
be permitted to become LAAFaccredited, they should not be required
to do so.
Some comments oppose the proposed
policy. Some of these comments
contend in-house laboratories cannot be
free from conflicts of interest. Some
comments contend that this conflict of
interest may place public health at risk
since owners or consignees testing their
food would have a vested interest in the
outcome of the food testing; some
comments cite a widely-publicized
foodborne illness outbreak and state that
the risk of our proposed policy is the
recurrence of such situations. Some
comments also seem to argue that inhouse laboratories do not, or inherently
cannot, satisfy the conflict of interest
provisions in ISO/IEC 17025:2017.
These comments may have been
attempting to address our statement in
the proposed rule that we were unaware
of any information indicating that
laboratories owned by owners or
consignees are less able to become
LAAF-accredited than independent
laboratories.
Some comments opposing the
proposed policy argue that the statute
precludes in-house laboratories from
conducting at least import-related
testing under the LAAF program. These
comments disagree with FDA’s
interpretation of ‘‘on behalf of’’ in
422(b)(1)(B) of the FD&C Act. These
comments argue that when Congress
used such language it was clearly
Congress’s intent to prohibit in-house
laboratories from testing their own
products under that 422(b)(1)(B) of the
FD&C Act.
In the proposed rule, we said that
reading the statute such that in-house
laboratories would be ineligible for
import-related testing under this
program could raise potential concerns
under U.S. international trade
obligations. (see 84 FR 59452 at 59461
through 59462). We tentatively
concluded that such a reading would
not comport with section 404 of FSMA,
which states that nothing in the FD&C
Act shall be construed in a manner
inconsistent with the agreement
establishing the WTO or any other treaty
or international agreement to which the
United States is a party. Some
comments that oppose the proposed
policy disagree with our proposed
reasoning, and state that there is
insufficient evidence that treaties or
international agreements apply in this
instance or that they are sufficient to
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justify, according to these comments,
risking public health by allowing inhouse laboratories to be eligible for
LAAF-accreditation.
(Response 101) After considering the
comments and reviewing the statute, we
are retaining the proposed policy such
that in-house laboratories may become
LAAF-accredited to conduct any of the
testing described in § 1.1107 as long as
those laboratories meet all the
laboratory requirements of this subpart.
We acknowledge that opportunities
may exist for owners and consignees to
exert undue influence over an in-house
laboratory; owners and consignees
generally do not have the same amount
of power and control over an
independent or third-party laboratory.
However, as we discussed in the
proposed rule, ISO/IEC 17025:2017
contains several requirements relevant
to conflict of interest and impartiality
(see 84 FR 59452 at 59478). For
example, ISO/IEC 17025:2017 section
4.1 requires the laboratory to conduct its
activities impartially and to be
structured and managed so as to
safeguard impartiality, to not allow
commercial, financial, or other
pressures to compromise its
impartiality, and, if a risk to impartiality
is identified, the laboratory must be able
to demonstrate how the laboratory
eliminates or minimizes the risk (Ref. 3).
We are aware that in-house laboratories
are accredited to ISO/IEC 17025:2017,
indicating that accreditation bodies
have found sufficient safeguards in
place to allow such laboratories to be
impartial. We have no basis to question
those accreditation body
determinations.
To further protect the integrity of the
testing conducted under this subpart,
§ 1.1147 imposes on laboratories
impartiality and conflict of interest
requirements that supplement those
contained in ISO/IEC 17025:2017. With
limited exceptions, we require
laboratory employees, contractors, and
agents not to accepts gifts or other items
of value from owners or consignees
whose food is tested by the laboratory.
We also require that the owners’ or
consignees’ payment to the laboratory
be independent of the testing outcome.
This final rule also contains oversight
provisions which allow accreditation
bodies to assess, and FDA to review, the
performance of, laboratories.
Recognized accreditation bodies and
FDA both have the authority and the
responsibility to exercise their oversight
to help ensure that laboratories comply
with the requirements of this subpart
including the requirements of § 1.1147.
Some comments point to a widely
publicized foodborne illness outbreak
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case as an example of the risk presented
by in-house laboratories. In that case,
several executives and employees were
convicted and sentenced for Federal
crimes related to selling peanut butter
products that the defendants knew had
tested positive for Salmonella. Among
other misdeeds, the defendants
fabricated test results. That is, the
testing accurately indicated that the
product contained Salmonella but the
owners produced fraudulent test
certificates stating the opposite. In
addition, the firm did not use an inhouse laboratory; rather, it sent its
product to two different independent
laboratories for analysis. Accordingly,
the facts of that case have no direct
bearing on the integrity of in-house
laboratories. Furthermore, section
422(b)(2) of the FD&C Act, implemented
by § 1.1152(b) of this final rule, requires
laboratories to send the results of all
tests covered by this subpart directly to
FDA, thus protecting against the
opportunity for owners or consignees to
fabricate test results of independent or
third-party laboratories.
We disagree that the statute precludes
in-house laboratories from conducting
any or all testing covered by this
subpart. Section 422(b)(1) of the FD&C
Act contains two paragraphs. Paragraph
(A) states that certain testing ‘‘by or on
behalf of an owner or consignee’’ must
be conducted by a LAAF-accredited
laboratory; this paragraph describes
specific followup testing required by
existing FDA regulations and testing ‘‘as
the Secretary deems appropriate,’’ in
both cases to address an identified or
suspected food safety problem.
Paragraph (B) states that certain testing,
‘‘on behalf of an owner or consignee’’
must be conducted by a LAAFaccredited laboratory; paragraph (B)
describes testing in support of
admission of detained imported food.
First, section 422 of the FD&C Act
explicitly contemplates the
participation of in-house laboratories
when it states that ‘‘food testing shall be
conducted . . . by or on behalf of an
owner or consignee’’ (section
422(b)(1)(A)). As we discussed in the
proposed rule, section 422(b)(1)(B) of
the FD&C Act is silent with respect to
testing conducted on imports by owners
or consignees. Under one possible
interpretation, the absence of ‘‘by or’’ in
paragraph (B) would mean that only
independent laboratories may be
accredited to conduct food testing on
detained imports (84 FR 59452 at 59461
through 59462).13 Under this
13 Under another possible interpretation of
section 422(b)(1), the phrase, ‘‘on behalf of’’ may be
read as sufficiently broad to encompass in-house
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interpretation, laboratories owned by
owners or consignees would be
prohibited from conducting such
import-related food testing, but
laboratories owned by owners or
consignees would be eligible to conduct
food testing under section 422(b)(1)(A)
of the FD&C Act. That would raise the
prospect that section 422(b)(1) would
not apply equally to domestic and
foreign goods (section 422(b)(1)(A) of
the FD&C Act would generally apply to
domestic owners or consignees and
potentially foreign owners or
consignees). Such a difference in
treatment could raise potential concerns
under U.S. international trade
obligations. In this regard, we note that
section 404 of FSMA provides that
nothing in the FD&C Act shall be
construed in a manner inconsistent with
the agreement establishing the WTO or
any other treaty or international
agreement to which the United States is
a party.
In considering section 422(b)(1)(B) of
the FD&C Act and section 404 of FSMA
together, we finalize the proposed
conclusion that it is reasonable to
interpret section 422(b)(1)(B) of the
FD&C Act to allow laboratories owned
by owners or consignees to conduct
food testing that falls under section
422(b)(1)(B) of the FD&C Act, provided
that such laboratories meet the
accreditation requirements proposed.
We understand some comments to
question whether treaties or
international agreements are relevant to
the food testing circumstances covered
by this subpart. Other comments appear
to question whether the existence of
such treaties or international agreements
justifies permitting in-house laboratories
to participate despite the purported
public health risks posed by such
participation. It is undisputed that the
United States is a party to the WTO, and
two WTO agreements are relevant to
FDA’s regulatory authorities: (1) The
Agreement on the Application of
Sanitary and Phytosanitary Measures
and (2) the Agreement on Technical
Barriers to Trade. More significantly,
however, we believe we have addressed
the fundamental issue at the heart of the
opposing comments, i.e., the concern
that allowing in-house laboratories
(whether foreign or domestic) to become
LAAF-accredited jeopardizes public
health because in-house laboratories
have such a vested interest in vouching
laboratories (i.e., an in-house laboratory conducts
testing on behalf of the entity that owns the
laboratory). In that case, the absence of ‘‘by or’’ is
inconsequential, and we would again reach the
conclusion that allowing in-house laboratories to
conduct any testing under this subpart is consistent
with the statute.
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for their products that their test results
are inherently suspect. Above, we have
explained our view that robust
requirements in ISO/IEC 17025:2017
and in the final rule address conflict of
interest and impartiality such that inhouse laboratories may qualify to
become LAAF-accredited. We also have
explained our view that the statute
appropriately may be read to permit
participation by such laboratories. We
therefore conclude that owners or
consignees may become LAAFaccredited as long as they satisfy all the
relevant requirements of this subpart.
Finally, to clarify, no laboratory is
required to participate in this program;
it is entirely voluntary for both
accreditation bodies and laboratories.
(Comment 102) Some comments agree
with the requirement in § 1.1147(c) that
payment for laboratory services must be
independent of the testing result; these
comments indicate that it is routine
commercial practice to require payment
in advance of testing to prevent nonpayment for violative samples.
(Response 102) We appreciate
comments concurring with the proposed
provision and are pleased that it is
common practice for laboratories to
require payment prior to conducting the
test. On our own initiative and because
the section discusses impartiality and
conflict of interest requirements for a
LAAF-accredited laboratory, we have
clarified in § 1.1147(c) of the final rule
that the LAAF-accredited laboratory
must require the owner’s or consignee’s
payment to be independent of the
outcome of the test results.
2. What are the quality assurance
requirements for LAAF-accredited
laboratories (§ 1.1148)?
Proposed § 1.1148 concerned the
quality assurance requirements beyond
those in ISO/IEC 17025:2017 for LAAFaccredited laboratories. Paragraph (a)
described the annual proficiency test
requirement and provided for the
opportunity to use a comparison
program if an annual proficiency test for
the method was not available or was
otherwise impracticable. Paragraph (b)
provided that LAAF-accredited
laboratories ensure procedures for
monitoring the validity of the results of
testing conducted under this subpart
include the use of reference materials or
quality control samples with each batch
of samples it tests under this subpart.
On our own initiative, we determined
that the requirements in proposed
§ 1.1148 are more appropriately
categorized as eligibility requirements
for LAAF-accredited laboratories. As
such, these provisions are in § 1.1138 of
the final rule.
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3. What oversight standards apply to
sampling (§ 1.1149)?
In the proposed rule, § 1.1149(a)
required a LAAF-accredited laboratory
to develop (if the laboratory collected
the sample) or obtain (if the laboratory
was not the entity responsible for
collecting the sample) certain
documents related to sampling, prior to
analyzing the sample. Proposed
paragraph (b) provided that if the
sampling documentation requirements
were not met, we might consider the test
to be invalid.
Proposed paragraph (a)(1) required
documentation of the sampler’s
qualifications by training and
experience. We proposed that such
qualification documentation need only
be obtained the first time an individual
collects a sample, unless the
qualifications had changed significantly.
Proposed paragraph (a)(2) required a
written sampling plan that identified
the sampler and listed factors the
sampler would control to ensure sample
validity. Proposed paragraph (a)(3)
required a written sample collection
report to include at least the following
five elements: The product code or, if
collecting an environmental sample, the
location and a description of the
environment; the date of sampling; the
size, identity, and quantity of the
sample; documentation of the sample
collection procedures and any sample
preparation techniques; and
documentation of the chain of custody
and measures taken to secure the
validity of the subsequent test,
including controlling for the
representational nature of the sample.
On our own initiative, we added, ‘‘lot
number’’ to the information required in
a sample collection report. This
information is consistent with the other
types of information required in a
sample collection report and will
provide us with better visibility into
how the sample was collected, as well
as additional information to allow us to
trace the sample back to its origin.
In terms of the requirement that the
sample collection report include a
product code, for domestic products we
mean the product code assigned by the
manufacturer, packager, or labeler, as
applicable. In the import context, a
product code is a string of letters and
numbers that represent certain
information such as which industry
produced the item. For more
information on product codes for
imports, see https://www.fda.gov/
industry/import-program-resources/
product-codes-and-product-codebuilder#whatcode. On our own
initiative, we moved the provisions
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addressing the advance notice of
sampling from proposed § 1.1152(i) to a
new paragraph (c) in § 1.1149 of the
final rule. In the proposed rule, these
provisions required that in certain
circumstances FDA may require a
LAAF-accredited laboratory to request
and obtain from a sampler advance
notice of sampling. We proposed that
we may require advance notice of
sampling if we determine that sampling
may materially differ from the sampling
documented in the associated sampling
plan or sample collection report, or, if
we determine that the sampling may
otherwise have been improper.
When we require advance notice of
sampling, either the LAAF-accredited
laboratory must submit, or it must
require the sampler to submit, the notice
to FDA 48 hours before each of that
sampler’s next 10 LAAF program
sampling collections. We proposed that
the notice must contain:
• A unique identification code for the
advance notice of sampling;
• The name of the accredited
laboratory that will conduct analysis of
the sample;
• The name and street address of the
sampler that will conduct the sampling;
• A primary contact (name and phone
number) for the sampler;
• The reason(s) why the food product
or environment will be sampled;
• The location of the food product or
environment that will be sampled,
including sufficient information to
identify the food product or
environment to be sampled;
• As applicable, the U.S. Customs
and Border Protection entry and line
number(s) and the FDA product code(s)
of the food; and
• The date and approximate time the
sampling will begin.
We also proposed that FDA may, as
appropriate, specify the type of food
product or environment that requires
advance notice of sampling. We
proposed that we might specify an
amount of time other than 48 hours
advance notice is required, between 24
hours and 7 business days. We proposed
that we might require a number of
sampling occasions other than 10,
between 1 and 20. Finally, we proposed
that we might notify the LAAFaccredited laboratory that additional
advance notice is not required.
As discussed previously in Response
22, we added the term, ‘‘sampling firm’’
in § 1.1102 and defined it to mean an
entity that provides sampling services.
We have updated the references to
sampler in § 1.1149 to more accurately
distinguish between requirements for
the sampler and the sampling firm.
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On our own initiative, for clarity, we
added the phrase, ‘‘at least’’ before ‘‘48
hours.’’ We clarify in § 1.1149(c)(2)(i)
that FDA may, as appropriate, specify
that the requirement regarding the
advance notice of sampling applies to
samples collected by a particular
sampler. We also deleted the word,
‘‘code,’’ after, ‘‘identification,’’ because
it was unnecessary and inconsistent
with other uses of ‘‘identification’’ in
this subpart. We also clarify in the final
rule that ‘‘the FDA product code(s) of
the food’’ contained in proposed
§ 1.1152(i)(3)(vii) must include the
product code of the food product (if
product is being sampled) or the
location and a description of the
environment (if environment is being
sampled). See § 1.1149(c)(3)(viii) of the
final rule. Finally, we made
terminology, conforming, and minor
editorial changes to this section. We
discuss changes made in response to
comments below.
(Comment 103) Some comments ask
FDA to clarify what constitutes an
acceptable sampling plan. Some
comments state that our sampling
requirements are different for different
types of commodity and test, that FDA
commonly rejects results due to
sampling variations, and that we should
publish all FDA Laboratory Information
Bulletin methods and refer to them in
import alerts as applicable. Some
comments recommend that we align
sampling requirements under this
subpart with certain existing documents
that describe a scientific approach to
creating or assessing sampling protocol:
The AAFCO/Association of Public
Health Laboratories/Association of Food
and Drug Officials documents
‘‘GOODSamples’’ (Ref. 19) and ‘‘GOOD
Test Portions’’ (Ref. 20).
(Response 103) As we discussed in
the proposed rule, proper sampling
procedures are essential to meaningful
test results and it is therefore important
that this subpart address the training
and procedures of samplers. After
careful consideration of the comments,
we have decided that the most
appropriate way to support those goals
at the present time is through the
oversight provisions in this section,
rather than by requiring ISO/IEC
17025:2017-accreditation of samplers.
Accordingly, we are not establishing
model standards for sampling in this
subpart. For more information on our
decision not to require the accreditation
of samplers, see (Response 98.
Regarding comments’ suggestion that
FDA publish all Laboratory Information
Bulletin methods, we note that although
we have published some (see https://
www.fda.gov/science-research/field-
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science-and-laboratories/laboratoryinformation-bulletins), Laboratory
Information Bulletins typically do not
include sampling collection
information. However, there are a
variety of other publicly available FDA
resources concerning sampling.
Generally applicable sampling
procedures and methods are described
in the FDA Food Compliance Programs
(https://www.fda.gov/food/complianceenforcement-food/food-complianceprograms) and the sampling chapter of
the IOM, Ch. 4. The IOM section 4.3.7.2
addresses random sampling. A random
representative sample should reflect the
average composition of the entire lot to
ensure that analytical results are
meaningful. This is particularly
imperative when potential foodborne
adulterants that pose a public health
risk are not homogeneous in the
product.
FDA also provides more specific
information on sampling in certain
circumstances.
Some import alerts contain more
customized information on sampling
(see https://www.fda.gov/scienceresearch/field-science-and-laboratories/
private-laboratory-testing). Sampling for
the testing of bottled drinking water,
shell eggs, and sprouts required under
§ 1.1107(a)(1) is impacted by the
product-specific regulations and/or may
be informed by product-specific
guidance. See e.g., §§ 118.7 (addresses
shell egg sampling); 129.35(a)(3)(ii)
(addresses bottled drinking water
sampling); and ‘‘Compliance with and
Recommendations for Implementation
of the Standards for the Growing,
Harvesting, Packing, and Holding of
Produce for Human Consumption for
Sprout Operations: Draft Guidance for
Industry,’’ available at https://
www.fda.gov/media/102430/download
(addresses product and environmental
sampling for sprouts). When finalized,
this guidance will represent FDA’s
current thinking on this issue.
FDA appreciates the suggestion that
we consult reputable industry sampling
guidance documents. We note that the
‘‘GOODSamples’’ and ‘‘GOOD Test
Portions’’ documents were generally
written for use by State and local
regulatory laboratories and not for
private laboratory use. Nevertheless, we
are aware of these documents and agree
they are helpful resources.
(Comment 104) Some comments
disagree with, or request additional
clarification about, certain provisions
within § 1.1149. Some comments
express concern that requirements in
§ 1.1149(a) for documentation before
analyzing the sample will lead to delays
in testing and obtaining results, and
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some comments express concern that
the delay could interfere with the
sample’s integrity. Some of those
comments suggest that instead, FDA
should have a mechanism in place to
approve the sampling method or plan
prior to sample collection.
A few comments ask FDA to clarify
how a laboratory is to evaluate the
effectiveness of a sampling plan.
Comments also request that FDA clarify
what would constitute a ‘‘significant
change’’ in a sampler’s qualifications
and how a laboratory would learn about
such a change.
Some comments contend that FDA
should not collect all the proposed
sampling documentation in § 1.1149(a)
in every instance, and argue that the
documentation need not be collected if
the sample is collected at a domestic
food facility, because such entities are
subject to preventive controls
regulations and we could allow the
preventive controls qualified individual
to attest to the sufficiency of the
sampler’s qualifications and the
sampling procedures.
Other comments suggest the
documentation in § 1.1149(a) should be
submitted to the laboratory’s recognized
accreditation body. Some comments
express the view that recognized
accreditation bodies are noticeably
absent from the sample document
collection process and this could be
rectified by either requiring that
samplers be accredited or by
establishing clear substantive sampling
requirements against which recognized
accreditation bodies could assess
sampling documents.
(Response 104) The submission to
FDA of the sampler’s qualifications, the
sampling plan, and the sampling
collection report will allow the Agency
to exercise oversight over the sampling
that occurs under this subpart. We
acknowledge that the proposed rule
could have been clearer on this point,
but there is no requirement that the
sampling documents be submitted to or
approved by FDA prior to the LAAFaccredited laboratory conducting the
test. Nor does the LAAF-accredited
laboratory need to evaluate the
documents or do anything with them
prior to conducting the test; the
laboratory need only submit the
documents to FDA with the analytical
report, after the testing is complete (see
§ 1.1152(c)). As long as the LAAFaccredited laboratory possesses the
documents, it can proceed to conduct
the test, and we presume that in most
instances the documents will either be
developed by the laboratory (if it
collected the sample) or delivered with
the sample (if another entity collected
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the sample). Either way, once the LAAFaccredited laboratory possesses the
sample we expect it will usually also
possess the documentation required
under § 1.1149(a). Relatedly, at the
present time the Agency does not
perceive a need to require or create a
pathway for routine preapproval of the
sample method or plan prior to
sampling.
After considering the comments, we
are removing from the final rule the
requirement that the LAAF-accredited
laboratory obtain documentation of an
individual sampler’s qualifications more
than once if that person’s qualifications
have ‘‘significantly changed.’’ We no
longer view the information as
necessary and agree that often the
LAAF-accredited laboratory would be
unaware of it. We have also clarified
that a LAAF-accredited laboratory may
refer to the previously submitted
qualifications if the LAAF-accredited
laboratory has previously submitted
them to FDA under § 1.1152(c). We do
not expect many samples collected
under this program to come from food
facilities subject to the preventive
controls regulations and so decline the
invitation to create an exception to
§ 1.1149(a) for such establishments. We
discourage samplers and LAAFaccredited laboratories from submitting
to us an individual’s social security
number, or other unnecessary
personally identifiable information.
For the reasons discussed above at
Response 98, we have decided not to
require the accreditation of samplers at
the present time, and we also do not
perceive a reviewing role for the
recognized accreditation bodies with
regard to the documents required under
§ 1.1149(a). As noted above, submission
of those documents to FDA is the
mechanism whereby we may exercise
oversight of the sampling that occurs
under this subpart.
(Comment 105) Some comments
express concern with the proposed
provisions on advance notice of
sampling. Comments ask for
clarification regarding how these
requirements might work in the context
of the directed food laboratory order and
the other testing conducted under this
subpart. Comments also indicate that
delays associated with this requirement
could lead to significant losses for
entities, particularly regarding
perishable foods. A few comments
suggest that requiring advance notice of
sampling may not be appropriate when
resolving a food safety issue that needs
rapid testing and that it is commercially
and logistically impractical to regularly
specify an exact date and approximate
time of sampling.
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(Response 105) FDA has concluded it
is reasonable for public health reasons
to require advance notice of sampling
when the Agency suspects a sampler
previously has failed to follow proper
protocols. Again, utilizing appropriate
sampling techniques is essential to
generating a representative sample,
which is in turn essential to producing
a meaningful test result. FDA generally
will require the advance notice of
sampling to be submitted to us at least
48 hours prior to collection of the
sample(s) to allow us time to determine
whether to observe the sampling or to
take an audit sample and assign
appropriate personnel to the task.
However, under § 1.1149(c)(2)(iii), we
may require an amount of time other
than 48 hours, perhaps as little as 24. In
tailoring the requirements to a particular
situation, we would consider a variety
of factors including product shelf life.
It is possible that we could require
advance notice of sampling in
connection with any test required to be
conducted by a LAAF-accredited
laboratory, including a directed food
laboratory order. As the circumstances
in which we might require advance
notice of sampling vary widely, it is
impossible to predict or generalize
regarding how these requirements will
be implemented, e.g., depending on the
provision of § 1.1107 under which the
testing falls. However, FDA will take
into consideration such factors as the
type of product, its shelf life, timing
requirements of the test method, public
health context for the testing, etc., and
will use the options under § 1.1149(c)(2)
to customize the requirements
accordingly.
(Comment 106) Some comments
recommend that FDA clarify how we
will notify a LAAF-accredited
laboratory that a sampler must provide
advance notice of sampling under
§ 1.1149(c) (proposed § 1.1152(i)), and
how we will track the subsequent 10
samples from that sampler. Some
comments suggest that we share with
owners or consignees the pending
requirement for advance notice of
sampling. Some comments emphasize
the logistical and operational challenges
of several entities coordinating around
the collection of a sample. With regard
to the requirements in § 1.1149(c)(3)(iii)
(proposed § 1.1152(i)(3)(iii)) that the
advance notice include the sampler’s
name and street address, some
comments seek clarification as to why
we would require the sampler’s street
address. Some comments recommend
that we clarify that the requirement is
for a business name and address for the
sampling entity, and not an individual’s
name and address. In addition, these
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comments suggest we clarify that the
primary contact required by
§ 1.1149(c)(3)(iv) (proposed
§ 1.1152(i)(3)(iv)) should be the
individual managing the sampling
operation.
(Response 106) First, we note that
under § 1.1149(c), the LAAF-accredited
laboratory is not simply communicating
a requirement to the sampler. Instead,
the LAAF-accredited laboratory is the
entity required either to obtain the
advance notice of sampling from the
sampler and submit it to FDA itself, or
to require the sampler to submit the
notice directly to FDA.
In terms of our communications with
LAAF-accredited laboratories regarding
§ 1.1149(c), such communications may
occur by email but regardless, will be
tailored to the circumstances. Further,
we may use a variety of methods to
track subsequent collections by a
sampler identified under § 1.1149(c);
one method will be to review the
documents we receive under
§ 1.1149(a).
Regarding the suggestion that we
inform owners and consignees when we
will require advance notice of sampling
from a particular sampler, we have
revised the codified text to state that we
may, as appropriate, notify the owner or
consignee that advance notice of
sampling applies to food testing
conducted on its behalf. Such
notification is consistent with current
FDA practice in the context of reviewing
import-related private laboratory
analytical packages (PLAPs), which we
have been doing for years. If FDA
identifies a deficiency in a PLAP, we
routinely inform the owner or consignee
the basis for FDA’s concern (i.e., we
would inform the owner or consignee if
we identified a sampling problem that
may have impacted the test result).
FDA has experience auditing
samplers and we acknowledge that it
can be a logistical challenge.
Nevertheless, when we have cause for
concern with a particular sampler,
especially given the public health
context in which testing under this
subpart occurs, it is reasonable to
require advance notice of sampling.
Finally, after considering the
comments regarding the sampler’s name
and address required by
§ 1.1149(c)(3)(iii) and the primary
contact required by § 1.1149(c)(3)(iv),
we note that we have revised this
section to incorporate the new term,
‘‘sampling firm’’ (see § 1.1102). We have
revised these sections to refer instead to
the sampling firm information in the
final rule.
Our general purpose in requiring a
sampling entity’s address in an advance
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notice of sampling is to clearly identify
the commercial operation responsible
for conducting the sampling. Again, we
would only require an individual
sampler’s name and street address if
that person has been contracted to
provide sampling services for testing
conducted under this subpart. If an
individual has assumed responsibility
for that task, then we have an interest
in ensuring that we can properly
identify that individual and a street
address helps us to do so. We again
emphasize that all the tests required to
be conducted by a LAAF-accredited
laboratory occur in the context of
heightened public health concern.
Although we are not requiring the
accreditation of samplers, we
nevertheless require that any
individuals collecting samples under
this subpart be properly qualified.
Owners and consignees risk having us
reject test results if the sample that was
analyzed, was collected using improper
sampling methods or procedures. If we
have cause to believe that past sampling
conducted by an individual has, for
example, materially differed from the
sampling described in the sample
collection report, this may constitute a
reasonable need to clearly identify that
individual and may also provide a
reasonable basis on which to audit that
person’s future sampling activities.
4. What are the requirements for
analysis of samples by a LAAFaccredited laboratory (§ 1.1150)?
Proposed § 1.1150 concerned
requirements for analysis of samples by
a LAAF-accredited laboratory.
Paragraph (a) required analysis to be
conducted on the sample received from
the sampler or a representative sample
of the sample received from the
sampler. Paragraph (b) provided
requirements for the analyst conducting
the analysis: (1) To be qualified by
appropriate education, training or
experience; (2) to have appropriately
demonstrated their ability to perform
the method properly in the specific
context of the food testing to be
conducted; and (3) be in compliance
with the conflict of interest
requirements in this subpart. Paragraph
(c) required that the method used to
conduct food testing meet the
requirements of § 1.1151. Paragraph (d)
stated that the LAAF-accredited
laboratory must document testing
information and test results to account
for all the information that is required
to be included in a full analytical report.
We note that this requirement concerns
all testing under this subpart, regardless
of whether the LAAF-accredited
laboratory submits full or abridged
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analytical reports (see §§ 1.1152 and
1.1153 of the final rule).
We have made revisions to the section
to update terminology and crossreferences to reflect the reorganization
of the final rule. We revised the section
title to read, ‘‘What are the requirements
for analysis of samples by a LAAFaccredited laboratory?’’ and made minor
editorial changes to the section. We
received no comments specific to this
section and made no further changes.
5. What requirements apply to the
methods of analysis a LAAF-accredited
laboratory uses to conduct food testing
under this subpart (§ 1.1151)?
Proposed § 1.1151 concerned
requirements for methods of analysis a
LAAF-accredited laboratory uses to
conduct food testing under this subpart.
Paragraph (a) required that analysis
conducted under this subpart must be
conducted using a method of analysis
that is fit for purpose, within the
laboratory’s scope of LAAFaccreditation, and has been
appropriately validated and verified for
use in such food testing. In paragraph
(b), we stated that if a method is
prescribed by the FD&C Act or
implementing regulations for the testing
under § 1.1107(a)(1), or by the directed
food laboratory order for the testing
under § 1.1107(a)(2), then that method
must be used to conduct food testing
under this subpart. Paragraph (c) stated
that a LAAF-accredited laboratory must
validate methods and record the
information. Paragraph (d) stated that
before a LAAF-accredited laboratory
conducts food testing under this subpart
using a method for a specific intended
use for which the method has been
validated, but for which the laboratory
has not previously applied the method
under this subpart, the LAAF-accredited
laboratory must have verified it can
properly perform the method for the
specific intended use. Further, a LAAFaccredited laboratory performing
verification of a method under this
subpart must record the method that is
the subject of the verification, the
intended purpose of the analysis, the
results of the verification, the procedure
used for the verification, supporting
analytical data, and whether the
accredited laboratory is able to properly
perform the method. Paragraph (e)
provided that a LAAF-accredited
laboratory may submit a request to FDA
to use a method outside its scope of
LAAF-accreditation. FDA may approve
the request if: (1) A new method has
been developed and validated, but no
reasonably available laboratory has been
accredited to perform the method and
(2) use of the method is necessary to
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prevent, control, or mitigate a food
emergency or foodborne illness
outbreak.
We made several revisions to this
section on our own initiative to improve
clarity and readability of the section. We
also have updated terminology and
revised cross-references throughout the
section, including the section title.
Comments regarding this section are
discussed below.
(Comment 107) Some comments ask
FDA to identify the criteria that will be
used to assess whether a method is ‘‘fit
for purpose’’ in § 1.1151(a)(1). Other
comments request that FDA provide a
list of validated methods deemed fit for
purpose. These comments state that
since there may be more than one
method that could be classified as such,
there may be inconsistent test results
from use of different methodologies.
In the proposed rule, we referenced a
page on our website that lists methods
currently being used for food and feed
safety programs: https://www.fda.gov/
food/science-research-food/laboratorymethods-food (84 FR 59452 at 59481).
Some comments argue that this website
is often outdated or incomplete, and
that FDA should publish a complete list
and reference it in import alerts. Other
comments urge FDA to specify methods
in import alerts. These comments state
that some import alerts cover perishable
food items such as produce, and it
would be impossible to validate a new
method quickly enough to test such
perishable goods.
(Response 107) As a preliminary
matter, we describe some key terms.
Validation is meant to demonstrate that
a method is suitable for the intended
purpose, and verification is meant to
show that the laboratory can properly
apply the method for a specific intended
use, and meet the performance criteria
of the method for the matrix and analyte
being tested. When we say a method is
‘‘fit for purpose,’’ we mean that it may
only be applied for the food testing to
which it is intended to apply, for the
purpose for which it is validated, and
that the method performance is suitable
for the intended use—specifically with
respect to the limit of detection or
probability of detection, specificity,
reproducibility, and accuracy. Due to
the broad range of testing under this
subpart, it is not possible for us to
provide a more specific set of criteria for
determining whether a method is fit for
purpose. (See also, section 7.2.1.4 of
ISO/IEC 17025:2017 (Ref. 3).)
Standard methods must be verified
and non-standard methods or a standard
method applied outside its original
scope (for example, applied in a
different food matrix) must be validated.
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If a LAAF-accredited laboratory wishes
to use a method that is already
validated, the laboratory must verify
that the laboratory is able to run the
method and achieve an acceptable
detection limit. If a method validation
was not performed on a particular food
category (i.e., validation performed on
dairy but the new matrix is fruit or
vegetables) then the laboratory will need
to perform a ‘‘matrix extension’’ either
through a single laboratory validation or
an independent validation study. We
will review laboratory analytical reports
to determine whether the food matrix
tested fits into a validated matrix, and
if not, the laboratory will need to
perform a matrix extension. (For
additional discussion of matrix
extensions, see Response 108.) FDA
guidelines for validations can be found
at: https://www.fda.gov/scienceresearch/field-science-and-laboratories/
method-validation-guidelines. LAAFaccredited laboratories may use these
guidelines in performing validation
studies, or they may use other
established and recognized protocols,
such as those published by AOAC. We
request that a LAAF-accredited
laboratory cite the protocol used when
submitting a validation.
Regarding the request that FDA
provide a list of validated methods
deemed fit for purpose, we decline to
provide a list or to include specific
methods in import alerts. It is simply
not practical for FDA to try and provide
an exhaustive list of all methods that
may be appropriate in food testing
circumstances. The website provided
above (and in the proposed rule) is one
example of a potential resource for
methods of analysis; we endeavor to
keep it current. Also, a method
prescribed for use in a compliance
program is considered to have already
been validated. (See https://
www.fda.gov/food/complianceenforcement-food/food-complianceprograms and https://www.fda.gov/
animal-veterinary/complianceenforcement/cvm-complianceprograms.) However, laboratories are
not required to use these methods.
Regarding specifying methods in
import alerts, in most cases it not
necessary to limit testing to a single
specific method where there are
multiple acceptable methods of
analysis. Further, we do not agree with
the comments expressing concern that
use of different methodologies may
produce inconsistent results; validated
methods that are fit for purpose and
conducted properly by a laboratory
should yield consistent results. Indeed,
that concept lies at the base of all
validation studies; if the new method
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works properly, the result should be
consistent with the result produced
using the standard method.
Finally, we agree that validating a
new method takes time. It is anticipated
that products under import alert will
already have appropriate methods
available. For import alerts concerning
time-sensitive products, we expect that
owners and consignees will refer to the
online registry described in § 1.1109
(once it is up and running) to locate a
LAAF-accredited laboratory that is able
to conduct the desired test promptly.
(Comment 108) Many comments agree
with the requirements in proposed
§ 1.1151(a)(3) and (4) that methods used
under this rule must be appropriately
validated or verified. However, some
comments state that it would be very
onerous for a laboratory to validate
every single potential food matrix. Some
of these comments discuss the example
in the preamble to the proposed rule
regarding chloramphenicol in shrimp
(see 84 FR 59452 at 59480) and assert
that this example conflicts with FDA
validation guidance and use of the
AOAC Food Matrix Triangle to group
like foods into one validation. Other
comments request that we clarify when
a matrix extension or further validation
would be necessary, especially if other
validated methods are available.
(Response 108) Appropriate method
validation and verification, as just
discussed in Response 107, is critical to
data acceptability. Although tools such
as the AOAC Food Triangle are
commonly used to group like foods,
there are sometimes limits to this
approach as provided in the example of
the chloramphenicol analysis that
performs differently for fish and shrimp
which are similar matrices within the
same food group. Though it is generally
assumed that the more closely related a
new food matrix is to a previously
validated matrix from the same food
group for the detection of a defined
analyte, the greater the probability that
the method will perform similarly with
the new matrix, the method must
nonetheless be verified for all new
matrices. This is to ensure that the new
matrix will neither produce high false
positive rates (e.g., matrix is free from
cross reactive substances) nor high false
negative rates (e.g., matrix is free of
inhibitory substances). As we agree that
it would be onerous for a laboratory to
validate every single potential food
matrix, an acceptable approach for a
matrix verification within the same food
group as the validated matrices is the
use of spiked samples and blank matrix
(if available) as described in the ‘‘matrix
extension’’ sections of the validation
guidance documents provided at:
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https://www.fda.gov/science-research/
field-science-and-laboratories/methodvalidation-guidelines. Note that
matrices falling within food groups not
previously validated cannot use this
approach and will require validation.
Some comments asking about our
requirements for verification and
validation studies reference the portion
of the PRIA in which we estimated the
cost of requiring LAAF-accredited
laboratories to submit additional
verification studies to be between 1
percent and 5 percent of the costs for
verification and validation activities
required to maintain ISO/IEC
17025:2017 accreditation. To the extent
that such comments are questioning
why we would estimate between 1
percent and 5 percent of the costs for
verification and validation studies over
and above verification and validation
costs required to maintain accreditation
to ISO/IEC 17025:2017, we note that the
additional costs acknowledge the
possibility of differing requirements for
matrix extensions between this subpart
and ISO/IEC 17025:2017 on a case-bycase basis.
Finally, we agree that in most cases it
is not necessary to limit testing to a
single specific method where there are
multiple acceptable methods of
analysis.
(Comment 109) A few comments state
that proposed § 1.1108(b) provided that
the directed food laboratory order
would specify, among other things, ‘‘the
manner of the food testing, such as the
methods that must be used’’ whereas
proposed § 1.1151(b)(2) stated that ‘‘if
the [directed food laboratory] order
prescribes a test method, that is the only
appropriate method. . . .’’ These
comments explain that, read in
conjunction, these proposed sections
indicate that FDA may not specify a
method in the directed food laboratory
order and may allow a LAAF-accredited
laboratory to use an appropriate method
within its scope of LAAF-accreditation.
(Response 109) As discussed above in
Response 54, in a directed food
laboratory order, we would specify the
method to the owner or consignee and,
in some circumstances, may provide
flexibility to use equivalent methods, so
that an owner or consignee may have
access to a greater number of LAAFaccredited laboratories that could
conduct the testing. If a directed food
laboratory order allows for flexibility to
use equivalent methods, a LAAFaccredited laboratory could use an
appropriate method within its scope of
LAAF-accreditation which meets the
requirements of this section.
(Comment 110) Proposed § 1.1151(e)
implemented the waiver provision of
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section 422(b)(3) of the FD&C Act and
stated that a LAAF-accredited laboratory
could submit a written request to FDA
requesting permission to use a method
outside its scope of LAAF-accreditation.
The proposed rule went on to state that
FDA may approve the request if two
conditions were met: (1) A new method
had been developed and validated but
no reasonably available laboratory had
been accredited to perform the method
and (2) the use of the new method is
necessary to prevent, control, or
mitigate a food emergency or foodborne
illness outbreak.
Some comments agree that FDA
should decide whether to allow a
LAAF-accredited laboratory to use a
method outside its scope; they state,
however, that the recognized
accreditation body is not involved in the
decision and should be notified. Other
comments urge FDA to clearly define
‘‘reasonably available’’ to avoid
improper use of this exception and an
unfair barrier to competition among
laboratories if, for example, one LAAFaccredited laboratory is not reasonably
available due to a longer turnaround
time than another.
(Response 110) We appreciate the
supportive comments. Given the narrow
circumstances in which the statute
contemplates FDA waiving the
requirements of this subpart (e.g., new
method and either a food emergency or
a foodborne illness outbreak), we
disagree that a definition of ‘‘reasonably
available,’’ is necessary to avoid our
abuse of this provision. Further, we
hesitate to limit our authority to rely on
this subpart in the context of either an
outbreak or an emergency.
We expect that in most circumstances,
we would notify a recognized
accreditation body if we authorize a
laboratory it has LAAF-accredited to use
a method outside the scope of the
laboratory’s LAAF-accreditation.
However, because food emergencies and
outbreaks may necessitate fast action,
we decline to add to the final rule a
commitment that we will notify the
recognized accreditation body in every
situation.
6. What notifications, results, reports,
and studies must a LAAF-accredited
laboratory submit to FDA (§ 1.1152)?
Proposed § 1.1152 concerned the
notifications, results, and reports a
LAAF-accredited laboratory must
submit to FDA. Note that in the final
rule we devote a separate section to
abridged analytical reports (§ 1.1153),
and so the content from proposed
§ 1.1152(d), (e), and (f) is now located in
§ 1.1153 of the final rule. In the final
rule we also relocated the contents of
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§ 1.1152(i), on advance notice of
sampling, to § 1.1149.
In the proposed rule, paragraph (a) of
§ 1.1152 stated general requirements
such as that all LAAF-accredited
laboratory notifications, results, reports,
and studies must display a unique
identification (e.g., an alphanumeric
identifier unique to each analytical
report, to clarify which pages comprise
the report), and that the LAAFaccredited laboratory must submit
corrected versions if the LAAFaccredited laboratory becomes aware
that the originals were in some way
inaccurate.
Briefly, in proposed paragraph (b) we
stated that test results must generally be
submitted by the LAAF-accredited
laboratory directly to FDA via a
destination we will specify on the
website described in § 1.1109. Also
briefly, in paragraph (c) we listed the
documentation required to be submitted
to FDA with each test result: All
sampling documentation required by
§ 1.1149, a full analytical report unless
permitted to submit an abridged
analytical report, validation or
verification information required by
§ 1.1151 unless submitted to the
recognized accreditation body under
proposed § 1.1138, and a signed
certification from the laboratory’s
management that the submissions are
true, accurate, and include the results of
all the tests conducted under this
subpart. Note that in the final rule, we
moved the requirement for submission
of justification and authorization for
deviating from or modifying the method
of analysis to paragraph (c). In the
proposed rule, that requirement was
stated once for abridged analytical
reports (§ 1.1152(f)(2)) and also
referenced for full analytical reports
(§ 1.1152(g)(1)); for efficiency and clarity
it is now stated once in § 1.1152(c).
Proposed paragraph (g) listed the
required contents of a full analytical
report, such as documentation of
references to the test method used,
identification and qualifications of the
analyst(s), calculations, and
identification of any software used.
Proposed paragraph (h) stated that if the
LAAF-accredited laboratory used a
method not published in a reputable
standard or that is otherwise not
publicly or readily available, the LAAFaccredited laboratory must submit
documentation of the method to FDA
upon request. Proposed paragraph (j)
required LAAF-accredited laboratories
to immediately (within 48 hours) notify
FDA and the recognized accreditation
body of any changes that affect LAAFaccreditation. Proposed paragraph (k)
provided that if FDA does not receive
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all the information required in § 1.1152,
we may consider the related testing to
be invalid.
On our own initiative, we made
several revisions to this section in the
final rule. We revised the title of the
section to include ‘‘studies’’ to more
accurately reflect the contents of the
section. We revised paragraph (a) to
remove the requirement here for
notifications, results, and reports to be
submitted electronically and in English;
the requirement remains and is now in
§ 1.1110 of the final rule. We have also
revised the list of general requirements
for all notifications, results, reports, and
studies required to be submitted to FDA
in paragraph (a)(1) to improve clarity
and readability. We revised paragraph
(b) to clarify that a LAAF-accredited
laboratory must identify on the test
results the name and street address of
the owner or consignee for which the
testing was conducted and, as
appropriate, the U.S. Customs and
Border Protection entry number and line
number(s). The entry and line numbers
link import-related tests with related
product shipments; they are
inapplicable in the domestic context.
Although ISO/IEC 17025:2017 provides
that test reports include the name and
contact information for the customer,
FDA needs the level of detail we have
specified in the final rule so that we
may precisely identify the entity and/or
article of food to which the test results
relate. We have also revised the section
to reflect revised terminology, to update
cross-references, to improve the clarity
and readability of the section, and to
make minor editorial changes. We
discuss additional changes made in
response to comments below.
(Comment 111) Some comments
recommend that FDA establish uniform
analytical data requirements by
adopting international accreditation
standards and appropriate national
scientific technical standards as the
main basis for qualifying laboratories
and sampling organizations to sample
and submit analytical data to FDA.
(Response 111) We agree with the
aspects of these comments stating that it
can be beneficial to rely on international
standards in the right circumstances.
Accordingly, we are relying on the
international voluntary consensus
standards ISO/IEC 17025:2017 and ISO/
IEC 17011:2017 as the foundational
requirements for laboratories and
accreditation bodies, respectively, under
this subpart. Further, we agree with the
aspects of comments stating that the
LAAF program will benefit from
uniform requirements for test records
and the data, analysis, and information
supporting the test result. However, we
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do not agree that such requirements in
a voluntary consensus standard or
national scientific technical standard
alone would meet the unique needs of
the LAAF program. Accordingly, we
have established in §§ 1.1152, 1.1153,
and 1.1154 the notifications, results,
records, and reports that a LAAFaccredited laboratory must create,
maintain, and submit under this
subpart.
For our discussion regarding the
decision not to require ISO/IEC
17025:2017 accreditation of samplers,
see Response 98.
(Comment 112) Some comments
express the mistaken impression that
results from tests conducted under this
subpart will be made publicly available.
(Response 112) Information on the
recognized accreditation bodies and
LAAF-accredited laboratories
participating in the LAAF program will
be made available via the online registry
described in § 1.1109. However, test
results will not be made public. All the
testing conducted under this subpart is
initiated by an owner, such as a food
producer or a consignee, such as an
importer of food. The owner or
consignee contracts with a LAAFaccredited laboratory to conduct a food
test. Due to the public heath
significance of the test, various
provisions of the FD&C Act grant FDA
the authority to require the test results
and associated records and reports to be
submitted to us, but these documents
contain confidential business
information. FDA will treat such
information in accordance with the
requirements of applicable information
disclosure laws, such as FOIA and its
implementing regulations.
(Comment 113) Some comments
recommend clarifications to proposed
§ 1.1152(b). As proposed, section
1.1152(b)(1) stated that, ‘‘the results of
any and all tests conducted by an
accredited laboratory under this subpart
must be submitted directly to FDA’’;
some comments contend that this
provision could be misinterpreted to
mean that all testing from a LAAFaccredited laboratory must be submitted
to FDA. These comments recommend
that this section be revised to clearly
state that LAAF-accredited laboratories
only need to send test results to FDA if
the testing is conducted under this
subpart.
Other comments urge FDA to address
when LAAF-accredited laboratories
should send test results to the owner or
consignee of the product, e.g., at the
same time as the results are submitted
to FDA. Comments state that given the
importance of the results, owners and
consignees need this information to
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make informed decisions about the
products to protect public health.
(Response 113) Proposed
§ 1.1152(b)(1) was intended to apply
only to the results of tests required to be
conducted by LAAF-accredited
laboratories under this subpart. We have
revised the provision as follows: ‘‘The
LAAF-accredited laboratory must
submit the results of all testing required
to be conducted under this subpart
directly to FDA via the location
specified by the website described in
§ 1.1109, unless another location is
specified by FDA regarding testing
conducted under § 1.1107(a)(2) or
(a)(3).’’ See § 1.1152(b)(1) of the final
rule.
We decline to address the timing of
when a LAAF-accredited laboratory
sends results to the owner or consignee.
Section 422(b)(2) of the FD&C Act states
that testing results under this subpart
shall be sent directly to FDA. Nothing
in section 422 of the FD&C Act
addresses sharing test results with an
owner or consignee. Therefore, we
decline to regulate or opine on this
matter. In short, the issue of when the
LAAF-accredited laboratory shares test
results with the food owner or
consignee is strictly a matter of
negotiation between those two parties.
We note that nothing in the final rule
would prohibit the LAAF-accredited
laboratory from sending the results of
testing required to be conducted under
this subpart to the owner or consignee
at the same time results are sent to FDA
in accordance with this subpart.
(Comment 114) Regarding the testing
described in § 1.1107(a)(1) (explicit
followup testing requirements in
existing FDA regulations), some
comments express concern that
requiring such tests to be conducted by
LAAF-accredited laboratories may delay
products moving into commerce. We
understand these comments to reason
that the use of different methods by
different laboratories may result in
confusion and therefore delay the
release of product being held pending
the test results. These comments
recommend that FDA specify testing
requirements and timelines for each
product subject to testing under
§ 1.1107(a)(1). These comments also
request that we provide owners and
consignees with guidance on any
product hold requirements during
testing.
(Response 114) Section 1.1107(a)(1)
requires that certain followup tests
required by existing product-specific
FDA regulations be conducted by a
LAAF-accredited laboratory. There are
three commodities for which existing
FDA regulations require followup
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testing that is covered under this
subpart: Sprouts, shell eggs, and bottled
drinking water. Producers of these three
commodities have been required to
conduct the particular followup tests
referenced in § 1.1107(a)(1) for years;
under this final rule, the new
requirement is for producers to have the
tests conducted by a LAAF-accredited
laboratory.
There is no reason to suspect that
LAAF-accredited laboratories will be
slower than other laboratories, nor is
there any reason to suspect that test
results from LAAF-accredited
laboratories will be more confusing than
results from other laboratories. In fact,
we anticipate less confusion with
results from LAAF-accredited
laboratories because such laboratories
must meet the standards we are
establishing in this rule. For example,
all LAAF-accredited laboratories will be
ISO/IEC 17025:2017-accredited and will
participate in the proficiency test and
other quality assurance activities
required under this subpart.
Further, wide variation in test
methods is less probable in the context
of testing under § 1.1107(a)(1). Existing
sprouts, shell eggs, and bottled drinking
water regulations and guidances address
the test methods for the tests referenced
in § 1.1107(a)(1) (see §§ 129.35(a)(3)(ii)
(bottled drinking water), 118.8 (shell
eggs), 112.152 (sprouts)).
For the foregoing reasons, there is no
need for us to further specify testing
requirements and timelines for these
products, nor is additional guidance on
these specific test requirements
necessary as a result of this rulemaking.
(Comment 115) Some comments
disagree with proposed § 1.1152(h),
which stated that LAAF-accredited
laboratories that use non-standard
methods that are not publicly available
in a reputable international or national
standard must submit documentation of
the method to FDA upon request and
caution that laboratories may be hesitant
to provide proprietary method
information to the FDA. Others question
whether we should allow use of nonstandard methods for testing under this
subpart at all, arguing that results
generated for regulatory purposes
should be transparent to the regulated
industry and the public.
Other comments agree with the
requirement to submit documentation of
a non-standard method in proposed
§ 1.1152(h) but believe the information
would be redundant since it would be
included on the certificate of analysis.
Comments also contend that FDA does
not have a mechanism for reviewing the
requested information on non-standard
methods.
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(Response 115) First, we note that this
provision appears in § 1.1152(e) in the
final rule.
We decline to prohibit use of nonstandard methods in the LAAF program.
First, given the breadth of food testing
covered by this rule, it is not practical
to rely solely on standard methods.
Moreover, test methods, test results, and
analytical reports submitted to FDA
under this program will not be made
publicly available regardless of whether
a standard method was applied;
accordingly we do not believe use of
non-standard methods is problematic.
Therefore, LAAF-accredited laboratories
can use any validated and verified
method within the scope of their LAAFaccreditation. LAAF-accredited
laboratories are not limited to using
methods FDA has developed or uses;
they can use any properly validated and
verified method as long as the method
achieves the same performance
specifications as the FDA method. Any
standard or FDA official methods need
verification to ensure that the LAAFaccredited laboratory is capable of
performing the analysis, and all nonstandard and laboratory-developed
methods need method validation. If a
standard method has been modified
significantly, it requires revalidation.
We acknowledge the concerns regarding
submitting proprietary information
method information to FDA and will
protect such information.
We disagree that the information FDA
would request under § 1.1152(e) is
redundant. The certificate of analysis
includes a reference to the method used;
for published or standard methods, FDA
can use the reference to determine the
technology and methods used without
requesting additional information.
Section 1.1152(e) will allow FDA to
request documentation of a nonstandard method and will ensure that
we have access to the same type of
information on which to base our
review as we would for published or
standard methods.
We also disagree that FDA does not
have a mechanism for reviewing
requested information on non-standard
methods. For decades, FDA field
scientists have been assessing the
scientific credibility, reliability, and
validity of each analytical testing result,
and the analytical methods used to
obtain these results, as part of reviewing
the PLAPs submitted to FDA (see ORA
Laboratory Manual Volume II, ORA–
LAB.5.4.5 ‘‘Methods, Method
Verification and Validation’’ (Ref. 21)).
(Comment 116) Comments suggest
that it is unnecessary and burdensome
for FDA to request that the
qualifications of the laboratory analyst
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be submitted as part of a full analytical
report in proposed § 1.1152(g)(12), as
the recognized accreditation body
would have already reviewed and vetted
the analyst as part of their accreditation
process. A few comments question how
FDA will use the analyst information
requested in the full analytical report.
Other comments state that personal
analyst information is not needed if
individual proficiency testing
worksheets are collected. Several
comments seek clarification on how
FDA intends to use such information
and how FDA will protect individual
analyst information from disclosure.
(Response 116) Under final
§ 1.1152(d)(12), we are requiring that
certain information on the qualification
of individual analysts be submitted to
FDA the first time that analyst conducts
testing under this subpart and to
account for any significant changes (e.g.,
new competencies gained). Briefly, we
require the analyst’s curriculum vitae,
training records for the methods that the
analyst is qualified to perform, and any
other documentation of the analyst’s
ability to perform the method properly
(see § 1.1150(b)). Note that in the final
rule we are not requiring individual
proficiency test worksheets as part of
the full analytical report; for that
discussion see Response 93, and we
have clarified that analyst training
information is limited to the applicable
methods (we are not requiring
submission of all an analyst’s training
records).
Analyst-specific information is
essential to our review of the LAAFaccredited laboratory’s performance; it
allows us to verify the technical
competence of the individual
conducting the test. Further, while
recognized accreditation bodies assess
LAAF-accredited laboratories every 2
years (see § 1.1120), there may be
significant analyst turnover and changes
in responsibilities in the interim. We
note that analyst-specific information is
not required for abridged analytical
reports (see § 1.1153(c) of the final rule).
We have been routinely collecting
information on individual analysts as
part of the PLAPs submitted to support
admission of an article of imported food
and removal from import alert. FDA is
critically aware of protecting individual
personally identifiable information, and
FDA information technology systems
have safeguards in place to ensure this
information remains confidential.
Having said that, we discourage LAAFaccredited laboratories from submitting
to us an individual analyst’s social
security number or any other
unnecessary personally identifiable
information.
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(Comment 117) Several comments
express concern with FDA collecting
and reviewing test results and analytical
reports. Some comments state concern
with the resources required for the
Agency to review test results and
analytical reports and the mechanisms
to ensure consistent review across FDA.
(Response 117) FDA has been
collecting and reviewing the private
laboratory test results and analytical
packages used to support admission of
an article of imported food and removal
from import alert for decades. To
implement the LAAF program described
in section 422 of the FD&C Act, FDA
will collect and review additional test
results and analytical packages as well
(e.g., shell egg testing) (see § 1.1107).
This program is designed to further
protect the U.S. food supply and FDA is
committed to implementing this
program and realizing the public health
benefits associated with the improved
confidence in these test results. See the
FRIA (Ref. 4) for additional discussion
of the estimated costs (and cost savings)
to FDA associated with this rule.
For discussion of how we ensure
consistent review of analytical reports,
please see Response 132.
(Comment 118) Some comments ask
whether the justification for any
modification to or deviation from the
method of analysis and the recognized
accreditation body’s authorization
therefore should be submitted as an
extra document or as part of a full or
abridged analytical report.
(Response 118) ISO/IEC 17025:2017
requires the laboratory to justify and
authorize any method deviation or
modification (e.g., sections 5.6.b and
5.6.c require personnel to have the
authority and resources to identify and
prevent or minimize deviations; section
7.2.1.7 requires deviations to be
technically justified and authorized)
(Ref. 3). Final § 1.1152(c)(5) requires the
LAAF-accredited laboratory to submit
documentation of any such justification
and authorization to FDA as part of the
documentation required to be submitted
with test results. Regarding the method
of submission, the justification and
authorization should be a distinct
document, clearly marked, within the
analytical report.
Again, note that in the final rule this
requirement appears at § 1.1152(c)(5),
which is the provision detailing
information required with every
analytical report (whether full or
abridged); in the proposed rule the
requirement was repeated in the
separate lists of what is required in a
full and what is required in an abridged
analytical report.
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(Comment 119) Some comments state
that the reporting requirements under
§ 1.1152 should be modified, suggesting
that they are duplicative, onerous, and
can create unnecessary delays and
increases in both laboratory
administrative time and FDA review.
Under the proposed rule, laboratories
would be required to be accredited by
recognized accreditation bodies that are
full members of the ILAC (see § 1.1113);
some comments state this means that
FDA should require less documentation
under § 1.1152. Some comments state
that testing procedures within the scope
of LAAF-accreditation are assessed by
auditors and that certificates of analysis
of test medium and equipment
calibration are reviewed before LAAFaccreditation is granted. Further,
comments question the need for the
analyst name and signature for each
analytical step. Comments overall
question the added value of collecting
what they view as a large amount of
information.
Some comments express concern over
the burden of submitting the full
analytical reports as required under
proposed § 1.1152(g). To decrease this
burden, the comments recommend that
FDA reduce the level of detail in each
report since ISO/IEC 17025:2017 already
includes periodic audits by the
accreditation body for many of these
analytical report requirements, such as
proficiency testing and verification and
validation studies required by proposed
§ 1.1152(c). The comments also suggest
that the frequency of reporting to FDA
could be adjusted and reduced based on
risk.
A few comments also suggest that an
official certificate of analysis from a
laboratory accredited by a recognized
accreditation body and submission of an
analytical report meeting the
requirements of ISO/IEC 17025:2017
should be sufficient to serve as the full
analytical report required in proposed
§ 1.1152(g).
Some comments express the belief
that certain documents listed below
should not be required to be submitted
to FDA with each test result under
proposed § 1.1152:
• All sampling plans and sample
collection reports related to food testing
conducted and written documentation
of the sampler’s qualifications
(proposed § 1.1152(c)(1) and (2));
• Certification from one or more
members of the accredited laboratory’s
management certifying that test results,
notifications, reports and studies are
true and accurate (proposed
§ 1.1152(c)(7));
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• Documentation of references for the
method or methods of analysis used
(proposed § 1.1152(g)(2));
• Identification of the analyst(s) who
conducted each analytical step,
validation step, and verification step,
including analyst(s) legal name and
signature (proposed § 1.1152(g)(3));
• Calculations (proposed
§ 1.1152(g)(4));
• References, in color, of
chromatograms, charts, graphs,
observations, photographs of thin layer
chromatographic plates, and spectra
(proposed § 1.1152(g)(5));
• Copy of the label from any
immediate container sampled and any
additional labeling needed to evaluate
the product (proposed § 1.1152(g)(7));
• All original compilations of raw
data secured in the course of analysis,
including discarded, unused, or
reworked data, with the justification for
discarding or reworking such data,
corresponding supporting data, and
quality control results all identified
with unique sample identification
(proposed § 1.1152(g)(8));
• Any other relevant additional
supporting information, storage location
of analyzed samples, and appropriate
attachments such as instrument
printouts, computer generated charts
and data sheets, photocopies or original
labels for the product analyzed
(proposed § 1.1152(g)(9));
• Curriculum vitae of testing analysts,
training records for analyst(s), including
dates of training, name of trainer; any
other documentation of the analyst(s)’
ability to perform the method properly
in the context of the food testing
(proposed § 1.1152(g)(12);
• ‘‘Documents related to the
accredited laboratory’s grant’’ (proposed
§ 1.1153(a)(1)).
A few comments support the
submission of the remaining items in
proposed § 1.1152(a), (c), and (g), with
the exception of the modifiers ‘‘all’’ and
‘‘any’’ throughout § 1.1152 since
comments contend the language is
unclear and may put participating
laboratories at unreasonable risk.
(Response 119) After considering the
comments, FDA is making limited
changes to the required contents of a
full analytical report. We note that
documents related to the LAAFaccredited laboratory’s grant of LAAFaccreditation are not required to be
submitted as part of an analytical report.
Next, we note that we have removed the
individual proficiency test worksheet
requirement from among the documents
to be submitted as part of a full
analytical report. Also, we have clarified
in the final rule that analyst training
information is only for the applicable
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methods, not all training records. We
also added a parenthetical clarification
after ‘‘quality control results,’’ which
states, ‘‘including the expected result
and whether it is acceptable.’’ Note that
we have added corresponding text to the
required contents of an abridged
analytical report; see our discussion of
§ 1.1153 below.
According to some comments, FDA is
asking for too much information in a
full analytical report or is asking for
LAAF-accredited laboratories to prepare
and maintain too much information or
documentation for each test. The reason
we disagree with both contentions is
based on our mission of protecting the
public health from adulterated food
products; namely, in order for FDA to
responsibly carry out its duties with
regard to the food testing described in
§ 1.1107, we need to be able to assess
the scientific credibility, reliability, and
validity of each test result. When a
LAAF-accredited laboratory submits a
full analytical report, we are able to
conduct a meaningful scientific review
of the LAAF-accredited laboratory’s
work. When a laboratory submits an
abridged analytical report, we must be
able to promptly access the information
that would facilitate our substantive
scientific review; hence, we require its
creation and maintenance under this
subpart (see § 1.1150(d)).
To the extent that we are allowing for
the submission of abridged analytical
reports under this subpart, we are
allowing laboratories that have been
LAAF-accredited by a recognized
accreditation body to submit less
documentation under this rule than we
have routinely accepted for importrelated PLAPs. We do not agree with
comments arguing that because a
recognized accreditation body reviews
some laboratory documentation during
its biennial assessment, we should
decline to review documentation related
to individual test results; the purpose of
an assessment by a recognized
accreditation body is entirely different
than the purpose of our review of
analytical reports and naturally the
scope and depth of the two activities
will reflect those differences.
With regard to the particular
documents the comments suggest we
should not require:
• The information related to the
sampling plan, sample collection, and
sampler qualifications are required
since the accreditation of sampling is
not required under this rule; therefore,
FDA uses this documentation to ensure
that sampling was performed correctly.
• The certification of results is a
requirement of ISO/IEC 17025:2017
section 6.2.6.c (‘‘authorization’’);
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however since this is not one of the
required reporting elements in ISO/IEC
17025:2017 section 7.8, it is specified as
a required document in this rule to
ensure that FDA receives the
information (Ref. 3).
• Where standard methods have not
been referenced on a report, it is critical
for FDA to be able to determine the test
method used and therefore we require
that the reference method is listed in
order to make that determination.
• Identification of analysts
performing specific steps are a
requirement for an audit trail in
laboratory records.
• The calculations are needed for the
review of data to ensure that no errors
affecting the reported results occurred
due to math errors.
• The compilation of all raw data
along with the chromatograms, charts,
graphs, observations, photographs of
thin layer chromatographic plates, and
spectra and other attachments such as
instrument printouts, computer
generated charts and data sheets
requested are records that are required
by ISO/IEC 17025:2017 to be retained as
technical records and should be readily
accessible by the laboratories. This
information provides the necessary
evidence to support the analytical
conclusion of the test results. Note that,
as long as a record of the processed data
file is submitted, we do not consider
instrument data files maintained on the
instrument computer as originally
obtained to be ‘‘raw data’’ and so do not
require their submission (or their
maintenance under § 1.1154(a)(3)).
• The requirement for the label from
any immediate container sampled and
any additional labeling needed to
evaluate the product as well as
photocopies or original labels for the
product analyzed are important
components for any analysis in making
a determination on the acceptability of
the specific product tested in
relationship to the test result obtained.
• The storage location of the sample
is important to assure that samples were
stored in a manner which protected the
integrity of the sample prior to and
during analysis so that test results were
not adversely impacted.
• Curriculum vitae, training records,
and other records of analyst competence
are discussed in Response 116.
Finally, while FDA agrees that use of
the words, ‘‘any’’ (e.g., ‘‘any other
relevant supporting information’’) and
‘‘all’’ (‘‘all original compilations of raw
data’’) is broad, we have retained their
use in this section of the final rule
because it is not possible to generate a
full list of the potential information or
data that might be needed to review the
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testing data due to the broad scope of
analysis covered by this rule. The intent
is for the LAAF-accredited laboratory to
submit any records needed for a
thorough technical review of the testing
data.
(Comment 120) A few comments ask
for FDA to define ‘‘individual
proficiency testing worksheets’’ in
proposed § 1.1152(g)(12)(iv) and to
clarify whether each analyst who
submits test results must have
participated in proficiency testing each
year on the method used.
(Response 120) As discussed in
Response 92, the requirement that a
LAAF-accredited laboratory must meet
the proficiency test requirements on an
annual basis for each method within the
scope of LAAF-accreditation is on a per
laboratory basis. Also, we have revised
the final rule to delete from the full
analytical package the relevant
proficiency test worksheets. The
recognized accreditation bodies will be
reviewing proficiency testing results
and any related corrective actions under
§ 1.1138(a)(2)(iii) of the final rule.
(Comment 121) A few comments
recommend that FDA modify the
language requiring a copy of the
container label to be submitted to FDA
as part of a full analytical report under
§ 1.1152(g)(7) of the proposed rule to
include the qualifier, ‘‘if available,’’ as
foods taken from bulk containers may
not have a label.
(Response 121) We appreciate this
suggestion and have revised the final
rule to include ‘‘if available’’ (see
§ 1.1152(d)(7)).
(Comment 122) A few comments
request clarification of what is required
to be submitted to the recognized
accreditation body or FDA as part of
analytical method verification or
validation studies in proposed § 1.1152
(c)(4) through (6). These comments
recommend that, at a minimum,
accuracy, precision, recovery, detection
limits and in-matrix studies be
included.
(Response 122) Note that under the
final rule, all validation and verification
studies required by § 1.1151(c) and (d)
are required to be submitted to FDA (see
§ 1.1152(c)(3) and (4)). In the proposed
rule, we proposed to require that some
validation and verification studies be
submitted to the recognized
accreditation body; specifically, those
validation and verification studies that
were necessary for the recognized
accreditation body to assess competence
to the method for purposes of granting
LAAF-accreditation. However, we
believe it better clarifies the role of FDA
as distinct from the role of the
recognized accreditation body if we do
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not share the responsibility of reviewing
those studies. When FDA reviews
validation and verification studies, it is
for the purpose of determining whether
such a study, such as a matrix
extension, demonstrates laboratory
performance sufficient to support the
particular analytical report under
review. In contrast, recognized
accreditation bodies review validation
and verification studies for the purpose
of assessing whether to award
accreditation. Therefore, upon further
consideration, in light of the comments,
and in keeping with our role as reviewer
of the performance of LAAF-accredited
laboratories, we have determined it to
be appropriate for all such studies to be
submitted to FDA as a component of an
analytical report.
Note that because of the differences in
types of testing (chemical, biological, or
physical) and the purpose of the testing,
it is not practical to provide a single
concise list of elements needed in a
specific validation or verification study.
In terms of clarifying what a LAAFaccredited laboratory needs to submit to
FDA as part of a validation or
verification study, we direct interested
parties to the existing FDA Food
Program’s guidelines on performing
validation and verification studies
located at the following web link:
https://www.fda.gov/science-research/
field-science-and-laboratories/methodvalidation-guidelines. Laboratories may
use these guidelines in performing
validation studies or they may use other
established and recognized protocols
such as AOAC. Please identify the
protocol that is being used when
submitting a validation.
7. What are the requirements for
submitting abridged analytical reports
(§ 1.1153)?
Proposed § 1.1153 covered records
requirements for LAAF-accredited
laboratories; we have relocated those
provisions to § 1.1154 in the final rule.
Section 1.1153 in the final rule
addresses abridged analytical reports
and is comprised of provisions that
appeared in § 1.1152(d) through (f) in
the proposed rule.
In the proposed rule, an abridged
analytical report was comprised of most
of the information required in a report
by ISO/IEC 17025:2017 and the
justification and documented
authorization for any modification to or
deviation from the method used. Note
that in the proposed rule, the
justification and authorization
information was also required as part of
a full analytical report. On our own
initiative and for efficiency and clarity,
we moved this requirement to
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§ 1.1152(c), which is the provision
describing documentation required to be
submitted with test results (whether full
or abridged analytical reports).
Additionally, in the final rule we have
added a component to the abridged
analytical report contents: Quality
control results (including the expected
result and whether it is acceptable). The
addition of quality control results to the
abridged analytical report will provide
FDA with important contextual
information for the certificate of
analysis and may reduce our need to
request other documentation or a full
analytical report pursuant to
§ 1.1153(d). Finally, in § 1.1153(e) of the
final rule, we reiterate that we may
consider the testing to be invalid if the
LAAF-accredited laboratory fails to
submit all required testing-related
documentation. This appeared in
§ 1.1152(k) of the proposed rule and
applied to all analytical reports; it
appears in § 1.1152(g) of the final rule
as it applies to full analytical reports
and all other information required to be
submitted to FDA under § 1.1152.
Briefly, in the proposed rule a LAAFaccredited laboratory would have
gained permission to submit abridged
analytical reports after submitting 10
successful consecutive full analytical
reports to FDA. Of the full analytical
reports, at least one would have needed
to be from each of the major food testing
discipline for which the laboratory
sought permission. LAAF-accredited
laboratories that failed to submit 10
successful consecutive analytical
reports would be required to wait a
minimum of 2 years before again
attempting to submit the 10 successful
consecutive analytical reports.
Similarly, if an abridged analytical
report contained material substantive
shortcomings or repeated administrative
deficiencies, that laboratory would be
required to wait a minimum of 2 years
before reapplying for permission to
submit abridged analytical reports.
Comments regarding the abridged
analytical report provisions of the
proposed rule are discussed below.
(Comment 123) Many comments
support allowing laboratories to submit
shorter and simpler abridged analytical
reports to FDA after meeting certain
requirements, as outlined in proposed
§ 1.1152(d). These comments suggest
that FDA may be able to more quickly
review abridged analytical reports. A
few comments request clarification on
whether the requirements for abridged
analytical reports apply to governmental
accredited laboratories and if not,
whether FDA would consider
developing a similar process for them.
Some comments state that the
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opportunity to submit abridged
analytical reports should apply to all
accredited laboratories, public and
private.
A few comments contend that the
ability to submit abridged analytical
reports to FDA is of limited benefit
because LAAF-accredited laboratories
would have to submit a full analytical
report to FDA within 48 hours if
requested, as proposed under
§ 1.1152(e)(1). Some comments also
recommend that the timeframe for
providing FDA with the full analytical
report should be at least 72 hours, as 48
hours is not enough time to compile the
large amount of information needed for
a full analytical report.
Other comments mention that the
circumstances necessitating the
exceptions described in the preamble to
the proposed rule, (‘‘. . . [for] the
purposes of auditing abridged analytical
reports and otherwise protecting the
public health and the integrity of this
food testing program . . . .’’ (84 FR
59452 at 59484)) are vague and request
that FDA clarify the standard it will use
in requesting full analytical reports.
(Response 123) We appreciate the
support for the proposal to allow the
submission of abridged analytical
reports and we agree that this approach
may promote certain efficiencies for
LAAF-accredited laboratories and FDA.
As a threshold matter, the final rule
requirements regarding abridged
analytical reports apply to all LAAFaccredited laboratories conducting food
testing under this subpart. Government
laboratories may apply to a recognized
accreditation body to become LAAFaccredited to conduct food testing under
this subpart and may request permission
to submit abridged analytical reports as
described in § 1.1153.
Regarding the 48-hour timeframe in
which laboratories permitted to submit
abridged analytical reports may need to
produce and submit to FDA a full
analytical report, we are making two
changes in response to comments. First,
we are changing the timeframe in which
a LAAF-accredited laboratory would
need to submit a full analytical report
pursuant to the exception from 48 to 72
hours to provide additional time to
prepare documents for submission to
FDA. Second, we are clarifying that we
may request one or more additional
documents up to a full analytical report
under the exception. This will enable
the Agency to tailor the request to the
specific circumstances and likewise will
reduce the burden on LAAF-accredited
laboratories under this exception.
With those changes, we are
maintaining the exception as it remains
an important tool by which we may
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audit abridged analytical reports and
otherwise protect public health and
LAAF program integrity (see discussion
at 84 FR 59452 at 59484). Under this
exception and as stated in the preamble
to the proposed rule, we may request
additional documentation or a full
report under this exception at our
discretion, which may be based on the
underlying public health risk of the
analyte, if we have a question about
something in the abridged analytical
report, something in the abridged
analytical report appears to be amiss, or
on a random basis to spot-check LAAFaccredited laboratory performance. We
estimated making these requests for no
more than 10 percent of abridged
analytical reports submitted, but at least
once per year (see 84 FR 59452 at
59484).
Finally, we note that the analytical
steps should not change when
producing an abridged analytical report,
only the amount of information
submitted to FDA (see § 1.1150(d)).
(Comment 124) Several comments
state that FDA should simplify the
process for granting permission to
submit abridged analytical reports as it
is overly burdensome on both LAAFaccredited laboratories and FDA and
diverts resources away from protecting
public health. These comments
recommend that FDA consider as few as
one or two full analytical reports per
major food testing discipline. These
comments contend that the proposed
process, requiring 10 full reports, would
give larger LAAF-accredited laboratories
an advantage and that these larger
laboratories are better able to absorb the
increased cost of full analytical reports
without the need to pass the higher cost
on to the owner or consignee.
Many comments argue that the
proposed disqualification periods from
submitting abridged analytical reports
or even the failure to gain permission
would be detrimental to LAAFaccredited laboratories and overly
punitive. These comments state that
corrective action to address deficiencies
would be more appropriate and would
afford the LAAF-accredited laboratory
due process. Some comments
recommend that FDA issue a warning
letter to LAAF-accredited laboratories
with material substantive shortcomings
so that corrective action could be taken
in response. Comments state further that
FDA should meet with the LAAFaccredited laboratory and recognized
accreditation body or allow for an
appeals process prior to taking further
action to use probation or
disqualification especially since this
could be based on minor repeated
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administrative deficiencies yet would
result in a long disqualification period.
Comments also request additional
details regarding ‘‘material substantive
shortcomings’’ and ‘‘administrative
deficiencies’’ and argue that
interpretation of these terms, if not
clearly defined, could be inconsistently
applied when reviewing abridged
analytical reports. Further, comments
express concerns that, as proposed,
repeated administrative deficiencies
could become a material substantive
shortcoming and lead to
disqualification, which would have a
large financial impact on LAAFaccredited laboratories. These
comments urge FDA to consider what
public health benefit, if any, would
accrue from focusing on administrative
deficiencies and the resulting burden on
LAAF-accredited laboratories.
Some comments indicate that
permission to submit abridged reports
represents a direct relationship between
FDA and LAAF-accredited laboratories
where the recognized accreditation body
is not involved. Other comments
contend that the LAAF-accreditation
process should be considered evidence
of a laboratory’s ability to submit full
analytical reports and ultimately reduce
or eliminate the number of full
analytical reports required to be
submitted to gain permission from FDA
to submit abridged analytical reports.
(Response 124) We agree with
comments regarding the need to
simplify the proposed process for
seeking permission to submit abridged
analytical reports and the need to revisit
the consequences of deficiencies in
abridged analytical reports. We have
made significant changes to both aspects
of the abridged analytical report process
in the final rule. In simplifying the
process, we decline the
recommendation to rely on recognized
accreditation bodies to evaluate a
LAAF-accredited laboratory’s ability to
submit abridged analytical reports. We
agree that recognized accreditation
bodies will play a crucial role with
respect to LAAF-accrediting laboratories
and continuing oversight of the
laboratories they LAAF-accredit;
however, FDA’s role is to review the
performance of those laboratories and in
particular, to do so by reviewing
analytical reports. Moreover, we
maintain that FDA’s experience with
LAAF-accredited laboratories’ full
analytical reports and the Agency’s
confidence in reliance on such
analytical reports to make regulatory
decisions are imperative factors in the
decision to grant permission to submit
abridged analytical reports. Therefore,
although we have revised the processes
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related to abridged analytical reports, it
remains FDA, rather than the recognized
accreditation bodies, that will have the
authority to grant permission to submit
abridged reports.
In terms of gaining permission to
submit reports, on request of the LAAFaccredited laboratory, FDA will review
the last five full analytical reports for a
major food testing discipline (biological,
chemical, and physical) to determine
whether the LAAF-accredited laboratory
will be granted permission to submit
abridged analytical reports for that
major food testing discipline. In
reviewing the last five analytical
reports, FDA will check that the reports
contain no shortcomings that call into
question the validity of the test result or
repeated administrative errors.
Additionally, FDA will confirm that the
LAAF-accredited laboratory requesting
permission is not on suspension or
probation for any method within the
major food testing discipline for which
the laboratory is requesting permission
and that the laboratory has successfully
implemented any required corrective
action (see §§ 1.1121 and 1.1161). FDA
will notify the LAAF-accredited
laboratory if permission has been
granted or denied.
The revised process for requesting
permission should reduce the burden
for both FDA and LAAF-accredited
laboratories and will still ensure that
there is requisite experience with full
analytical reports for each major food
testing discipline for which permission
to submit abridged analytical reports is
sought. We recognize that the proposed
process of submitting 10 full analytical
reports and granting permission for the
major food testing disciplines included
in those 10 reports could result in a
grant of permission for a major food
testing discipline based on as few as 1
full analytical report if it was included
among a group of 9 other full analytical
reports for another major food testing
discipline. Changing the process to
review five full analytical reports per
major food testing discipline provides
for more equal oversight of, and
experience with, full analytical reports,
reduces the potential competitive
advantage of larger laboratories, and
reduces the overall barrier to
permission. It also alleviates the need
for a separate process for adding a major
food testing discipline as proposed (see
§ 1.1152(d)(3) of the proposed rule).
Finally, in response to comments and
on our own initiative, we have revised
and simplified the oversight process for
abridged analytical reports to leverage
existing program oversight tools,
including corrective action, described in
§ 1.1161 as opposed to relying on the
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separate process proposed. Thus, we
have removed disqualification periods
specific to issues with submitting
abridged analytical reports (see
proposed § 1.1152(d)(2) and (d)(4)
through (6)). Section 1.1153(b) of the
final rule describes the process by
which FDA will review and
communicate issues with abridged
analytical reports and when FDA may
require corrective action, probation, or
may revoke permission to submit
abridged analytical reports. We believe
the revised process will be fairer and
more transparent for LAAF-accredited
laboratories and easier for FDA to
implement.
In response to concerns that a LAAFaccredited laboratory’s failure to gain
permission to submit abridged
analytical reports will negatively impact
the laboratory, we note that, as
discussed above in Response 57,
permission to submit abridged
analytical reports will not be included
on the public registry described in
§ 1.1109.
We decline the request to define the
terms, ‘‘material substantive
shortcomings’’ and ‘‘repeated
administrative deficiencies’’; however,
we have made the following
modifications which we believe will
address the underlying concerns: We
revised the final rule to specify that
substantive shortcomings are those that
call into question the validity of the
results and clarified the section to refer
to repeated administrative errors. In
addition, we have specified that FDA
will notify the LAAF-accredited
laboratory of any deficiencies as
described in § 1.1153(b)(2).
8. What other records requirements
must a LAAF-accredited laboratory meet
(§ 1.1154)?
The other records requirements for a
LAAF-accredited laboratory appeared in
§ 1.1153 of the proposed rule but appear
in § 1.1154 of the final rule. In
paragraph (a) we proposed that LAAFaccredited laboratories be required to
maintain electronically for 5 years,
records created and received under this
subpart, such as documents relating to
the grant of LAAF-accreditation and
documentation of testing conducted
under this subpart. In paragraph (b) we
proposed that within 30 days of the
receipt of proficiency testing results, the
LAAF-accredited laboratory submit the
results to the recognized accreditation
body and, if the laboratory failed the
test, to FDA. Proposed paragraph (c)
stated that a LAAF-accredited laboratory
must make records available for FDA
inspection and copying upon written
request, and addressed related details.
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Proposed paragraph (d) stated that a
LAAF-accredited laboratory must
ensure that significant amendments to
records can be tracked to previous and
original versions, and addressed related
details.
We have revised the section to update
terminology and cross-references and to
make other minor editorial changes to
improve the clarity and readability of
the section. We also have made several
conforming changes to reflect changes
elsewhere in the final rule: We have
revised paragraph (a)(1) to specify
proficiency test and comparison
program records; this information was
previously required by proposed
§ 1.1153(b)(1). Accordingly, paragraph
(b) has been removed and the
requirement to submit proficiency test
results to the recognized accreditation
body has been incorporated in
§ 1.1138(a)(2)(iii). We removed reference
to the English language and English
translation requirement and electronic
submission as this is now included in
§ 1.1110 of the final rule. Additionally,
we removed the word, ‘‘electronically,’’
from paragraph (a) to allow flexibility
around how LAAF-accredited
laboratories maintain records and to
align with the same revision for
recognized accreditation bodies in
§ 1.1124(a). We revised paragraph (a)(3)
so that it now says, ‘‘associated
correspondence between the LAAFaccredited laboratory . . . and the
owner or consignee’’ rather than,
‘‘associated correspondence by the
LAAF-accredited laboratory . . . with
the owner or consignee;’’ to clarify that
correspondence to the laboratory related
to food testing under this subpart is
among the records the laboratory must
maintain. Finally, we clarify in
§ 1.1154(a)(2) that the documentation of
food testing that a LAAF-accredited
laboratory conducted under this subpart
must account for all information
required by § 1.1152(d) of the final rule.
This addition better clarifies the
contents of the cross-reference to
§ 1.1150(d) in the proposed and final
rule. We discuss additional changes
made in response to comments below.
(Comment 125) Some comments agree
that the requirement to maintain records
for 5 years is reasonable and agree with
the 10-business day record submission
requirement in proposed § 1.1153(c).
A few comments request that FDA
clarify that food testing records required
in proposed § 1.1153(a)(2) are limited to
records related to testing covered by this
subpart and would not apply to routine
testing that is performed outside the
scope of the rule. Some comments
request clarification as to why all
requests for food testing from an owner
or consignee are necessary as stated in
proposed § 1.1153(a)(4).
(Response 125) We appreciate the
supportive comments and agree that
records a LAAF-accredited laboratory
must maintain under this rule (proposed
§ 1.1153, final rule § 1.1154) are only
those related to food testing covered by
this subpart. Per the request from
comments, we clarify in the final rule
that LAAF-accredited laboratories
maintain all requests for food testing
from an owner or consignee that would
be conducted under this subpart. These
records would help FDA ascertain
compliance with the requirement to
submit all test results to FDA (under
§ 1.1152(b)).
J. Comments Regarding FDA Oversight
of LAAF-Accredited Laboratories
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TABLE 11—CHANGES TO SECTIONS REGARDING FDA OVERSIGHT OF LAAF-ACCREDITED LABORATORIES
Final rule
Proposed rule
Notes
FDA Oversight of LAAF-Accredited Laboratories.
§ 1.1159 How will FDA oversee LAAF-accredited laboratories?
§ 1.1160 How will FDA review test results
and analytical reports?
§ 1.1161 When will FDA require corrective
action, put a LAAF-accredited laboratory on
probation, or disqualify a LAAF-accredited
laboratory from submitting analytical reports?
§ 1.1162 What are the consequences if FDA
puts a LAAF-accredited laboratory on probation or disqualifies a LAAF-accredited laboratory?
Procedures for Accreditation of Laboratories ..
Revised to reflect new terminology and reorganization of the final rule.
Revised to reflect new terminology.
§ 1.1162 What are the consequences if FDA
puts an accredited laboratory on probation
or revokes the accreditation of a laboratory?
Revised to reflect new terminology.
1. How will FDA oversee LAAFaccredited laboratories (§ 1.1159)?
this subpart. Proposed paragraph (c)
stated that we may conduct an onsite
‘‘assessment’’ of the LAAF-accredited
laboratory. Proposed paragraph (d)
stated that we will report our
observations and findings to the
recognized accreditation body.
As discussed above at Response 10,
FDA has revised terminology
throughout this rule to clarify that our
role with regard to LAAF-accredited
laboratories is not to ‘‘assess’’ them but
is to review their performance,
primarily by reviewing analytical
reports and test results. In final § 1.1159
we revised the language accordingly, to
more clearly communicate our role.
This section now consistently refers to
FDA reviewing the performance of a
LAAF-accredited laboratory and
explicitly includes analytical reports
and test results submitted to FDA
among the things we may review in
§ 1.1159(b)(5).
We have also revised paragraph (c) of
the final rule to explicitly state that
certain FDA review activities may be
conducted remotely if it will not aid in
the review to conduct them onsite. For
example, records reviews or auditing
filth plates are common review
activities that may be conducted
remotely. The ability to conduct remote
reviews of LAAF-accredited laboratory
performance under this subpart will
provide a more efficient, cost-effective,
and less intrusive option for reviews.
This may also allow for continued
This section of the proposed rule
described three broad mechanisms FDA
might employ to oversee LAAFaccredited laboratories. First, in
proposed paragraph (a) we stated that
we ‘‘may assess accredited laboratories
at any time to determine whether . . .
there are deficiencies . . . that, if not
corrected, would warrant . . .
revocation of its accreditation.’’
In proposed paragraph (b), we listed
various records and information that we
may review in evaluating the
performance of a LAAF-accredited
laboratory, such as records the
laboratory is required to maintain under
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§ 1.1159 How will FDA oversee accredited
laboratories?
§ 1.1160 How will FDA review submitted test
results and analytical reports?
§ 1.1161 When will FDA put an accredited
laboratory on probation or revoke the accreditation of a laboratory?
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Revised to reflect new terminology and revised contents of the section.
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oversight of LAAF-accredited
laboratories when onsite visits are
otherwise impracticable.
We also made other conforming and
minor editorial changes to this section
and section title, including deletion of
the phrase, ‘‘of food subject to food
testing under this subpart’’ in proposed
§ 1.1159(b)(5) because the phrase is
included in the definition of owner or
consignee in § 1.1102 and therefore
need not be repeated; see § 1.1159(b)(6)
if the final rule. Comments regarding
this section are discussed below.
(Comment 126) A few comments state
that FDA onsite reviews under
§ 1.1159(c) should be limited to work
performed under this subpart and
should not extend to other work
conducted by the LAAF-accredited
laboratory, even work related to other
FDA regulations (e.g., testing under part
117). These comments further contend
that when FDA conducts onsite reviews,
we may not examine privileged or
proprietary records or laboratory
practices not directly related to this
subpart.
(Response 126) We agree that an
onsite review of a LAAF-accredited
laboratory and any review activities
conducted remotely would be limited to
work performed under this subpart. We
have revised § 1.1159(c) to further
clarify that FDA’s onsite review is
limited to a LAAF-accredited
laboratory’s performance under this
subpart. As such, it would not include
review of privileged or proprietary
records or laboratory practices outside
the scope of this final rule.
(Comment 127) Some comments
encourage FDA to communicate with
the recognized accreditation body if
during the course of our review of a
LAAF-accredited laboratory we obtain
information causing us to place the
LAAF-accredited laboratory on
probation or disqualify the LAAFaccredited laboratory from conducting
food testing under this subpart. The
recognized accreditation body could
then perform an assessment of its own
related to the laboratory’s ISO/IEC
17025:2017 accreditation and LAAFaccreditation status.
(Response 127) Section 1.1159(d) of
the final rule states that ‘‘FDA may
report any observations and deficiencies
identified during its review of LAAFaccredited laboratory performance
under this subpart to the recognized
accreditation body.’’ This would
include information that causes us to
place the LAAF-accredited laboratory or
disqualify the laboratory from
conducting testing under this subpart.
(Comment 128) Some comments
express concern that the proposed rule
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did not communicate more detailed
information about the processes around
FDA review of LAAF-accredited
laboratories. These comments ask what
the impact would be if FDA found a
deficiency in the course of its review;
for example, whether FDA would
invalidate past test results and, if so,
how far back in time the invalidation
would extend.
(Response 128) The impact of any
deficiency identified in the course of an
FDA review of a LAAF-accredited
laboratory’s performance under this
subpart would depend on the deficiency
found. Section 1.1160 describes what
would happen if FDA finds a deficiency
in an analytical report. As described in
§ 1.1161(a) of the final rule, FDA may
require corrective action to address any
deficiencies identified. In the case of
certain serious deficiencies such as
those described in § 1.1161(c) of the
final rule, FDA may disqualify a LAAFaccredited laboratory from submitting
analytical reports for one or more
methods within the scope of LAAFaccreditation. The consequences of
probation or disqualification are
described in § 1.1162 of the final rule.
Paragraph (c) states in relevant part that
FDA may refuse to consider specific
food testing results if the basis for
disqualification of the laboratory
indicates that the specific food testing
conducted by the laboratory may not be
reliable.
2. How will FDA review test results and
analytical reports (§ 1.1160)?
Proposed § 1.1160(a) through (c)
described how FDA would proceed if it
finds deficiencies in any test result,
analytical report, related documents
(e.g., related to sampling), or the
associated analysis indicates that any
aspect of the testing under this subpart
is not being conducted in compliance
with the requirements of this subpart. In
paragraph (a), we proposed that we may
consider the analysis to be invalid and/
or will notify the LAAF-accredited
laboratory and may also notify the
owner or consignee, of the deficiency.
The LAAF-accredited laboratory would
be required to respond to FDA within 30
days. Proposed paragraph (b) stated that
we may report our determination of a
deficiency to the recognized
accreditation body. Proposed paragraph
(c) stated that if the deficiency
demonstrates a material substantive
shortcoming in the related food testing,
or demonstrates repeated administrative
deficiencies, we may also consider
disallowing the LAAF-accredited
laboratory from submitting abridged
analytical reports, or other actions
under this subpart. Proposed paragraph
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(d) noted that nothing in this subpart
limits FDA’s ability to review and act
upon information received about food
testing.
We revised this section to incorporate
updated terminology, to make
conforming changes, and to improve
clarity and readability. We discuss
additional changes made in response to
comments below.
(Comment 129) Some comments
indicate that proposed § 1.1160(b) did
not state that recognized accreditation
bodies ‘‘will’’ be informed when FDA
finds a deficiency as a result of
reviewing a LAAF-accredited
laboratory’s test results, analytical
reports, related documents, or the
associated analysis; instead we used the
word, ‘‘may.’’ These comments urge
FDA to inform the recognized
accreditation body of findings of
deficiency. Other comments appear to
encourage us to notify the recognized
accreditation body when we learn of a
possible deficiency, before we reach a
conclusion that a deficiency has
occurred. Comments generally urge FDA
to have transparent communication
with recognized accreditation bodies
regarding the LAAF-accredited
laboratories.
(Response 129) We agree that
communication between the FDA and
the recognized accreditation bodies will
be beneficial for this program. At the
same time, we do not want to
overwhelm a recognized accreditation
body with details concerning analytical
reports that are unlikely to be relevant
to their oversight of a LAAF-accredited
laboratory. To that end, final § 1.1160(b)
provides FDA with discretion regarding
which observations and deficiencies we
will report to a recognized accreditation
body. We anticipate deciding on a caseby-case basis which deficiencies are
significant enough to warrant notifying
a recognized accreditation body. By way
of two examples, while a deficiency
such as failure to run quality control
samples as required in § 1.1138(a)(3),
that would call into question the
validity of the test result, likely would
be reported to the recognized
accreditation body, a deficiency that
does not call into question the validity
of the test, such as FDA requesting a
missing document, generally would not
require notification of the recognized
accreditation body. Relatedly, we have
clarified in § 1.1160(a) that we may
require that a laboratory correct the test
result, analytical report, related
documents, or the associated analysis.
Such correction would not require
additional corrective action; however,
FDA may require corrective action for
certain deficiencies.
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(Comment 130) Some comments
request that in the event that FDA
identifies a deficiency in an analytical
report, FDA not notify the owner or
consignee if the deficiency can be
immediately resolved and human health
is not directly affected.
(Response 130) The potential
circumstances surrounding FDA
identification of a deficiency in a test
result, analytical report, or related
documents are numerous and varied. It
would be imprudent for us to try to
categorize deficiencies and establish
different notification requirements for
the various categories. Instead, we will
approach each instance of deficiency
under § 1.1160(a) on a case-by-case
basis, in terms of determining whether
it is appropriate to inform the owner or
consignee. We do take the point of the
comment, though, and agree that owners
or consignees need not always be
informed when FDA identifies a
deficiency in a test result, analytical
report, or related documents.
Accordingly, we are retaining the
conditional language of the proposed
rule in § 1.1160(a) of the final rule by
stating that FDA ‘‘may’’ report such
deficiencies to the owner or consignee.
(Comment 131) Some comments state
that FDA should expedite review of
analytical reports and test results from
all LAAF-accredited laboratories. These
comments contend that this will benefit
both importers and their customers and
will result in more efficient use of FDA
resources during review.
(Response 131) We acknowledge these
comments and intend to review
analytical reports in a timely fashion.
(Comment 132) Some comments
express the concern that FDA’s review
of analytical reports submitted in
relation to testing to support removal
from import alert has been inconsistent,
both between FDA regions and within
single facilities. Comments contend that
over time FDA has required increasing
amounts of information. Comments
express frustration that it has been
difficult to gain clarity from FDA
regarding what our standards are for the
documents comprising a full analytical
report. Comments recommend that FDA
develop a document that clearly
communicates to FDA staff as well as
laboratories submitting reports, our
requirements for each component of a
full analytical report; comments assert
this should be done before holding
laboratories accountable for failure to
satisfy such requirements.
Other comments express frustration
regarding working with FDA to resolve
issues identified in analytical reports
submitted in relation to testing to
support removal from import alert.
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These comments assert that such
resolution requires the participation of
more than one office within FDA’s
Office of Regulatory Affairs. In the view
of these comments, the cumbersome
FDA resolution process results in
delayed admissibility decisions.
Other comments request that we
clarify how we will ensure that
analytical reports are reviewed by
qualified FDA personnel.
(Response 132) The review of the
laboratory analytical reports and test
results is a very structured process.
Reviewers complete technical reviews
using the Laboratory Manual Volume III
Section 7—Private Laboratory Guidance,
corresponding import alerts, and other
appropriate guidance documents
ensuring that the technical reviews are
consistent across reviewers and that
testimony submitted contains all
pertinent elements needed for the
specified analysis to assure FDA that the
scientific data is credible, reliable, and
valid. Reviewing personnel are highly
qualified and have gone through
extensive training to perform these
reviews. The use of technical lead
review panels further aids in preventing
inconsistencies and in standardizing the
review process by insuring a uniform,
systematic, and effective approach to
package review across the FDA. The
periodic auditing of the technical
review process in accordance with
FDA’s quality system and Laboratory
Manual Volume III Section 7—Private
Laboratory Guidance (https://
www.fda.gov/media/73540/download)
provides another layer of consistency to
the process. Average turnaround time
for a review is generally 2 days
including the technical lead review
assignments. The required elements for
full and abridged analytical reports,
along with the documents required to be
submitted with test results, are set forth
in this final rule. This process is
designed to mitigate inconsistencies.
Finally, it is true that more than one
FDA office may have a role to play
when we work with laboratories to
resolve questions regarding an
analytical report. We endeavor to work
efficiently across the involved FDA
offices to resolve such issues and
communicate the resolution to impacted
internal and external entities.
3. When will FDA require corrective
action, put a LAAF-accredited
laboratory on probation, or disqualify a
LAAF-accredited laboratory from
submitting analytical reports (§ 1.1161)?
Proposed § 1.1161 described the
grounds necessary for FDA to place a
LAAF-accredited laboratory on
probation or disqualify it from the
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program and the processes for taking
such action. In paragraph (a) we stated
that we may disqualify a laboratory in
whole or in part for good cause and
when the recognized accreditation body
fails to withdraw LAAF-accreditation.
We stated that the reasons may include
demonstrated bias or lack of objectivity
in testing, performance that calls into
question the validity or reliability of
testing, or other failure to substantially
comply with this subpart.
In proposed paragraph (b) we
described the grounds for probation as
deficiencies that are less serious and
more limited than those identified in
paragraph (a), when it is reasonably
likely that the LAAF-accredited
laboratory will be able to correct them
within a specified period of time. We
stated that under such circumstances we
would temporarily place the laboratory
on probation and request appropriate
corrective action. In proposed paragraph
(c) we clarified that we may disqualify
a LAAF-accredited laboratory in part
(for just some methods).
In proposed paragraph (d) we stated
that a LAAF-accredited laboratory’s
probationary status would last either
until the deficiency is corrected or FDA
determines that disqualification is
warranted. In proposed paragraph (e) we
described the notice of disqualification
that we would provide to a LAAFaccredited laboratory. In proposed
paragraph (f) we described the notice of
probation that we would provide to a
LAAF-accredited laboratory. In
proposed paragraph (g) we stated that if
we place a LAAF-accredited laboratory
on probation and determine that the
laboratory is not implementing
appropriate corrective actions we may
disqualify the laboratory in whole or in
part. In proposed paragraph (h) we
stated that probationary status and
disqualification will be noted on the
public registry described in § 1.1109.
We revised the section to incorporate
updated terminology and to specify that
probation can be method-specific, to be
consistent with disqualification which
is also method-specific (see § 1.1161(b)
of the final rule). We also revised the
section title to more accurately reflect
the section contents of the final rule
(‘‘When will FDA require corrective
action, put a LAAF-accredited
laboratory on probation, or disqualify a
LAAF-accredited laboratory from
submitting analytical reports?’’) We
discuss additional changes made in
response to comments below.
(Comment 133) Some comments
disagree with the processes we
proposed in § 1.1161 regarding how
FDA would follow up with a LAAFaccredited laboratory if we identify a
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concern with the laboratory’s
performance. Some comments disagree
with the ordering of our actions because
in the proposed rule, we described first
notifying a LAAF-accredited laboratory
that we were placing it on probation,
and then allowing an opportunity for
the laboratory to correct. Some
comments assert that such a process is
not consistent with processes in the
conformity assessment arena.
Several comments state that under the
proposed rule, probationary status
would be publicly noted on the online
registry; several comments argue that
sharing that status publicly could
impede the LAAF-accredited
laboratory’s business. Comments
contend that professional courtesy and
due process should dictate that the
Agency provide notice before imposing
any status changes or restrictions on a
LAAF-accredited laboratory. These
comments argue it would be unfair of
FDA to imply on the public registry that
the laboratory’s performance had been
unacceptable without first allowing the
laboratory an opportunity to take
corrective action.
Several comments recommend that,
instead, FDA should notify the LAAFaccredited laboratory of our concern and
provide an opportunity for the
laboratory to correct, before the Agency
imposes any status changes. In
particular some comments recommend
that, if FDA has a concern with the
LAAF-accredited laboratory’s
performance, FDA should utilize the
laboratory complaint process (required
by ISO/IEC 17025:2017 section 7.9 (Ref.
3)). In the view of these comments, if
FDA’s concern has not yet been
adequately addressed via the LAAFaccredited laboratory’s complaint
process, then the matter should be
raised to the recognized accreditation
body. For example, some comments
suggest that if FDA is not satisfied with
a LAAF-accredited laboratory’s
corrective action, then there should be
a meeting between FDA, the LAAFaccredited laboratory, and the
recognized accreditation body to try and
resolve the issue, before FDA proceeds
to probation or disqualification. Some
comments suggest that, after FDA places
a LAAF-accredited laboratory on
probation, the laboratory be afforded an
additional opportunity to remedy the
deficiency.
Some comments maintain that LAAFaccredited laboratories should have an
opportunity to defend against a
potentially ‘‘hypercritical review’’ that
raises only minor problems or mistakes
that do not impact the test results. These
comments further contend that such
problems or mistakes should not impact
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the laboratory’s LAAF-accreditation
status.
Finally, comments encourage FDA to
establish a single process for following
up on concerns with the performance of
a LAAF-accredited laboratory, and that
process should lead only to potential
probation or disqualification. In this
view, potential or actual deficiencies in
the performance of a LAAF-accredited
laboratory should not impact the
laboratory’s eligibility to submit
abridged analytical reports.
(Response 133) After considering the
comments, we agree that a LAAFaccredited laboratory should be afforded
the opportunity to take corrective action
on FDA notification of a deficiency
prior to being placed on probation by
FDA. Thus, we have revised § 1.1161 of
the final rule to reflect this position.
Specifically, § 1.1161(a) describes a
corrective action process which relies
on the complaint and corrective action
processes required by ISO/IEC
17025:2017 sections 7.9 and 8.7,
respectively. As stated in § 1.1161(b) of
the final rule, FDA will only proceed to
probation if ‘‘FDA determines that a
LAAF-accredited laboratory has not
effectively implemented corrective
action or otherwise fails to address
deficiencies identified.’’ Similarly, FDA
will only proceed to disqualify a
laboratory from the LAAF program if we
determine that ‘‘a LAAF-accredited
laboratory on probation [failed] to
effectively implement correction action
or otherwise address identified
deficiencies.’’ Id. at (c)(2). Thus, a
LAAF-accredited laboratory will have at
least two opportunities to respond to
FDA regarding an identified deficiency
before FDA disqualifies the laboratory
from submitting analytical reports under
the LAAF program.
Some comments suggest that if the
initial complaint and corrective action
process fails to satisfy FDA, FDA should
involve the recognized accreditation
body. FDA agrees and accordingly, final
§ 1.1161(b)(1) provides that FDA will
notify both the LAAF-accredited
laboratory and its recognized
accreditation body if we have grounds
for probation. It is possible that a
meeting between the FDA, the
recognized accreditation body, and the
LAAF-accredited laboratory may be
beneficial at that stage, but as deficiency
circumstances will vary greatly, we will
consider that option on a case-by-case
basis.
We accept the point made in some
comments that minor deficiencies
should not result in probationary status,
and agree that a small number of
administrative errors would not form
the basis for FDA to require corrective
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action. However, in the case of
submissions from a LAAF-accredited
laboratory that evidence a pattern of
inattention with regard to any
requirements, it may not be
unreasonable for FDA to grow
concerned that the laboratory may also
be failing to observe other, more
substantive, details.
Finally, after considering the
comments we agree that it will be
clearer and more efficient to forego a
separate set of disciplinary actions
regarding permission for a LAAFaccredited laboratory to submit abridged
analytical reports. Accordingly, final
§ 1.1161 describes the single path of
actions that FDA can pursue against a
LAAF-accredited laboratory. For more
information on permission to submit
abridged analytical reports, see above
discussion of § 1.1153 at Response 124.
(Comment 134) Several comments
express concern with FDA’s proposed
use of the words, ‘‘probation’’ and
‘‘revoke’’ in § 1.1161. Some comments
advise that FDA should better
distinguish between actions the FDA
may take against a LAAF-accredited
laboratory under this subpart, and the
actions an accreditation body might take
against a laboratory with regard to that
laboratory’s ISO/IEC 17025:2017
accreditation. Some comments suggest
that, because FDA lacks authority to
impact a laboratory’s ISO/IEC
17025:2017 accreditation, we should
clarify that if we place a LAAFaccredited laboratory on probation, the
impact of our action is limited to this
subpart, and not the laboratory’s ISO/
IEC 17025:2017 accreditation.
(Response 134) We agree that FDA
authority under this subpart does not
directly impact or relate to the
laboratory’s ISO/IEC 17025:2017
accreditation. We have made changes
throughout the final rule to clarify that
actions taken under this subpart against
LAAF-accredited laboratories by
recognized accreditation bodies are
limited to impacting a laboratory’s
LAAF-accreditation and actions taken
by FDA are limited to impacting the
laboratory’s ability to conduct the tests
described in § 1.1107. Additionally, we
have revised the language used in
§ 1.1161 to better distinguish FDA and
recognized accreditation body actions
under this subpart. For example, we use
the terms, ‘‘reduce the scope’’ and
‘‘withdraw’’ to describe the actions a
recognized accreditation body may take
with respect to LAAF-accreditation and
we use the word, ‘‘disqualify’’ to
describe the action FDA may take with
regard to a laboratory’s eligibility to
conduct the testing described in
§ 1.1107. For a full discussion of
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terminology revisions in the final rule,
see Response 10, above.
(Comment 135) A few comments
request clarification of exactly when a
LAAF-accredited laboratory would be
placed on probation. We understand
these comments to be expressing
confusion over what ‘‘probation’’ means
in this context, because it is not a
familiar concept in the realm of
conformity assessment (e.g., neither
ISO/IEC 17011:2017 or ISO/IEC
17025:2017 contemplate probation).
(Response 135) We first note that in
light of the comments, FDA changed
several terms in the final rule. We are
now using separate terms for actions
taken by FDA and recognized
accreditation bodies with regard to
LAAF-accredited laboratories, to better
delineate the roles of FDA and the
recognized accreditation bodies under
this subpart. In the final rule, FDA may
place a LAAF-accredited laboratory on
‘‘probation’’ but the recognized
accreditation body ‘‘suspends’’ a
laboratory’s LAAF-accreditation.
Also in light of the comments, we
substantively revised the grounds for
probation of a LAAF-accredited
laboratory. In the proposed rule,
probation was reserved for less serious
laboratory deficiencies than the
deficiencies that might lead to FDA
disqualification of the LAAF-accredited
laboratory. In the final rule, FDA will
use a single path for all laboratory
deficiencies and that single path will
typically involve at least a three-step
process: Corrective action, then
probation if the corrective action is not
effective, followed by disqualification if
additional actions taken during
probation are ineffective. Thus, final
§ 1.1161(b) provides that probation may
occur when ‘‘FDA determines that a
LAAF-accredited laboratory has not
effectively implemented corrective
action or otherwise fails to address
deficiencies identified.’’ Note, however,
that we reserve the option to disqualify
a LAAF-accredited laboratory without
prior corrective action or probation in
certain egregious cases described in
§ 1.1161(c)(1) of the final rule.
4. What are the consequences if FDA
puts a LAAF-accredited laboratory on
probation or disqualifies a LAAFaccredited laboratory (§ 1.1162)?
Proposed § 1.1162 describes the
consequences of FDA placing a LAAFaccredited laboratory on probation or
disqualifying the laboratory from
submitting analytical reports under the
program. Proposed paragraph (a) stated
that the disqualified laboratory is
immediately ineligible to conduct
testing under this subpart either in part
or in whole, depending on the extent of
the disqualification, and a laboratory on
probation may continue to conduct
testing under this subpart.
Proposed paragraph (b) stated that
FDA may refuse to consider testing
conducted prior to disqualification if
the basis for the disqualification
indicates that the specific food testing
previously conducted may not be
reliable. Proposed paragraph (c)
provided that a disqualified laboratory
must notify FDA of a records custodian
within 10 days. Proposed paragraph (d)
stated that a laboratory on probation or
that has been disqualified must notify
any owners or consignees for whom it
is conducting testing under this subpart,
that it is on probation or has been
disqualified.
We have updated this section of the
final rule to incorporate updated
terminology and to make other
conforming changes to denote that
probation and disqualification by FDA
can be on a method-specific basis. On
our own initiative, we relocated the
requirement that the laboratory
notification regarding the records
custodian be submitted to FDA
electronically and in English in
§ 1.1162(c) of the proposed rule to
§ 1.1110 in the final rule. We also made
minor editorial changes to improve
clarity and readability of the section. We
received no comments solely related to
this section.
K. Comments Regarding Requesting
FDA Reconsideration or Regulatory
Hearings of FDA Decisions Under This
Subpart
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TABLE 12—CHANGES REGARDING REQUESTING FDA RECONSIDERATION OR REGULATORY HEARINGS OF FDA DECISIONS
UNDER THIS SUBPART
Final rule
Proposed rule
Notes
Requesting FDA Reconsideration or Regulatory Hearings of FDA Decisions Under This
Subpart.
§ 1.1171 How does an accreditation body request reconsideration by FDA of a decision
to deny its application for recognition, renewal, or reinstatement?
§ 1.1173 How does an accreditation body or
laboratory request a regulatory hearing on
FDA’s decision to revoke the accreditation
body’s recognition or disqualify a LAAF-accredited laboratory?
§ 1.1174 How does an owner or consignee
request a regulatory hearing on a directed
food laboratory order?
Requesting FDA Reconsideration, FDA Internal Review, or Regulatory Hearings of FDA
Decisions Under This Subpart.
§ 1.1171 How does an accreditation body request reconsideration by FDA of a decision
to deny its application for recognition, renewal, or reinstatement?
§ 1.1173 How does an accreditation body or
laboratory request a regulatory hearing on
FDA’s decision to revoke the recognized accreditation body’s recognition or revoke the
accredited laboratory’s accreditation?
§ 1.1174 How does an owner or consignee
request a regulatory hearing on a food testing order?
Revised to reflect the contents of the sections
included.
(Comment 136) Some comments
suggest that regulatory hearings be held
for decisions relating to FDA acceptance
of test reports (full or abridged) from
LAAF-accredited laboratories.
(Response 136) We decline to expand
the availability of regulatory hearings to
this situation. The mere acceptance of
test reports from LAAF-accredited
laboratories does not constitute
regulatory action for which a hearing
under part 16 is available or would be
warranted. To the extent comments
suggest a regulatory hearing should be
available regarding whether a LAAFaccredited laboratory has met the
criteria specified in § 1.1153 and thus
may submit abridged analytical reports,
as discussed in Response 124, we have
revised the final rule based on the
comments received to facilitate a more
streamlined process for obtaining FDA
permission to submit abridged
analytical reports. In addition, under the
final rule, if FDA identifies a deficiency
in an abridged analytical report, such
deficiencies are handled the same way
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No changes to the section title.
Revised to reflect new terminology.
Revised to reflect new terminology.
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we would handle a deficiency in a full
analytical report. Under § 1.1161 of the
final rule, that means the laboratory
generally has an opportunity to pursue
corrective action before experiencing
any negative consequences such as
probation and loss of permission to
submit abridged analytical reports. In
our view, this process will be more
productive and efficient than holding
regulatory hearings in each case.
Further, as discussed above in Response
57, permission to submit abridged
analytical reports will not be included
on the public registry described in
§ 1.1109. This decision mitigates any
potential negative impact on a LAAFaccredited laboratory and obviates the
need for a formal regulatory hearing.
1. How does an accreditation body
request reconsideration by FDA of a
decision to deny its application for
recognition, renewal, or reinstatement
(§ 1.1171)?
Proposed § 1.1171 described the
processes for an accreditation body to
request that FDA reconsider its decision
to deny an application either for
recognition, renewal, or reinstatement.
In paragraph (a), we proposed that an
accreditation body must submit a
reconsideration request within 10
business days after FDA issues the
denial. In paragraph (b), we proposed
that the reconsideration request must be
signed and submitted in English,
electronically, and in compliance with
whatever procedures are described in
the denial notice. In paragraph (c), we
proposed that after reviewing and
evaluating the reconsideration request,
FDA would notify the accreditation
body of our decision.
On our own initiative, we relocated
the requirement that the reconsideration
request be submitted to FDA
electronically and in English in
§ 1.1171(b) of the proposed rule to
§ 1.1110 in the final rule. Additionally,
we clarify in § 1.1171(b) that the request
must include any supporting
information. Comments regarding this
section are discussed below.
(Comment 137) Some comments
suggest that prior to denying an
accreditation body’s application for
recognition, renewal, or reinstatement,
FDA should provide the reason for the
proposed denial and allow the
accreditation body the opportunity to
address FDA’s concerns.
(Response 137) Procedures outlined
in other sections of this final rule
provide the notice and opportunity
requested by these comments. With
regard to an application for recognition
or renewal, § 1.1115(a) provides that
FDA will notify the applicant of any
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insufficiencies. FDA views the
accreditation body application process
as iterative; as stated in 1.1115(a), we
will notify the applicant of any
insufficiencies and provide an
opportunity for the accreditation body
to complete the application, before we
evaluate it under § 1.1115(b).
With regard to reinstatement, under
§ 1.1117 an accreditation body seeks
recognition by submitting a new
application. The new application would
be processed as described under
§ 1.1115. Note that an accreditation
body that has had its recognition
revoked by FDA is also required to
submit evidence that the ground(s) for
revocation have been resolved; for more
information see the discussion of
§ 1.1117(a), above.
2. How does an accreditation body or
laboratory request a regulatory hearing
on FDA’s decision to revoke the
accreditation body’s recognition or
disqualify a LAAF-accredited laboratory
(§ 1.1173)?
Proposed § 1.1173 described the
processes for a regulatory hearing
concerning a decision by the Agency to
revoke an accreditation body’s
recognition or disqualify a laboratory
from the LAAF program.
In paragraph (a) we proposed that an
entity must submit a request for a
regulatory hearing within 10 business
days after FDA issued a revocation of
recognition or disqualification. We
proposed that the hearing would be
conducted under part 16 and that the
revocation or disqualification notice
would contain all necessary elements to
constitute the notice of an opportunity
for hearing under part 16 of this chapter.
In brief, in paragraph (b) we proposed
that the hearing request must be written
and respond to the bases for FDA’s
determinations described in the notice.
Proposed paragraph (c) stated that the
submission of a request for a hearing
will not operate to delay or stay FDA’s
decision to revoke or disqualify, unless
FDA determines that delay or a stay is
in the public interest. Proposed
paragraph (d) stated that the presiding
officer would be designated after the
hearing request is submitted to FDA and
proposed paragraph (e) stated that the
presiding officer may deny the hearing
request under § 16.26(a). Proposed
paragraph (f) addressed the conduct of
the hearing.
In the proposed rule, we used the
word, ‘‘revocation’’ in this section, to
refer to FDA removing a laboratory from
the program. We received comments
expressing concern with that
terminology and have revised our
phrasing in light of such concerns, as
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discussed above at Response 10. On our
own initiative, we relocated the
requirement that the reconsideration
request be submitted to FDA
electronically and in English in
§ 1.1173(b) of the proposed rule to
§ 1.1110 in the final rule. We received
no other comments solely related to this
section and so have only made minor
editorial and conforming changes (e.g.,
FDA may ‘‘disqualify’’ a laboratory
rather than ‘‘revoke the laboratory’s
accreditation’’) to the section, including
the section title.
3. How does an owner or consignee
request a regulatory hearing on a
directed food laboratory order
(§ 1.1174)?
Proposed § 1.1174 described the
processes for a regulatory hearing
concerning a directed food laboratory
order. In paragraph (a) we proposed that
an owner or consignee must submit a
request for a regulatory hearing within
24 hours. We proposed that the hearing
would be conducted under part 16 and
that the directed food laboratory order
would contain all necessary elements to
constitute the notice of an opportunity
for hearing under part 16 of this chapter.
In brief, in paragraph (b) we proposed
that the hearing request must be written
and respond to the bases for FDA’s
determinations described in the directed
food laboratory order. Proposed
paragraph (c) stated that the presiding
officer would be designated after the
hearing request is submitted to FDA and
proposed paragraph (d) stated that the
presiding officer may deny the hearing
request under § 16.26(a). Proposed
paragraph (e) addressed the conduct of
the hearing.
On our own initiative, we relocated
the requirement that the reconsideration
request be submitted to FDA
electronically and in English in
§ 1.1174(b) of the proposed rule to
§ 1.1110 in the final rule. We also
revised the section to incorporate
updated terminology and made minor
editorial changes to improve the clarity
and readability of the section. We
discuss changes made in response to
comments below.
(Comment 138) Several comments
disagree with the proposed hearing
process for a directed food laboratory
order because they contend it would not
afford sufficient due process protections
to owners or consignees. Specifically,
comments raise concerns that the
hearing process under part 16 is
discretionary and that an owner or
consignee must request a hearing by
filing an appeal within 24 hours. These
comments state that the hearing should
be guaranteed if requested. Further,
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these comments argue that 24 hours is
not enough time to request the hearing
upon receipt of a directed food
laboratory order, and that this timeframe
is also not warranted from a public
health standpoint. Instead, comments
recommend more time, up to 10 days,
as a reasonable timeframe in which to
review the directed food laboratory
order and prepare the request.
Comments state the hearing should
provide the opportunity to determine
the appropriate scope of the directed
food laboratory order and the ability to
lift or vacate the directed food
laboratory order. Comments suggest that
the hearing process used for the facility
registration suspension and mandatory
recalls would be more appropriate.
(Response 138) After considering the
comments, we agree that 24 hours may
not be sufficient time to request a
regulatory hearing on a directed food
laboratory order. Part 16 of this chapter,
which provides for regulatory hearings
before the FDA, provides not less than
3 working days after receipt of the
notice to request a hearing (see
§ 16.22(b)). We have therefore revised
§ 1.1174(a) to state that the hearing
request under this subpart must be
submitted within 3 business days, to
align with the intent of part 16 of this
chapter. We decline the request to
establish a 10-day deadline because we
consider the 3 business days applicable
in other part 16 contexts to be sufficient
in the directed food laboratory order
context as well.
We also decline to adopt the hearing
processes for facility registration
suspension and mandatory recalls. The
statute guarantees the opportunity for a
hearing on the suspension of a food
facility registration ‘‘to be held as soon
as possible, but not later than two
business days after the issuance of the
order . . .’’ unless FDA and the
registrant agree otherwise (section
415(b)(2) of the FD&C Act). Similarly,
the statute guarantees the opportunity
for an informal hearing regarding a
mandatory recall order ‘‘to be held as
soon as possible, but not later than 2
days after the issuance of the order
. . . . ’’ (section 423(c) of the FD&C
Act). In contrast, section 422 of the
FD&C Act does not provide for a
guaranteed hearing process. Therefore
we believe the discretionary hearing
process proposed, which incorporates
existing procedures in 21 CFR part 16,
is appropriate with respect to directed
food laboratory orders. Under § 16.26(a),
a hearing request may be denied, in
whole or in part, if ‘‘no genuine and
substantial issue of fact has been raised
by the material submitted.’’
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With regard to the comments’
contention that the hearing should
provide the opportunity to determine
the appropriate scope of the directed
food laboratory order and the ability to
lift or vacate the directed food
laboratory order, we believe this is
inherent in the procedure specified in
§ 16.60, which permits the presentation
of any oral or written information
relevant to the hearing, and which
grants the presiding officer power to
take any actions necessary or
appropriate to conduct a fair,
expeditious, and impartial hearing.
L. Comments Regarding Electronic
Records and Public Disclosure
Requirements
1. Are electronic records created under
this subpart subject to the electronic
records requirements of part 11 of this
chapter (§ 1.1199)?
In § 1.1199 of the proposed rule, we
proposed to exempt from the
requirements of part 11 (21 CFR part 11)
those records that meet the definition of
electronic records in § 11.3(b)(6) and
were established or maintained to
satisfy the requirements of this subpart.
(Comment 139) Comments on this
aspect of the proposed rule voice
support for the proposed exemption.
Comments contend that requiring such
records to comply with the
requirements in 21 CFR part 11 would
be unnecessarily burdensome.
(Response 139) We appreciate support
for this section and have finalized it
without change.
2. Are the records obtained by FDA
under this subpart subject to public
disclosure (§ 1.1200)?
Proposed § 1.1200 stated that records
obtained by FDA under this subpart are
subject to the disclosure requirements
under 21 CFR part 20. We received no
comments on this section and have
finalized the section without change.
M. Comments on Conforming and
Technical Amendments and FDA
Response
The proposed rule contained several
conforming and technical amendments.
We proposed revising the
requirements for certain analyses under
the Accredited Third-Party Certification
Program. Specifically, we proposed to
revise § 1.651(b)(3) to require use of a
laboratory that is accredited in
accordance with ISO/IEC 17025:2017 to
perform certain analyses for a regulatory
audit. We also proposed to update the
cross-reference in paragraph (c)(2) of the
same section.
We received no comments on these
proposed changes. Thus, we have
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finalized these changes as proposed,
with one minor exception. In final
§ 1.651(c)(2), we changed, ‘‘Federal
Food, Drug, and Cosmetic Act,’’ to
‘‘FD&C Act’’ to be consistent with
references to the statute in the
regulations for the Accredited ThirdParty Certification Program in part 1,
subpart M.
We proposed to amend § 11.1
regarding the scope of the electronic
records and electronic signatures
regulations to add paragraph (p) which
states that part 11 does not apply to
records required to be established or
maintained by part 1, subpart R of this
chapter (i.e., the LAAF regulations).
However, records that satisfy the
requirements of subpart R of part 1 of
this chapter (i.e., the LAAF regulations),
but that are also required under other
applicable statutory provisions or
regulations, remain subject to part 11.
We received no comments regarding
this conforming amendment. Thus, we
have finalized these changes as
proposed.
We proposed conforming
amendments to revise FDA’s regulatory
hearing regulations at § 16.1(b)(2) to
include §§ 1.1173 and 1.1174 in the list
of regulations covered by this part. We
received no comments directly related
to these conforming amendments. On
our own initiative, we changed,
‘‘revocation of accreditation’’ to
‘‘disqualification,’’ consistent with the
terminology changes discussed in
Response 10, and ‘‘food testing order’’ to
‘‘directed food laboratory order,’’
consistent with the change in
terminology discussed in the definitions
section (§ 1.1102). In relation to the
directed food laboratory order, we also
replaced the reference to § 1.1107(a)(2)
with a reference to § 1.1108, consistent
with the reference we are providing in
the definition of directed food
laboratory order (see § 1.1102).
We proposed revising the bottled
drinking water regulations in 21 CFR
129.35 to state that, ‘‘the analysis of the
five samples from the same sampling
site that originally tested positive for E.
coli, as required by paragraph (a)(3) of
this section, must be conducted under
part 1, subpart R of this chapter.’’ We
received a few comments on that
proposal and are finalizing the revision
without change; see comment and
Response 87.
VI. Effective Date
This final rule will be effective 60
days after publication in the Federal
Register. For information on
implementation of the final rule, see the
discussion under that subheading in
section V.B. of this preamble.
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VII. Economic Analysis of Impacts
We have examined the impacts of the
final rule under Executive Order 12866,
Executive Order 13563, the Regulatory
Flexibility Act (5 U.S.C. 601–612), and
the Unfunded Mandates Reform Act of
1995 (Pub. L. 104–4). Executive Orders
12866 and 13563 direct us to assess all
costs and benefits of available regulatory
alternatives and, when regulation is
necessary, to select regulatory
approaches that maximize net benefits
(including potential economic,
environmental, public health and safety,
and other advantages; distributive
impacts; and equity). We believe that
this final rule is not a significant
regulatory action as defined by
Executive Order 12866.
The Regulatory Flexibility Act
requires us to analyze regulatory options
that would minimize any significant
impact of a rule on small entities.
Because the per-entity one-time costs of
the rule may exceed one percent of
revenues for accreditation bodies that
choose to participate in the LAAF
program, we find that the final rule will
have a significant economic impact on
a substantial number of small entities.
The Unfunded Mandates Reform Act
of 1995 (section 202(a)) requires us to
prepare a written statement, which
includes an assessment of anticipated
costs and benefits, before proposing
‘‘any rule that includes any Federal
mandate that may result in the
expenditure by State, local, and tribal
68811
governments, in the aggregate, or by the
private sector, of $100,000,000 or more
(adjusted annually for inflation) in any
one year.’’ The current threshold after
adjustment for inflation is $158 million,
using the most current (2020) Implicit
Price Deflator for the Gross Domestic
Product. This final rule would not result
in an expenditure in any year that meets
or exceeds this amount.
We have developed a comprehensive
Economic Analysis of Impacts that
assesses the impacts of this rule. In table
13 we provide the Regulatory
Information Service Center and Office of
Information and Regulatory Affairs
Consolidated Information System
accounting information.
TABLE 13—SUMMARY OF BENEFITS, COSTS AND DISTRIBUTIONAL EFFECTS OF FINAL RULE 1
Units
Primary
estimate
Category
Benefits:
Annualized Monetized $millions/year ............................
High
estimate
Year
dollars
Discount
rate
(%)
$9.1
$6.6
$12.5
2020
7
9.1
6.6
12.5
2020
3
Annualized Quantified ...................................................
............
............
............
............
............
............
............
............
7
3
Qualitative ......................................................................
Reduced risk of foodrelated illness from
improved test performance
for covered tests. Cost
savings from clarifying
reporting requirements and
from allowing abridged
analytical reports.
Reduced risk of foodrelated illness from unsafe
food manufacturing
practices.
Costs:
Annualized Monetized $millions/year ............................
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Low
estimate
7.9
7.9
5.8
5.9
9.6
9.7
2020
2020
7
3
Annualized Quantified ...................................................
............
............
............
............
Qualitative ......................................................................
............
............
............
............
7
3
............
Transfers
Federal Annualized Monetized $millions/year ...............
............
............
............
............
From/To .........................................................................
From:
Other ..............................................................................
Annualized Monetized $millions/year ............................
............
............
From/To .........................................................................
From:
Period
covered
10
years
10
years
............
............
Notes
Cost savings and avoided QALD losses.
Cost savings and avoided QALD losses.
10
years
10
years
7
3
To:
............
............
............
............
............
............
7
3
To:
Effects:
State, Local or Tribal Government: None
Small Business: Potential impacts on laboratories currently not accredited to ISO/IEC 17025 that would participate in the LAAF program described by this rule
Wages: None
Growth: None
1 The
lower bound equals the 5th percentile and the upper bound equals the 95th percentile.
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The full analysis of economic impacts
is available in the docket for this final
rule (Ref. 4) and at https://www.fda.gov/
about-fda/reports/economic-impactanalyses-fda-regulations.
VIII. Analysis of Environmental Impact
We previously considered the
environmental effects of this rule, as
stated in the proposed rule (84 FR 59452
at 59496). We stated that we had
determined, under 21 CFR 25.30(h), that
this action ‘‘is of a type that does not
individually or cumulatively have a
significant effect on the human
environment’’ such that neither an
environmental assessment nor an
environmental impact statement is
required. We have not received any new
information or comments that would
affect our previous determination (Ref.
22).
IX. Paperwork Reduction Act of 1995
This final rule contains information
collection provisions that are subject to
review by the Office of Management and
Budget (OMB) under the Paperwork
Reduction Act of 1995 (44 U.S.C. 3501–
3521). The title, description, and
respondent description of the
information collection provisions are
shown in the following paragraphs with
an estimate of the annual reporting and
recordkeeping burden. Included in the
estimate is the time for reviewing
instructions, searching existing data
sources, gathering and maintaining the
data needed, and completing and
reviewing each collection of
information.
Title: Laboratory Accreditation for
Analyses of Foods; OMB Control
Number 0910–0898.
Description: As mandated by section
422 of the FD&C Act, we are
establishing a program for the testing of
food by accredited laboratories (LAAF
program); establishing the standards and
procedures for recognizing accredited
laboratories and for recognized
accreditation bodies that LAAF-accredit
laboratories; establishing a publicly
available registry of recognized
accreditation bodies and LAAFaccredited laboratories; and establishing
procedures for reporting any changes
affecting the recognition of such
accreditation bodies or LAAFaccreditation of such laboratories.
Description of Respondents:
Respondents to the collection of
information are accreditation bodies
seeking recognition from FDA,
recognized accreditation bodies,
laboratories seeking LAAF-accreditation
from recognized accreditation bodies,
and LAAF-accredited laboratories.
We estimate the burden of the
information collection as follows:
TABLE 14—ESTIMATED ANNUAL REPORTING BURDEN
§§ 1.1113 and 1.1114; Accreditation bodies
(ABs) application for recognition (one-time
submission).
§§ 1.1113 and 1.1114; ABs—application for
renewal of recognition.
§ 1.1116(a) and (b); ABs—notices of intent
to relinquish, records custodian.
§ 1.1123; ABs—reports, notifications, and
documentation requirements.
§§ 1.1138 and 1.1139; laboratories—submission of application for LAAF-accreditation (one-time submission).
§ 1.1140(a); laboratories—notices of intent
to relinquish, records custodian.
§§ 1.1149(a) and 1.1152(c)(1), (2); laboratories—submission of sampling plan,
sample collection report, and sampler
qualifications.
§§ 1.1152(d) and 1.1153(a); laboratories—
qualification to submit abridged analytical
reports (one-time submission).
§ 1.1153; laboratories—abridged analytical
reports submissions.
§ 1.1152(c)(3), (4), and (5); laboratories—
validation and verification studies submissions.
§ 1.1149(c); laboratories—advance notice of
sampling submissions.
§ 1.1152(f); laboratories—immediate notification.
§§ 1.1142; 1.1171; 1.1173; and 1.1174—requests in response to FDA action.
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Total .......................................................
Reporting Burden: Consistent with
estimates in our FRIA (see section II.F,
Costs of this Rule (Ref. 4)), we estimate
a total of 174 respondents. We estimate
that 5 to 80 accreditation bodies could
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Number of
responses per
respondent
Number of
respondents
Part 1, Subpart R Citation; Activity
Total
annual
responses
Average burden
per response (in hours)
Total hours
4
1
4
20 ..........................................
80
4
1
4
3.6 .........................................
14.4
0
3
0
3 ............................................
0
4
42
168
1.75 .......................................
294
170
1
170
20 ..........................................
3,400
2
3
6
1 ............................................
6
170
25
4,250
1.75 .......................................
7,437.5
170
10
1,700
2 ............................................
3,400
170
25
4,250
1.16 .......................................
4,930
9
1
9
.25 (15 minutes) ...................
2.25
170
1
170
1.5 .........................................
255
170
1.5
255
.25 (15 minutes) ...................
63.75
1
1
1
1 ............................................
1
........................
........................
........................
...............................................
19,883.9
apply for FDA recognition under this
final rule and assume that 4
accreditation bodies will apply for FDA
recognition. We estimate 170
laboratories will participate in the
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program. The reporting burden includes
a burden of 20,640 hours associated
with one-time submissions. In this
analysis, we annualize the one-time
submission burden using a 3-year
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period horizon and zero percent
discount rate, for an annualized onetime reporting burden of 6,880 hours.
Cumulatively, this results in a total
annual reporting burden of 19,883.9
hours, as reflected in table 14.
Section 1.1114 requires an
accreditation body seeking initial
recognition to submit an application to
FDA demonstrating it meets the
eligibility requirements described in
§ 1.1113 of the final rule. The burden to
prepare and submit an application is an
initial burden and, once realized, would
apply only to respondents new to the
program. We estimate this process
would take one analyst between 40 and
80 hours to compile all the relevant
information, prepare for an assessment,
complete the initial application process,
and submit the application. For this
analysis we assume a middle value of 60
hours. Also for this analysis, we use a
3-year period horizon and zero percent
discount rate to convert the one-time
submission burden to an annualized
figure (i.e., 60 hours ÷ by 3 = 20 hours).
Annually this results in 80 hours of
burden for initial applications
submitted by 4 accreditation bodies (4
applications × 20 hours per application),
as reflected in row 1.
Section 1.1114 requires a recognized
accreditation body to apply for renewal
of recognition at least every 5 years. We
believe renewal would take less time
than an initial application because
much of the information will have
already been compiled and therefore
assume between 20 and 40 hours. For
this analysis we use a middle value and
calculate that each recognized
accreditation body will spend 30 hours
every 5 years to complete and submit an
application for renewal of its
recognition. This results in 6 hours per
year (30 hours ÷ 5 years) for each
accreditation body. Because we use a 3year period horizon and zero percent
discount rate for this analysis, we
annualize that figure to three-fifths or
3.6. We multiply this figure by 4
accreditation bodies for a total of 14.4
hours annually for the submission of
renewal of applications (4 applications
× 3.6 hours per application), as reflected
in row 2.
Section 1.1116 requires that if a
recognized accreditation body
voluntarily chooses to relinquish or not
renew its recognition, it must notify
FDA and the laboratories it LAAFaccredits of its intention to depart the
program at least 60 days ahead of the
departure. The recognized accreditation
body must also provide FDA with the
name and contact information of the
custodian who will maintain and make
available to FDA requisite program
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records. We estimate a 1 percent
voluntary departure rate, which equates
to the departure of 0.04 recognized
accreditation body annually. We
estimate it would take a recognized
accreditation body one hour for each of
the three required notices. Accordingly,
with rounding, the estimate for the
burden associated with § 1.1116 is zero
(0.04 recognized accreditation body × 3
notices = .12 annual responses, which
rounds to 0; 0 annual response × 3 hours
= 0 total hours), as reflected in row 3.
Section 1.1123 requires a recognized
accreditation body to submit certain
reports, notifications, and
documentation to FDA, including
significant changes affecting its
accreditation program or the
accreditation status of laboratories it
LAAF-accredits, and to ensure FDA has
access to these and other records. We
estimate recognized accreditation bodies
would incur a burden of 3.5 hours per
month, or 42 hours per year, complying
with the reporting requirements of
§ 1.1123 and the recordkeeping
requirements of § 1.1124. For this
analysis, we identify recordkeeping and
reporting burdens separately and
assume 21 of the 42 hours (i.e., 1.75
hours per month) would be spent
meeting the reporting requirements of
§ 1.1123. Annually, this results in 294
hours (4 recognized accreditation bodies
× 42 responses per accreditation body x
1.75 hours per response), as reflected in
row 4.
Section 1.1139 requires a laboratory
seeking LAAF-accreditation to submit
an application to a recognized
accreditation body, demonstrating that
it meets the eligibility requirements
specified in § 1.1138. We estimate 170
laboratories will apply and assume it
would take one analyst an average of 60
hours to compile all the relevant
information; however we regard the
burden as a one-time burden and
therefore have annualized it by 3 years
(20 hours annually). This results in an
annual reporting burden for initial
applications by 170 laboratories being
3,400 hours (170 applications × 20
hours per application), as reflected in
row 5.
Section 1.1140 provides that if a
laboratory voluntarily chooses to
relinquish or not renew its LAAFaccreditation, it must notify FDA and its
recognized accreditation body of its
intention to do so at least 60 days ahead
of the departure. If the laboratory is
voluntarily relinquishing or not
renewing all methods within its scope,
it must also provide FDA with the name
and contact information of the
custodian who will maintain and make
available to FDA requisite program
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68813
records. We estimate a 1 percent
program departure rate, which equates
to the departure of 1.70 LAAFaccredited laboratories each year, which
we round to 2. We estimate it would
take a laboratory one hour for each of
the three required notices. Accordingly,
we estimate a burden of 6 hours per year
under § 1.1140 (2 laboratories × 3
notices = 6 annual responses; 6 annual
responses × 1 hour = 6 total hours), as
reflected in row 6.
Section 1.1152(a) through (e) requires
a LAAF-accredited laboratory to submit
results of testing required to be
conducted under the LAAF program
and include supporting documentation.
As discussed in our supporting
statement, only a percentage of that
testing would be defined as information
collection under the PRA. For this
analysis we assume a mean figure of
4,065 test result and supporting
documentation submissions (4,065.2
rounded to the nearest integer) as the
basis for factoring a corresponding
information collection burden. This
figure is derived using lower and upper
bound estimates of submissions we
expect under the rule. To allow for
adjustment and potential increase we
have added 50 submissions for a total of
4,115.
Section 1.1152(c)(1) requires a LAAFaccredited laboratory to submit a sample
collection plan and sample collection
report (the contents of which are
described in § 1.1149(a)) with each test
result. Under § 1.1152(c)(2), a LAAFaccredited laboratory must include
documentation of the sampler’s
qualifications the first time the sampler
collects a sample. We assume that it
would take 30 minutes to 1 hour to
compile a sampling plan, 30 minutes to
1 hour to compile a sample collection
report, and an average of 10 to 20
minutes to obtain the sampling plan,
sample collection report, and sampler’s
qualifications. Using a middle value of
1.5 hours to generate the sampling plan
and the sample collection report, and a
middle value of 15 minutes (.25 hours)
to obtain those two documents and
documentation of the sampler’s
qualifications, we calculate a total time
per test result of 1.75 hours (1.5 + .25).
When multiplied together the total
reporting burden for the submission of
sampling plans, sample collection
reports, and sampler qualification
requirements (170 accredited
laboratories × 25 sampling plans and
sample collection reports × 1.75 hours)
is 7,437.5 hours, as reflected in row 7.
Section 1.1153(a) allows a LAAFaccredited laboratory to qualify to
submit abridged analytical reports in
lieu of full analytical reports. We expect
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this will be a one-time burden, but we
may revisit this assumption in the
future based on actual rates of
revocation of permission to submit
abridged analytical reports. We assume
that each LAAF-accredited laboratory
would submit 10 consecutive full
analytical reports (for the middle value
of 2 major food testing disciplines per
laboratory) to qualify to submit abridged
analytical reports. We also assume that
a LAAF-accredited laboratory will
spend 4 to 8 hours to compile and
submit a full analytical report, and we
use the middle value of 6 hours for this
analysis. For initial or one-time burdens
we use a 3-year period horizon and zero
percent discount rate to convert the onetime burden to an annualized figure (2
hours). When multiplied together, this
results in a total reporting burden for
the LAAF-accredited laboratories to
qualify to submit abridged analytical
reports of 3,400 hours (170 laboratories
× 10 full analytical reports each × 2
hours per analytical report), as reflected
in row 8.
Once a LAAF-accredited laboratory
qualifies to submit abridged analytical
reports, we assume it will submit
abridged analytical reports to us
thereafter. We may revisit this
assumption in the future based on
actual rates of revocation of permission
to submit abridged analytical reports.
We estimate the burden to compile and
submit an abridged analytical report to
be between 25 percent and 33 percent
of the burden of compiling and
submitting a full analytical report, and
we use a middle value of 29 percent
here. Thus, using these figures we
calculate it would take a LAAFaccredited laboratory 1.16 hours to
compile and submit an abridged
analytical report (29 percent × 4 hours).
This results in an annual total reporting
burden for the 170 LAAF-accredited
laboratories to compile and submit
abridged analytical reports of
approximately 4,930 hours (170
laboratories × 25 abridged analytical
reports × 1.16 hours per abridged
analytical report), as reflected in row 9.
The final rule also requires a LAAFaccredited laboratory to submit
verification and validation studies to
FDA as part of an analytical report. The
ISO/IEC 17025:2017 standard requires
the use of validated and verified
methods for food testing. However, the
final rule requires additional
verification studies over and above the
requirements of ISO/IEC 17025:2017.
Additional studies may include
information to verify that a method
previously validated for a specific food
item is also valid for a different food
item, in what is called a ‘‘matrix
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extension.’’ We estimate that the
additional time burden of requiring a
LAAF-accredited laboratory to submit
verification studies such as matrix
extensions under this final rule to be a
middle value of approximately 3
percent of the time burden incurred by
laboratories to maintain accreditation to
ISO/IEC 17025:2017 (the FRIA estimates
a range of 1 percent to 5 percent). In the
FRIA we also note that internal FDA
experts suggest that between 5 percent
and 30 percent of import food testing
results require verification studies such
as matrix extensions. We use a middle
value of 17.5 percent for this analysis.
Regarding validation requirements,
we assume that methods used to test
shell eggs, sprouts, and bottled drinking
water are either already validated or that
the costs of doing so would be included
in the costs to maintain ISO/IEC
17025:2017 accreditation. Consequently,
we assume that shell eggs, sprouts, and
bottled drinking water producers would
incur no burden from this requirement
beyond the burden of the final rule’s
requirement to meet the validation
requirements of ISO/IEC 17025:2017.
We estimate the time required to
perform a matrix extension is a middle
value of 34 hours (the FRIA estimates a
range of 22 to 46 hours). We do not
distinguish between the burden of
reporting the study and the burden of
conducting the study. We assume 25
percent of the 34 hours (8.5 hours) is
attributable to the associated reporting
burden. Because we estimate that the
additional time burden of requiring
laboratories to submit verification
studies such as matrix extensions under
this final rule would be approximately
3 percent of the time burden incurred by
laboratories to maintain accreditation to
ISO/IEC 17025:2017, we multiply 8.5
hours by 3 percent to get the additional
reporting burden of .255 hours (15.3
minutes, which we round to 15 minutes,
which is .25 hours) per study imposed
by the verification study submission
requirements of the final rule. To
estimate the number of test results that
would require matrix extensions, we
multiply the number of import testing
results that would be submitted to us
under this rule annually that are subject
to PRA requirements (50) by the share
of test results submitted to us for import
food testing that require matrix
extensions (17.5 percent), for a total of
8.75 matrix extensions per year. This
equates to an average of .3241 matrix
extensions per LAAF-accredited
laboratory conducting food testing for
imports (8.75 ÷ 27). Because the number
of respondents and the annual
responses per respondent in a PRA
analysis must be whole numbers, we
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instead estimate that nine LAAFaccredited laboratories (27 × .3241,
rounded to 9 from 8.75) will submit one
full verification study to FDA annually.
Therefore, the annual reporting burden
of requiring the submission of
validation and verification studies
under this final rule is 2.25 hours (9
accredited laboratories × 1 verification
studies × .25 hours per study), as
reflected in row 10.
Under section 1.1149(c), FDA may
require under certain circumstances,
that a LAAF-accredited laboratory
submit an advance notice of sampling to
FDA before each of the next several
occasions that the sampler will a collect
a sample that the LAAF-accredited
laboratory will analyze under the LAAF
program. We assume that it would take
a laboratory analyst between 1 and 2
hours to compile and submit the
required information, and we assume
that between one percent and five
percent of all test results submitted
annually under the LAAF program will
be subject to the advance notice of
sampling requirement. For this analysis
we assume middle values of 1.5 hours
and three percent, respectively. Thus,
we estimate that 123.45 test results
(4,115 × 3%) will require submission of
advance notice of sampling under the
final rule. For this analysis we assume
that each of the estimated 170 LAAFaccredited laboratories will be required
to submit three advance notices
sampling annually under the final rule
(123.45 ÷ 170 = 0.74; rounded to 1).
Thus, the annual reporting burden on
LAAF-accredited laboratories for the
advance notice of sampling requirement
would be 255 hours (170 laboratories ×
1 advance notices of sampling × 1.5
hours), as reflected in row 11.
Section 1.1152(f) requires a LAAFaccredited laboratory to notify FDA and
the recognized accreditation body of any
changes that affect the laboratory’s
LAAF-accreditation. Note, however, that
a LAAF-accredited laboratory is not
required to notify FDA of changes that
the recognized accreditation body must
provide to FDA under § 1.1123(d). As a
conservative estimate, we assume that
each LAAF-accredited laboratory will
have some change requiring notification
of its recognized accreditation body, and
for half of those changes the LAAFaccredited laboratory will also need to
notify FDA. We estimate it will take a
LAAF-accredited laboratory 15 minutes
per notification. Thus, we estimate the
burden associated with § 1.1152(f)
would be 63.75 hours (170 accredited
laboratories × 1.5 notifications × 0.25
hours per notification), as reflected in
row 12.
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Federal Register / Vol. 86, No. 230 / Friday, December 3, 2021 / Rules and Regulations
Sections 1.1142, 1.1171, 1.1173, and
1.1174 provide for requests to FDA.
Specifically, § 1.1142 provides for
requests for reinstatement of LAAF
accreditation; § 1.1171 provides for
requests for reconsideration of denials;
and §§ 1.1173 and 1.1174 provide for
requests for hearings. Because this is a
68815
new collection, we estimate a
cumulative total of 1 respondent and 1
burden hour, as reflected in row 13.
TABLE 15—ESTIMATED ANNUAL RECORDKEEPING BURDEN
Number of
recordkeepers
21 CFR part 1, subpart R; activity
§ 1.1113; recordkeeping associated with ISO/IEC
17011:2017 .......................................................................
§ 1.1124; ABs—additional recordkeeping requirements ......
§ 1.1138; laboratories—becoming accredited to ISO/IEC
17025:2017 (one-time) .....................................................
§ 1.1138; laboratories—maintaining ISO/IEC 17025:2017
accreditation .....................................................................
§ 1.1154; laboratories—additional recordkeeping requirements ................................................................................
jspears on DSK121TN23PROD with RULES2
Total ..............................................................................
Recordkeeping Burden: We estimate
the annual recordkeeping requirements
associated with the final rule to be
154,167.64 hours, as reflected in table
15.
Section 1.1113 requires a recognized
accreditation body to meet the
requirements of ISO/IEC 17011:2017.
While ISO/IEC 17011:2017 includes
recordkeeping requirements, as noted
above we anticipate that all 4 of the
accreditation bodies that we estimate
will apply to become recognized
currently adhere to ISO/IEC 17011:2017.
We therefore regard these activities as
usual and customary; however, we
include a place holder of one response
and one burden hour for each
respondent, as reflected in row 1.
Section 1.1124 requires maintenance
of certain records in addition to those
required by ISO/IEC 17011:2017. We
estimate that a recognized accreditation
body will incur a burden of 12 hours per
year to comply with both the
recordkeeping requirements of § 1.1124
and the reporting requirements of
§ 1.1123. For this analysis, we identify
the recordkeeping and reporting
burdens separately, assuming 21 of
those 42 annual hours would be spent
complying with the recordkeeping
requirements of § 1.1124. Thus, the
annual recordkeeping burden for the 4
recognized accreditation bodies to meet
the additional recordkeeping
requirements of § 1.1124 would be 84
hours, as reflected in row 2.
Section 1.1138 requires a laboratory to
be ISO/IEC 17025:2017-accredited,
including meeting its recordkeeping
requirements, to become LAAFaccredited under the rule. We estimate
that 7 to 10 laboratories not currently
accredited to ISO/IEC 17025:2017
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Number of
records per
recordkeeper
Total hours
4
4
1
1
4
4
1
21
4
84
9
1
9
91.06
819.54
170
1
170
889.53
151,220.10
170
1
170
12
2,040
........................
........................
........................
........................
154,167.64
would become so accredited to
participate in the LAAF program. For
this estimate, we assume the middle
value of 8.5 laboratories, which we
round up to 9, would become ISO/IEC
17025-accredited to participate in the
LAAF program. The burden to become
ISO/IEC 17025:2017-accredited is an
initial burden and, once realized, would
apply only to respondents becoming
accredited to ISO/IEC 17025:2017 to
participate in the LAAF program. We
estimate that it would take a mean of
91.06 hours for the associated
recordkeeping activities. In this
analysis, we annualize this
recordkeeping burden using a 3-year
period horizon and zero percent
discount rate, for an annualized
recordkeeping burden of 819.54 hours,
as reflected in row 3.
Section 1.1138 requires a LAAFaccredited laboratory to maintain
conformance with ISO/IEC 17025:2017,
including its recordkeeping
requirements. As discussed in the
proposed rule, we estimate a mean of
889.53 hours for this recordkeeping.
This results in an annual burden of
151,220.10 hours, as reflected in row 4.
Section 1.1154 requires maintenance
of certain records in addition to those
required by ISO/IEC 17025:2017. We
estimate that a LAAF-accredited
laboratory will incur a burden of about
1 hour per month (12 hours per year) to
comply with the recordkeeping
requirements in § 1.1154. This results in
an annual burden of 2,040 hours, as
reflected in row 5.
The information collection provisions
in this final rule have been submitted to
OMB for review as required by section
3507(d) of the Paperwork Reduction Act
of 1995.
PO 00000
Average
burden per
recordkeeping
(in hours)
Total annual
records
Frm 00089
Fmt 4701
Sfmt 4700
Before the effective date of this final
rule, FDA will publish a notice in the
Federal Register announcing OMB’s
decision to approve, modify, or
disapprove the information collection
provisions in this final rule. An Agency
may not conduct or sponsor, and a
person is not required to respond to, a
collection of information unless it
displays a currently valid OMB control
number.
X. Federalism
We have analyzed this final rule in
accordance with the principles set forth
in Executive Order 13132. We have
determined that the rule does not
contain policies that have substantial
direct effects on the States, on the
relationship between the National
Government and the States, or on the
distribution of power and
responsibilities among the various
levels of government. Accordingly, we
conclude that the rule does not contain
policies that have federalism
implications as defined in the Executive
Order and, consequently, a federalism
summary impact statement is not
required.
XI. Consultation and Coordination With
Indian Tribal Governments
We have analyzed this rule in
accordance with the principles set forth
in Executive Order 13175. We have
determined that the rule does not
contain policies that 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.
Accordingly, we conclude that the rule
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Federal Register / Vol. 86, No. 230 / Friday, December 3, 2021 / Rules and Regulations
does not contain policies that have
tribal implications as defined in the
Executive Order and, consequently, a
tribal summary impact statement is not
required.
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XII. References
The following references marked with
an asterisk (*) are on display at the
Dockets Management Staff (see
ADDRESSES) and are available for
viewing by interested persons between
9 a.m. and 4 p.m., Monday through
Friday; they also are available
electronically at https://
www.regulations.gov. References
without asterisks are not on public
display at https://www.regulations.gov
because they have copyright restriction.
Some may be available at the website
address, if listed. References without
asterisks are available for viewing only
at the Dockets Management Staff. FDA
has verified the website addresses, as of
the date this document publishes in the
Federal Register, but websites are
subject to change over time.
* Ref. 1. Congressional Hearing, ‘‘The
Safety of Food Imports: Fraud & Deception in
the Food Import Process; Hearings Before the
Senate Committee on Governmental Affairs,
Permanent Subcommittee on Investigations.’’
September 10, 1998. https://www.gpo.gov/
fdsys/pkg/CHRG-105shrg51562/pdf/CHRG105shrg51562.pdf. Accessed November 4,
2021.
Ref. 2. ISO/IEC 17011:2017(E),
‘‘Conformity Assessment—Requirements for
Accreditation Bodies Accrediting Conformity
Assessment Bodies.’’ ISO/IEC. November
2017. Copies are available from the
International Organization for
Standardization, Chemin de Blandonnet 8,
1214 Vernier, Geneva, Switzerland, or on the
internet at https://www.iso.org/standard/
67198.html, or may be examined at the
Dockets Management Staff (Ref. Docket No.
FDA–2019–N–3325 and/or RIN 0910–AH31).
Ref. 3. ISO/IEC 17025:2017(E), ‘‘General
Requirements for the Competence of Testing
and Calibration Laboratories.’’ ISO/IEC.
November 2017. Copies are available from
the International Organization for
Standardization, Chemin de Blandonnet 8,
1214 Vernier, Geneva, Switzerland, or on the
internet at https://www.iso.org/standard/
66912.html, or may be examined at the
Dockets Management Staff (Ref. Docket No.
FDA–2019–N–3325 and/or RIN 0910–AH31).
* Ref. 4. FDA. LAAF: Final Regulatory
Impact Analysis, Final Regulatory Flexibility
Analysis, Unfunded Mandates Reform Act
Analysis, 2021. https://www.fda.gov/
AboutFDA/ReportsManualsForms/Reports/
EconomicAnalyses/default.htm.
* Ref. 5. Partnership for Food Protection,
‘‘Human and Animal Food Testing
Laboratories Best Practices Manual,’’
December 2018, available at https://www.pfpifss.org/ifss-resources/human-and-animalfood-testing-laboratories-best-practicesmanual-december-2018/. Accessed
November 4, 2021.
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19:02 Dec 02, 2021
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* Ref. 6. Association for Public Health
Laboratories, ‘‘Best Practices for Submission
of Actionable Human and Animal Food
Testing Data Generated in State and Local
Laboratories,’’ January 2019, available at
https://www.aphl.org/aboutAPHL/
publications/Documents/FS-2019Jan-BestPractices-Human-Animal-Food-Data.pdf.
Accessed November 4, 2021.
* Ref. 7. The Cambridge Dictionary, https://
dictionary.cambridge.org/us/dictionary/
english/assess. Accessed November 4, 2021.
* Ref. 8. ‘‘OMB Circular A–119: Federal
Participation in the Development and Use of
Voluntary Consensus Standards and in
Conformity Assessment Activities.’’ Office of
Management and Budget. January 2016.
https://www.nist.gov/system/files/revised_
circular_a-119_as_of_01-22-2016.pdf.
Accessed November 4, 2021.
* Ref. 9. National Institute of Standards and
Technology Special Publication 2000–02,
‘‘Conformity Assessment Considerations for
Federal Agencies,’’ September 2018. https://
doi.org/10.6028/NIST.SP.2000-02. Accessed
November 4, 2021.
* Ref. 10. Codex Alimentarius Commission,
‘‘General Guidelines on Sampling,’’ CAC/GL–
50–2004. https://www.fao.org/fao-whocodexalimentarius/sh-proxy/en/?lnk=1&url=
https%253A%252F%252Fworkspace.fao.
org%252Fsites%252
Fcodex%252FStandards%252FCXG%2B502004%252FCXG_050e.pdf. Accessed
November 4, 2021.
* Ref. 11. FDA, ‘‘Control of Listeria
monocytogenes in Ready-To-Eat Foods:
Guidance for Industry,’’ Draft Guidance,
January 2017. https://www.fda.gov/media/
102633/download. Accessed November 4,
2021.
* Ref. 12. FDA, ‘‘Outbreak Investigation of
Scombrotoxin Fish Poisoning: Yellowfin/Ahi
Tuna (November 2019).’’ https://
www.fda.gov/food/outbreaks-foodborneillness/outbreak-investigation-scombrotoxinfish-poisoning-yellowfinahi-tuna-november2019#:∼:text=%2C%20WV%20(1)-,
What%20is%20Scombrotoxin
%20Fish%20Poisoning%3F,eating
%20mishandled%20and%20decomposed
%20fish. Accessed November 4, 2021.
Ref. 13. AOAC International, ‘‘Guidelines
for Laboratories Performing Microbiological
and Chemical Analyses of Food, Dietary
Supplements, and Pharmaceuticals, An Aid
to Interpretation of ISO/IEC 17025:2017.’’
August 2018. Copies are available from
AOAC International, 2275 Research Blvd.,
Ste. 300, Rockville, MD 20850–3250, USA, or
on the internet at https://www.aoac.org/aoacaccreditation-guidelines-for-laboratoriesalacc/, or may be examined at the Dockets
Management Staff (Ref. Docket No. FDA–
2019–N–3325 and/or RIN 0910–AH31).
Ref. 14. Association of American Feed
Control Officials, ‘‘2014 Quality Assurance/
Quality Control Guidelines for Feed
Laboratories, 2014.’’ Copies are available
from Association of American Feed Control
Officials, 1800 South Oak St., Suite 100,
Champaign, IL 61820 or on the internet at
https://www.aafco.org/Publications/QA-QCGuidelines-for-Feed-Laboratories, or may be
examined at the Dockets Management Staff
(Ref. Docket No. FDA–2019–N–3325 and/or
RIN 0910–AH31).
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* Ref. 15. FDA Memorandum, ‘‘Assessment
of DWPE Sampling and Analysis Data to
Determine what Portion of Sampling and
Analysis of Food under DWPE is Conducted
by Accredited Entities.’’ Toni Morales and
Tyler Scandalios, FDA. November 20, 2018.
Ref. 16. ISO/IEC 17043:2010, ‘‘Conformity
Assessment—General Requirements for
Proficiency Testing.’’ ISO/IEC. February
2010. Copies are available from the
International Organization for
Standardization, Chemin de Blandonnet 8,
1214 Vernier, Geneva, Switzerland, or on the
internet at https://www.iso.org/standard/
29366.html, or may be examined at the
Dockets Management Staff (Ref. Docket No.
FDA–2019–N–3325 and/or RIN 0910–AH31).
* Ref. 17. FDA, Investigations Operations
Manual, 2021. https://www.fda.gov/
inspections-compliance-enforcement-andcriminal-investigations/inspectionreferences/investigations-operations-manual.
Accessed November 4, 2021.
* Ref. 18. University of Georgia Extension,
Bulletin 1306, ‘‘Biosecurity Basics for Poultry
Growers,’’ March 2020. https://
secure.caes.uga.edu/extension/publications/
files/pdf/B%201306_6.PDF. Accessed
November 4, 2021.
* Ref. 19. Association of American Food
Control Officials, ‘‘GOODSamples: Guidance
On Obtaining Defensible Samples,’’ October
2015. https://www.aafco.org/Portals/0/
SiteContent/Publications/GOODSamples.pdf.
Accessed November 4, 2021.
* Ref. 20. Association of American Food
Control Officials, ‘‘GOOD Test Portions:
Guidance On Obtaining Defensible Test
Portions,’’ June 2018. https://www.aafco.org/
Publications/GOODTestPortions. Accessed
November 4, 2021.
* Ref. 21. FDA, ‘‘Methods, Method
Verification and Validation,’’ ORA
Laboratory Manual, Vol. II, Section 2,
document number ORA–LAB.5.4.5. June 30,
2020. https://www.fda.gov/media/73920/
download. Accessed November 4, 2021.
* Ref. 22. FDA Memorandum, ‘‘Categorical
Exclusion—Final Rule Laboratory
Accreditation for Analyses of Foods [Docket
No. FDA–2019–N–3325].’’ Mariellen Pfeil,
FDA. July 21, 2021.
List of Subjects
21 CFR Part 1
Cosmetics, Drugs, Exports, Food
labeling, Imports, Incorporation by
reference, Labeling, Reporting and
recordkeeping requirements.
21 CFR Part 11
Computer technology, Reporting and
recordkeeping requirements.
21 CFR Part 16
Administrative practice and
procedure.
21 CFR Part 129
Beverages, Bottled water, Food
packaging, Reporting and recordkeeping
requirements.
Therefore, under the Federal Food,
Drug, and Cosmetic Act, and under
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authority delegated to the Commissioner
of Food and Drugs, 21 CFR parts 1, 11,
16, and 129 are amended as follows:
PART 1—GENERAL ENFORCEMENT
REGULATIONS
1. The authority citation for part 1
continues to read as follows:
■
Authority: 15 U.S.C. 1333, 1453, 1454,
1455, 4402; 19 U.S.C. 1490, 1491; 21 U.S.C.
321, 331, 332, 333, 334, 335a, 343, 350c,
350d, 350e, 350j, 350k, 352, 355, 360b,
360ccc, 360ccc–1, 360ccc–2, 362, 371, 373,
374, 379j–31, 381, 382, 384a, 384b, 384d,
387, 387a, 387c, 393; 42 U.S.C. 216, 241, 243,
262, 264, 271; Pub. L. 107–188, 116 Stat. 594,
668–69; Pub. L. 111–353, 124 Stat. 3885,
3889.
2. In § 1.651, revise paragraphs (b)(3)
and (c)(2) to read as follows:
■
§ 1.651 How must an accredited third-party
certification body conduct a food safety
audit of an eligible entity?
*
*
*
*
*
(b) * * *
(3) When, for a regulatory audit,
sampling and analysis is conducted, the
accredited third-party certification body
must use a laboratory that is accredited
in accordance with ISO/IEC 17025:2017
to perform the analysis.
*
*
*
*
*
(c) * * *
(2) The audit must include records
review prior to the onsite examination;
an onsite examination of the facility, its
process(es), and the food that results
from such process(es); and where
appropriate or when required by FDA,
environmental or product sampling and
analysis. When, for a regulatory audit,
sampling and analysis is conducted, the
accredited third-party certification body
must use a laboratory that is accredited
in accordance with paragraph (b)(3) of
this section to conduct the analysis. The
audit may include any other activities
necessary to determine compliance with
applicable food safety requirements of
the FD&C Act and FDA regulations, and,
for consultative audits, also includes
conformance with applicable industry
standards and practices.
*
*
*
*
*
■ 3. Add subpart R, consisting of
§§ 1.1101 through 1.1201, to read as
follows:
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Subpart R—Laboratory Accreditation for
Analyses of Foods
General Provisions
Sec.
1.1101 What documents are incorporated
by reference in this subpart?
1.1102 What definitions apply to this
subpart?
1.1103 Who is subject to this subpart?
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General Requirements
1.1107 When must food testing be
conducted under this subpart?
1.1108 When and how will FDA issue a
directed food laboratory order?
1.1109 How will FDA make information
about recognized accreditation bodies
and LAAF-accredited laboratories
available to the public?
1.1110 What are the general requirements
for submitting information to FDA under
this subpart?
FDA Recognition of Accreditation Bodies
1.1113 What are the eligibility requirements
for a recognized accreditation body?
1.1114 How does an accreditation body
apply to FDA for recognition or renewal
of recognition?
1.1115 How will FDA evaluate applications
for recognition and renewal of
recognition?
1.1116 What must a recognized
accreditation body do to voluntarily
relinquish or not renew its recognition?
1.1117 How may an accreditation body
request reinstatement of recognition?
Requirements for Recognized Accreditation
Bodies
1.1119 What are the conflict of interest
requirements for a recognized
accreditation body?
1.1120 How must a recognized
accreditation body assess laboratories
seeking LAAF-accreditation and oversee
LAAF-accredited laboratories?
1.1121 When must a recognized
accreditation body require corrective
action, suspend a LAAF-accredited
laboratory, or reduce the scope of or
withdraw the LAAF-accreditation of a
laboratory?
1.1122 What procedures must a recognized
accreditation body provide for appeals of
decisions to suspend, reduce the scope
of, withdraw, or deny LAAFaccreditation?
1.1123 What reports, notifications, and
documentation must a recognized
accreditation body submit to FDA?
1.1124 What are the records requirement for
a recognized accreditation body?
1.1125 What are the internal audit
requirements for a recognized
accreditation body?
FDA Oversight of Recognized Accreditation
Bodies
1.1130 How will FDA oversee recognized
accreditation bodies?
1.1131 When will FDA require corrective
action, put a recognized accreditation
body on probation, or revoke the
recognition of an accreditation body?
LAAF-Accreditation of Laboratories
1.1138 What are the eligibility requirements
for a LAAF-accredited laboratory?
1.1139 How does a laboratory apply for
LAAF-accreditation or extend its scope
of LAAF-accreditation?
1.1140 What must a LAAF-accredited
laboratory do to voluntarily relinquish
its LAAF-accreditation?
1.1141 What is the effect on a LAAFaccredited laboratory if its recognized
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Sfmt 4700
68817
accreditation body is no longer
recognized by FDA?
1.1142 How does a laboratory request
reinstatement of LAAF-accreditation?
Requirements for LAAF-Accredited
Laboratories
1.1147 What are the impartiality and
conflict of interest requirements for a
LAAF-accredited laboratory?
1.1149 What oversight standards apply to
sampling?
1.1150 What are the requirements for
analysis of samples by a LAAFaccredited laboratory?
1.1151 What requirements apply to the
methods of analysis a LAAF-accredited
laboratory uses to conduct food testing
under this subpart?
1.1152 What notifications, results, reports,
and studies must a LAAF-accredited
laboratory submit to FDA?
1.1153 What are the requirements for
submitting abridged analytical reports?
1.1154 What other records requirements
must a LAAF-accredited laboratory
meet?
FDA Oversight of LAAF-Accredited
Laboratories
1.1159 How will FDA oversee LAAFaccredited laboratories?
1.1160 How will FDA review test results
and analytical reports?
1.1161 When will FDA require corrective
action, put a LAAF-accredited laboratory
on probation, or disqualify a LAAFaccredited laboratory from submitting
analytical reports?
1.1162 What are the consequences if FDA
puts a LAAF-accredited laboratory on
probation or disqualifies a LAAFaccredited laboratory?
Requesting FDA Reconsideration or
Regulatory Hearings of FDA Decisions Under
This Subpart
1.1171 How does an accreditation body
request reconsideration by FDA of a
decision to deny its application for
recognition, renewal, or reinstatement?
1.1173 How does an accreditation body or
laboratory request a regulatory hearing
on FDA’sdecision to revoke the
accreditation body’s recognition or
disqualify a LAAF-accredited laboratory?
1.1174 How does an owner or consignee
request a regulatory hearing on a
directed food laboratory order?
Electronic Records and Public Disclosure
Requirements
1.1199 Are electronic records created under
this subpart subject to the electronic
records requirements of part 11 of this
chapter?
1.1200 Are the records obtained by FDA
under this subpart subject to public
disclosure?
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Subpart R—Laboratory Accreditation
for Analyses of Foods
General Provisions
§ 1.1101 What documents are incorporated
by reference in this subpart
(a) Certain material is incorporated by
reference into this subpart with the
approval of the Director of the Federal
Register under 5 U.S.C. 552(a) and 1
CFR part 51. All approved material is
available for inspection at the Food and
Drug Administration’s Dockets
Management Staff, 5630 Fishers Lane,
Rm. 1061, Rockville, MD 20852, 240–
402–7500, and is available from the
source listed elsewhere in this section.
It is also available for inspection at the
National Archives and Records
Administration (NARA). For
information on the availability of this
material at NARA, email fr.inspection@
nara.gov or go to https://
www.archives.gov/federal-register/cfr/
ibr-locations.html.
(b) International Organization for
Standardization (ISO), Chemin de
Blandonnet 8, CP 401, 1214 Vernier,
Geneva, Switzerland; Telephone 41 22
749 01 11, https://www.iso.org/
home.html.
(1) ISO/IEC 17011:2017(E),
Conformity assessment—Requirements
for accreditation bodies accrediting
conformity assessment bodies, Second
edition, November 2017, IBR approved
for §§ 1.1113(a) and (c), 1.1114(b),
1.1120(c), 1.1131(a).
(2) ISO/IEC 17025:2017(E), General
requirements for the competence of
testing and calibration laboratories,
Third edition, November 2017, IBR
approved for §§ 1.1120(c), 1.1121(a),
1.1138(a), 1.1139(b) and (c), 1.1141(a),
1.1152(a) and (d), 1.1153(c), and
1.1161(a).
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§ 1.1102 What definitions apply to this
subpart?
The definitions of terms in section
201 of the Federal Food, Drug, and
Cosmetic Act apply to such terms when
used in this subpart, unless otherwise
specified. For the purposes of this
subpart, the following definitions also
apply:
Analyst means an individual who
analyzes samples.
Corrective action means an action
taken by an accreditation body or
laboratory to investigate and eliminate
the cause of a deficiency so that it does
not recur.
Directed food laboratory order means
an order issued by FDA under § 1.1108
requiring food testing to be conducted
under this subpart by or on behalf of an
owner or consignee.
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Food has the meaning given in section
201(f) of the Federal Food, Drug, and
Cosmetic Act, except that food does not
include pesticides (as defined in 7
U.S.C. 136(u)).
Food testing and testing of food means
the analysis of food product samples or
environmental samples.
Laboratory accreditation for analyses
of foods (LAAF)-accreditation means a
determination by a recognized
accreditation body that a laboratory
meets the applicable requirements of
this subpart to conduct food testing
under this subpart using one or more
methods of analysis.
LAAF-accredited laboratory means a
laboratory that a recognized
accreditation body has determined
meets the applicable requirements of
this subpart and has been LAAFaccredited to conduct food testing under
this subpart using one or more methods
of analysis.
Owner or consignee means any person
with an ownership or consignment
interest in the food product or
environment that is the subject of food
testing conducted under § 1.1107(a).
Recognition means a determination by
FDA that an accreditation body meets
the applicable requirements of this
subpart and is authorized to LAAFaccredit laboratories under this subpart.
Recognized accreditation body means
an accreditation body that FDA has
determined meets the applicable
requirements of this subpart and is
authorized to LAAF-accredit
laboratories under this subpart.
Representative sample means a
sample that accurately, to a statistically
acceptable degree, represents the
characteristics and qualities of the food
product or environment from which the
sample was collected.
Sampler means an individual who
collects samples.
Sampling firm means an entity that
provides sampling services.
Scope of LAAF-accreditation refers to
the methods of analysis for which the
laboratory is LAAF-accredited.
Street address means the full physical
address, including the country. For
purposes of this rule, a post office box
number alone is insufficient; however, a
post office box number may be provided
in addition to the street address.
§ 1.1103
Who is subject to this subpart?
(a) Accreditation bodies. An
accreditation body is subject to this
subpart if it has been or is seeking to be
recognized by FDA to LAAF-accredit
laboratories to conduct food testing
under this subpart.
(b) Laboratories. A laboratory is
subject to this subpart if it has been or
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is seeking to be LAAF-accredited by a
recognized accreditation body to
conduct food testing under this subpart.
(c) Owners and consignees. An owner
or consignee is subject to this subpart if
it is required to use a LAAF-accredited
laboratory to conduct food testing under
this subpart.
General Requirements
§ 1.1107 When must food testing be
conducted under this subpart?
(a) Food testing must be conducted
under this subpart whenever such
testing is conducted by or on behalf of
an owner or consignee:
(1) In response to explicit testing
requirements that address an identified
or suspected food safety problem, which
are contained in the following
provisions:
(i) Sprouts. Section 112.146(a), (c),
and (d) of this chapter;
(ii) Shell eggs. Sections
118.4(a)(2)(iii), 118.5(a)(2)(ii) and
(b)(2)(ii), and 118.6(a)(2) and (e) of this
chapter; and
(iii) Bottled drinking water. Section
129.35(a)(3)(i) of this chapter (for the
requirement to test five samples from
the same sampling site that originally
tested positive for Escherichia coli);
(2) As required by FDA in a directed
food laboratory order issued under
§ 1.1108;
(3) To address an identified or
suspected food safety problem and
presented to FDA as part of evidence for
a hearing under section 423(c) of the
Federal Food, Drug, and Cosmetic Act
prior to the issuance of a mandatory
food recall order, as part of a corrective
action plan under section 415(b)(3)(A)
of the Federal Food, Drug, and Cosmetic
Act submitted after an order suspending
the registration of a food facility, or as
part of evidence submitted for an appeal
of an administrative detention order
under section 304(h)(4)(A) of the
Federal Food, Drug, and Cosmetic Act.
(4) In support of admission of an
article of food under section 801(a) of
the Federal Food, Drug, and Cosmetic
Act; and
(5) To support removal from an
import alert through successful
consecutive testing.
(b) When food testing is conducted
under paragraph (a) of this section,
analysis of samples must be conducted
by a laboratory that is LAAF-accredited
for the appropriate analytical method by
a recognized accreditation body under
this subpart.
(c) Food testing conducted on articles
of food offered for import into the
United States under section 801(a) of
the Federal Food, Drug, and Cosmetic
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Act pursuant to paragraph (a)(4) or (a)(5)
of this section may only be conducted
after the articles offered for import have
arrived in the United States unless the
owner or consignee has written
approval from FDA that a sample taken
prior to arrival is or would be a
representative sample of the article
offered for import into the United
States.
§ 1.1108 When and how will FDA issue a
directed food laboratory order?
(a) FDA may require the owner or
consignee to conduct food testing, or to
have food testing conducted on their
behalf, under this subpart to address an
identified or suspected food safety
problem, as FDA deems appropriate.
(b) The directed food laboratory order
will specify the food product or
environment to be tested; whether the
food testing may be conducted using a
LAAF-accredited laboratory that is
owned, operated, or controlled by the
owner or consignee; the timeframe in
which the food testing must be
conducted; and the manner of the food
testing, such as the methods that must
be used.
(c) The directed food laboratory order
will contain all the elements required by
§ 16.22(a) of this chapter and will
thereby constitute the notice of an
opportunity for hearing under part 16 of
this chapter. An affected owner or
consignee may request a regulatory
hearing on a directed food laboratory
order pursuant to § 1.1174.
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§ 1.1109 How will FDA make information
about recognized accreditation bodies and
LAAF-accredited laboratories available to
the public?
FDA will place on its website a
publicly available registry listing of:
(a) Recognized accreditation bodies,
including for each: the name, contact
information, and duration of recognition
of the recognized accreditation body;
(b) Accreditation bodies that have a
change in recognition, including for
each: the name of the accreditation
body, the specific change in recognition
(i.e., probation, revocation of
recognition, denial of renewal of
recognition, relinquishment of
recognition, or expiration of
recognition) and the effective date of the
change;
(c) LAAF-accredited laboratories,
including for each: the name, contact
information, and scope of LAAFaccreditation, and the name and contact
information of the recognized
accreditation body that has LAAFaccredited the laboratory; and
(d) Laboratories that have a change in
LAAF-accreditation, including for each:
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the name of the laboratory, the specific
change in LAAF-accreditation (i.e.,
suspension, reduction of scope, or
withdrawal of LAAF-accreditation by
the recognized accreditation body,
probation or disqualification by FDA, or
relinquishment of LAAF-accreditation),
and the effective date of the change.
§ 1.1110 What are the general
requirements for submitting information to
FDA under this subpart?
(a) All applications, reports,
notifications, and records submitted to
FDA under this subpart must be
submitted electronically and in English
unless otherwise specified. If FDA
requests inspection or submission of
records that are maintained in any
language other than English, the
recognized accreditation body or LAAFaccredited laboratory must provide an
English translation within a reasonable
time.
(b) A program applicant must provide
any translation and interpretation
services needed by FDA during the
processing of the application, including
during any onsite assessments of the
applicant by FDA.
FDA Recognition of Accreditation
Bodies
§ 1.1113 What are the eligibility
requirements for a recognized accreditation
body?
A recognized accreditation body or an
accreditation body seeking recognition
must meet all of the following
requirements:
(a) Demonstrates compliance with
ISO/IEC 17011:2017(E) (incorporated by
reference, see § 1.1101).
(b) Demonstrates that it is a full
member of the International Laboratory
Accreditation Cooperative (ILAC).
(c) Demonstrates that it is a signatory
to the ILAC Mutual Recognition
Arrangement (MRA) that has
demonstrated competence to ISO/IEC
17011:2017(E) with a scope of ‘‘Testing:
ISO/IEC 17025.’’
(d) Will comply with all additional
requirements for recognized
accreditation bodies under this subpart
while recognized.
§ 1.1114 How does an accreditation body
apply to FDA for recognition or renewal of
recognition?
(a) Application for recognition or
renewal of recognition. An accreditation
body seeking initial recognition or
renewal of recognition must submit an
application to FDA demonstrating that it
meets the eligibility requirements in
§ 1.1113.
(b) Documentation of conformance
with requirements. The accreditation
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body must submit documentation of
conformance with ISO/IEC
17011:2017(E) (incorporated by
reference, see § 1.1101) and separate
documentation of ILAC membership
and ILAC MRA signatory status
demonstrating competence to ISO/IEC
17011:2017(E) with a scope of ‘‘Testing:
ISO/IEC 17025,’’ in meeting the
requirements of § 1.1113(a) through (c).
The accreditation body also must
submit documentation of its compliance
with § 1.1113(d).
(c) Signature. An application for
recognition or renewal of recognition
must be signed in the manner
designated by FDA by an individual
authorized to act on behalf of the
applicant for purposes of seeking
recognition or renewal of recognition.
§ 1.1115 How will FDA evaluate
applications for recognition and renewal of
recognition?
(a) Review of application for
recognition or renewal of recognition.
FDA will review an accreditation body’s
application for recognition or renewal of
recognition for completeness and notify
the applicant of any insufficiencies.
FDA generally will review accreditation
body applications for recognition or
renewal of recognition in the order in
which completed applications are
received; however, FDA may prioritize
the review of specific applications to
meet program needs.
(b) Evaluation of application for
recognition or renewal of recognition.
FDA will evaluate a complete
application for recognition or renewal of
recognition to determine whether the
applicant meets the requirements for
recognition. Such evaluation may
include an onsite evaluation of the
accreditation body. If FDA does not
reach a final decision on an application
for renewal of recognition before an
accreditation body’s recognition expires,
FDA may extend the existing term of
recognition for a specified period of
time or until FDA reaches a final
decision on the application for renewal
of recognition.
(c) Grant of recognition. FDA will
notify the applicant that its application
for recognition or renewal of recognition
has been approved and will include any
conditions associated with the
recognition.
(d) Duration of recognition. FDA may
grant recognition of an accreditation
body for a period not to exceed 5 years
from the date of recognition, except
under the circumstances described in
paragraph (b) of this section.
(e) Denial of application for
recognition or renewal of recognition.
FDA will notify the applicant that its
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application for recognition or renewal of
recognition has been denied and will
state the basis for such denial and
describe the procedures for requesting
reconsideration of the application under
§ 1.1171.
(f) Notice of records custodian after
denial of an application for renewal of
recognition. Within 10 business days of
the date of FDA’s issuance of a denial
of an application for renewal of
recognition, the applicant must provide
the name and contact information of the
custodian who will maintain required
records and make them available to FDA
under § 1.1124. The contact information
must include an email address for the
records custodian and the street address
where the records required under
§ 1.1124 will be located.
(g) FDA notice to LAAF-accredited
laboratories. FDA will promptly notify
all laboratories LAAF-accredited by the
accreditation body whose application
for renewal of recognition was denied,
informing them of such denial.
(h) Public notice of denial of an
application for renewal of recognition of
an accreditation body. FDA will provide
public notice on the website described
in § 1.1109 of the issuance of a denial
of an application for renewal of
recognition and will include the date of
the issuance of such denial.
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§ 1.1116 What must a recognized
accreditation body do to voluntarily
relinquish or not renew its recognition?
(a) Notice to FDA of intent to
relinquish or not to renew recognition.
At least 60 calendar days before
voluntarily relinquishing its recognition
or before allowing its recognition to
expire without seeking renewal, a
recognized accreditation body must
notify FDA of its intention to leave the
program, specifying the date on which
the relinquishment or expiration will
occur. The recognized accreditation
body must provide the name and
contact information of the custodian
who will maintain and make available
to FDA the records required by § 1.1124
after the date of relinquishment or the
date recognition expires, as applicable.
The contact information must include
an email address for the records
custodian and the street address where
the records required under § 1.1124 will
be located.
(b) Notice to LAAF-accredited
laboratories of intent to relinquish or
not to renew recognition. At least 60
calendar days before voluntarily
relinquishing its recognition or before
allowing its recognition to expire
without seeking renewal, a recognized
accreditation body must notify the
laboratories it LAAF accredits of its
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intention to leave the program,
specifying the date on which
relinquishment or expiration will occur.
(c) Public notice of voluntary
relinquishment or expiration of
recognition. FDA will provide notice on
the website described in § 1.1109 of the
voluntary relinquishment or expiration
of recognition of an accreditation body.
§ 1.1117 How may an accreditation body
request reinstatement of recognition?
(a) Application following revocation
of recognition. An accreditation body
that has had its recognition revoked by
FDA (as described in § 1.1131) may seek
reinstatement by submitting a new
application for recognition under
§ 1.1114. The accreditation body must
also submit evidence to FDA with its
application to demonstrate that the
issues resulting in revocation of
recognition have been resolved,
including evidence addressing the cause
or condition of the grounds for
revocation of recognition. The evidence
also must identify measures that have
been implemented to help ensure that
such cause or condition is unlikely to
recur.
(b) Application following
relinquishment or expiration of
recognition. An accreditation body that
previously relinquished its recognition
or allowed its recognition to expire (as
described in § 1.1116) may seek
reinstatement by submitting a new
application for recognition under
§ 1.1114.
Requirements for Recognized
Accreditation Bodies
§ 1.1119 What are the conflict of interest
requirements for a recognized accreditation
body?
(a) In addition to meeting the
impartiality and conflict of interest
requirements of § 1.1113(a), a
recognized accreditation body must:
(1) Ensure that the recognized
accreditation body (and its officers,
employees, or other agents involved in
LAAF-accreditation activities) does not
own or have a financial interest in,
manage, or otherwise control any
laboratory (or any affiliate, parent, or
subsidiary) it LAAF-accredits, subject to
the exceptions in paragraphs (c) and (d)
of this section; and
(2) Prohibit, subject to the exceptions
in paragraph (e) of this section, officers,
employees, or other agents involved in
LAAF-accreditation activities of the
recognized accreditation body from
accepting any money, gift, gratuity, or
other item of value from any laboratory
the recognized accreditation body
LAAF-accredits or assesses for LAAFaccreditation.
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(b) The financial interests of any
children younger than 18 years of age or
a spouse of a recognized accreditation
body’s officers, employees, and other
agents involved in LAAF-accreditation
activities are considered the financial
interests of such officers, employees,
and other agents involved in LAAFaccreditation activities.
(c) An accreditation body (and its
officers, employees, or other agents
involved in LAAF-accreditation
activities) may have an interest in a
publicly traded or publicly available
investment fund (e.g., a mutual fund), or
a widely held pension or similar fund
if the accreditation body (and its
officers, employees, or other agents
involved in LAAF-accreditation
activities) neither exercises control nor
has the ability to exercise control over
the financial interests held in the fund.
(d) A recognized accreditation body’s
agent that is a contract assessor will be
permitted to own or have a financial
interest in, manage, or otherwise control
a LAAF-accredited laboratory if all of
the following circumstances apply:
(1) The contract assessor’s primary
occupation is owning or having a
financial interest in, managing, or
otherwise controlling a LAAFaccredited laboratory;
(2) The assessor contracts with the
recognized accreditation body to
provide assessment services on an
intermittent or part-time basis;
(3) The contract assessor does not
assess the LAAF-accredited laboratory
that the assessor owns or has a financial
interest in, manages, or otherwise
controls; and
(4) The contract assessor and the
recognized accreditation body inform
any laboratory that the contract assessor
may assess or reassess for LAAFaccreditation that the contract assessor
owns or has a financial interest in,
manages, or otherwise controls a LAAFaccredited laboratory. The laboratory
seeking LAAF-accreditation assessment
or reassessment must acknowledge that
the contract assessor owns or has a
financial interest in, manages, or
otherwise controls a LAAF-accredited
laboratory and be provided the option to
be assessed by a different representative
of the recognized accreditation body.
(e) The prohibited items of value
specified in paragraph (a)(2) of this
section do not include:
(1) Money representing payment of
fees for LAAF-accreditation services or
reimbursement of direct costs associated
with an onsite assessment or
reassessment of the laboratory; or
(2) Meal of de minimis value provided
during the course of an assessment or
reassessment and on the premises where
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the assessment or reassessment is
conducted, if necessary for the efficient
conduct of the assessment or
reassessment.
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§ 1.1120 How must a recognized
accreditation body assess laboratories
seeking LAAF-accreditation and oversee
LAAF-accredited laboratories?
(a) A recognized accreditation body
must conduct an initial assessment of a
laboratory seeking LAAF-accreditation
in accordance with the requirements of
this subpart, to determine whether the
laboratory meets the requirements of
§ 1.1138.
(b) Subject to the exception in
paragraph (c) of this section, the initial
assessment must be conducted onsite,
although certain assessment activities
may be conducted remotely if it will not
aid the assessment to conduct them
onsite.
(c) If, within the previous 2 years, the
recognized accreditation body
conducted an onsite assessment of the
laboratory in accordance with ISO/IEC
17011:2017(E) (incorporated by
reference, see § 1.1101) to assess
whether the laboratory meets the
requirements of ISO/IEC 17025:2017(E)
(incorporated by reference, see
§ 1.1101), then the initial assessment
under this section:
(1) May be conducted remotely, and
(2) Need only address whether the
laboratory meets the requirements of
§ 1.1138(a)(2) and (3) and (b).
(d) A recognized accreditation body
must oversee the performance of a
laboratory it LAAF-accredits in
accordance with the requirements of
§ 1.1113(a), except as otherwise
provided by this subpart, to determine
whether the LAAF-accredited laboratory
continues to meet the applicable
requirements of this subpart.
(e) A recognized accreditation body
must conduct a reassessment of a LAAFaccredited laboratory in accordance
with this subpart at least every 2 years.
Such reassessment must be conducted
onsite, although certain reassessment
activities may be conducted remotely if
it will not aid in the reassessment to
conduct the activities onsite.
(f) If the recognized accreditation
body conducted the initial assessment
of the LAAF-accredited laboratory
remotely in accordance with paragraph
(c) of this section, the recognized
accreditation body must conduct its first
reassessment of the LAAF-accredited
laboratory no later than 2 years after the
recognized accreditation body last
conducted an onsite assessment of the
laboratory.
(g) The reassessment at the end of the
LAAF-accredited laboratory’s ISO/IEC
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17025:2017-accreditation cycle, which
the recognized accreditation body must
conduct in accordance with this
subpart, must be conducted onsite,
although certain reassessment activities
may be conducted remotely if it will not
aid the reassessment to conduct them
onsite.
(h) Any assessments or reassessments
conducted by a recognized accreditation
body in addition to the assessments or
reassessments referred to in paragraphs
(a), (e), and (g) of this section may be
conducted remotely if it will not aid the
assessment or reassessment to conduct
it onsite.
§ 1.1121 When must a recognized
accreditation body require corrective
action, suspend a LAAF-accredited
laboratory, or reduce the scope of or
withdraw the LAAF-accreditation of a
laboratory?
(a) Corrective action. A recognized
accreditation body may require
corrective action using the procedures
described by ISO/IEC 17025:2017(E)
(incorporated by reference, see § 1.1101)
section 8.7 to address any deficiencies
identified while assessing and
overseeing a LAAF-accredited
laboratory.
(1) The recognized accreditation body
must notify the LAAF-accredited
laboratory of all deficiencies requiring
corrective action and will either specify
a deadline to implement corrective
action or will require the LAAFaccredited laboratory to submit a
corrective action plan and timeframe for
implementation to the recognized
accreditation body for approval.
(2) The LAAF-accredited laboratory
must implement appropriate corrective
action under ISO/IEC 17025:2017(E)
section 8.7, and submit the results of the
corrective action to the recognized
accreditation body.
(3) The recognized accreditation body
will review the corrective action and
will notify the LAAF-accredited
laboratory whether the corrective action
is acceptable.
(b) Suspension. If a recognized
accreditation body determines that a
laboratory it LAAF-accredits has not
effectively implemented corrective
action or otherwise fails to address
deficiencies identified, the recognized
accreditation body may temporarily
suspend the LAAF-accredited laboratory
for one or more LAAF-accredited
methods, and require corrective action
under paragraph (a) of this section.
(1) The recognized accreditation body
must notify the LAAF-accredited
laboratory of the grounds for the
suspension, the LAAF-accredited
methods subject to the suspension, and
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all deficiencies that must be addressed
via the process described in paragraph
(a) of this section.
(2) The recognized accreditation body
must notify FDA of the suspension
under this section in accordance with
the requirements of § 1.1123(d)(5). FDA
will provide notice of the LAAFaccredited laboratory’s suspension on
the website described in § 1.1109.
(3) The recognized accreditation body
will review the corrective action
required under paragraph (b) of this
section and will notify the LAAFaccredited laboratory whether the
corrective action is acceptable.
(4) A LAAF-accredited laboratory
shall remain suspended until it
demonstrates to the recognized
accreditation body’s satisfaction that the
LAAF-accredited laboratory has
successfully implemented appropriate
corrective action.
(5) If the recognized accreditation
body determines that a LAAF-accredited
laboratory on suspension has failed to
implement appropriate corrective action
or otherwise fails to address deficiencies
identified, the recognized accreditation
body may reduce the scope of or
withdraw the LAAF-accreditation of the
laboratory under paragraph (c) of this
section.
(c) Reduction of scope or withdrawal
of LAAF-accreditation. A recognized
accreditation body must reduce the
scope of or withdraw the LAAFaccreditation of a laboratory it LAAFaccredits when the laboratory
substantially fails to comply with this
subpart. When only certain methods
within the laboratory’s scope of LAAFaccreditation are affected by the
noncompliance, the recognized
accreditation body may reduce the
scope of the laboratory’s LAAFaccreditation for only those affected
methods. If all methods are affected, the
recognized accreditation body must
withdraw the laboratory’s LAAFaccreditation.
(d) Procedures for reduction of scope
or withdrawal of LAAF-accreditation.
(1) The recognized accreditation body
must notify the laboratory of any
reduction of scope or withdrawal of
LAAF-accreditation, including:
(i) The grounds for the reduction of
scope or withdrawal of LAAFaccreditation;
(ii) The method(s) to which the
reduction of scope applies;
(iii) The procedures for appealing the
reduction of scope or withdrawal of
LAAF-accreditation as described in
§ 1.1122; and
(iv) The date the reduction of scope or
withdrawal of LAAF-accreditation is
effective.
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(2) The recognized accreditation body
must notify FDA of the reduction of
scope or withdrawal of LAAFaccreditation under this section in
accordance with the requirements in
§ 1.1123(d)(4). FDA will provide notice
of the reduction of scope or withdrawal
of the laboratory’s LAAF-accreditation
on the website described in § 1.1109.
(e) Records request associated with
suspension, reduction of scope, or
withdrawal of LAAF-accreditation. To
assist the recognized accreditation body
in determining whether a suspension,
reduction of scope, or withdrawal of
LAAF-accreditation is warranted under
this section, the recognized
accreditation body may require the
submission of records that the LAAFaccredited laboratory is required to
maintain under § 1.1154.
(f) Consequences of suspension,
reduction of scope, or withdrawal of
LAAF-accreditation. (1) A LAAFaccredited laboratory may not conduct
food testing under this subpart using
suspended methods.
(2) If the recognized accreditation
body withdraws the laboratory’s LAAFaccreditation, the laboratory is
immediately ineligible to conduct any
food testing under this subpart. If the
recognized accreditation body reduces
the laboratory’s scope of LAAFaccreditation, the laboratory is
immediately ineligible to use the
methods to which the reduction of
scope applies to conduct food testing
under this subpart.
§ 1.1122 What procedures must a
recognized accreditation body provide for
appeals of decisions to suspend, reduce
the scope of, withdraw, or deny LAAFaccreditation?
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A recognized accreditation body must
consider a laboratory’s appeal regarding
a decision to suspend, reduce the scope
of, withdraw, or deny LAAFaccreditation in accordance with the
requirements of § 1.1113(a). Appeals
must be reviewed and decided by a
competent person(s) free from bias or
prejudice who has not participated in
the LAAF-accreditation decision and is
not the subordinate of a person who
participated in the LAAF-accreditation
decision. For the purposes of appeals,
the competent person(s) may be external
to the recognized accreditation body.
§ 1.1123 What reports, notifications, and
documentation must a recognized
accreditation body submit to FDA?
(a) General requirements. All reports
and notifications required by this
section must include:
(1) The name, street address,
telephone number, and email address of
the recognized accreditation body
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associated with the report or
notification, and the name of an
appropriate point of contact for the
recognized accreditation body, and
(2) If the report or notification
concerns a LAAF-accredited laboratory,
the name, street address, telephone
number, and email address of the
LAAF-accredited laboratory, and the
name of an appropriate point of contact
for the LAAF-accredited laboratory.
(b) Internal audit reports. A
recognized accreditation body must
submit to FDA a report of the results of
the internal audit conducted pursuant to
§ 1.1125 within 45 calendar days of
completing the audit. The audit report
must include:
(1) A description of the internal audit
conducted;
(2) A description of any identified
deficiencies;
(3) A description of any corrective
action taken or planned, including the
timeline for such corrective action; and
(4) A statement disclosing the extent
to which the internal audit was
conducted by personnel different from
those who perform the activity or
activities that were audited.
(c) Changes affecting recognition. A
recognized accreditation body must
notify FDA within 48 hours when the
recognized accreditation body is aware
of a change that would affect the
recognition of such accreditation body,
and the notification must include:
(1) A description of the change, and
(2) If the change is one made by the
recognized accreditation body, an
explanation of the purpose of the
change.
(d) Changes in LAAF-accreditation. A
recognized accreditation body must
notify FDA and submit a certificate
reflecting the scope of accreditation
within 48 hours when any of the
following occur:
(1) The recognized accreditation body
grants or extends LAAF-accreditation of
a laboratory, and the notification must
include:
(i) The scope of LAAF-accreditation
requested by the laboratory,
(ii) The scope of LAAF-accreditation
granted, and
(iii) The effective date of the grant or
extension;
(2) The recognized accreditation body
denies LAAF-accreditation of a
laboratory, and the notification must
include:
(i) The scope of LAAF-accreditation
requested by the laboratory,
(ii) The scope of LAAF-accreditation
denied, and
(iii) The grounds for the denial;
(3) The recognized accreditation body
receives notice that a laboratory it
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LAAF-accredits intends to relinquish its
LAAF-accreditation and the laboratory
has not provided notice to FDA 60
calendar days prior to relinquishment as
required under § 1.1140. The recognized
accreditation body’s notification must
include:
(i) The scope of LAAF-accreditation to
which the relinquishment applies, as
applicable, and
(ii) The effective date of the
relinquishment;
(4) The recognized accreditation body
reduces the scope of or withdraws the
LAAF-accreditation of a laboratory, and
the notification must include:
(i) The scope of LAAF-accreditation to
which the reduction applies,
(ii) The grounds for the reduction of
scope or withdrawal, and
(iii) The effective date of the
reduction of scope or withdrawal;
(5) The recognized accreditation body
suspends or lifts the suspension of a
LAAF-accredited laboratory, and the
notification must include:
(i) The scope of LAAF-accreditation to
which the suspension applies,
(ii) The grounds for the suspension or
for lifting the suspension, and
(iii) The effective date of the
suspension or date the suspension is
lifted.
(e) Laboratory fraud. A recognized
accreditation body must notify FDA
within 48 hours if the recognized
accreditation body knows that a
laboratory it LAAF-accredits has
committed fraud or submitted material
false statements to FDA, and the
notification must include:
(1) A description of the basis for the
recognized accreditation body’s
knowledge of the fraud or material false
statements,
(2) A description of the fraud or
material false statements, and
(3) The action(s) taken by the
recognized accreditation body with
respect to such LAAF-accredited
laboratory.
§ 1.1124 What are the records
requirements for a recognized accreditation
body?
(a) In addition to meeting the
requirements of § 1.1113(a) related to
records, a recognized accreditation body
must maintain, for 5 years after the date
of creation of the records, records
created while it is recognized
demonstrating its compliance with this
subpart, including records relating to:
(1) Applications for LAAFaccreditation;
(2) Assessments, reassessments, and
decisions to grant, extend the scope of,
renew, deny, reduce the scope of, or
withdraw LAAF-accreditation or to
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suspend or lift the suspension of a
LAAF-accredited laboratory;
(3) Appeals of suspensions, denials,
reductions of scope of, and withdrawals
of LAAF-accreditation, final decisions
on such appeals, and the bases for such
final decisions;
(4) Its oversight of laboratories it has
LAAF-accredited;
(5) Its oversight of its own
performance, including all records
related to internal audits, complaints,
and corrective actions;
(6) Any reports or notifications
required to be submitted to FDA under
§ 1.1123, including any supporting
information;
(7) Records of fee payments and
reimbursement of direct costs; and
(8) Any documents demonstrating
compliance with the requirements for
assessment activities by contract
assessors with certain financial interests
described in § 1.1119(d).
(b) A recognized accreditation body
must make the records it is required to
maintain by paragraph (a) of this section
available for inspection and copying or
for electronic submission upon written
request of an authorized officer or
employee of FDA. If FDA requests
records for inspection and copying, the
recognized accreditation body must
make such records promptly available at
the physical location of the recognized
accreditation body or at another
reasonably accessible location. If FDA
requests electronic submission, the
records must be submitted within 10
business days of the request.
(c) A recognized accreditation body
must not prevent or interfere with
FDA’s access to the records the LAAFaccredited laboratories it LAAFaccredits are required to maintain under
§ 1.1154.
§ 1.1125 What are the internal audit
requirements for a recognized accreditation
body?
As part of the internal audit a
recognized accreditation body is
required to conduct pursuant to
§ 1.1113(a), the recognized accreditation
body must audit its compliance with the
requirements of § 1.1113(d).
FDA Oversight of Recognized of
Accreditation Bodies
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§ 1.1130 How will FDA oversee recognized
accreditation bodies?
(a) FDA will evaluate each recognized
accreditation body to determine its
compliance with the applicable
requirements of this subpart no later
than:
(1) Year 4 of a 5-year recognition
period; or
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(2) The midpoint of a recognition
period less than 5 years.
(b) An FDA evaluation of a recognized
accreditation body may include review
of records, an onsite evaluation of the
accreditation body, and onsite reviews
of one or more LAAF-accredited
laboratories the recognized accreditation
body LAAF-accredits, with or without
the recognized accreditation body
present. Certain evaluation activities
may be conducted remotely if it will not
aid in the evaluation to conduct them
onsite.
(c) FDA may conduct additional
evaluations of a recognized
accreditation body at any time to
determine whether the recognized
accreditation body complies with the
applicable requirements of this subpart.
§ 1.1131 When will FDA require corrective
action, put a recognized accreditation body
on probation, or revoke the recognition of
an accreditation body?
(a) Corrective action. FDA may
require corrective action to address any
deficiencies identified while evaluating
a recognized accreditation body under
this subpart.
(1) FDA will notify the recognized
accreditation body of all deficiencies
requiring corrective action and will
either specify a deadline to implement
corrective action or will require the
recognized accreditation body to submit
a corrective action plan and timeframe
for implementation to FDA for approval.
(2) The recognized accreditation body
must handle FDA’s notification as a
complaint under ISO/IEC 17011:2017(E)
(incorporated by reference, see § 1.1101)
section 7.12, implement appropriate
corrective action under ISO/IEC
17011:2017 section 9.5, and submit both
the results of the complaint
investigation and subsequent corrective
action to FDA.
(3) FDA will review the corrective
action and will notify the recognized
accreditation body whether the
corrective action is acceptable.
(b) Probation. If FDA determines that
a recognized accreditation body has not
effectively implemented corrective
action or otherwise fails to address
deficiencies identified, FDA may put
the recognized accreditation body on
probation and require corrective action
under paragraph (a) of this section.
(1) FDA will notify the recognized
accreditation body of the grounds for
the probation and all deficiencies
requiring corrective action via the
process described in paragraph (a) of
this section.
(2) FDA will notify all laboratories
LAAF-accredited by the recognized
accreditation body that the recognized
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accreditation body is on probation and
will provide notice of the probation on
the website described in § 1.1109.
(3) FDA will review the corrective
action and will notify the recognized
accreditation body whether the
corrective action is acceptable.
(4) A recognized accreditation body
shall remain on probation until the
recognized accreditation body
demonstrates to FDA’s satisfaction that
it has successfully implemented
appropriate corrective action.
(5) If FDA determines that a
recognized accreditation body on
probation has failed to implement
appropriate corrective action or
otherwise fails to address deficiencies
identified, FDA may revoke recognition
of the recognized accreditation body
under paragraph (c) of this section.
(c) Revocation of recognition. FDA
will revoke the recognition of an
accreditation body if it fails to meet the
requirements of this subpart, if FDA
determines the accreditation body has
committed fraud or submitted material
false statements to FDA, or if FDA
determines that a recognized
accreditation body on probation has
failed to implement appropriate
corrective action or otherwise fails to
address deficiencies identified.
(d) Revocation of recognition
procedures. (1) FDA will issue a notice
of revocation of recognition to the
recognized accreditation body that will
include the grounds for revocation, the
date on which revocation is effective,
the procedures for requesting a
regulatory hearing on the revocation
under § 1.1173, and the procedures for
requesting reinstatement of recognition
under § 1.1117.
(2) FDA will notify all laboratories
LAAF-accredited by the recognized
accreditation body that recognition has
been revoked and will provide notice of
the revocation of recognition of an
accreditation body on the website
described in § 1.1109.
(3) Within 10 business days of the
date of issuance of revocation, the
accreditation body must provide the
name and contact information of the
custodian who will maintain records
and make them available to FDA as
required by § 1.1124. The contact
information must include an email
address for the records custodian and
the street address where the records
required by § 1.1124 will be located.
(e) Effect of probation or revocation of
recognition on the accreditation body.
(1) A recognized accreditation body that
is put on probation by FDA must
continue to oversee laboratories that it
has LAAF-accredited under this subpart
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and may continue to LAAF-accredit
laboratories under § 1.1120.
(2) An accreditation body that has had
its recognition revoked by FDA may not
LAAF-accredit laboratories under this
subpart or continue to oversee the
laboratories it has previously LAAFaccredited while the accreditation body
is not recognized.
LAAF-Accreditation of Laboratories
§ 1.1138 What are the eligibility
requirements for a LAAF-accredited
laboratory?
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(a) A laboratory that is LAAFaccredited or seeking LAAFaccreditation must demonstrate it is
capable of conducting each method of
food testing for which it is or will be
LAAF-accredited by meeting all of the
following requirements:
(1) For each method, the laboratory is
accredited by a recognized accreditation
body to ISO/IEC 17025:2017(E)
(incorporated by reference, see
§ 1.1101).
(2)(i) Except as provided in paragraph
(a)(2)(ii) of this section, the laboratory
has successfully passed a proficiency
test provided by a competent
proficiency testing organization within
the last 12 months for each method
within the scope of LAAF-accreditation.
(ii) If the laboratory determines there
is no proficiency testing program
available or practicable for a method, it
may use a comparison program. A
laboratory must request approval from
the recognized accreditation body
regarding the determination prior to
using a comparison program in lieu of
an annual proficiency test. The
laboratory is required to demonstrate
competency through participation in the
comparison program.
(iii) A laboratory must submit all
proficiency test and comparison
program results, regardless of outcome,
to the recognized accreditation body
within 30 calendar days of receipt.
(3) The laboratory ensures that its
procedures for monitoring the validity
of the results of testing it conducts
under this subpart include the use of
reference materials or quality control
samples with each batch of samples it
tests under this subpart.
(b) Will comply with all additional
requirements for LAAF-accredited
laboratories under this subpart while
LAAF-accredited.
§ 1.1139 How does a laboratory apply for
LAAF-accreditation or extend its scope of
LAAF-accreditation?
(a) Application for LAAFaccreditation. A laboratory seeking
LAAF-accreditation or extension of its
scope of LAAF-accreditation must
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submit its application for LAAFaccreditation to a recognized
accreditation body identified on the
website described in § 1.1109. The
recognized accreditation body will
review and assess the application in
accordance with the requirements of
this subpart. If the laboratory seeking
LAAF-accreditation had its LAAFaccreditation withdrawn or one or more
methods within its scope of LAAFaccreditation reduced by a recognized
accreditation body or has been
previously disqualified by FDA, the
laboratory must meet the additional
requirements specified by § 1.1142(a).
(b) Documentation of conformance
with ISO/IEC 17025:2017(E). The
laboratory may use documentation of
conformance with ISO/IEC
17025:2017(E) (incorporated by
reference, see § 1.1101), as applicable
and supplemented as necessary, in
meeting the applicable requirements of
this subpart.
(c) Duration of accreditation. If a
LAAF-accredited laboratory maintains
compliance with all requirements of this
subpart, including accreditation to ISO/
IEC 17025:2017(E), the laboratory’s
LAAF-accreditation will not end until
reduced in scope, withdrawn,
relinquished, or the laboratory is
disqualified, under this subpart.
§ 1.1140 What must a LAAF-accredited
laboratory do to voluntarily relinquish its
LAAF-accreditation?
(a) Notice to FDA and the recognized
accreditation body of intent to
relinquish. A LAAF-accredited
laboratory must notify FDA and its
recognized accreditation body at least
60 calendar days before voluntarily
relinquishing LAAF-accreditation or
any method within the scope of LAAFaccreditation. The notice must include
the date on which relinquishment will
occur. If the laboratory will relinquish
all methods within its scope of LAAFaccreditation, the notification must also
include the name and contact
information of the custodian who will
maintain the records required by
§ 1.1154 after the date of
relinquishment. The contact
information for the records custodian
must include an email address and the
street address where the records
required by § 1.1154 will be located.
(b) Public notice of voluntary
relinquishment of accreditation. FDA
will provide notice on the website
described in § 1.1109 of the voluntary
relinquishment of LAAF-accreditation
of a laboratory.
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§ 1.1141 What is the effect on a LAAFaccredited laboratory if its recognized
accreditation body is no longer recognized
by FDA?
If a recognized accreditation body has
its application for renewal of
recognition denied, relinquishes its
recognition or allows its recognition to
expire, or has its recognition revoked,
any laboratory LAAF-accredited by the
accreditation body must take either the
actions in paragraph (a) of this section
or the action in paragraph (b) of this
section no later than 30 calendar days
after receiving the notice to the LAAFaccredited laboratory required under
§ 1.1115(g), § 1.1116(b), or
§ 1.1131(d)(2):
(a)(1) The LAAF-accredited laboratory
must submit to FDA documentation of
the LAAF-accredited laboratory’s most
recent internal audit, required under
§ 1.1154(a)(5), documentation showing
compliance with the conflict of interest
requirements in § 1.1147, and
documentation of the most recent
proficiency test or comparison program
result for each test method within the
laboratory’s scope of LAAFaccreditation, to show compliance with
§ 1.1138(a)(2); and
(2) The laboratory must become
LAAF-accredited by another recognized
accreditation body before the
laboratory’s ISO/IEC 17025:2017(E)
(incorporated by reference, see § 1.1101)
accreditation lapses or not later than 1
year after the LAAF-accredited
laboratory receives the applicable notice
under § 1.1115(g), § 1.1116(b), or
§ 1.1131(d)(2), whichever is sooner.
(b) The LAAF-accredited laboratory
initiates relinquishment of its LAAFaccreditation under § 1.1140, with the
relinquishment to occur within 90
calendar days.
§ 1.1142 How does a laboratory request
reinstatement of LAAF-accreditation?
(a) Application following reduction of
scope or withdrawal of LAAFaccreditation by a recognized
accreditation body or disqualification by
FDA. A laboratory that has had any
methods within its scope of LAAFaccreditation reduced or has had its
LAAF-accreditation withdrawn by a
recognized accreditation body or that
has been disqualified by FDA may seek
reinstatement of LAAF-accreditation by
submitting a new application for LAAFaccreditation to a recognized
accreditation body under § 1.1139. The
laboratory must also:
(1) Notify FDA prior to submitting a
new application for LAAF-accreditation
to the recognized accreditation body,
including in the notification the name of
the laboratory, contact information for
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the laboratory, the name of the
recognized accreditation body to which
the laboratory will be submitting the
application, and the date that the
laboratory expects to submit the new
application for LAAF-accreditation; and
(2) Demonstrate, to the satisfaction of
the recognized accreditation body to
which it is submitting the new
application, that the grounds for the
reduction of scope or withdrawal of
LAAF-accreditation or disqualification
have been resolved and that the
laboratory has implemented measures to
prevent such grounds from recurring.
(b) Application following voluntary
relinquishment of LAAF-accreditation.
A laboratory that voluntarily
relinquished any methods within the
scope of its LAAF-accreditation
pursuant to § 1.1140, may seek
reaccreditation by submitting a new
application for LAAF-accreditation to a
recognized accreditation body under
§ 1.1139.
Requirements for LAAF-Accredited
Laboratories
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§ 1.1147 What are the impartiality and
conflict of interest requirements for a LAAFaccredited laboratory?
(a) In addition to the impartiality and
conflict of interest requirements in
§ 1.1138(a)(1), a LAAF-accredited
laboratory must, subject to the
exceptions in paragraph (b) of this
section, prohibit the LAAF-accredited
laboratory’s employees, contractors, and
agents involved in food testing under
this subpart and related activities from
accepting any money, gift, gratuity, or
other item of value from the owner or
consignee of the food that is being tested
or will be tested by the LAAF-accredited
laboratory.
(b) The prohibited items of value in
paragraph (a) of this section do not
include:
(1) Payment of fees for food testing
under this subpart and related services;
(2) Reimbursement of direct costs
associated with the food testing by the
LAAF-accredited laboratory; and
(3) With respect to a LAAF-accredited
laboratory that is owned by the owner
or consignee of the food that is or will
be tested, payment of the officer’s,
employee’s, contractor’s, or agent’s
compensation in the normal course of
business.
(c) The LAAF-accredited laboratory
must require the owner’s or consignee’s
payment to the LAAF-accredited
laboratory of fees for food testing
services and reimbursement of direct
costs associated with food testing to be
independent of the outcome of the test
results.
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§ 1.1149 What oversight standards apply
to sampling?
(a) Documents. Before analyzing a
sample, the LAAF-accredited laboratory
must develop (if it collected the sample)
or obtain (if another firm collected the
sample) the following information to be
submitted with test results (see
§ 1.1152(c)):
(1) Written documentation of the
sampler’s applicable qualifications by
training and experience. A LAAFaccredited laboratory only needs to
develop or obtain documentation of a
sampler’s qualifications the first time
that sampler collects a sample for the
LAAF-accredited laboratory under this
subpart. If a LAAF-accredited laboratory
has previously submitted the sampler’s
qualifications to FDA under § 1.1152(c),
the LAAF-accredited laboratory may
refer to its previously submitted
qualifications.
(2) The written sampling plan used to
conduct the sampling. The written
sampling plan must identify the sampler
and sampling firm and must list factors
that will be controlled to ensure the
sampling does not impact the validity of
the subsequent analytical testing,
including controlling for the
representational nature of the sample;
and
(3) A written sample collection report
for each sample collected. The written
sample collection report must include:
(i) The product code of the food
product (if product is being sampled) or
the location and a description of the
environment (if environment is being
sampled);
(ii) The date of the sampling;
(iii) The lot number, size, identity,
and quantity of the sample;
(iv) Documentation of sample
collection procedures and any sample
preparation techniques; and
(v) Documentation of the chain of
custody of the sample and of measures
taken to ensure the validity of the
subsequent analytical testing, including
controlling for the representational
nature of the sample.
(b) Potential consequences. If any of
the requirements in paragraph (a) of this
section is not met, FDA may consider
the analysis of the sample to be invalid.
(c) Advance notice of sampling. (1) If
FDA determines that sampling
conducted may materially differ from
the sampling documented in the
associated sampling plan or sample
collection report, or if FDA determines
that the sampling otherwise may have
been improper, FDA may require the
LAAF-accredited laboratory that
analyzed the associated sample, and
other LAAF-accredited laboratories that
have analyzed samples previously
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collected by the sampling firm, to obtain
from the sampling firm, and submit, or
require the sampling firm to submit, an
advance notice of sampling. The
advance notice of sampling must be
submitted to FDA at least 48 hours
before each of the next 10 occasions that
the sampling firm will collect a sample
that the LAAF-accredited laboratory
will analyze under this subpart.
(2) FDA may, as appropriate:
(i) Specify that the requirement
applies to samples collected by a
particular sampler;
(ii) Specify the type of food product
or environment that requires advance
notice of sampling under this subpart;
(iii) Determine that an amount of time
other than 48 hours in advance is
required, from a minimum of 24 hours
up to 7 business days in advance;
(iv) Determine that a number of
occasions other than 10 is required,
from a minimum of 1 occasion to a
maximum of 20 occasions;
(v) Notify affected LAAF-accredited
laboratories that submission of
additional notices of sampling are not
required; and
(vi) Notify the owner or consignee
that the advance notice applies to
sampling for food testing being
conducted on their behalf.
(3) The advance notice of sampling
must contain:
(i) A unique identification for the
advance notice of sampling;
(ii) The name of the LAAF-accredited
laboratory that will conduct analysis of
the sample;
(iii) The name and street address of
the sampling firm that will conduct the
sampling;
(iv) A primary contact (name and
phone number) for the sampling firm;
(v) The reason why the food product
or environment will be sampled;
(vi) The location of the food product
or environment that will be sampled,
including sufficient information to
identify the food product or
environment to be sampled;
(vii) As applicable, the U.S. Customs
and Border Protection entry and line
number;
(viii) The product code of the food
product (if product is being sampled) or
the location and a description of the
environment (if environment is being
sampled); and
(ix) The date and approximate time
the sampling will begin.
§ 1.1150 What are the requirements for
analysis of samples by a LAAF-accredited
laboratory?
In addition to the sample analysis
requirements of § 1.1138(a):
(a) The analysis must be conducted on
either the sample received from the
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sampling firm or, if appropriate, on a
representative sample of the sample
received from the sampling firm.
(b) The analyst must:
(1) Be qualified by appropriate
education, training, and/or experience
to conduct the analysis;
(2) Have appropriately demonstrated
their ability to perform the method
properly in the specific context of the
food testing to be conducted; and
(3) Be in compliance with the conflict
of interest requirements of §§ 1.1138(a)
and 1.1147.
(c) The method used to conduct the
food testing must meet the requirements
of § 1.1151.
(d) The LAAF-accredited laboratory
must document the testing information
and test results to the extent necessary
to account for all information that is
required to be included in a full
analytical report (see § 1.1152(d)).
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§ 1.1151 What requirements apply to the
methods of analysis a LAAF-accredited
laboratory uses to conduct food testing
under this subpart?
In addition to the requirements of
§ 1.1138(a), a LAAF-accredited
laboratory must meet the following
requirements:
(a) The method of analysis used to
conduct food testing under this subpart
must be:
(1) Fit for purpose;
(2) Within the laboratory’s scope of
LAAF-accreditation;
(3) Appropriately validated for use in
such food testing, in accordance with
paragraph (c) of this section; and
(4) Appropriately verified by the
LAAF-accredited laboratory for use in
such food testing, in accordance with
paragraph (d) of this section.
(b) Food testing must be conducted
using the specified method:
(1) Under § 1.1107(a)(1), if the Federal
Food, Drug, and Cosmetic Act or
implementing regulations prescribe a
test method.
(2) Under § 1.1107(a)(2), if the
directed food laboratory order
prescribes a test method.
(c)(1) A LAAF-accredited laboratory
must validate methods in accordance
with the requirements of § 1.1138(a).
(2) A LAAF-accredited laboratory
performing validation of a method
under this subpart must record the
information required by § 1.1138(a) and
the supporting analytical data.
(d)(1) Before a LAAF-accredited
laboratory conducts food testing under
this subpart using a method for a
specific intended use for which the
method has been validated, but for
which the LAAF-accredited laboratory
has not previously applied the method
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under this subpart, the LAAF-accredited
laboratory must have verified it can
properly perform the method for the
specific intended use.
(2) A LAAF-accredited laboratory
performing verification of a method
under this subpart must record the
method that is the subject of the
verification, the intended purpose of the
analysis, the results of the verification,
the procedure used for the verification,
supporting analytical data, and whether
the LAAF-accredited laboratory is able
to properly perform the method.
(e) A LAAF-accredited laboratory may
submit a written request to FDA
requesting permission to use a method
outside of its scope of LAAFaccreditation for food testing. FDA may
approve the request if both following
conditions are satisfied:
(1) A new method or methodology has
been developed and validated but no
reasonably available laboratory has been
LAAF-accredited to perform such
method or methodology, and
(2) The use of such method is
necessary to prevent, control, or
mitigate a food emergency or foodborne
illness outbreak.
§ 1.1152 What notifications, results,
reports, and studies must a LAAFaccredited laboratory submit to FDA?
(a) General requirements. (1) All
notifications, results, reports, and
studies required to be submitted to FDA
by a LAAF-accredited laboratory under
this subpart must:
(i) Include the name and street
address of the LAAF-accredited
laboratory;
(ii) Identify a point of contact for the
LAAF-accredited laboratory, including
email and telephone number, whom
FDA may contact with questions or
comments;
(iii) Display an identification unique
to the test results, report, notification, or
study; and
(iv) Be true, accurate, unambiguous,
and objective.
(2) The LAAF-accredited laboratory
that conducts the analysis of the sample
under this subpart is responsible for the
submission of all notifications, results,
reports, and studies to FDA as required
by this section.
(3) If the LAAF-accredited laboratory
becomes aware that any aspect of the
submitted material is inaccurate, the
LAAF-accredited laboratory must
immediately inform FDA and submit a
corrected version. Such corrections
must meet the requirements for
amendments to reports specified by
ISO/IEC 17025:2017(E) (incorporated by
reference, see § 1.1101) section 7.8.8.
(4) Any opinions and interpretations
in any notification, result, report, or
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study submitted to FDA under this
subpart must meet the requirements in
ISO/IEC 17025:2017(E) section 7.8.7 and
any statements of conformity to a
specification or standard in any
notification, result, report, or study
submitted to FDA under this subpart
must meet the requirements of ISO/IEC
17025:2017(E) section 7.8.6.
(b) Test results. (1) The LAAFaccredited laboratory must submit the
results of all testing required to be
conducted under this subpart directly to
FDA via the location specified by the
website described in § 1.1109, unless
another location is specified by FDA
regarding testing conducted under
§ 1.1107(a)(2) or (3).
(2) The test results must be clear and
identify:
(i) The name and street address of the
owner or consignee for which the
testing was conducted,
(ii) As appropriate, the U.S. Customs
and Border Protection entry and line
number(s), and
(iii) The associated notifications,
reports, and studies required to be
submitted with the test results under
this subpart.
(c) Documentation required to be
submitted with test results. The
following documentation must be
included with each full analytical report
(see paragraph (d) of this section) and
each abridged analytical report (see
§ 1.1153) submitted to FDA under this
subpart:
(1) All sampling plans and sample
collection reports related to the food
testing conducted as developed or
obtained by the LAAF-accredited
laboratory in accordance with § 1.1149;
(2) Written documentation of the
sampler’s qualifications or an indication
that the sampler’s qualifications have
been submitted previously, in
accordance with § 1.1149(a)(1);
(3) For any validation studies required
by § 1.1151(c)(1), the documentation
required by § 1.1151(c)(2);
(4) For any verification studies
required by § 1.1151(d)(1), the
documentation required by
§ 1.1151(d)(2);
(5) The justification for any
modification to or deviation from the
method(s) of analysis used and
documentation of the LAAF-accredited
laboratory’s authorization for the
modification or deviation; and
(6) A certification from one or more
members of the LAAF-accredited
laboratory’s management certifying that
the test results, notifications, reports,
and studies are true and accurate; and
that the documentation includes the
results of all tests conducted under this
subpart. The certification must include
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the name, title, and signature of any
certifiers.
(d) Full analytical report contents. In
addition to the documentation required
to be submitted with all test results (see
paragraph (c) of this section), a full
analytical report must include:
(1) All information described by ISO/
IEC 17025:2017(E) sections 7.8.2.1(a)
through (p) and 7.8.3.1(a) through (d);
(2) Documentation of references for
the method of analysis used;
(3) Name and signature of the analyst
who conducted each analytical step,
including any applicable validation and
verification steps, and the date each step
was performed;
(4) Calculations, presented in a legible
and logical manner;
(5) As applicable, references to
chromatograms, charts, graphs,
observations, photographs of thin layer
chromatographic plates, and spectra.
References must be in color when
appropriate and presented in a clear
order;
(6) Identification of the source and
purity of reference standards used, and,
as applicable: Certified reference
materials, certified reference cultures
traceable to a nationally or
internationally recognized type culture
collection (including concentration,
units, preparation, and storage
conditions), and reference standard
preparation information (including who
prepared the reference standard, date of
preparation, expiration date, chemical
balance, and solvent used);
(7) A copy of the label from any
immediate container sampled, if
available, and any additional labeling
needed to evaluate the product;
(8) All original compilations of raw
data secured in the course of the
analysis, including discarded, unused,
or re-worked data, with the justification
for discarding or re-working such data,
corresponding supporting data, and
quality control results (including the
expected result and whether it is
acceptable), all identified with unique
sample identification, date, and time,
associated with the test;
(9) Any other relevant additional
supporting information such as the
storage location of analyzed samples,
appropriate attachments such as
instrument printouts, computer
generated charts and data sheets, and
photocopies or original labels for the
product analyzed;
(10) Identification of any software
used;
(11) Any certificate of analysis for
standards and software; and
(12) The following information about
the qualifications of each analyst
involved in the analysis conducted
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under this subpart, if the LAAFaccredited laboratory has not previously
submitted documentation of the
analyst’s qualifications to FDA or the
analyst’s qualifications have
significantly changed since the LAAFaccredited laboratory last submitted
documentation of the analyst’s
qualifications to FDA:
(i) The analyst’s curriculum vitae;
(ii) Training records for the applicable
methods that the analyst is qualified to
perform, including the dates of such
training and the name of the trainer or
training provider; and
(iii) Any other documentation of the
analyst’s ability to perform the method
properly in the context of the food
testing to be conducted, pursuant to
§ 1.1150(b).
(e) Additional information about nonstandard methods. If the LAAFaccredited laboratory conducts the
analysis using a method that is not
published in a reputable international or
national standard or that is otherwise
not publicly and readily available, upon
request by FDA the LAAF-accredited
laboratory must submit documentation
of the method to FDA.
(f) Immediate notification of
significant changes. The LAAFaccredited laboratory must notify FDA
and the recognized accreditation body
that LAAF-accredited the laboratory of
changes that affect the LAAFaccreditation of the laboratory within 48
hours, including a detailed description
of such changes, and an explanation of
how such changes affect the LAAFaccreditation of the laboratory. LAAFaccredited laboratories are not required
to notify FDA of changes that a
recognized accreditation body must
provide to FDA under § 1.1123(d).
(g) Consequence of omission. If FDA
does not receive all information
required to be submitted to FDA under
this section, FDA may consider the
related food testing to be invalid.
§ 1.1153 What are the requirements for
submitting abridged analytical reports?
(a) Requesting permission. A LAAFaccredited laboratory may request
permission to submit abridged
analytical reports for each major food
testing discipline: Biological, chemical,
and physical.
(1) FDA will grant permission to
submit abridged analytical reports for a
single major food testing discipline if all
of the following conditions are met:
(i) The LAAF-accredited laboratory is
not on suspension or probation for any
method within the major food testing
discipline that is the subject of its
request (see § 1.1121(b) or § 1.1161(b));
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(ii) The LAAF-accredited laboratory
has successfully implemented any
required corrective action under
§ 1.1121(a) or § 1.1161(a); and
(iii) The last five full analytical
reports for the major food testing
discipline contain no shortcomings that
call into question the validity of the test
results or repeated administrative errors.
(2) FDA will notify the LAAFaccredited laboratory if permission is
granted or denied.
(b) FDA review of abridged analytical
reports. (1) FDA will review all abridged
analytical reports submitted.
(2) FDA will notify the LAAFaccredited laboratory if FDA identifies a
shortcoming that calls into question the
validity of the test results or repeated
administrative errors, will require
corrective action under § 1.1161(a), and
may revoke permission to submit
abridged analytical reports for the
specific major food testing discipline.
(3) If FDA identifies a shortcoming
that calls into question the validity of
the test results or repeated
administrative errors in abridged
analytical reports from a LAAFaccredited laboratory that has
previously had its permission to submit
abridged analytical reports revoked for
any major food testing discipline, FDA
may put the LAAF-accredited laboratory
on probation for one or more methods
under § 1.1161(b). Under § 1.1162(a), a
laboratory on probation for one or more
methods may not submit abridged
analytical reports for the major food
testing disciplines of which the
probationary methods are a part.
(4) A LAAF-accredited laboratory that
has had permission to submit abridged
analytical reports revoked for one or
more major food testing disciplines may
request permission to submit abridged
analytical reports as described in
paragraph (a) of this section for each
major food testing discipline.
(c) Contents of abridged analytical
reports. In addition to the
documentation required to be submitted
with all test results (see § 1.1152(c)), an
abridged analytical report must include:
(1) All information described by ISO/
IEC 17025:2017(E) (incorporated by
reference, see § 1.1101) sections
7.8.2.1(a) through (p) and 7.8.3.1(a)
through (d); and
(2) Quality control results (including
the expected result and whether it is
acceptable).
(d) Exceptions. FDA may require
additional documentation or a full
analytical report from a LAAFaccredited laboratory permitted to
submit abridged analytical reports in the
following circumstances:
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(1) FDA may require a full analytical
report related to an FDA investigation or
FDA enforcement proceeding.
(2) Occasionally, for the purposes of
auditing abridged analytical reports and
otherwise protecting the public health
and the integrity of this food testing
program, FDA will require additional
documentation or a full analytical report
within 72 hours of FDA’s request.
(e) Consequence of omission. If FDA
does not receive all information
required to be submitted to FDA under
paragraph (c) of this section, FDA may
consider the related food testing to be
invalid.
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§ 1.1154 What other records requirements
must a LAAF-accredited laboratory meet?
(a) In addition to the records
requirements of § 1.1138(a), a LAAFaccredited laboratory must maintain, for
5 years after the date of creation, records
created and received while it is LAAFaccredited that relate to compliance
with this subpart, including:
(1) Documents related to the LAAFaccredited laboratory’s grant of LAAFaccreditation (and, if applicable,
extensions and reductions of scope of
LAAF-accreditation) from its recognized
accreditation body, including all
required proficiency test and
comparison program records for each
method within the scope of LAAFaccreditation under § 1.1138(a)(2);
(2) Documentation of food testing the
LAAF-accredited laboratory conducted
under this subpart sufficient to account
for all information required by
§ 1.1152(d), in accordance with
§ 1.1150(d);
(3) All documents that the LAAFaccredited laboratory was required to
submit to FDA under §§ 1.1152 and
1.1153, and associated correspondence
between the LAAF-accredited laboratory
(and its officers, employees, and other
agents) and the owner or consignee (and
its officers, employees, and other agents)
regarding food testing under this
subpart;
(4) All requests for food testing from
an owner or consignee that would be
conducted under this subpart;
(5) Documentation of any internal
investigations, internal audits, and
corrective action taken to address any
problems or deficiencies related to
activities under this subpart;
(6) All documentation related to
suspension, probation, reduction of
scope, or withdrawal of LAAFaccreditation, or laboratory
disqualification under this subpart; and
(7) Documentation of changes to its
management system or food testing
activities that may affect its compliance
with this subpart.
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(b) Make the records required by
paragraph (a) of this section available
for inspection and copying or for
electronic submission upon written
request of an authorized officer or
employee of FDA. If FDA requests
records for inspection and copying, the
laboratory must make such records
promptly available at the physical
location of the laboratory or at another
reasonably accessible location. If the
authorized officer or employee of FDA
requests electronic submission, the
records must be submitted within 10
business days of the request.
(c) Ensure that significant
amendments to records described by
this section can be tracked to previous
and original versions. If such a
significant amendment is made, both
the original document and amended
document must be maintained by the
LAAF-accredited laboratory during the
time period for which the amended
document must be maintained under
this subpart. The laboratory must also
document the date of amendment, the
personnel responsible for the
amendment, and a conspicuous
indication on the original document
stating that the document has been
altered and that a more recent version
of the document exists.
FDA Oversight of LAAF-Accredited
Laboratories
§ 1.1159 How will FDA oversee LAAFaccredited laboratories?
(a) FDA may review the performance
of LAAF-accredited laboratories at any
time to determine whether the LAAFaccredited laboratory continues to
comply with the applicable
requirements of this subpart and
whether there are deficiencies in the
performance of the LAAF-accredited
laboratory that, if not corrected, would
warrant corrective action, probation, or
disqualification under § 1.1161.
(b) In evaluating the performance of a
LAAF-accredited laboratory, FDA may
review any of the following:
(1) Records the LAAF-accredited
laboratory is required to maintain under
this subpart;
(2) Records the recognized
accreditation body that LAAFaccredited the laboratory is required to
maintain under this subpart;
(3) Information obtained by FDA
during a review of the LAAF-accredited
laboratory conducted pursuant to
paragraph (c) of this section;
(4) Information obtained by FDA
during an evaluation of the recognized
accreditation body that LAAF-accredits
the laboratory;
(5) Analytical reports and test results
submitted to FDA; and
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(6) Any other information obtained by
FDA, including during FDA’s
inspections or investigations of one or
more owners or consignees.
(c) FDA may conduct an onsite review
of a LAAF-accredited laboratory at any
reasonable time, with or without a
recognized accreditation body (or its
officers, employees, and other agents)
present, to review the performance of a
LAAF-accredited laboratory under this
subpart. Certain review activities may
be conducted remotely if it will not aid
in the review to conduct them onsite.
(d) FDA may report any observations
and deficiencies identified during its
review of LAAF-accredited laboratory
performance under this subpart to the
recognized accreditation body.
§ 1.1160 How will FDA review test results
and analytical reports?
(a) If FDA finds that any test result,
analytical report, related documents, or
the associated analysis contains
deficiencies or otherwise indicates that
any aspect of the food testing is not
being conducted in compliance with
this subpart, FDA will notify the LAAFaccredited laboratory that submitted the
analytical report of any deficiency and
may:
(1) Require the laboratory to correct
the test result, analytical report, related
documents, or the associated analysis;
(2) Revoke permission to submit
abridged reports for that major food
testing discipline under § 1.1153(b);
(3) Require a corrective action under
§ 1.1161(a);
(4) Consider the analysis to be invalid;
and/or
(5) Notify the owner or consignee of
the deficiency.
(b) FDA may report any deficiencies
identified during its review of any test
results, reports, and related documents
under this subpart to the recognized
accreditation body that LAAF-accredits
the laboratory.
(c) Nothing in this subpart shall be
construed to limit the ability of FDA to
review and act on information received
about food testing, including
determining the sufficiency of such
information and testing.
§ 1.1161 When will FDA require corrective
action, put a LAAF-accredited laboratory on
probation, or disqualify a LAAF-accredited
laboratory from submitting analytical
reports?
(a) Corrective action. FDA may
require corrective action to address any
deficiencies identified while reviewing
a LAAF-accredited laboratory’s
performance under this subpart.
(1) FDA will notify the LAAFaccredited laboratory of all deficiencies
requiring corrective action and will
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either specify a deadline to implement
corrective action or will require the
LAAF-accredited laboratory to submit a
corrective action plan and timeframe for
implementation to FDA for approval.
(2) The LAAF-accredited laboratory
must handle FDA’s notification as a
complaint under ISO/IEC 17025:2017(E)
(incorporated by reference, see § 1.1101)
section 7.9, implement appropriate
corrective action under ISO/IEC
17025:2017(E) section 8.7, and submit
both the results of the complaint
investigation and subsequent corrective
action to FDA.
(3) FDA will review the corrective
action and will notify the LAAFaccredited laboratory whether the
corrective action is acceptable.
(b) Probation. If FDA determines that
a LAAF-accredited laboratory has not
effectively implemented corrective
action or otherwise fails to address
deficiencies identified, FDA may put
the LAAF-accredited laboratory on
probation for one or more methods and
require corrective action under
paragraph (a) of this section.
(1) FDA will notify the LAAFaccredited laboratory and its recognized
accreditation body of the grounds for
the probation, the method(s) covered by
the probation, and all deficiencies
requiring corrective action via the
process described in paragraph (a) of
this section.
(2) FDA will provide notice of a
LAAF-accredited laboratory’s probation
on the website described in § 1.1109.
(3) FDA will review the corrective
action and will notify the LAAFaccredited laboratory and its recognized
accreditation body whether the
corrective action is acceptable.
(4) A LAAF-accredited laboratory will
remain on probation until the LAAFaccredited laboratory demonstrates to
FDA’s satisfaction that it has
successfully implemented appropriate
corrective action.
(5) If FDA determines that a LAAFaccredited laboratory on probation has
failed to implement appropriate
corrective action or otherwise fails to
address deficiencies identified, FDA
may disqualify the LAAF-accredited
laboratory under paragraph (c) of this
section.
(c) Disqualification. FDA may
disqualify a LAAF-accredited laboratory
from submitting analytical reports under
this subpart for one or more methods for
good cause, which may include any of
the following reasons:
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(1) Deliberate falsification of
analytical reports, testing results, or
other records submitted to FDA.
(2) Failure of a LAAF-accredited
laboratory on probation to effectively
implement corrective action or
otherwise address identified
deficiencies.
(3) Other failure to substantially
comply with this subpart where the
laboratory’s recognized accreditation
body has not reduced the scope of or
withdrawn LAAF-accreditation of the
laboratory.
(d) Disqualification procedures. (1)
FDA will issue a notice of
disqualification to a LAAF-accredited
laboratory and its recognized
accreditation body, which will include:
(i) The grounds for disqualification;
(ii) The method or methods to which
the disqualification applies;
(iii) The date the disqualification will
be effective;
(iv) The procedures for requesting a
regulatory hearing on the
disqualification under § 1.1173; and
(v) The procedures for requesting
reinstatement after disqualification
under § 1.1142.
(2) FDA will provide notice of a
LAAF-accredited laboratory’s
disqualification on the website
described in § 1.1109.
§ 1.1162 What are the consequences if
FDA puts a LAAF-accredited laboratory on
probation or disqualifies a LAAF-accredited
laboratory?
(a) A LAAF-accredited laboratory that
FDA has put on probation for one or
more methods is permitted to continue
to conduct food testing under this
subpart; however, a LAAF-accredited
laboratory that is on probation for one
or more methods is not permitted to
submit abridged analytical reports for
the major food testing discipline of
which the probationary methods are
part.
(b) If FDA disqualifies a LAAFaccredited laboratory for all methods
within its scope of LAAF-accreditation,
the laboratory is immediately ineligible
to conduct food testing under this
subpart. If FDA disqualifies a LAAFaccredited laboratory for specific
methods within the scope of LAAFaccreditation, the laboratory is
immediately ineligible to use the
methods for which the laboratory has
been disqualified to conduct food
testing under this subpart.
(c) With respect to food testing
conducted by the laboratory prior to its
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disqualification, FDA may refuse to
consider results and associated reports
of food testing conducted under this
subpart if the basis for the
disqualification of the laboratory
indicates that the specific food testing
conducted by the laboratory may not be
reliable.
(d) Within 10 business days of the
date of issuance of disqualification, the
laboratory must provide the name and
email address of the custodian who will
maintain and make available to FDA the
records required by § 1.1154, and the
street address where the records will be
located.
(e) Within 10 business days of the
date of issuance of a notice of probation
or disqualification, the laboratory must
notify any owners or consignees for
which it is conducting food testing
using methods for which it is being
placed on probation or disqualified
under this subpart, that it is on
probation or has been disqualified.
Requesting FDA Reconsideration or
Regulatory Hearings of FDA Decisions
Under This Subpart
§ 1.1171 How does an accreditation body
request reconsideration by FDA of a
decision to deny its application for
recognition, renewal, or reinstatement?
(a) Timing of request. An
accreditation body may seek
reconsideration of FDA’s decision to
deny its application for recognition or
renewal of recognition under § 1.1114,
or reinstatement of recognition under
§ 1.1117, no later than 10 business days
after the date of the issuance of such
denial.
(b) Submission of request. The request
to reconsider an application under
paragraph (a) of this section must be
signed by the accreditation body, as
appropriate, or by an individual
authorized to act on its behalf. The
accreditation body must submit the
request, together with any supporting
information, to FDA in accordance with
the procedures described in the notice
of denial.
(c) Notification of FDA’s decision.
After completing its review and
evaluation of the request for
reconsideration and any supporting
information submitted pursuant to
paragraph (b) of this section, FDA will
notify the accreditation body of its
decision to grant or deny recognition
upon reconsideration.
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§ 1.1173 How does an accreditation body
or laboratory request a regulatory hearing
on FDA’s decision to revoke the
accreditation body’s recognition or
disqualify a LAAF-accredited laboratory?
(a) Request for hearing. No later than
10 business days after the date FDA
issued a revocation of recognition of an
accreditation body pursuant to § 1.1131
or disqualification of a LAAF-accredited
laboratory under § 1.1161, the
accreditation body, laboratory, or an
individual authorized to act on the
accreditation body’s or laboratory’s
behalf, may submit a request for a
regulatory hearing, conducted pursuant
to part 16 of this chapter, on the
revocation or disqualification. The
notice of revocation issued under
§ 1.1131 or notice of disqualification
issued under § 1.1161, as applicable,
will contain all the elements required by
§ 16.22(a) of this chapter and will
thereby constitute the notice of an
opportunity for hearing under part 16 of
this chapter.
(b) Submission of request for
regulatory hearing. The request for a
regulatory hearing under this subpart
must be submitted with a written appeal
that responds to the bases for the FDA
decision described in the written notice
of revocation or disqualification,
together with any supporting
information. The request, appeal, and
supporting information must be
submitted to FDA in accordance with
the procedures described in the notice
of revocation or disqualification.
(c) Effect of submitting a request for
a regulatory hearing on an FDA
decision. The submission of a request
for a regulatory hearing under this
subpart will not operate to delay or stay
the effect of a decision by FDA to revoke
the recognition of an accreditation body
or disqualify the LAAF-accredited
laboratory unless FDA determines that
delay or a stay is in the public interest.
(d) Presiding officer. The presiding
officer for a regulatory hearing under
this subpart will be designated after a
request for a regulatory hearing is
submitted to FDA.
(e) Denial of a request for regulatory
hearing. The presiding officer may deny
a request for regulatory hearing under
this subpart pursuant to § 16.26(a) of
this chapter when no genuine or
substantial issue of fact has been raised.
(f) Conduct of regulatory hearing. (1)
If the presiding officer grants a request
for a regulatory hearing, the hearing will
be held within 10 business days after
the date the request was filed or, if
applicable, within a timeframe agreed
upon in writing by the accreditation
body or laboratory, and the presiding
officer and FDA.
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(2) The presiding officer must conduct
the hearing in accordance with part 16
of this chapter, except that, pursuant to
§ 16.5(b) of this chapter, the procedures
for a regulatory hearing apply only to
the extent that such procedures are
supplementary and do not conflict with
the procedures specified for regulatory
hearings under this subpart.
Accordingly, the following requirements
of part 16 of this chapter are
inapplicable to regulatory hearings
conducted under this subpart: The
requirements of § 16.22 (Initiation of
regulatory hearing); § 16.24(e) (timing)
and (f) (contents of notice); § 16.40
(Commissioner); § 16.60(a) (public
process); § 16.95(b) (administrative
decision and record for decision); and
§ 16.119 (Reconsideration and stay of
action).
(3) A decision by the presiding officer
to affirm the revocation of recognition or
laboratory disqualification is considered
a final agency action under 5 U.S.C. 702.
§ 1.1174 How does an owner or consignee
request a regulatory hearing on a directed
food laboratory order?
(a) Request for hearing. No later than
3 business days after FDA has issued the
directed food laboratory order, an owner
or consignee may submit a request for
a regulatory hearing, conducted
pursuant to part 16 of this chapter, on
the directed food laboratory order. The
directed food laboratory order will
contain all of the elements required by
§ 16.22 of this chapter and will thereby
constitute the notice of an opportunity
for hearing under part 16 of this chapter.
(b) Submission of request for
regulatory hearing. The request for a
regulatory hearing must be submitted
with a written appeal that responds to
the bases, as appropriate, for FDA’s
determinations described in the directed
food laboratory order, together with any
supporting information. The request,
appeal, and supporting information
must be submitted in accordance with
the procedures described in the directed
food laboratory order.
(c) Presiding officer. The presiding
officer for a regulatory hearing under
this subpart will be designated after a
request for a regulatory hearing is
submitted to FDA.
(d) Denial of a request for regulatory
hearing. The presiding officer may deny
a request for regulatory hearing under
this subpart pursuant to § 16.26(a) of
this chapter.
(e) Conduct of regulatory hearing. (1)
If the presiding officer grants a request
for a regulatory hearing, such hearing
will be held within 2 business days after
the date the request was filed or, if
applicable, within a timeframe agreed
PO 00000
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Fmt 4701
Sfmt 4700
upon in writing by the requestor and the
presiding officer and FDA.
(2) The presiding officer may require
that a hearing conducted under this
subpart be completed within 1 business
day, as appropriate.
(3) The presiding officer must conduct
the hearing in accordance with part 16
of this chapter, except that, pursuant to
§ 16.5(b) of this chapter, the procedures
for a regulatory hearing described in
part 16 of this chapter apply only to the
extent that such procedures are
supplementary and not in conflict with
the procedures specified for the conduct
of regulatory hearings under this
subpart. Accordingly, the following
requirements of part 16 of this chapter
are inapplicable to regulatory hearings
conducted under this subpart: § 16.22
(Initiation of regulatory hearing);
§ 16.24(e) (timing) and (f) (contents of
notice); § 16.40 (Commissioner);
§ 16.60(a) (public process); § 16.95(b)
(administrative decision and record for
decision); and § 16.119 (Reconsideration
and stay of action).
(4) A decision by the presiding officer
to affirm the directed food laboratory
order is considered a final agency action
under 5 U.S.C. 702.
Electronic Records and Public
Disclosure Requirements
§ 1.1199 Are electronic records created
under this subpart subject to the electronic
records requirements of part 11 of this
chapter?
Records that are established or
maintained to satisfy the requirements
of this subpart and that meet the
definition of electronic records in
§ 11.3(b)(6) of this chapter are exempt
from the requirements of part 11 of this
chapter. Records that satisfy the
requirements of this subpart, but that
also are required under other applicable
statutory provisions or regulations,
remain subject to part 11 of this chapter.
§ 1.1200 Are the records obtained by FDA
under this subpart subject to public
disclosure?
Records obtained by FDA under this
subpart are subject to the disclosure
requirements under part 20 of this
chapter.
PART 11—ELECTRONIC RECORDS;
ELECTRONIC SIGNATURES
4. The authority citation for part 11
continues to read as follows:
■
Authority: 21 U.S.C. 321–393; 42 U.S.C.
262.
5. In § 11.1, add paragraph (p) to read
as follows:
■
E:\FR\FM\03DER2.SGM
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Federal Register / Vol. 86, No. 230 / Friday, December 3, 2021 / Rules and Regulations
§ 11.1
Scope.
§ 16.1
*
*
*
*
*
(p) This part does not apply to records
required to be established or maintained
by subpart R of part 1 of this chapter.
Records that satisfy the requirements of
subpart R of part 1 of this chapter, but
that also are required under other
applicable statutory provisions or
regulations, remain subject to this part.
PART 16—REGULATORY HEARING
BEFORE THE FOOD AND DRUG
ADMINISTRATION
6. The authority citation for part 16
continues to read as follows:
■
Authority: 15 U.S.C. 1451–1461; 21
U.S.C.141–149, 321–394, 467f, 679, 821,
1034, 28 U.S.C. 2112; 42 U.S.C. 201–262,
263b, 364.
7. In § 16.1, add entries for §§ 1.1173
and 1.1174 in numerical order to
paragraph (b)(2) to read as follows:
jspears on DSK121TN23PROD with RULES2
■
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Scope.
§ 129.35
*
*
*
*
*
(b) * * *
(2) * * *
§ 1.1173, relating to the revocation of
recognition of an accreditation body,
and the disqualification of a laboratory,
with respect to food testing conducted
under part 1, subpart R of this chapter.
§ 1.1174, relating to the issuance of a
directed food laboratory order by FDA
pursuant to § 1.1108.
*
*
*
*
*
PART 129—PROCESSING AND
BOTTLING OF BOTTLED DRINKING
WATER
8. The authority citation for part 129
is revised to read as follows:
■
Authority: 21 U.S.C. 342, 348, 350k, 371,
374, 42 U.S.C. 264.
9. Amend § 129.35 by revising
paragraph (a)(3)(iii) to read as follows:
■
PO 00000
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68831
Sanitary facilities.
*
*
*
*
*
(a) * * *
(3) * * *
(iii) Analysis of the sample may be
performed for the plant by competent
commercial laboratories (e.g.,
Environmental Protection Agency (EPA)
and State-certified laboratories), except
that the analysis of the five samples
from the same sampling site that
originally tested positive for E. coli, as
required by paragraph (a)(3) of this
section, must be conducted under part
1, subpart R of this chapter.
*
*
*
*
*
Dated: November 15, 2021.
Janet Woodcock,
Acting Commissioner of Food and Drugs.
[FR Doc. 2021–25716 Filed 12–1–21; 11:15 am]
BILLING CODE 4164–01–P
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Agencies
[Federal Register Volume 86, Number 230 (Friday, December 3, 2021)]
[Rules and Regulations]
[Pages 68728-68831]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2021-25716]
[[Page 68727]]
Vol. 86
Friday,
No. 230
December 3, 2021
Part II
Department of Health and Human Services
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Food and Drug Administration
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21 CFR Parts 1, 11, 16, and 129
Laboratory Accreditation for Analyses of Foods; Final Rule
Federal Register / Vol. 86, No. 230 / Friday, December 3, 2021 /
Rules and Regulations
[[Page 68728]]
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DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Parts 1, 11, 16, and 129
[Docket No. FDA-2019-N-3325]
RIN 0910-AH31
Laboratory Accreditation for Analyses of Foods
AGENCY: Food and Drug Administration, HHS.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA, the Agency, or we) is
amending its regulations to establish a program for the testing of food
in certain circumstances by accredited laboratories, as required under
the Federal Food, Drug, and Cosmetic Act (FD&C Act). Establishing this
program will help FDA improve the safety of the U.S. food supply and
protect U.S. consumers by helping ensure that certain food testing of
importance to public health is conducted subject to appropriate
oversight and in accordance with appropriate model standards to produce
reliable and valid test results.
DATES: This rule is effective February 1, 2022. The incorporation by
reference of certain publications listed in the rule is approved by the
Director of the Federal Register as of February 1, 2022.
ADDRESSES: For access to the docket to read background documents or
comments received, go to https://www.regulations.gov and insert the
docket number found in brackets in the heading of this final rule into
the ``Search'' box and follow the prompts, and/or go to the Dockets
Management Staff, 5630 Fishers Lane, Rm. 1061, Rockville, MD 20852,
240-402-7500.
FOR FURTHER INFORMATION CONTACT:
With regard to the final rule: Stacie Hammack, Chemist, Food and
Feed Laboratory Operations, Office of Regulatory Affairs, Food and Drug
Administration, 60 8th Street NE, Atlanta, GA 30309, 301-796-5817;
[email protected].
With regard to the information collection: Domini Bean, Office of
Operations, Food and Drug Administration, Three White Flint North 10A-
12M, 11601 Landsdown Street, North Bethesda, MD 20852, 301-796-5733,
[email protected].
SUPPLEMENTARY INFORMATION:
Table of Contents
I. Executive Summary
A. Purpose and Coverage of the Final Rule
B. Summary of the Major Provisions of the Final Rule
C. Legal Authority
D. Costs and Benefits
II. Table of Abbreviations/Commonly Used Acronyms in This Document
III. Background
A. Need for the Regulation
B. Summary of Comments to the Proposed Rule
C. General Overview of Final Rule
D. Incorporation by Reference
IV. Legal Authority
V. Comments on the Proposed Rule and FDA's Response
A. Introduction
B. General Comments
C. Comments Regarding General Provisions
D. Comments Regarding General Requirements
E. Comments Regarding FDA Recognition of Accreditation Bodies
F. Comments Regarding Requirements for Recognized Accreditation
Bodies
G. Comments Regarding FDA Oversight of Recognized Accreditation
Bodies
H. Comments Regarding LAAF-Accreditation of Laboratories
I. Comments Regarding Requirements for LAAF-Accredited
Laboratories
J. Comments Regarding FDA Oversight of LAAF-Accredited
Laboratories
K. Comments Regarding Requesting FDA Reconsideration or
Regulatory Hearings of FDA Decisions Under This Subpart
L. Comments Regarding Electronic Records and Public Disclosure
Requirements
M. Comments on Conforming and Technical Amendments and FDA
Response
VI. Effective Date
VII. Economic Analysis of Impacts
VIII. Analysis of Environmental Impact
IX. Paperwork Reduction Act of 1995
X. Federalism
XI. Consultation and Coordination With Indian Tribal Governments
XII. References
I. Executive Summary
A. Purpose and Coverage of the Final Rule
This rule is part of FDA's implementation of the FDA Food Safety
Modernization Act (FSMA) (Pub. L. 111-353), through which the Agency
intends to better protect public health by, among other things,
adopting a modern, preventive, and risk-based approach to food safety
regulation. In this document we establish the Laboratory Accreditation
for Analyses of Foods (LAAF) program as required by FSMA section
202(a), which added section 422 to the FD&C Act (21 U.S.C. 350k). Under
the LAAF program, FDA will recognize accreditation bodies that will
accredit laboratories to the standards established in this final rule.
Laboratories accredited to the LAAF standard (``LAAF-accredited
laboratories'') are authorized to conduct certain food testing as
described in this rule.
The program structure is portrayed in the following diagram:\1\
---------------------------------------------------------------------------
\1\ For a description of how the program structure diagram has
been revised, see (Response 11).
---------------------------------------------------------------------------
[[Page 68729]]
[GRAPHIC] [TIFF OMITTED] TR03DE21.000
You are subject to this rule if you are an accreditation body
seeking recognition to accredit laboratories under this subpart, a
recognized accreditation body, a laboratory seeking accreditation to
conduct food testing under this subpart, or an accredited laboratory
conducting food testing under this subpart. This rule also applies to
owners or consignees that must have certain food testing conducted by a
laboratory accredited under this subpart. Although participation in
this program is voluntary for accreditation bodies and laboratories,
only recognized accreditation bodies may accredit laboratories to
conduct the testing of food covered under this subpart.
This program for the testing of food by accredited laboratories
establishes oversight, uniformity, and standards necessary to help
ensure that the results of certain food testing of importance to public
health are reliable and accurate. Establishing this program will
substantially improve our capability to protect U.S. consumers from
unsafe food.
B. Summary of the Major Provisions of the Final Rule
This rule contains model standards that laboratories must meet in
order to participate and conduct certain food testing covered by this
subpart. The rule will establish a publicly available registry listing
accreditation bodies and laboratories that have been recognized or
accredited under this program. Results of food testing conducted by
laboratories under the program must be sent directly to FDA.
Laboratories accredited under this program (``LAAF-accredited
laboratories'') are required to submit to FDA analytical reports as
specified in this final rule.
This rule contains eligibility requirements for accreditation
bodies to qualify for FDA recognition and requirements that
accreditation bodies must meet once recognized, such as requirements
related to assessing and overseeing laboratories, conflicts of
interest, reporting, and records. The rule contains eligibility
requirements for laboratories to qualify for LAAF-accreditation by a
recognized accreditation body and requirements that laboratories must
meet once LAAF-accredited, such as requirements related to conflicts of
interest, analysis, reporting, and records. These requirements will
help ensure the effectiveness of the recognized accreditation bodies
and LAAF-accredited laboratories under this program. This rule contains
procedures we will follow to recognize accreditation bodies under this
program and procedures for accreditation bodies to follow to LAAF-
accredit laboratories under this program. This rule contains regulatory
procedures and requirements relating to our oversight of recognized
accreditation bodies and LAAF-accredited laboratories.
This rule applies when food testing is conducted in certain
circumstances. ``Food testing'' and ``testing of food'' include the
analysis of human or animal food, as well as testing of the food
growing or manufacturing environment (i.e., ``environmental testing'').
C. Legal Authority
Section 422(a)(1)(A) the FD&C Act, which was added by section
202(a) of FSMA, directs us to establish a program for the testing of
food by accredited laboratories. Therefore, section 422 of the FD&C Act
provides FDA with authority for these final regulations, which outline
requirements for participants in the program for the testing of food by
LAAF-accredited laboratories. FDA also derives authority for these
requirements from section 701(a) of the FD&C Act (21 U.S.C. 371(a)),
which authorizes FDA to issue regulations for the efficient enforcement
of the FD&C Act.
[[Page 68730]]
D. Costs and Benefits
The rule will require that testing of food in certain circumstances
be performed by a laboratory that is LAAF-accredited by a recognized
accreditation body, and for the testing results to be submitted
directly to us. The costs of the rule primarily will be incurred by
participating accreditation bodies, participating laboratories, shell
egg producers, sprouts producers, bottled drinking water manufacturers,
owners and consignees of certain import-related food, and FDA. Rarely,
certain firms will have participating laboratories conduct tests for
other reasons including as part of a corrective action plan after an
order suspending registration, as part of evidence for a hearing prior
to issuance of a mandatory recall order, as part of evidence for an
appeal of an administrative detention order, and as required under a
directed food laboratory order (formerly, a food testing order). We
will incur costs to, among other things, establish and maintain the
program for recognizing accreditation bodies that apply to participate
in our program, evaluate participating accreditation bodies and review
the performance of participating laboratories, and review associated
documents and reports. The present value of the costs of the rule
ranges from $38 million to $66 million when discounted by 7 percent
over 10 years and from $43 million to $77 million when discounted by 3
percent over 10 years. Annualized costs over 10 years range from $5.8
million to $9.6 million when discounted by 7 percent, and from $5.9
million to $9.7 million when discounted by 3 percent.
The rule will generate some quantified and unquantified benefits.
Quantified benefits include a reduction in the number of foodborne
illnesses from fewer false negative test results for import-related
food covered under the rule and for shell eggs, sprouts, and bottled
drinking water testing covered under the rule. We anticipate cost
savings from the clarification of the process for compiling,
submitting, and reviewing analytical reports for import-related food
covered under this rule, including reduced reporting burden. There
would be less revenue lost from fewer false positive test results for
import-related food covered under the rule and for tests of shell eggs,
sprouts, and bottled drinking water testing covered under the rule. The
present value of the benefits of the rule ranges from $46 million to
$88 million when discounted at 7 percent over 10 years and ranges from
$56 million to $106 million when discounted at 3 percent over 10 years.
Annualized benefits over 10 years range from $6.6 million to $12.5
million when discounted by both 7 and 3 percent.
II. Table of Abbreviations/Commonly Used Acronyms in This Document
------------------------------------------------------------------------
Abbreviation/acronym What it means
------------------------------------------------------------------------
AAVLD............................. American Association of Veterinary
Laboratory Diagnosticians.
ANSI.............................. American National Standards
Institute.
AOAC.............................. AOAC International.
APA............................... Administrative Procedure Act.
CFR............................... Code of Federal Regulations.
CPSC.............................. Consumer Product Safety Commission.
CVM............................... Center for Veterinary Medicine.
DWPE.............................. Detention Without Physical
Examination.
EO................................ Executive Order.
E. coli........................... Escherichia coli.
FDA............................... United States Food and Drug
Administration.
FD&C Act.......................... Federal Food, Drug, and Cosmetic
Act.
FOIA.............................. Freedom of Information Act.
FR................................ Federal Register.
FRIA.............................. Final Regulatory Impact Analysis.
FSMA.............................. FDA Food Safety Modernization Act.
FSVP.............................. Foreign Supplier Verification
Program.
HACCP............................. Hazard Analysis and Critical Control
Point.
IBR............................... Incorporation by Reference.
IEC............................... International Electrotechnical
Commission.
ILAC.............................. International Laboratory
Accreditation Cooperation.
IOM............................... Investigations Operations Manual.
ISO............................... International Organization for
Standardization.
LAAF.............................. Laboratory Accreditation for
Analyses of Foods.
MRA............................... Mutual Recognition Arrangement.
NIST.............................. National Institute of Standards and
Technology.
NRTE.............................. Not Ready to Eat.
NTTAA............................. National Technology Transfer and
Advancement Act of 1995.
OMB............................... Office of Management and Budget.
ORA............................... Office of Regulatory Affairs.
PLAP.............................. Private Laboratory Analytical
Package.
PRA............................... Paperwork Reduction Act of 1995.
PRIA.............................. Preliminary Regulatory Impact
Analysis.
SAHCODHA.......................... Serious Adverse Health Consequences
or Death to Humans or Animals.
U.S.C............................. United States Code.
Vet-LIRN.......................... Veterinary Laboratory Investigation
and Response Network.
WTO............................... World Trade Organization.
------------------------------------------------------------------------
[[Page 68731]]
III. Background
A. Need for the Regulation
FSMA is transforming the nation's food safety system by shifting
the focus from responding to foodborne illness to preventing it.
Congress enacted FSMA in response to dramatic changes in the global
food system and in our understanding of foodborne illness and its
consequences, including the realization that preventable foodborne
illness is both a significant public health problem and a threat to the
economic well-being of the food system. FSMA provides us with new
enforcement authorities designed to achieve higher rates of compliance
with risk-based, prevention-oriented safety standards and to better
respond to and contain problems when they do occur. In addition, FSMA
gives us important new tools to better ensure the safety of imported
foods and encourages partnerships with State, local, tribal, and
territorial authorities. In implementing FSMA, we prioritized the
development of seven foundational rules that provide the framework for
risk-based preventive controls and enhance our ability to oversee their
implementation by industry for both domestic and imported food. We have
finalized these foundational rules and begun their implementation while
also developing additional programs required by FSMA, including this
program for food testing by accredited laboratories.
FSMA, in establishing section 422 of the FD&C Act, underscores that
food testing can play a role in detecting and responding to food safety
problems. Section 422(b)(1) of the FD&C Act requires that food be
tested by laboratories accredited to the standards we are establishing
in this final rule in four circumstances:
In response to a specific testing requirement under the
FD&C Act or implementing regulations, when applied to address an
identified or suspected food safety problem;
As required by the Secretary of Health and Human Services
(Secretary), as the Secretary deems appropriate, to address an
identified or suspected food safety problem;
In support of admission of an article of food under
section 801(a) of the FD&C Act (21 U.S.C. 381(a)); and
Under an import alert that requires successful consecutive
tests.
With one exception, section 422(b)(2) of the FD&C Act requires the
results of food testing conducted under section 422(b)(1) to be sent
directly to FDA, thereby allowing FDA to review the test results.
Direct receipt of food testing results in these circumstances is of
particular importance to the Agency and to public health. This rule
applies to food testing conducted under specific testing requirements
in the FD&C Act and implementing regulations that ``address an
identified or suspected food safety problem'', and in directed food
laboratory orders that we will issue ``as required by the Secretary, as
the Secretary deems appropriate, to address an identified or suspected
food safety problem.'' Further, owners and consignees often engage
private laboratories to test their food products and submit the results
of the testing, along with associated analysis and data, to us to show
that the imported food complies with the FD&C Act. If we determine that
the food testing results are valid and that they demonstrate the
detained food product does not violate the FD&C Act, we will release
the food from detention and allow it to proceed into the United States.
We use the detention without physical examination (DWPE) procedure when
there exists a history of the importation of violative products, or
products that may appear violative, or when other information indicates
that future entries may appear violative. Import alerts inform FDA
field staff and the public that we have enough evidence to allow for
DWPE of products that appear to be in violation of FDA laws and
regulations. Concerns periodically have arisen regarding importers'
manipulation or substitution of the samples a private laboratory tests,
and practices such as ``testing into compliance,'' in which multiple
samples from a shipment are tested, but only those results that would
allow the shipment to enter the United States are submitted to us. See,
e.g., ``The Safety of Food Imports: Fraud & Deception in the Food
Import Process; Hearings Before the Senate Committee on Governmental
Affairs, Permanent Subcommittee on Investigations,'' September 10, 1998
(statement of ``Former Customs Broker'') (Ref. 1, pages 26-34 and 137-
140).
B. Summary of Comments to the Proposed Rule
We published a proposed rule for ``Laboratory Accreditation for
Analyses of Foods'' (the proposed rule) in the Federal Register on
November 4, 2019 (84 FR 59452). The comment period was extended twice
(85 FR 11893 (February 28, 2020); 85 FR 19114 (April 6, 2020)). Upon
close of the comment period on July 6, 2020, we had received
approximately 70 comment submissions that covered almost every aspect
of the proposed rule.
C. General Overview of the Final Rule
We have made changes in the final rule in response to public
comments; these changes are discussed in greater detail in section V
below. Additionally, we have revised the final rule to improve clarity
and readability. We also have reorganized the final rule as described
in the following table.
Table 1--Summary of Section Numbering Changes in the Final Rule
------------------------------------------------------------------------
Final rule Proposed rule
------------------------------------------------------------------------
General provisions General provisions
------------------------------------------------------------------------
Sec. 1.1101 What documents are N/A.
incorporated by reference in this
subpart?
Sec. 1.1102 What definitions apply to Sec. 1.1102 What definitions
this subpart?. apply to this subpart?
Sec. 1.1103 Who is subject to this Sec. 1.1103 Who is subject to
subpart?. this subpart?
------------------------------------------------------------------------
General Requirements General Requirements of this
Subpart
------------------------------------------------------------------------
Sec. 1.1107 When must food testing be Sec. 1.1107 Under what
conducted under this subpart?. circumstances must food
testing be conducted under
this subpart by an accredited
laboratory?
Sec. 1.1108 When and how will FDA Sec. 1.1108 When and how will
issue a directed food laboratory FDA issue a food testing
order? order?
Sec. 1.1109 How will FDA make Sec. 1.1109 How will FDA make
information about recognized information about recognized
accreditation bodies and LAAF- accreditation bodies and
accredited laboratories available to accredited laboratories
the public? available to the public?
[[Page 68732]]
Sec. 1.1110 What are the general N/A.
requirements for submitting
information to FDA under this subpart?
------------------------------------------------------------------------
FDA Recognition of Accreditation Bodies Recognition of Accreditation
Bodies
------------------------------------------------------------------------
Sec. 1.1113 What are the eligibility Sec. 1.1113 What requirements
requirements for a recognized must an accreditation body
accreditation body? meet to be recognized by FDA?
Sec. 1.1118 What are the
general requirements for
recognized accreditation
bodies to remain recognized?
Sec. 1.1114 How does an accreditation Sec. 1.1128 How does an
body apply to FDA for recognition or accreditation body apply to
renewal of recognition? FDA for recognition or renewal
of recognition?
Sec. 1.1115 How will FDA evaluate Sec. 1.1129 How will FDA
applications for recognition and review applications for
renewal of recognition? recognition and applications
for renewal of recognition?
Sec. 1.1116 What must a recognized Sec. 1.1132 What must a
accreditation body do to voluntarily recognized accreditation body
relinquish or not renew its do if it wants to voluntarily
recognition? relinquish its recognition or
does not want to renew its
recognition?
Sec. 1.1117 How may an accreditation Sec. 1.1133 How does an
body request reinstatement of accreditation body request
recognition? reinstatement of recognition?
------------------------------------------------------------------------
Requirements for Recognized Requirements for Recognized
Accreditation Bodies Accreditation Bodies
------------------------------------------------------------------------
N/A--(contents combined with Sec. Sec. 1.1118 What are the
1.1113). general requirements for
recognized accreditation
bodies to remain recognized?
Sec. 1.1119 What are the conflict of Sec. 1.1119 What requirements
interest requirements for a recognized apply to how a recognized
accreditation body? accreditation body must
protect against conflicts of
interests?
Sec. 1.1120 How must a recognized Sec. 1.1120 How must a
accreditation body assess laboratories recognized accreditation body
seeking LAAF-accreditation and oversee evaluate laboratories seeking
LAAF-accredited laboratories? accreditation and oversee the
performance of laboratories it
accredits?
Sec. 1.1121 When must a recognized Sec. 1.1121 What appeal
accreditation body require corrective procedures must a recognized
action, suspend a LAAF-accredited accreditation body provide for
laboratory, reduce the scope of or appeals of decisions to not
withdraw the LAAF-accreditation of a grant accreditation?
laboratory? Sec. 1.1122(h) Appeals
procedures.
Sec. 1.1122 What procedures must a Sec. 1.1122 When must a
recognized accreditation body provide recognized accreditation body
for appeals of decisions to suspend, withdraw or reduce the scope
reduce the scope of, withdraw, or deny of the accreditation of a
LAAF-accreditation? laboratory, and when may a
recognized accreditation body
put an accredited laboratory
on probation?
Sec. 1.1123 What reports, Sec. 1.1123 What reports and
notifications, and documentation must notifications must a
a recognized accreditation body submit recognized accreditation body
to FDA? submit to FDA?
Sec. 1.1124 What are the records Sec. 1.1124 What records
requirements for a recognized requirements must a recognized
accreditation body? accreditation body meet?
Sec. 1.1125 What are the internal Sec. 1.1125 What internal
audit requirements for a recognized audit requirements must a
accreditation body? recognized accreditation body
meet?
------------------------------------------------------------------------
FDA Oversight of Recognized Procedures for Recognition of
Accreditation Bodies Accreditation Bodies
------------------------------------------------------------------------
Sec. 1.1130 How will FDA oversee Sec. 1.1130 How will FDA
recognized accreditation bodies?. oversee recognized
accreditation bodies?
Sec. 1.1131 When will FDA require Sec. 1.1131 When will FDA
corrective action, put a recognized revoke the recognition of an
accreditation body on probation, or accreditation body or put a
revoke the recognition of an recognized accreditation body
accreditation body? on probation?
------------------------------------------------------------------------
LAAF-Accreditation of Laboratories Accreditation of Laboratories
------------------------------------------------------------------------
Sec. 1.1138 What are the eligibility Sec. 1.1138 What requirements
requirements for a LAAF-accredited must a laboratory meet to
laboratory? become accredited by a
recognized accreditation body?
Sec. 1.1146 What are the
general requirements for
accredited laboratories to
remain accredited?
Sec. 1.1139 How does a laboratory Sec. 1.1158 How does a
apply for LAAF-accreditation or extend laboratory apply for
its scope of LAAF-accreditation? accreditation or modification
of its scope of accreditation
by a recognized accreditation
body?
Sec. 1.1140 What must a LAAF- Sec. 1.1163 What if a
accredited laboratory do to laboratory wants to
voluntarily relinquish its LAAF- voluntarily relinquish its
accreditation? accreditation?
Sec. 1.1141 What is the effect on a Sec. 1.1164 What is the
LAAF-accredited laboratory if its effect on accredited
recognized accreditation body is no laboratories if their
longer recognized by FDA? accreditation body voluntarily
or involuntarily loses its
recognition?
Sec. 1.1142 How does a laboratory Sec. 1.1165 How does a
request reinstatement of LAAF- laboratory request
accreditation? reinstatement of
accreditation?
------------------------------------------------------------------------
Requirements for LAAF-Accredited Requirements for Accredited
Laboratories Laboratories
------------------------------------------------------------------------
Content added to Sec. 1.1138......... Sec. 1.1146 What are the
general requirements for
accredited laboratories to
remain accredited?
Sec. 1.1147 What are the impartiality Sec. 1.1147 What impartiality
and conflict of interest requirements and conflict of interest
for a LAAF-accredited laboratory? requirements must accredited
laboratories meet?
[[Page 68733]]
Content moved to Sec. 1.1138......... Sec. 1.1148 What quality
assurance requirements must
accredited laboratories meet?
Sec. 1.1149 What oversight standards Sec. 1.1149 What oversight
apply to sampling?. standards apply to sampling?
Sec. 1.1150 What are the requirements Sec. 1.1150 What requirements
for analysis of samples by a LAAF- apply to analysis of samples
accredited laboratory? by an accredited laboratory?
Sec. 1.1151 What requirements apply Sec. 1.1151 What requirements
to the methods of analysis a LAAF- apply to the methods of
accredited laboratory uses to conduct analysis an accredited
food testing under this subpart? laboratory uses to conduct
food testing under this
subpart?
Sec. 1.1152 What notifications, Sec. 1.1152 What
results, reports, and studies must a notifications, results, and
LAAF-accredited laboratory submit to reports must accredited
FDA? laboratories submit to FDA?
Sec. 1.1153 What are the requirements N/A.
for submitting abridged analytical
reports?
Sec. 1.1154 What other records Sec. 1.1153 What other
requirements must a LAAF-accredited records requirements must an
laboratory meet? accredited laboratory meet?
------------------------------------------------------------------------
FDA Oversight of LAAF-Accredited Procedures for Accreditation of
Laboratories Laboratories
------------------------------------------------------------------------
Sec. 1.1159 How will FDA oversee LAAF- Sec. 1.1159 How will FDA
accredited laboratories?. oversee accredited
laboratories?
Sec. 1.1160 How will FDA review test Sec. 1.1160 How will FDA
results and analytical reports?. review submitted test results
and analytical reports?
Sec. 1.1161 When will FDA require Sec. 1.1161 When will FDA put
corrective action, put a LAAF- an accredited laboratory on
accredited laboratory on probation, or probation or revoke the
disqualify a LAAF-accredited accreditation of a laboratory?
laboratory from submitting analytical
reports?
Sec. 1.1162 What are the consequences Sec. 1.1162 What are the
if FDA puts a LAAF-accredited consequences if FDA puts an
laboratory on probation or accredited laboratory on
disqualifies a LAAF-accredited probation or revokes the
laboratory? accreditation of a laboratory?
------------------------------------------------------------------------
Requesting FDA Reconsideration or Requesting FDA Reconsideration,
Regulatory Hearings of FDA Decisions FDA Internal Review, or
Under This Subpart Regulatory Hearings of FDA
Decisions Under This Subpart
------------------------------------------------------------------------
Sec. 1.1171 How does an accreditation Sec. 1.1171 How does an
body request reconsideration by FDA of accreditation body request
a decision to deny its application for reconsideration by FDA of a
recognition, renewal, or decision to deny its
reinstatement? application for recognition,
renewal, or reinstatement?
Sec. 1.1173 How does an accreditation Sec. 1.1173 How does an
body or laboratory request a accreditation body or
regulatory hearing on FDA's decision laboratory request a
to revoke the accreditation body's regulatory hearing on FDA's
recognition or disqualify a LAAF- decision to revoke the
accredited laboratory? recognized accreditation
body's recognition or revoke
the accredited laboratory's
accreditation?
Sec. 1.1174 How does an owner or Sec. 1.1174 How does an owner
consignee request a regulatory hearing or consignee request a
on a directed food laboratory order? regulatory hearing on a food
testing order?
------------------------------------------------------------------------
Electronic Records and Public Electronic Records and Public
Disclosure Requirements Disclosure Requirements under
This Subpart
------------------------------------------------------------------------
Sec. 1.1199 Are electronic records Sec. 1.1199 Are electronic
created under this subpart subject to records created under this
the electronic records requirements of subpart subject to the
part 11 of this chapter? electronic records
requirements of part 11 of
this chapter?
Sec. 1.1200 Are the records obtained Sec. 1.1200 Are the records
by FDA under this subpart subject to obtained by FDA under this
public disclosure? subpart subject to public
disclosure?
------------------------------------------------------------------------
Also, in one location in the proposed rule we inadvertently
misstated the title of this subpart (the third codified instruction, 84
FR 59452 at 59501). Throughout the final rule we correctly state the
subpart title (``Laboratory Accreditation for Analyses of Foods'').
D. Incorporation by Reference
FDA is incorporating by reference two consensus standards, which
were approved by the Office of the Federal Register in accordance with
5 U.S.C. 552(a) and 1 CFR part 51. Both standards are widely accepted
globally. The consensus standards may be examined at FDA's Dockets
Management Staff (see ADDRESSES).
The standards listed below are available for purchase from the
International Organization for Standardization (ISO), Chemin de
Blandonnet 8, CP 401, 1214 Vernier, Geneva, Switzerland, +41 22 749 01
11, [email protected] (https://www.iso.org/store.html) or from any other
source from which the user is assured that the copy to be received is
an accurate version of the standard.
ISO/IEC 17011:2017, Conformity assessment--Requirements for
accreditation bodies accrediting conformity assessment bodies, Second
edition, November 2017 (Ref. 2). ISO/IEC 17011:2017 specifies the
general standards for accreditation bodies assessing and accrediting
conformity assessment bodies (``conformity assessment bodies'' are
organizations providing testing, inspection, management system
certification, personnel certification, or product certification). Its
incorporation by reference should allow us to use a framework that is
familiar to accreditation bodies and the laboratory industry.
ISO/IEC 17025:2017, General requirements for the competence of
testing and calibration laboratories, Third edition, November 2017
(Ref. 3). ISO/IEC 17025:2017 sets general standards for the competence
of testing laboratories, including general management requirements such
as impartiality and quality assurance. It is
[[Page 68734]]
very familiar to the testing laboratories that may be interested in
applying to conduct food testing under this subpart.
IV. Legal Authority
We are issuing this final rule under the FD&C Act and FSMA. As
noted, section 202(a) of FSMA, ``Laboratory Accreditation for Analyses
of Foods'', amends the FD&C Act to create a new provision, section 422,
under the same name. Section 422 of the FD&C Act directs us to
establish a program for the testing of food by accredited laboratories
and provides several requirements for the program.
Additionally, section 701(a) of the FD&C Act gives FDA the
authority to publish regulations for the efficient enforcement of the
FD&C Act. The requirements discussed in this final rule will allow FDA
to efficiently enforce section 422 of the FD&C Act. Thus, our legal
authority for this final rule is derived primarily from section 422 and
section 701(a) of the FD&C Act. Further, we also note that this rule is
consistent with section 404 of FSMA, which states that nothing in FSMA
should be construed in a manner that is inconsistent with the agreement
establishing the World Trade Organization (WTO) or any other treaty or
international agreement to which the United States is a party.
Section 379j-31 of the FD&C Act (21 U.S.C. 743) is one of many
statutory provisions that provide authority for FDA's regulations
contained in part 1 (21 CFR part 1). We inadvertently omitted that
citation from the authority citation in the proposed rule, but have
included it in the final rule.
V. Comments on the Proposed Rule and FDA Response
A. Introduction
We received approximately 70 comment submissions on the proposed
rule by the close of the comment period, each containing one or more
comments on one or more issues. We received comments from consumers,
food associations, accreditation bodies, laboratory associations,
laboratories, consumer groups, and other organizations.
In the remainder of this document, we describe the comments that
are within the scope of this rulemaking, respond to them, and explain
any revisions we made to the proposed rule.
We have numbered each comment to help distinguish between different
comments. We have grouped similar comments together under the same
number, and, in some cases, we have separated different issues
discussed in the same comment and designated them as distinct comments
for purposes of our responses. The number assigned to each comment or
comment topic is purely for organizational purposes and does not
signify the comment's value or importance or the order in which
comments were received.
Note that summaries of and responses to comments on the estimated
costs and benefits of the proposed rule and other topics covered by the
Preliminary Regulatory Impact Analysis (PRIA) may be found in the Final
Regulatory Impact Analysis (FRIA) (Ref. 4).
B. General Comments
Many comments made general remarks supporting or opposing the
proposed rule without focusing on a particular proposed provision.
Further, several comments made overarching comments that pertain to the
rule more generally, focusing on issues throughout the rule such as
program structure, FDA's role, terminology, and implementation. In the
following paragraphs, we discuss and respond to such general comments.
(Comment 1) We received many comments expressing general support
for the proposed rule, most expressing the view that the LAAF program
would help to ensure the safety of food. Some of these comments stress
the importance of accurate and reliable food testing results, and the
role of valid results in enhancing food safety. Some comments focus on
the advantages of setting quality standards and establishing
accountability for food testing laboratories. Some comments opine that
the laboratory accreditation program will increase U.S. consumer
confidence in the safety of the food supply. Other comments maintain
that the program will result in fewer illnesses, thus reducing
healthcare costs. Other comments express support for implementation of
FSMA section 202 and the underlying goals of the laboratory
accreditation program, e.g., improved safety of imported food,
trustworthy testing results. A few comments opine that the rule would
lead to more efficient food imports by clarifying what information
needs to be in a laboratory analytical report, which should in turn
expedite FDA review of those reports. These comments assert that such
efficiencies are particularly valuable when the imported food is
perishable, such as produce. Some of these comments further suggest
that a more efficient review process for FDA could allow FDA to focus
its limited resources on imports that generally are not subject to
testing under this subpart.
(Response 1) We appreciate the comments in support of the proposed
rulemaking and moving forward to implement the LAAF program. We agree
that the program established by the final rule will help ensure the
safety of food and should increase U.S. consumer confidence in the food
supply. We also agree that requiring analyses to be performed by LAAF-
accredited laboratories that meet the standards set forth in the final
rule will make tests consistently more accurate and prevent illnesses.
Further, setting model standards for LAAF-accredited laboratories will
improve the reliability and accountability of test results on which we
rely to make regulatory decisions regarding certain foods.
We agree with comments predicting fewer illnesses as a result of
this final rule. For additional discussion of the cost benefit analysis
associated with this final rule, see section VII. We also agree there
will be efficiencies gained for industry and FDA from clarifying the
requirements in an analytical report and from the process that allows
submission of abridged analytical reports.
(Comment 2) Some comments question whether the LAAF program
established by this final rule would make a food safety impact because
only a small fraction of food testing laboratories are likely to
participate.
(Response 2) Although the laboratory accreditation rule does not
set mandatory standards for all food testing laboratories, the program
will make an important difference for the food testing subject to the
rule, as the testing situations covered by the rule all involve
heightened food safety concerns. Therefore, the food testing covered by
the rule addresses the specific circumstances in which accurate and
reliable test results are especially important to protect public
health. We also anticipate that some owners or consignees who are not
covered by the rule may choose to use a LAAF-accredited laboratory
because these laboratories will have met the program standards; this
would create a benefit incidental to the program. Finally, we expect
that creating model laboratory standards based on ISO/IEC 17025:2017
accreditation may encourage other laboratories to work toward these
standards, including accreditation.
(Comment 3) Some comments are generally supportive of the proposed
rule but state that FDA already regulates food safety, and because it
is unclear how much safer food would be as a result of the proposed
rule, the resources necessary for this program may be better spent
elsewhere. A subset
[[Page 68735]]
of these comments states that the proposed rule would make food safety
regulations more complicated for small food businesses and would also
burden small food businesses with additional costs.
(Response 3) As described in section 422 of the FD&C Act, this
final rule will establish a program for the accreditation of
laboratories the use of which will be required in certain circumstances
where heightened food safety concerns exist. We estimate the benefits
outweigh the costs of the rule. For additional information on the
estimated costs and benefits of this final rule, see section VII and
the FRIA (Ref. 4). As mentioned in the preceding response, there may be
other benefits incidental to the LAAF program.
Some comments express concern that this rule may complicate the
regulatory landscape for small business owners and consignees that are
also subject to other food safety regulations. It is true that some
small owners and consignees will be required to use a LAAF-accredited
laboratory for the testing described in Sec. 1.1107. However, this
rule does not create new testing requirements; it merely requires
certain tests that are already occurring to be conducted by a LAAF-
accredited laboratory. Further, in some cases the regulation creating
the underlying testing requirement addresses this issue in its
application to small businesses. For example, Sec. 1.1107(a)(1)(ii)
provides that certain shell egg tests required by the egg safety rule
(see part 118 (21 CFR part 118)) are covered by this final rule.
However, the egg safety rule does not apply to producers with less than
3,000 laying hens at a particular farm (see Sec. 118.1(a)).
Accordingly, those small egg producers are unaffected by this provision
of the final rule. We also expect that the online registry of LAAF-
accredited laboratories, described in Sec. 1.1109, will make it easy
for all owners and consignees to locate laboratories LAAF-accredited to
conduct the tests covered by this subpart.
Regarding the concern that this final rule will burden small owners
and consignees with additional costs, see the discussion below in
section VII and the FRIA (Ref. 4).
(Comment 4) Some comments express support for specific aspects of
the proposed rule, including the provisions protecting against
conflicts of interest, and state that the program would improve
transparency and consistency in the food testing that falls within its
scope. Some comments contend that there have been situations in which a
food is described in terms such as ``safe'' based on biased testing
conducted by the food's producer.
(Response 4) We appreciate the supportive comments regarding the
conflict of interest provisions. FDA anticipates that the model
laboratory standards being established in this final rule, as well as
the program requirements for LAAF-accreditation of laboratories by
recognized accreditation bodies, will increase the reliability of tests
conducted under this subpart. Ensuring that both accreditation bodies
and laboratories are free from conflicts of interest is critical to the
integrity of food testing conducted under this subpart. For more
information on the conflict of interest requirements applicable to
recognized accreditation bodies, see the discussion of Sec. 1.1119
below; for more information on the conflict of interest requirements
applicable to LAAF-accredited laboratories, see the discussion of Sec.
1.1147 below.
(Comment 5) Some comments support the establishment of laboratory
standards and appreciate the transparency of the public registry that
will list recognized accreditation bodies and LAAF-accredited
laboratories but express concern that laboratories would conform to the
standards only while being actively monitored by the Agency. These
comments encourage the Agency to address this risk.
(Response 5) We acknowledge a hypothetical risk that LAAF-
accredited laboratories might conform to standards only while being
actively monitored by FDA; however, we believe that the model
laboratory standards and reporting requirements we are establishing in
this final rule, as well as oversight of LAAF-accredited laboratories
by both recognized accreditation bodies and FDA, will adequately
address this risk. For example, under this subpart, FDA will recognize
accreditation bodies that will LAAF-accredit laboratories to conduct
certain testing of food under this subpart. Recognized accreditation
bodies' assessment of LAAF-accredited laboratories involves onsite and
remote assessments as described in Sec. 1.1120 of the rule. FDA may
conduct an onsite or remote review of a LAAF-accredited laboratory at
any reasonable time to review performance (see Sec. 1.1159(c)). LAAF-
accredited laboratories must submit quality control results with each
analytical report (see Sec. Sec. 1.1152(d)(8), 1.1153(c)(2)), so FDA
will be able to review the quality control results to ensure that
methods are performed correctly. Further, for LAAF-accredited
laboratories that submit abridged analytical reports, FDA may audit
these reports by requesting that additional documentation or a full
analytical report be submitted within 72 hours of the request (see
Sec. 1.1153(d)(2)).
In sum, in this final rule, FDA is establishing requirements for
accreditation bodies and laboratories that will provide sufficient
oversight of LAAF-accredited laboratories such that we expect
consistent quality test results to be the norm.
(Comment 6) A few comments philosophically disagree with defining
and regulating food at all, and thus oppose the establishment of a
program to require any laboratory testing of food.
(Response 6) Congress defined ``food'' in section 201(f) of the
FD&C Act (21 U.S.C. 321(f)) and by statute has authorized FDA to
regulate food, including in section 422 of the FD&C Act, which directs
FDA to establish this program.
(Comment 7) Some comments ask what effect the final rule will have
on existing food testing laboratories. Other comments express a concern
that some individuals may perceive that test results from laboratories
not participating in the LAAF program are suspect or less valuable.
(Response 7) Food testing laboratories are not required to
participate in this program; however, owners and consignees will be
required to use a LAAF-accredited laboratory for the food testing
covered by this rule, such as testing to support removal from import
alert and the shell egg testing required by part 118 (see Sec.
1.1107). Laboratories that wish to conduct the food testing covered by
this rule will need to apply to a recognized accreditation body and
must satisfy the standards established in this final rule in order to
voluntarily participate in the program. A LAAF-accredited laboratory
engaged by an owner or consignee to conduct the food testing covered by
this final rule will conduct the test and send the results directly to
FDA, in accordance with the requirements of this subpart.
Food testing laboratories that do not wish to conduct the testing
described in Sec. 1.1107 are not required to participate in the
program.
We do not expect this program to decrease confidence in food
laboratories that choose not to become LAAF-accredited, in part due to
the very large number of food testing laboratories that exist and
conduct all sorts of food testing for myriad customers and purposes. We
view the program as beneficial to the food testing industry, as an
explicit goal of the statute is to increase the number of qualified
food testing laboratories. See section 422(a)(3) of the FD&C Act.
[[Page 68736]]
(Comment 8) Some comments advocate for expanded roles for the
laboratories that participate in this program. Some of these comments
suggest that LAAF-accredited laboratories could conduct tests for FDA's
surveillance sampling program and argue that sufficient capacity exists
in the United States for ISO/IEC 17025:2017-accredited laboratories to
conduct all DWPE and FDA surveillance sampling and testing. Under the
surveillance sampling program, FDA focuses its sampling and testing
efforts on a few commodities at a time with the goals of keeping
contaminated products from reaching consumers and facilitating a
greater understanding of hazards. For more information on FDA's
surveillance sampling, see https://www.fda.gov/food/sampling-protect-food-supply/microbiological-surveillance-sampling. These comments also
suggest that FDA should create a program whereby private laboratories
meet the standards of FDA laboratories, such that FDA could rely on
those private laboratories for its testing needs and therefore focus
its resources elsewhere. Finally, these comments suggest that
independent accredited laboratories could also conduct sampling and
testing on imported food, most of which is not sampled and tested by
FDA prior to entry.
(Response 8) This final rule establishes the LAAF program, the
scope of which is specified in FD&C Act section 422(b)(1) and described
in Sec. 1.1107. All the tests that will be conducted by LAAF-
accredited laboratories are currently being conducted by non-FDA
laboratories (e.g., private laboratories). Expanding the scope of this
program to include testing currently conducted by FDA laboratories,
such as surveillance sampling, was not proposed because it is not
contemplated by the statute. Any future expansion of this program will
be accomplished via rulemaking and will include an opportunity for
public comment.
(Comment 9) Some comments offer general support for this subpart,
stating that it will improve the defensibility of the resulting test
data by ensuring that all participating laboratories operate in
accordance with a robust quality management system. These comments
suggest that as we continue to develop the LAAF program, we consider
two documents that were developed to improve the defensibility of human
and animal food laboratory data: The Partnership for Food Protection
document, ``Human and Animal Food Testing Laboratories Best Practices
Manual,'' (Ref. 5) and the Association for Public Health Laboratories
document, ``Best Practices for Submission of Actionable Human and
Animal Food Testing Data Generated in State and Local Laboratories''
(Ref. 6). The former document is based on ISO/IEC 17025:2017 and its
purpose is to ``promote mutual acceptance and assurance of quality
laboratory data shared among Federal, State, local, territorial, and
tribal human and animal food regulatory agencies.'' (Ref. 5). The
latter document, focused on unaccredited laboratories, provides
information on the minimum elements of a quality management system.
(Response 9) FDA appreciates this support and information. As an
active member of the Partnership for Food Protection initiative, FDA is
particularly familiar with the former document. We consider both
documents to be helpful resources for the intended audiences.
1. FDA's Role and Related Terminology
In the proposed rule, FDA sought to define ``accreditation'' to
mean, ``a determination by a recognized accreditation body that a
laboratory meets the applicable requirements of this subpart to conduct
food testing under this subpart using one or more methods of analysis''
(emphasis added). We then proceeded to use the word ``accreditation''
to mean that a laboratory had been approved to conduct testing under
this subpart. For example, we wrote that the proposed rule ``would
establish certain model laboratory standards that accredited
laboratories must meet to remain accredited'' (84 FR 59452 at 59478).
By way of another example, we wrote that the proposed provision on
duration of accreditation under this subpart, ``clarifies that an
accredited laboratory's accreditation continues'' until there is a
voluntary or involuntary separation from the program (id. at 59489).
Consequently, when we used phrases such as, ``FDA may revoke
accreditation,'' we intended to communicate that FDA could cause the
involuntary separation of a laboratory from this program. For example,
we wrote that ``if we revoke the accreditation in whole of a
laboratory, the laboratory would be immediately ineligible to conduct
food testing under this rule'' (id. at 59491).
We did not propose to define the term ``assess.'' However, we
generally used it interchangeably with ``evaluate.'' For example, we
entitled one section, ``[h]ow must a recognized accreditation body
evaluate laboratories seeking accreditation and oversee the performance
of laboratories it accredits?'' (Proposed Sec. 1.1120, 84 FR 59452 at
59469). By way of additional examples, we also wrote, ``[a]s the ISO/
IEC 17025 revision is still relatively new, FDA is not able to
adequately assess the accreditation of entities that only conduct
sampling at this time'' (id. at 59476); we said it was critical that we
receive sufficient supporting information ``for us to understand the
test results and to assess the validity of the underlying testing''
(id. at 59482) and we asserted authority to ``exercise some ability to
oversee accredited laboratories, via requesting records and, if
appropriate, conducting onsite assessments'' (id. at 59490).
(Comment 10) Numerous comments request that FDA address and clarify
the roles and relationships among the Agency, recognized accreditation
bodies, and LAAF-accredited laboratories under this subpart.
Several comments contend that the Agency should not use the words
``assess'' or ``accredit'' to describe Agency actions toward
laboratories. Similarly, comments argued that FDA could not revoke a
laboratory's ``accreditation.'' We understand several comments to be
suggesting that the words ``accredit'' and ``assess'' have particular
meaning in the accreditation body and laboratory community, and in the
context of food testing, that meaning is always and necessarily related
to the voluntary consensus standard ISO/IEC 17025:2017. For example,
some comments state that FDA should limit its onsite ``assessments'' of
laboratories to matters pertaining to this subpart. Comments explain
that failure by FDA to use key terms as they are understood in the
industry will lead to market confusion, e.g., regarding the ISO/IEC
17025:2017 accreditation status of laboratories.
Some comments express concern that FDA may be under the impression
that it can affect the ISO/IEC 17025:2017 accreditation of
laboratories, either by ``assessing'' against the ISO/IEC 17025:2017
standard or by withdrawing a laboratory's ISO/IEC 17025:2017
accreditation. Comments argue that such a role is contrary to the
Congressional intent underlying section 422 of the FD&C Act. Comments
state that Congress did not intend for FDA to be an accreditation body.
Some comments contend that FDA's role in the rule as proposed would be
redundant of or ``above'' the role of the recognized accreditation
bodies. Some comments express concern that FDA would be able to coerce
a recognized accreditation body into withdrawing a laboratory's ISO/IEC
17025:2017 accreditation.
[[Page 68737]]
Some comments suggest that FDA's role should be administering a
program that evaluates data or program integrity. Some comments suggest
that FDA reframe its relationship with the laboratories in terms of an
agreement to list and de-list the laboratories on our online registry.
Some comments recommend that FDA grant each laboratory a license to
conduct testing under this subpart. In this framework, comments state
that FDA's role with regard to the laboratories would be limited to the
review of test results and analytical reports submitted to FDA by the
laboratories. Some comments suggest that FDA should perform some level
of review, even if brief, of laboratory applications approved by
recognized accreditation bodies. Finally, some comments offer to work
with FDA to more clearly define roles and responsibilities under this
program.
(Response 10) We agree that substantial revisions and considerable
clarification are in order.
In proposing to define ``accreditation,'' to reflect a positive
assessment by a recognized accreditation body under this subpart, we
failed to sufficiently appreciate that in the context of food testing,
many parties may perceive ``accreditation,'' to mean accreditation to
ISO/IEC 17025:2017. Similarly, when we used the word, ``assess,'' we
did not intend to communicate, ``assess against ISO/IEC 17025:2017.''
Instead, we used the word as consistent with its more general use: The
Cambridge Dictionary defines ``assess'' as, ``to judge or decide the
amount, value, quality, or importance of something.'' (Ref. 7).
Accordingly, it was not our intent to communicate that FDA had the
authority to assess laboratories against the ISO/IEC 17025:2017
standard. For example, when we said in the proposed rule that we had
the authority to conduct an ``onsite assessment'' of a laboratory
participating in this program, we did not mean that our visit would be
for the purpose of assessing against ISO/IEC 17025:2017. Nor did we
intend to communicate that we had the authority to withdraw ISO/IEC
17025:2017 accreditation, or to pressure or demand an accreditation
body to take such an action. We agree such a role would not be
appropriate or consistent with section 422 of the FD&C Act.
To communicate our intent more effectively, we have taken several
steps. First, we removed the definition of ``accreditation'' and no
longer refer to laboratories that have been approved by a recognized
accreditation body to conduct testing under this subpart as merely
``accredited.'' Instead, we use the more precise term ``LAAF-
accredited,'' where ``LAAF'' is an acronym for the title of this
subpart, ``Laboratory Accreditation for Analyses of Foods.'' We added a
definition for ``LAAF-accreditation'' to Sec. 1.1102. Where we do use
the word, ``accredited'' in this final rule without further
qualification, we generally mean accredited to ISO/IEC 17025:2017.
Second, we no longer use the verb ``assess'' to refer to an action
that FDA takes regarding laboratories. We reserve the word ``assess''
to refer to the action a recognized accreditation body takes toward a
laboratory. We employ the word ``evaluate'' to mean an activity FDA
takes with regard to an accreditation body seeking to become recognized
or already recognized under this subpart. Largely accepting the
suggestion of some comments, we describe our relationship with regard
to the laboratories under this subpart as ``reviewing'' the performance
of LAAF-accredited laboratories.
Third, we do not use the word ``revoke'' in the final rule to mean
an action FDA may take to remove a LAAF-accredited laboratory from this
program. Instead, although an accreditation body may withdraw or reduce
the scope of LAAF-accreditation, we say that FDA may ``disqualify'' a
laboratory from conducting testing under this subpart. We note that
although ``disqualify'' was used in the proposed rule in connection
with permission to submit abridged analytical reports, we have revamped
that process such that there is no longer a disqualification period. In
the final rule, ``disqualify'' is used to describe the action FDA may
take to remove a laboratory from the program; we say that FDA may
``disqualify a LAAF-accredited laboratory from submitting analytical
reports under this subpart'' (see Sec. 1.1161). For further
information on the process related to submitting abridged analytical
reports, see the discussion of Sec. 1.1153 below at Response 124.
We agree in part with the comments suggesting that FDA perform some
level of review of laboratory applications approved by recognized
accreditation bodies. Although we have just explained that it is not
appropriate for FDA to assess or accredit laboratories ourselves, we
nevertheless have a responsibility to ensure that the laboratories we
list on our website have been properly assessed by a recognized
accreditation body. To that end, we will require the accreditation
bodies to submit certain information to us concerning their assessment
of a laboratory, including the resulting certificate listing the scope
of LAAF-accreditation (see Sec. 1.1123(d)). We decline the suggestion
to reframe FDA's relationship with LAAF-accredited laboratories in
terms of FDA granting a license to such laboratories, or in terms of
entering into a listing agreement with the laboratories. We note that
some comments suggest that such a construct could prove helpful in
relation to FDA granting permission for certain laboratories to submit
abridged analytical reports. Nevertheless, we have determined that such
a construct would present complications (e.g., could be legally
cumbersome for the FDA to ``license'' laboratories) and is unnecessary
to achieve the goals of this program.
We have implemented the revised terminology described here
throughout the final rule. We also have tried to avoid describing the
proposed rule using the now-discarded terminology (e.g., FDA
``assessing'' a laboratory), even if that is the language we originally
used in the proposed rule, because we wish to reduce confusion and
communicate more clearly. We thank the commenters for their feedback on
this important topic and we look forward to contributions of all
interested shareholders as we implement the LAAF program.
2. Program Structure
(Comment 11) In the proposed rule, FDA proposed evaluating and
recognizing accreditation bodies, and then those accreditation bodies
would assess and LAAF-accredit laboratories. We received several
comments on this proposed structure. Some comments express support
because the rule relies on the current accreditation body-laboratory
conformity assessment structure and leverages existing public-private
partnerships in the United States.
Alternatively, some comments contend that the structure was
unnecessary or ineffective. Some of these comments advocate that
laboratories should simply send their analytical reports to FDA and the
Agency would ensure the testing of food was properly conducted. Some
comments contend that the only requirement should be that accreditation
bodies are signatories to the International Laboratory Accreditation
Cooperation (ILAC), and then let the accreditation bodies assess the
laboratories for LAAF-accreditation, applying the accreditation bodies'
usual standards. Some comments argue that FDA should not have any
authority over accreditation bodies, because such authority would
result in two entities overseeing the laboratories, which these
[[Page 68738]]
comments view as both confusing and intrusive.
(Response 11) The structure of the LAAF program is specified by the
statute, per section 422(a)(1)(B) and (a)(2) of the FD&C Act. FDA will
recognize accreditation bodies, which in turn will accredit
laboratories. Further, there are advantages and efficiencies to relying
on the structure of the existing conformity assessment industry (i.e.,
accreditation bodies assess laboratories) for the structure of this
program. For example, this familiarity may make it easier for these
stakeholders to participate in the program. At the same time that we
are glad to leverage widely accepted international voluntary consensus
standards as foundational requirements, we are supplementing those
standards with certain requirements that we have determined will help
ensure the integrity of the testing under this program. As a reminder,
all the testing that we are requiring be conducted by a LAAF-accredited
laboratory is occurring in the context of increased food safety concern
(see Sec. 1.1107(a). For example, under Sec. 1.1107(a)(4), testing to
support the release of food detained at the border because it is or
appears to be adulterated or misbranded, is covered by this rule.
Accordingly, we have determined that it is appropriate to impose some
requirements in addition to those of the international voluntary
consensus standards.
Regarding the concern that FDA's exercise of authority over
recognized accreditation bodies for purposes of this program will be
confusing and intrusive, we have structured the program such that FDA
evaluates the recognized accreditation bodies, and the accreditation
bodies assess the laboratories against the model standards established
in this rule, including conformity to ISO/IEC 17025:2017. FDA will not
be assessing laboratory applicants.
As shown in section I.A. above, we have revised the program
structure diagram from the proposed rule (see 84 FR 59452 at 59453) to
reflect changes made in the final rule. The program structure diagram
incorporates revised program terminology throughout (i.e., ``LAAF-
accredited''; see discussion at Response 10). We also include a second
box representing FDA to better illustrate our roles of recognizing
accreditation bodies and reviewing results and supporting information
submitted by LAAF-accredited laboratories.
(Comment 12) Some comments opine that the framework of the proposed
rule is inappropriate. These comments contend that it is not
appropriate for FDA to oversee accreditation bodies because FDA is not
an ILAC signatory. These comments further state that only accreditation
bodies should oversee the laboratories they accredit and that therefore
FDA's involvement would be both unnecessary and confusing. These
comments recommend that FDA simply maintain a list of ILAC-signatory
accreditation bodies, and have laboratories accredited by those listed
accreditation bodies submit test results to us.
(Response 12) We disagree that the framework of the rule, and FDA's
oversight of both recognized accreditation bodies and LAAF-accredited
laboratories, is inappropriate. Section 422 of the FD&C Act directs FDA
to establish this program and, in relevant part, provide for the
recognition of laboratory accreditation bodies that meet criteria
established by the Secretary (see section 422(a)(2) of the FD&C Act).
The Agency has established that being an ILAC signatory is a necessary,
but not sufficient, condition to being recognized by FDA to LAAF-
accredit laboratories. We have determined it necessary and appropriate
to set additional standards for accreditation bodies, such as the
conflict of interest requirements in Sec. 1.1119. FDA must also
evaluate the work of the accreditation bodies to ensure the integrity
of the program. Further, the statute directs the Agency to periodically
review a recognized accreditation body's compliance with the
requirements of the program.
Similarly, section 422(a)(6) of the FD&C Act directs the Agency to
develop model standards that a laboratory must meet to be LAAF-
accredited to conduct testing under this subpart. We have adopted ISO/
IEC 17025:2017 accreditation as a baseline requirement, but given the
specific circumstances in which food testing is required to be
conducted by a LAAF-accredited laboratory and since we use the results
of such tests to inform regulatory decisions and protect public health,
we have included FDA oversight of LAAF-accredited laboratories among
the components of the program (see section 422(a)(6)(B) of the FD&C
Act).
Therefore, FDA oversight of recognized accreditation bodies is not
only appropriate, but it is also required by statute. Further, FDA has
determined that oversight of LAAF-accredited laboratories submitting
test results to FDA is appropriate given the Agency's use of the test
results. The alternative framework proposed by the comment is not a
viable option for a comprehensive and effective program that is
sufficiently protective of public health.
(Comment 13) A few comments encourage FDA to reassess our proposal
to place laboratories or accreditation bodies in probationary status,
which is noted on the public registry, after finding one or more
nonconformances. These comments suggest that we consider the variety of
circumstances that may surround nonconformance, including that the
entity may be in the process of actively addressing the nonconformance.
The comments express a concern that publication of probationary status
on the online registry may negatively and unfairly impact the entity,
as the entity may be in the process of addressing the issue that
resulted in a non-conformance.
(Response 13) We agree that entities should have an opportunity to
address concerns before those concerns cause the entity to be placed on
probation, particularly as probation will be noted on the online
registry. Accordingly, we have revised the final rule such that
generally an entity will be notified of deficiencies and provided an
opportunity to take corrective action prior to being placed on
suspension or probation. Consistent with our decision to incorporate by
reference ISO/IEC 17011:2017 and ISO/IEC 17025:2017, we have decided to
leverage the corrective action processes described in those standards
to provide such an opportunity.
Under these ISO/IEC standards, the corrective action process
requires the entity to do more than simply correct a non-conformity.
Instead, the entity is required to consider the non-conformity from a
process perspective, including identifying the cause of the non-
conformity and considering whether internal process changes are needed
to prevent its recurrence. FDA's view is that that this focus on
looking for and addressing any systemic weaknesses in the entity's
procedures, rather than simply remedying a single error or lapse, will
serve to strengthen both the accreditation bodies and the laboratories
that participate in this program, and therefore the LAAF program
itself.
Section 1.1121(a) of the final rule states that if a recognized
accreditation body observes a deficiency in a LAAF-accredited
laboratory, the recognized accreditation body may require corrective
action using the procedures described by ISO/IEC 17025:2017 section 8.7
(Ref. 3). Similarly, we have revised Sec. Sec. 1.1131 and 1.1161
regarding FDA oversight actions regarding recognized accreditation
bodies and LAAF-accredited laboratories, respectively, such that
generally entities will be provided an opportunity to take
[[Page 68739]]
corrective action prior to being placed on probation.
Some problems may warrant immediate action by a recognized
accreditation body to suspend, reduce the scope of, or withdraw the
LAAF-accreditation of a laboratory or by FDA to immediately disqualify
a LAAF-accredited laboratory. For additional information, see Sec.
1.1121 (``When must a recognized accreditation body require corrective
action, suspend a LAAF-accredited laboratory, reduce the scope of, or
withdraw the LAAF-accreditation of a laboratory?''); Sec. 1.1131
(``When will FDA require corrective action, put a recognized
accreditation body on probation, or revoke the recognition of an
accreditation body?''); and Sec. 1.1161 (``When will FDA require
corrective action, put a LAAF-accredited laboratory on probation, or
disqualify a LAAF-accredited laboratory from submitting analytical
reports?'').
Finally, note that we have revised the final rule to refer to
``suspension'' of LAAF-accredited laboratories by recognized
accreditation bodies instead of ``probation'' as proposed. The final
rule retains and limits the term ``probation'' to refer to an action
that FDA may take with respect to a recognized accreditation body or a
LAAF-accredited laboratory in certain circumstances (see Sec. Sec.
1.1131 and 1.1161). For more information on this terminology change,
see Comments 58, 71, and 82 and Responses.
3. Implementation
(Comment 14) Several comments address implementation. In section
VII of the proposed rule, we proposed that implementation would occur
in a stepwise fashion; we would focus first on accreditation bodies and
subsequently, laboratories. See 84 FR 59452 at 59495. We proposed that
after the program attains sufficient laboratory capacity, we would
publish a notice in the Federal Register giving 6 months' notice that
owners and consignees would be required to use laboratories approved
for participation in this program. All comments on this aspect of our
proposal endorse a stepwise approach to implementation. These comments
also agree with providing notice to affected entities via a Federal
Register document. Some comments encourage the Agency to also issue
Federal Register notices to announce when we will commence accepting
applications from accreditation bodies, and when recognized
accreditation bodies are able to start accepting applications from
laboratories.
(Response 14) We appreciate comments supporting our proposed
implementation steps. As we stated in the preamble to the proposed
rule, implementation of the LAAF program will necessarily occur in a
stepwise fashion. We will announce when accreditation bodies may apply
for recognition. When we have recognized a sufficient number of
accreditation bodies, we will announce that laboratories may apply to
the recognized accreditation bodies for LAAF-accreditation. When we
have sufficient LAAF-accredited laboratory capacity for the testing
covered by Sec. 1.1107, we will publish a document in the Federal
Register giving owners and consignees 6 months' notice that they will
be required to use a LAAF-accredited laboratory for such testing.
We decline to commit to publishing notices in the Federal Register
to announce that we are ready to accept applications from accreditation
bodies and that laboratories may apply to recognized accreditation
bodies. There are a variety of methods to communicate effectively with
stakeholders and the interested public; at the appropriate time we will
determine which methods best advance the Agency's interest in
transparency and the needs of the LAAF program.
(Comment 15) Some comments recommend that in addition to the
stepwise approach discussed in the previous comment and response, we
also take a phased-in approach to implementation. That means that FDA
would only require testing under the rule for the various categories of
tests described in Sec. 1.1107 as sufficient laboratory capacity is
attained for each. Some comments suggest that we refrain from requiring
testing under the rule until we have achieved sufficient laboratory
capacity for a majority of the tests covered by the rule.
Some comments maintain that there will be sufficient laboratory
capacity for the DWPE-related testing covered by the final rule,
because as we noted in the proposed rule, 10 laboratories that conduct
the majority of such testing already are ISO/IEC17025-accredited (see
84 FR 59452 at 59457). These comments state that there are ``hundreds''
of ISO/IEC 17025-accredited independent food laboratories in the United
States that potentially could participate in the program, which would
expand capacity. These comments expect that the program we are
establishing in this final rule would also increase incentives for ISO/
IEC17025 accreditation and therefore expand capacity even further.
Some comments question whether, and some comments ask when,
sufficient laboratory capacity will be reached for all the tests
covered by this final rule. Other comments inquire how FDA will
determine when sufficient laboratory capacity has been reached. Some
comments urge that when FDA considers whether there is sufficient
laboratory capacity, we take into account whether laboratories can
perform the testing in a timely manner. Other comments suggest that
when we consider capacity, we take into account laboratory location
relative to owners and consignees. Some comments predict that it will
take a long time to achieve sufficient laboratory capacity, and some
comments request that we explain what will happen if sufficient
laboratory capacity is not attained for a particular category of
testing. Some comments encourage FDA to identify the LAAF-accredited
laboratories publicly once sufficient capacity is reached.
Further, some comments express skepticism that the program would
ever be able to attain sufficient capacity to implement the bottled
drinking water followup testing covered by the rule (see Sec.
1.1107(a)(1)(iii)). These comments state that such followup tests occur
rarely and suggest that no water testing laboratory will find it
worthwhile to participate in this program for the relatively little
bottled drinking water followup testing business it might gain by doing
so.
Other comments focus on laboratories that currently test shell eggs
and maintain that many such laboratories are not currently ISO/IEC
17025-accredited. These comments question whether those laboratories
would choose to become ISO/IEC 17025-accredited in order to participate
in this program, as, according to these comments, such laboratories
would be unlikely to test any commodities covered by this final rule
other than shell eggs. These comments state it is unclear how quickly
additional laboratories would be able to get approved for participation
in the program and predict there could be a logistical problem of
bottlenecking if sufficient laboratory capacity for a particular test
is not attained. These comments encourage FDA to consult with the
National Poultry Improvement Plan at the U.S. Department of Agriculture
and other Agencies that have experience testing agricultural products.
Finally, these comments ask that FDA allow adequate time for a
sufficient number of laboratories to become LAAF-accredited to conduct
the shell egg testing described in Sec. 1.1107(a)(1)(ii) before we
require owners and consignees to have those tests conducted under this
program.
[[Page 68740]]
(Response 15) We agree that given the breadth of matrices and
methods covered by the rule it may be necessary to separately consider
whether sufficient laboratory capacity has been attained for the
variety of tests described in Sec. 1.1107. As discussed in the
preceding comment and response, the first implementation step is for
FDA to receive, review, and evaluate applications from accreditation
bodies. Once we have recognized a sufficient number of accreditation
bodies, we anticipate that many laboratories will be interested in
becoming LAAF-accredited, but it is impossible for us to predict
various relevant factors including how many laboratories will apply,
the methods for which they will be successful, and the associated
timeframes. Perhaps sufficient laboratory capacity will be promptly
attained for all tests covered by the rule; that would allow us to
issue a single Federal Register document notifying owners and
consignees that in 6 months they must use a LAAF-accredited laboratory
for all tests described in Sec. 1.1107. That outcome is not assured,
however, and therefore we may phase in implementation as suggested by
some comments. To the extent that some comments suggest we wait to
implement any of the rule until we have attained sufficient capacity
for a majority of all the tests covered by the rule, we decline the
suggestion due to the many variables that are not entirely within our
control (the number of laboratories that apply as soon as they are
able, the number and capacity of recognized accreditation bodies that
will be assessing the initial laboratory applications, etc.).
We appreciate the comments contending that there will be more than
sufficient laboratory capacity for all the testing under this rule.
This program represents the least amount of change for those private
laboratories that are already ISO/IEC 17025-accredited and have been
conducting the tests that support admission of a food under section
801(a) of the FD&C Act and removal from DWPE under an import alert and
sending their test results and associated analyses to FDA, some for
many years. Further, as indicated by some comments, the data we
analyzed for the proposed rule indicated that many of the laboratories
that have been conducting tests to support admission of a food and
removal from DWPE under import alerts are already ISO/IEC 17025-
accredited; the cost for such laboratories to become LAAF-accredited is
relatively low. We agree with comments maintaining that our reliance on
ISO/IEC 17025 as a foundational requirement for LAAF-accreditation
provides an incentive for laboratories to become ISO/IEC 17025-
accredited and we note that an explicit goal of section 422 is to
increase the number of laboratories qualified to conduct testing under
this subpart (see section 422(a)(3) of the FD&C Act).
Determining whether the program has attained sufficient laboratory
capacity may appear to be a simple comparison of the number of a
particular type of test that is needed, to the number of laboratories
LAAF-accredited for that method. The reality is far different. Test
demand cannot be predicted with certainty; in part it is a result of
the prevalence of circumstances presenting heightened food safety
concerns (e.g., the number and breadth of import alerts; how much food
product is or appears to be violative when offered for import) and in
part it is a result of business choices outside of our control or
knowledge (e.g., how much food subject to DWPE is offered for import;
whether a shell egg producer's environment tests positive for
Salmonella Enteritidis and whether the producer then chooses to test
its shell eggs or divert them to treatment (see Sec. Sec.
118.5(a)(2)(ii) and (b)(2)(ii); 118.6(a)(2)). Some laboratories are
much bigger than others, and bigger laboratories presumably can conduct
more tests than smaller laboratories, so simply knowing how many
laboratories are LAAF-accredited for a given method does not present a
complete picture of capacity. We acknowledge that location is a
relevant factor in choosing a laboratory, in large part due to the time
and cost implications of shipping samples to a laboratory that is
relatively far away, but the degree to which this factor is relevant to
laboratory capacity may vary depending on the test at issue (e.g., size
of sample, whether there are time and temperature requirements, the
degree to which a product is perishable). Similarly, although
timeliness may be an important factor for one sort of food test, it may
be less critical in other food testing contexts. Other factors may also
be relevant, and as noted above, it is infeasible for us to predict
them all.
FDA is committed to implementing this program promptly and, as in
other FSMA contexts, in a practical manner. In determining laboratory
capacity we will take all relevant information and factors into
account. We remain committed to providing owners and consignees 6
months' notice via a document in the Federal Register before requiring
them to use a LAAF-accredited laboratory for the testing covered by
this rule. We will not preclude the possibility that we may issue more
than one Federal Register document as laboratory capacity is attained
for various tests described in Sec. 1.1107.
The publication of this final rule in the Federal Register arguably
marks the beginning of the implementation of this program. Although we
expect to reach sufficient laboratory capacity for all the tests
covered by this rule, we decline the invitation of some comments to
predict how long it will take to achieve that milestone. If sufficient
laboratory capacity is not reached for a particular category or
subcategory of the tests described in Sec. 1.1107, then the immediate
result would be that we not require owners and consignees to use a
LAAF-accredited laboratory to conduct those particular tests.
We anticipate a sufficient number of LAAF-accredited laboratories
for the bottled drinking water tests covered by this final rule (see
Sec. 1.1107(a)(1)(iii)). For a related discussion, please see Comment
and (Response 87.
Some comments claim that the laboratories that currently conduct
shell egg testing tend not to be accredited to ISO/IEC 17025. These
comments express concern that such laboratories may not become LAAF-
accredited, which may result in a bottleneck effect (due to
insufficient laboratory capacity). First, as discussed earlier in this
response, FDA does not intend to require owners and consignees to use a
LAAF-accredited laboratory for the testing described in Sec. 1.1107
until the program has attained sufficient laboratory capacity for the
relevant testing, even if that means that a LAAF-accredited laboratory
is required for some categories or subcategories of testing described
in Sec. 1.1107 sooner than for other categories or subcategories.
Accordingly, the implementation of this program should not result in a
bottleneck for shell egg testing.
The research supporting the FRIA for this final rule (Ref. 4), and
the information we gleaned from our consultations with the National
Poultry Improvement Plan, is consistent with comments' claim that the
majority of laboratories that currently conduct the shell egg testing
described in Sec. 1.1107(a)(1)(ii) are not accredited to ISO/IEC
17025. Although we believe some of those laboratories will pursue ISO/
IEC 17025 and LAAF-accreditation as a result of this final rule, we
have no way of knowing with certainty.
We estimate that once this final rule is fully implemented, FDA
will receive about 3,771 analytical reports of shell egg testing per
year (Ref. 4). Due to the testing regime required under the FDA
[[Page 68741]]
egg safety rule, each analytical report will consist of 50 tests (each
shell egg sample of 1,000 eggs is separated into 50 pools of 20 eggs
each). (See Sec. 118.6.) Accordingly, we expect that more than 188,000
FDA-required shell egg tests currently conducted each year to comply
with Sec. 118.6 will eventually be conducted by LAAF-accredited
laboratories. If the laboratory market responds rationally, a
sufficient number of laboratories will react to the business
opportunity those shell egg tests create and choose to become LAAF-
accredited. If a sufficient number of laboratories that currently
conduct shell egg tests choose not to become LAAF-accredited, then
other laboratories will emerge to seize this opportunity. The costs of
becoming LAAF-accredited for laboratories new to shell egg testing will
be lowest for those laboratories that are already accredited to ISO/IEC
17025; it would therefore be reasonable to expect such laboratories to
pursue LAAF-accreditation to conduct shell egg testing. The FRIA in
section II.F.3.f. accounts for the costs for some shell egg producers
to switch laboratories if the one they are currently using is not LAAF-
accredited (Ref. 4).
Shell egg testing is only required if the poultry house has tested
positive for Salmonella Enteritidis, and the producer chooses not to
divert the eggs to treatment. The central purpose of this final rule is
to help ensure that the results of certain food testing that takes
place amidst just this sort of heightened food safety concern, are
reliable and accurate. No comments suggest that shell egg testing
should be excluded from the coverage of this final rule, or subject to
less stringent standards. We expect to avoid the logistical problem
identified by these comments. And as noted above, we are committed to
providing 6 months' notice via a Federal Register document before shell
egg producers are required to use a LAAF-accredited laboratory to
conduct the testing described in Sec. 1.1107(a)(1)(ii).
C. Comments Regarding General Provisions
Table 2--Changes to General Provisions
------------------------------------------------------------------------
Final rule Proposed rule Note
------------------------------------------------------------------------
Sec. 1.1101 What documents are N/A............... New section for
incorporated by reference in centralized
this subpart? incorporation by
reference (IBR).
Sec. 1.1102 What definitions Sec. 1.1102 What See preamble table
apply to this subpart? definitions apply below for
to this subpart? specific changes
to Sec. 1.1102.
Sec. 1.1103 Who is subject to Sec. 1.1103 Who See preamble
this subpart?. is subject to discussion below
this subpart?. for specific
changes to Sec.
1.1103.
------------------------------------------------------------------------
1. What documents are incorporated by reference in this subpart (Sec.
1.1101)?
In the proposed rule, we proposed to incorporate by reference two
international voluntary consensus standards: ISO/IEC 17011, Conformity
assessment--Requirements for accreditation bodies accrediting
conformity assessment bodies, Second edition, November 2017 (Ref. 2),
for accreditation bodies, and ISO/IEC 17025, General requirements for
the competence of testing and calibration laboratories, Third edition,
November 2017 (Ref. 3), for laboratories.
This final rule implements section 422 of the FD&C Act against the
backdrop of the broader Federal policies on consensus standards and
conformity assessment under the National Technology Transfer and
Advancement Act of 1995 (NTTAA) (Pub. L. 104-113). The NTTAA, together
with the Office of Management and Budget (OMB) Circular A-119, revised
January 27, 2016 (81 FR 4673), directs Federal Agencies to use
voluntary consensus standards in lieu of government-unique standards
except where inconsistent with law or otherwise impractical. OMB
Circular A-119 states that the use of voluntary standards, whenever
practicable and appropriate, is intended to eliminate the cost to
government of developing its own standards; decrease the cost of goods
procured and the burden of complying with Agency regulation; provide
incentives and opportunities to establish standards that serve national
needs, and encourage long-term growth for U.S. enterprises and promote
efficiency and economic competition through harmonization of standards;
and further the policy of reliance upon the private sector to supply
the government with cost-effective goods and services (Ref. 8).
As directed by OMB in Circular A-119, the National Institute of
Standards and Technology (NIST), in the Federal Register of September
29, 2020 (85 FR 60904), issued updated policy guidance on Federal
conformity assessment activities. The Federal conformity assessment
guidance is codified at 15 CFR part 287 and applies to all Federal
Agencies that set policy for, manage, operate, or use conformity
assessment activities or results (85 FR 60904 at 60905). The guidance
advises Agencies on using conformity assessment to meet government
needs in a manner that is efficient and cost-effective for both the
Agency and its stakeholders (15 CFR 287.1(a)). In keeping with these
national policies, FDA has determined that it is appropriate and will
be beneficial to both the Agency and the public if we rely on voluntary
consensus standards to provide the baseline requirements for both
accreditation bodies and laboratories wishing to participate in the
LAAF program.
In the proposed rule, the incorporation by reference information
was repeated throughout the codified text (e.g., Sec. 1.1113(b) (ISO/
IEC 17011:2017); Sec. 1.1138(a)(2) (ISO/IEC 17025:2017)). On our own
initiative, for readability we have revised the final rule to include a
centralized incorporation by reference section at Sec. 1.1101. Note
that throughout the codified, after the year of each standard, we
included the letter ``E'' to clarify that we are incorporating the
standard in English (e.g., ``ISO/IEC 170211:2017(E)).'' However for
readability, we did not repeat the ``E'' after each mention of the
standards throughout the preamble.
We received a few comments regarding the proposal to incorporate by
reference the two consensus standards. These comments are addressed
below.
(Comment 16) Several comments support our reliance on existing
international voluntary consensus standards: ISO/IEC 17011:2017 for
accreditation bodies and ISO/IEC 17025:2017 for laboratories.
(Response 16) Voluntary consensus standards such as ISO/IEC
17011:2017 and ISO/IEC 17025:2017 are developed by organizations with
the involvement of interested parties representing various roles,
concerns, and perspectives, via a robust process that seeks to achieve
consensus (Ref. 9). As noted in the immediately preceding
[[Page 68742]]
section, Federal law and policy direct us to use voluntary consensus
standards rather than creating our own unique standards whenever
practical and consistent with our legal obligations. Further, section
422(a)(6) of the FD&C Act specifically directs the FDA to ``consult
existing standards'' in the course of developing model standards for
this rulemaking.
Comments do not suggest that we consider any other standard for
accreditation bodies wishing to participate in this program. And
although some comments recommend that we permit the participation of
laboratories that meet certain industry-specific standards (see Comment
87 and Comment 88), no comment suggests a standard other than ISO/IEC
17025:2017 as a baseline requirement. We appreciate support for our
position that ISO/IEC 17011:2017 and ISO/IEC 17025:2017 are the most
appropriate globally recognized and widely used standards for the LAAF
final rule.
2. What definitions apply to this subpart (Sec. 1.1102)?
Table 3--Revisions to the Proposed Definitions in Sec. 1.1102
------------------------------------------------------------------------
Term Revision
------------------------------------------------------------------------
Accreditation................... Term revised to ``laboratory
accreditation for analyses of foods
(LAAF) accreditation'' to clarify
that decisions regarding
accreditation under this subpart are
limited to the LAAF program.
Accredited laboratory........... Term revised to ``LAAF-accredited
laboratory.''
Analyst......................... No change.
Corrective action............... New term that we define as an action
taken by an accreditation body or
laboratory to investigate and
eliminate the cause of a deficiency
so that it does not recur.
Food............................ No change.
Food testing, testing of food... No change.
Food testing order.............. Term revised to ``directed food
laboratory order'' to more accurately
describe the order. Revised the
definition to strike reference to
Sec. 1.1107(a)(2); the definition
now states the order is issued only
under Sec. 1.1108.
Owner or consignee.............. Definition revised to refer to the
circumstances in Sec. 1.1107(a)
instead of repeating the
circumstances in Sec. 1.1107(a) in
the definition.
Recognition..................... Definition revised to refer to LAAF-
accreditation of laboratories.
Recognized accreditation body... Definition revised to refer to the
accreditation body's authority with
respect to LAAF-accredited
laboratories.
Representative sample........... Definition revised to clarify that
accuracy is to a ``statistically
acceptable degree'' in response to
comments and a grammatical revision
made on our own initiative.
Sampler......................... Definition revised to reference the
individual who collects a sample.
Sampling firm................... New term that we define as an entity
that provides sampling services.
Scope of accreditation.......... Term revised to ``scope of LAAF-
accreditation'' and definition
revised to delete the second sentence
of the definition to remove the
phrases, ``in-whole'' and ``in-part''
from the definition and throughout
the rule.
------------------------------------------------------------------------
We proposed to apply the definitions in section 201 of the FD&C Act
unless otherwise specified. Additionally, we proposed to codify several
terms used in the LAAF regulations. We received several comments on
this section. As discussed in the following paragraphs, we have revised
many of the terms and proposed definitions in response to comments
received, as well as on our own initiative. Where we disagree with
comments or decline a suggested revision, we offer an explanation in
response. Some definitions were finalized as proposed.
The definitions for terms used in the laboratory accreditation for
analyses of foods regulations are codified in Sec. 1.1102.
Accreditation, Accredited Laboratory
We proposed to define accreditation and accredited laboratory to
relate to determinations regarding a laboratory under this subpart. On
our own initiative, we moved the phrase, ``under this subpart'' in the
definition of the term, ``LAAF-accredited laboratory'' to clarify that
food testing is conducted under this subpart as opposed to using
methods of analysis under this subpart, as proposed.
(Comment 17) A number of comments express concern with the proposed
definitions of ``accreditation'' and ``accredited laboratory,''
suggesting that they may result in confusion with similar terms already
being used by industry. Some comments recommend aligning the
definitions of ``accreditation'' and ``accredited laboratory'' under
this regulation with their meaning in the conformity assessment
industry to avoid potential confusion. Others propose that we
differentiate the terms under this regulation from those used elsewhere
and suggest the more specific terms, ``Section 422 accreditation'' and
``Section 422 accredited laboratory'' as potential options.
(Response 17) We acknowledge the potential for confusion regarding
the terms, ``accreditation'' and ``accredited laboratory'' under this
subpart with the use and understanding of these terms by industry.
Accordingly, we have revised the terms to be specific to the LAAF
program. Therefore, the terms have been revised to ``LAAF-
accreditation'' and ``LAAF-accredited laboratory'' respectively in
Sec. 1.1102 and throughout the rule to clarify the impacts and
limitations of accreditation decisions under this subpart. See also
Comment and Response 10.
Analyst
We received no comments on the proposed definition of ``analyst''
and therefore have finalized the definition as proposed.
Corrective Action
We have added a definition for corrective action to clarify that in
this subpart, it means, ``an action taken by an accreditation body or
laboratory to investigate and eliminate the cause of a deficiency so
that it does not recur.'' For additional discussion, see Comment and
Response 31.
Food
In the proposed rule, we defined ``food'' as having the meaning
given in section 201(f) of the FD&C Act, except that food does not
include pesticides (as defined in 7 U.S.C. 136(u)). The proposed
definition would align with the definition of ``food'' in the
``Accreditation of Third-Party Certification Bodies to Conduct Food
Safety Audits and to Issue Certifications'' (21 CFR 1.600 et seq.)
(Accredited Third-Party Certification Program) and the ``Foreign
Supplier Verification Programs for Food Importers'' (21 CFR 1.500 et
seq.) (FSVP) regulations.
[[Page 68743]]
(Comment 18) Some comments express support for the proposed
definition of ``food,'' which the comments characterize as being the
same as the definition in section 201(f) of the FD&C Act.
(Response 18) We appreciate the support for our proposed definition
of ``food'' and we are retaining it without change. We note that for
the purposes of this subpart, we are not giving the term, ``food,'' the
same meaning as in section 201(f) of the FD&C Act. Under section
201(f), ``food'' is not defined to exclude pesticides, whereas the
definition in this subpart expressly indicates that food does not
include pesticides. As we stated in the proposed rule, we have not
identified a need for ``food'' to include pesticides for purposes of
this final rule, and no comment suggests otherwise.
Food Testing, Testing of Food
We proposed to define ``food testing'' and ``testing of food'' to
mean the analysis of food product samples or environmental samples.
(Comment 19) Numerous comments indicate support for the inclusion
of environmental testing within the definition for ``food testing'' and
``testing of food'' in the proposed rule. These comments assert that
both food product and environmental testing are important to protecting
public health. Conversely, multiple comments oppose the proposal to
include environmental testing within the definition of ``food testing''
and ``testing of food.'' Some of these comments suggest that because
FSMA section 202 did not explicitly mention environmental testing, the
statute only permits the testing of food product samples, and not
environmental samples, within the scope of this regulation. Other
comments suggest that the definition of ``food testing'' and ``testing
of food'' should be consistent in scope with the statutory definition
of ``food'' in section 201(f) of the FD&C Act and limited to the
analysis of food product samples only. Some comments further specify
that although they oppose the inclusion of environmental testing within
the definition for ``food testing'' and ``testing of food,'' they
recognize the utility of environmental monitoring in ensuring food
safety. Similarly, some comments state that the food industry has
conducted environmental testing for a long time and argue that industry
does not need this final rule to cover environmental testing to
continue conducting such testing.
(Response 19) After carefully considering the comments and the
statute, we define ``food testing'' and ``testing of food'' to mean,
``the analysis of food product samples or environmental samples.''
As discussed in the proposed rule, the terms, ``food testing'' and
``testing of food,'' used in section 422 of the FD&C Act, are not
defined in the statute (84 FR 59452 at 59460). We find these terms
ambiguous and rely on context for their interpretation. Section 202(a)
of FSMA is located in Title II of FSMA, which is titled ``improving
capacity to detect and respond to food safety problems.'' Further, in
describing some of the testing to be covered by this subpart, section
422(b)(1)(A) of the FD&C Act twice includes testing that addresses,
``an identified or suspected food safety problem.'' This context
indicates the critical importance of ``food testing'' and ``testing of
food'' being interpreted to include the analysis of environmental
samples, so that this final rule will cover an important method of
detecting and responding to identified and suspected food safety
problems. We acknowledge and appreciate those comments asserting that
including environmental testing is important to addressing food safety
concerns and protecting public health. We also note that even some
comments that oppose defining ``food testing'' and ``testing of food''
to include environmental testing state that such testing plays a
valuable role in identifying potential pathways for contamination and
helping to ensure food safety.
We agree with aspects of comments that acknowledge the importance
of testing food production environments (e.g., the environment where
food is grown, harvested, packed, held, processed, or manufactured).
The term, ``environment'' includes food contact surfaces such as
utensils and table surfaces. Pathogens in the environment can be (and
unfortunately, sometimes are) transmitted to food. Therefore,
environmental testing is sometimes used as a followup test to verify
that cleaning and sanitizing designed to eliminate an identified
pathogen, was sufficient to eradicate that pathogen. Environmental
testing may also be employed to determine the source of an identified
pathogen (e.g., in circumstances where a food product tested positive
for a pathogen but it is not yet known how the food became
adulterated). It is important that FDA be able to utilize this subpart
to help ensure valid testing in the context of those sorts of
heightened food safety concerns.
Some comments indicate that Congress used the term, ``environmental
testing'' in other parts of the statute and could have done so here.
Although we do not disagree with that statement, we note that Congress
also used the term, ``product testing,'' in other parts of the statute,
and could have done so here. We do not believe the absence of these
phrases implies a lack of statutory authority to include both product
and environmental testing within the scope of this final rule.
Furthermore, the inclusion of both types of testing within the scope of
the final rule serves a central purpose of section 422 of the FD&C Act,
which is to improve FDA's access to reliable and accurate results of
public health significance, thus improving our capability to protect
U.S. consumers from unsafe food.
Some comments contend that the statutory definition of ``food''
limits our definitions of ``food testing'' and ``testing of food,'' to
product samples. As we acknowledged in the preamble to the proposed
rule, that is one, but not the only, reasonable interpretation of the
statute. For the reasons discussed, we are adopting a different and
more public health-protective interpretation and therefore finalize the
definition of ``food testing'' and ``testing of food'' without change.
Finally, we appreciate that many in the food industry have long
monitored their production environment through environmental testing.
We applaud and encourage the continued practices of firms that conduct
robust environmental monitoring programs. As discussed further in
Response 35, this final rule does not cover routine environmental
testing.
Food Testing Order
We proposed to define ``food testing order'' as an order issued by
FDA under Sec. Sec. 1.1107(a)(2) and 1.1108 requiring food testing to
be conducted under this subpart by or on behalf of an owner or
consignee. Although we did not receive specific comments regarding the
proposed definition, we received many comments about the food testing
order provisions in proposed Sec. Sec. 1.1107 and 1.1108. We discuss
those comments in section V.D. below; however, we are also making a
change to the related terminology. We have revised the term, ``food
testing order'' to ``directed food laboratory order'' throughout the
rule to more accurately reflect the order and its impact. To reduce
confusion, we generally use the term, ``directed food laboratory
order,'' throughout this document, even when referring to discussions
in the proposed rule.
On our own initiative, we revised the definition to strike the
reference to Sec. 1.1107(a)(2) and now state the order is issued
solely under Sec. 1.1108, as this provision directly describes FDA's
issuance of such orders.
[[Page 68744]]
Owner or Consignee
We proposed to define ``owner or consignee'' as a person with an
ownership interest in the food or environment samples in the
circumstances described in proposed Sec. 1.1107. On our own
initiative, we have revised the definition to refer more generally to
the circumstances described in Sec. 1.1107 instead of repeating the
circumstances in the definition.
Recognition
We proposed to define ``recognition'' to mean a determination by
FDA that an accreditation body meets the applicable requirements of the
LAAF program and is authorized to accredit laboratories under this
subpart. As a result of revising the terms, ``accreditation'' and
``accredited laboratory'' to be specific to the LAAF program, we have
revised the definition of ``recognition'' to reflect that a recognized
accreditation body will LAAF-accredit laboratories to conduct food
testing under this subpart.
(Comment 20) Some comments state that having a definition for
``recognition'' specific to this regulation may result in confusion, as
the term is already used by the conformity assessment industry in other
contexts outside of this regulation.
(Response 20) In contrast to the many comments that argue that our
proposed use of the terms ``accreditation,'' ``accredited laboratory,''
and ``assessment,'' created confusion, only a small number of comments
claim that our proposed use of the term, ``recognition,'' would create
the potential for confusion. Further, these comments provide no
specific examples of how the term, ``recognition,'' would be confusing,
and do not offer alternative terms or definitions.
In addition, the FDA Foods Program uses the term, ``recognition,''
in the same way as proposed in our Accredited Third-Party Certification
Program (see 21 CFR 1.600), and has not heard from those program
participants that the term has proved problematic. For more information
on the Accredited Third-Party Certification Program, see https://www.fda.gov/food/importing-food-products-united-states/accredited-third-party-certification-program.
Therefore, we are retaining the definition of the term,
``recognition'' in the final rule.
Recognized Accreditation Body
We proposed to define ``recognized accreditation body'' as an
accreditation body that FDA has determined meets the applicable
requirements of this subpart and is authorized to accredit laboratories
under this subpart. We have revised the definition to state that the
recognized accreditation body is authorized to LAAF-accredit
laboratories under this subpart. This change aligns with our overall
revisions to terminology throughout the rule.
Representative Sample
We proposed to define ``representative sample'' to mean ``a sample
that accurately, to a scientifically acceptable degree, represents the
characteristics and qualities of the food product or environment the
sample was collected from.''
(Comment 21) Several comments contend that the proposed definition
of ``representative sample'' is vague and impractical. Some comments
suggest we clarify that determining whether a sample is
``representative'' involves an assessment of various factors. Others
suggest that FDA clarify the Agency's expectations regarding
``representative sample'' by specifying sampling protocols within
import alerts or including specific procedures and sampling plans for
different foods and analyses within the final rule. Some comments
suggest the addition of a definition for ``representative sampling,''
based on the concern that if sampling is not performed appropriately,
results may be invalidated.
Some comments specify that the phrase, ``to a scientifically
acceptable degree'' is difficult to understand and vague; these
comments suggest that we replace the phrase, ``to a scientifically
acceptable degree,'' with the phrase, ``based on a scientific risk-
based rationale.'' These comments also suggest we add a second sentence
to the definition to explain that the suggested phrase, ``includes
consideration of the environment, food matrix, and analyte of interest,
among other factors.''
(Response 21) We agree that whether a food testing sample is
representative depends on a variety of factors. Relevant factors
include what is being sampled, the population from which the sample is
taken, the dispersion pattern of potential adulterants, and adherence
to any time and temperature controls, to name just a few. We also
appreciate the desire for clarity expressed in the comments suggesting
that we specify sampling protocols for the samples that will be tested
under this final rule. However, the purpose of defining
``representative sample'' in this subpart is not to prescribe how to
achieve a representative sample either generally or specifically for
the testing conducted under this program. Instead, it is to accurately
communicate the concept of a representative sample. We considered
altering the definition, but because every food product and
environmental testing circumstance is slightly different, and as
already noted, there are many relevant factors that also vary, our
attempts to add specificity to the definition resulted in unnecessarily
complex language or the introduction of some inaccuracy. Accordingly,
although we understand that some comments describe the proposed
definition as vague and impractical, we are retaining it with limited
changes because we conclude that it broadly satisfies the purpose for
which it was created. We also consider the definition to be similar to
and consistent with definitions that are accepted nationally and
internationally. (See, e.g., Codex Alimentarius Commission, General
Guidelines on Sampling document CAC/GL-50-2004, Sec. 2.2.3: ``A
representative sample is a sample in which the characteristics of the
lot from which it is drawn are maintained. It is in particular the case
of a simple random sample where each of the items or increments of the
lot has been given the same probability of entering the sample'' (Ref.
10).
Some comments suggest that the proposed phrase, ``to a
scientifically acceptable degree,'' is difficult to understand and
vague, and suggest instead the phrase, ``based on a scientific risk-
based rationale.'' We agree that the proposed phrase could be improved.
However, we do not believe the proffered alternative phrase is the best
choice, because it would not always be applicable and also, is less
common in the laboratory industry and therefore not widely understood.
Instead, we have replaced ``to a scientifically acceptable degree,''
with, ``to a statistically acceptable degree,'' which we believe
communicates with more precision than the proposed phrase the need for
samples to be selected based on a statistical sampling design. A sample
that represents the whole to a statistically significant degree will
yield information about the average composition of the whole, and
therefore enable valid, accurate test results.
We decline the suggestion to add a second sentence to the
definition to explain the phrase at issue but have already agreed with
the concept it expressed, which is that determining whether a sample is
representative involves considering a host of varying factors. We also
decline the suggestion to add a definition of ``representative
sampling,'' to this subpart. Although we certainly agree that sampling
techniques are critical to obtaining a representative
[[Page 68745]]
sample, this final rule does not set standards for those techniques and
therefore our discussion of them is not so extensive as to justify the
need to define the term.
On our own initiative, we also made grammatical changes to this
definition.
See our discussion of Sec. 1.1149 below for additional information
on sampling requirements and resources.
Sampler
We proposed to define ``sampler'' as an individual or individuals
who perform sampling.
(Comment 22) A few comments disagree with the proposed definition
of ``sampler,'' and state that a sampler may also be an entity (for
example, in the case of laboratories that are commercially liable for
the performance of the persons collecting the samples). These comments
suggest that FDA include definitions for both ``sampler'' (an entity)
and ``sample collector'' (individual(s)) within the final rule to
clarify this distinction.
(Response 22) We agree that it would be clearer to use two distinct
terms throughout the rule regarding activities related to sampling.
First, we have clarified the definition of the term, ``sampler'' to
mean an individual who collects samples. Second, we have added a new
term, ``sampling firm,'' which we define as an entity that provides
sampling services. Accordingly, we have revised the final rule to use
the term, ``sampling firm'' where appropriate.
Scope of Accreditation
We proposed to define this term to refer to the methods of analysis
for which the laboratory is accredited. The proposed definition went on
to state that ``[r]eferences in this subpart to accreditation `in-
whole' refers [sic] to all methods in the accredited laboratory's scope
of accreditation and references to accreditation `in-part' refers [sic]
to only certain methods in the accredited laboratory's scope of
accreditation.'' 84 FR 59452 at 59502. We received no comments on this
proposed definition; however, we have revised the proposed term and
definition to be consistent with our terminology changes throughout the
final rule. The term has been revised to ``scope of LAAF-
accreditation'' and the definition of the term has been revised to
refer to ``. . . the methods of analysis for which the laboratory is
LAAF-accredited.''
We have omitted the proposed second sentence in the definition
which removes the terms, ``in-whole'' and ``in-part.'' Instead, in the
final rule we generally employ the construct that changes in LAAF-
accreditation relate to specific methods, or apply to all methods,
within a laboratory's scope of LAAF-accreditation. Additionally, in the
final rule, to better align with the ISO/IEC conformity assessment
paradigm, we consistently use the word, ``withdraw'' to refer to the
action a recognized accreditation body takes to remove all methods
within the laboratory's scope of LAAF-accreditation, and we use the
phrase, ``reduce the scope of LAAF-accreditation'' to refer to
recognized accreditation body actions which remove only certain methods
from the laboratory's scope of LAAF-accreditation.
Additional Definitions
On our own initiative, we have included a definition for the term
``street address'' which appears throughout the final rule. We define
the term to mean the full physical address, including the country. We
go on to clarify that, for purposes of this rule, a post office box
number alone is insufficient; however, a post office box number may be
provided in addition to the street address.
We received comments requesting that we include and define
additional terms in the final rule. We address these comments below.
(Comment 23) Multiple comments suggest adding a definition for
``identified or suspected food safety problem,'' stating that doing so
would help to clarify when it would be necessary to use a LAAF-
accredited laboratory for testing.
(Response 23) For the reasons stated in the preamble to the
proposed rule, we decline the recommendation to include a specific
definition for ``identified or suspected food safety problem'' (see 84
FR 59452 to 59462). Instead, we proposed codifying the specific
circumstances in which use of a LAAF-accredited laboratory would be
required under this subpart. As discussed below in section V.D, we have
revised some of the circumstances in response to public comments and
have added additional discussion in the preamble.
(Comment 24) Some comments suggest adding definitions for ``quality
assurance'' and ``raw data,'' stating that similar terms are used by
other programs, entities, and regulations--such as FDA's Good
Laboratory Practice for Nonclinical Laboratory Studies at 21 CFR part
58--that may serve as a basis for developing a definition under this
subpart.
(Response 24) We decline to add definitions for these terms to the
final rule.
Quality assurance is a critical pursuit that must undergird both
recognized accreditation body and LAAF-accredited laboratory processes.
Indeed, we consider the integral nature of quality assurance in ISO/IEC
17011:2017 and ISO/IEC 17025:2017 to be among the standards' greatest
strengths (Ref. 2, Ref. 3). In this final rule we are establishing
requirements consistent with our perspective that quality assurance
must be nurtured (e.g., incorporation of the corrective action process
for both recognized accreditation bodies and LAAF-accredited
laboratories, submission by recognized accreditation bodies of their
internal audit reports, proficiency test requirements for each method
within the laboratories' scope of LAAF-accreditation at least every 12
months). Nevertheless, we decline the suggestion to define ``quality
assurance'' in this subpart because we conclude a definition is neither
necessary nor would it meaningfully add to the final rule. We prefer
instead to include in our standards provisions that will require the
quality assurance processes and actions we deem necessary for this
program.
We note that the term, ``quality assurance'' appeared in Sec.
1.1148 of the proposed rule (``What quality assurance requirements must
accredited laboratories meet?''). In the final rule, we have omitted
the specific section regarding quality assurance requirements and
incorporated those requirements into Sec. 1.1138, which addresses the
eligibility requirements for LAAF-accredited laboratories.
The term, ``raw data'' is not used so extensively in the final rule
as to warrant a definition. In fact, it only appears once in the
codified text, in Sec. 1.1152(d)(8), where we require as part of a
full analytical report, ``[a]ll original compilations of raw data
secured in the course of the analysis.'' We explain the term in two
ways. First, section 1.1152(d)(8) includes some examples of raw data,
and second, in our discussion of that provision at Response 119, below,
we have expounded on our thinking regarding this requirement. We
consider these forms of explanation to be sufficient in the context of
this subpart.
(Comment 25) Some comments state that the term, ``specific major
food testing discipline'' is used throughout the proposed rule and
suggest that a definition for the term be added to the regulation for
additional clarity.
(Response 25) We included the term, ``specific major food testing
discipline'' in proposed Sec. 1.1152(d) regarding permission to submit
abridged
[[Page 68746]]
analytical reports. To clarify the term, we have included detail in the
final rule at Sec. 1.1153(a) regarding the three major food testing
disciplines under this rule for purposes of submitting abridged
analytical reports. We identified these in the preamble to the proposed
rule regarding Sec. 1.1152(d) (see 84 FR 59484 (Nov. 4, 2019)) using
slightly different terms: ``microbiology, chemistry, and physical
(filth).'' In the final rule at 21 CFR 1.1153(a), we have codified the
specific major food testing disciplines that will be used to categorize
analytical reports for purposes of determining permission to submit
abridged analytical reports as ``biological, chemical, and physical.''
3. Who is subject to this subpart (Sec. 1.1103)?
Proposed Sec. 1.1103 listed the entities subject to the subpart:
recognized accreditation bodies, entities seeking to become recognized
accreditation bodies, LAAF-accredited laboratories, entities seeking to
become LAAF-accredited laboratories, and owners and consignees who are
required to use LAAF-accredited laboratories for the food testing under
this program.
We have made minor changes throughout this section to reflect
revised program terminology. Specifically, we have modified the term,
``accreditation'' to ``LAAF-accreditation'' in this section and
throughout the rule. Additionally, we have made minor editorial changes
on our own initiative to improve clarity. Comments regarding this
section are discussed below.
(Comment 26) Some comments request clarification of which owners
and consignees will be covered by this final rule, stating that there
may be multiple owners and consignees in the context of imported food.
(Response 26) FDA-regulated products imported into the United
States must comply with the same FDA laws and regulations that apply to
domestic products. Entries are submitted to U.S. Customs and Border
Protection which then refers entries of FDA-regulated products to FDA
for review. Imported items may not be distributed into commerce until
FDA has determined admissibility.
If FDA detains a food product at the border under section 801(a) of
the FD&C Act because the food is or appears to be adulterated or
misbranded, but FDA has not yet refused admission, the owner or
consignee of the food may introduce testimonial evidence that the food
is admissible. Owners and consignees often engage laboratories to test
the food and submit to FDA the results of the testing, as testimony to
support admission. If FDA determines that the food testing results are
valid and that they demonstrate the detained product does not violate
the FD&C Act, FDA will release the food from detention and allow it to
proceed into the United States. The testing of detained product at the
direction of such owners and consignees is covered by this final rule
(see Sec. 1.1107(a)(4)).
The DWPE procedure allows FDA to detain an imported product without
physically examining it at the time of entry. FDA employs the DWPE
procedure when there is a history of product that violates or appears
to violate the FD&C Act, or when other information indicates that
future entries may be violative. Import alerts inform FDA staff and the
public that we have enough evidence to allow for DWPE of particular
products. Testing to support removal from an import alert is also
covered by this final rule (see Sec. 1.1107(a)(5)). For more
information on FDA's import program generally see https://www.fda.gov/industry/import-program-food-and-drug-administration-fda; for more
information on DWPE, see https://www.fda.gov/media/71776/download.
It is true that for a particular food shipment or entry being
offered for import into the United States, multiple parties may be
considered owners and/or consignees of the entry or of particular
products within that entry (i.e., line items or lines). However, there
is generally only one importer of record for each entry,\2\ and it is
the importer of record that is ultimately responsible for ensuring that
the product(s) complies with the FD&C Act and implementing regulations
at the time of entry. (See Sec. 1.83(a), where the term, ``owner or
consignee'' is defined for the purposes of articles offered for
import.) The importer of record may negotiate or contract with another
party such that the other party agrees to engage the laboratory to test
the product. Such arrangements are purely between the parties to the
shipment; at the end of the day the importer of record remains the
party ultimately responsible for the compliance of that entry and
therefore is ultimately responsible for amassing any testimonial
evidence (e.g., test results and associated analytical documentation)
in support of admission of the food.
---------------------------------------------------------------------------
\2\ There may not be an importer of record for some informal
entries. (Informal entries, as defined by U.S. Customs and Border
Protection regulations, are usually valued at less than $2,500
(value subject to change) (19 CFR 143.21), and usually do not
require a bond. Some products are restricted from informal entry
(for example, high risk products), regardless of value.) For such
shipments that are not accompanied by an importer of record when
making entry, the owner or consignee of the line(s) will serve as
the responsible party when presenting evidence to FDA in support of
admission of the food.
---------------------------------------------------------------------------
D. Comments Regarding General Requirements
Table 4--Revisions to General Requirements
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
Sec. 1.1107 When must food Sec. 1.1107 Revised section
testing be conducted under this Under what title to simplify
subpart? circumstances language and
must food testing incorporate
be conducted revised
under this terminology.
subpart by an
accredited
laboratory?
Sec. 1.1108 When and how will Sec. 1.1108 When Revised section
FDA issue a directed food and how will FDA title to reflect
laboratory order? issue a food revised
testing order? terminology.
Sec. 1.1109 How will FDA make Sec. 1.1109 How Revised section
information about recognized will FDA make title to reflect
accreditation bodies and LAAF- information about revised
accredited laboratories recognized terminology.
available to the public? accreditation
bodies and
accredited
laboratories
available to the
public?
Sec. 1.1110 What are the N/A............... New section which
general requirements for consolidates
submitting information to FDA requirements from
under this subpart? throughout the
proposed rule.
------------------------------------------------------------------------
[[Page 68747]]
1. When must food testing be conducted under this subpart (Sec.
1.1107)?
Proposed Sec. 1.1107(a) stated that food testing must be conducted
under this subpart whenever food testing is conducted by or on behalf
of an owner or consignee in any of the following five circumstances:
(1) In response to explicit testing requirements that address an
identified or suspected food safety problem in existing FDA regulations
covering sprouts (21 CFR 112.146(a), (c) and (d)), shell eggs
(Sec. Sec. 118.4(a)(2)(iii), 118.5(a)(2)(ii), 118.5(b)(2)(ii),
118.6(a)(2), 118.6(e)), and bottled drinking water (Sec.
129.35(a)(3)(i) (21 CFR 129.35(a)(3)(i))) (regarding the requirement to
test five samples from the same sampling site that originally tested
positive for Escherichia coli (E. coli)); (2) as required by FDA in a
directed food laboratory order (issued under Sec. 1.1108 of this
rule); (3) to address an identified or suspected food safety problem
and presented to FDA as part of evidence for a hearing under section
423(c) of the FD&C Act (21 U.S.C. 350l) prior to the issuance of a
mandatory food recall order, as part of a corrective action plan under
section 415(b)(3)(A) of the FD&C Act (21 U.S.C. 350d) submitted after
an order suspending the registration of a food facility, or as part of
evidence submitted for an appeal of an administrative detention order
under section 304(h)(4)(A) of the FD&C Act (21 U.S.C. 334(h)(4)(A));
(4) in support of admission of an article of food under section 801(a)
of the FD&C Act; and (5) to support removal from an import alert
through successful consecutive testing.
Section 1.1107(b) of the proposed rule stated that when food
testing is conducted under paragraph (a), analysis of samples must be
conducted by a laboratory that is LAAF-accredited for the appropriate
method(s). Proposed paragraph (c) stated the requirement for food
testing on articles of food offered for import into the United States
to be conducted after the articles have arrived in the United States
unless FDA has provided prior written authorization to the owner or
consignee that a sample(s) of the article(s) taken prior to arrival in
the United States is or would be representative of the article(s)
offered for import.
We revised the proposed rule section title, ``Under what
circumstances must food testing be conducted under this subpart by an
accredited laboratory?'' to ``When must food testing be conducted under
this subpart?'' in the final rule. We have made changes throughout this
section to incorporate revised terminology. We also have made non-
substantive revisions to paragraph (a)(2) (to add the word,
``issued''), to paragraph (a)(3) to add an inadvertently omitted word
(``of''), and to paragraph (c) to improve clarity and readability.
Comments regarding this section are discussed below.
(Comment 27) We received several comments regarding the proposed
policy to allow all testing under this subpart to be conducted ``by or
on behalf of an owner or consignee.'' Some comments contend that
laboratories operated by owners or consignees (``in-house''
laboratories) should be ineligible to conduct some or all tests
described in Sec. 1.1107. Other comments voice agreement with the
proposal.
(Response 27) After considering the comments in light of the
statute, we are retaining the proposed policy such that in-house
laboratories may become LAAF-accredited to conduct any or all the
testing described in Sec. 1.1107 as long as those laboratories meet
all the laboratory requirements of this subpart. Please see the
discussion of this issue in Response 101 where we address the general
eligibility of these laboratories, as well as the impartiality and
conflict of interest requirements contained in Sec. 1.1147.
(Comment 28) We received a few comments asking us to clarify the
foods to which the testing requirements in the final rule will apply.
Some of these comments ask whether any commodities would be exempt from
the final rule and state that seafood, juice, and low-acid canned foods
are exempt from certain requirements of the ``Current Good
Manufacturing Practice, Hazard Analysis, and Risk-based Preventive
Controls for Human Food'' (preventive controls for human food)
regulation (part 117 (21 CFR part 117)). Other comments inquire whether
the final rule would apply to any commodities other than sprouts, shell
eggs, and bottled drinking water.
(Response 28) Proposed Sec. 1.1107(a) described the specific
circumstances under which food testing would need to be conducted under
this subpart by a LAAF-accredited laboratory. Sprouts, shell eggs, and
bottled drinking water are the only commodities for which specific
testing requirements contained in existing regulations are currently
covered by the final rule (see Sec. 1.1107(a)(1)(i) through (iii)).
The remaining circumstances in Sec. 1.1107(a) could require food
testing under this subpart for any food or environment within FDA's
jurisdiction. We note that hazards addressed by hazard analysis and
critical control point (HACCP) regulations for seafood (21 CFR part
123) and juice (21 CFR part 120), and those addressed by regulations
for low-acid canned food (21 CFR part 113), are exempt from certain
requirements of the preventive controls for human food regulation
because those commodities and hazards are covered by commodity-specific
HACCP or other regulations that predate the preventive controls for
human food regulation. Seafood, juice, and low-acid canned foods are
not exempt from this final rule. If seafood, juice, low-acid canned
foods, or any article of food or environment within FDA's jurisdiction
are covered by any of the circumstances described in Sec. 1.1107(a)(2)
through (5), then food testing must be conducted under this subpart by
a LAAF-accredited laboratory. For a discussion of program
implementation, see Response 14.
(Comment 29) Some comments agree with our proposal regarding the
scope of testing that would be covered by the final rule. Some comments
express alignment with the general notion of FDA requiring the use of
LAAF-accredited laboratories in circumstances where heightened food
safety concerns exist. Other comments support the proposed requirement
that testing prescribed by certain explicit testing requirements in FDA
regulations to address an identified or suspected food safety problem
should be covered by this final rule. Specifically, some comments
support the inclusion of the bottled drinking water testing required in
Sec. 129.35(a)(3)(i) and agree that other bottled drinking water
testing required by FDA regulations does not constitute testing in
connection with an ``identified or suspected food safety problem'' and
therefore was properly excluded from coverage in the proposed rule.
(Response 29) Section 422 of the FD&C Act prescribes several
circumstances in which testing must be conducted by a LAAF-accredited
laboratory. First, section 422(b)(1)(A)(i) of the FD&C Act requires
testing under this subpart to be conducted, ``in response to a specific
testing requirement under this Act or implementing regulations, when
applied to address an identified or suspected food safety problem.'' As
discussed in the proposed rule, we proposed to interpret section
422(b)(1)(A)(i) to apply to provisions of the FD&C Act or its
implementing regulations that explicitly require food testing. 84 FR
59452 at 59462. We identified nine explicit testing requirements in our
regulations that we tentatively concluded address an identified or
suspected food safety problem because each of those testing
requirements was a followup test after a
[[Page 68748]]
routine test indicated the presence of a pathogen or indicator organism
(i.e., an organism that indicates conditions in which an environmental
pathogen may be present). For example, Sec. 118.4(a)(2)(i) of our
shell egg safety regulation requires an environmental test for
Salmonella Enteritidis when the pullets are 14 to 16 weeks of age. If
the environmental test is positive, Sec. 118.4(a)(2)(iii) requires
shell egg testing to commence within 2 weeks of the start of egg laying
(unless the eggs are diverted to treatment, see Sec. 118.6(a)(2)). We
tentatively concluded that the followup shell egg testing would be
covered by the rule, but the initial environmental testing would not.
Section 422(b)(1)(A)(i) of the FD&C Act is implemented in Sec.
1.1107(a)(1) of this final rule. For a discussion of FDA's
interpretation of ``identified and suspected food safety problem,'' see
Response 35.
Section 422(b)(1)(A)(ii) of the FD&C Act requires testing to be
conducted under this subpart, ``as required by the Secretary, as the
Secretary deems appropriate, to address an identified or suspected food
safety problem.'' Section 422(b)(1)(A)(ii) of the FD&C Act is
implemented in Sec. 1.1108 of this final rule, which addresses the
directed food laboratory order. (For discussion of the directed food
laboratory order, see Comment 41 through Comment 56 and Responses,
below.) Section 422(b)(1)(A)(ii) of the FD&C Act also authorizes Sec.
1.1107(a)(3) of this final rule, which requires that food testing be
conducted under this program when it is conducted to address an
identified or suspected food safety problem and is presented to FDA in
three administrative procedural settings: As part of evidence for a
hearing under section 423(c) of the FD&C Act prior to the issuance of a
mandatory recall order, as part of a corrective action plan under
section 415(b)(3)(A) of the FD&C Act submitted after an order
suspending the registration of a food facility, or as part of evidence
submitted for an appeal of an administrative detention order under
section 304(h)(4)(A) of the FD&C Act.
Section 422(b)(1)(B)(i) of the FD&C Act requires testing to be
conducted under this subpart, ``in support of admission of an article
of food under section 801(a).'' Section 422(b)(1)(B)(i) of the FD&C Act
is implemented in Sec. 1.1107(a)(4) of this final rule. Section
422(b)(1)(B)(ii) of the FD&C Act requires testing to be conducted under
this subpart when such testing is to support removal from an import
alert through successful consecutive testing, and is implemented in
Sec. 1.1107(a)(5) of this final rule.
We appreciate those aspects of comments that express support for
the proposed testing provisions.
(Comment 30) Some comments note that there have been foodborne
illnesses associated with shell eggs produced at farms with less than
3,000 laying hens. These comments also note that food safety recalls
associated with shell eggs, including from cage-free and free-range egg
farms that have less than 3,000 laying hens, affect all egg farms. In
the view of these comments, FDA's egg safety rule should therefore not
exclude shell egg producers with less than 3,000 laying hens, and all
egg farms regardless of size should be subject to this rule for the
testing described in Sec. 1.1107(a)(1)(ii).
(Response 30) This final rule requires use of a LAAF-accredited
laboratory for certain followup tests that already are required by
other food safety regulations (Sec. 1.1107(a)(1)). Because shell egg
farms that have less than 3,000 laying hens are exempt from the egg
safety rule, such farms are not subject to this final rule for the egg
safety rule testing that falls within the scope of this subpart.
(Comment 31) Some comments opine that our use of the term,
``corrective action testing'' with respect to followup testing in
response to an identified or suspected food safety problem appears to
mean something different than it does in the world of conformity
assessment. These comments assert that for conformity assessment
purposes, ``corrective action'' means that a laboratory takes an
``action to eliminate the cause of a nonconformity and to prevent
recurrence;'' these comments cite ISO/IEC 9001.
(Response 31) In the proposed rule, we used the term, ``corrective
action'' to refer to actions taken by a conformity assessment entity in
response to a deficiency (see, e.g., 84 FR 59452 at 59491 (``the
probation notice would either inform the laboratory that the laboratory
has a specified time period to take corrective actions specified by
FDA[,] or request that the laboratory submit a corrective action plan
to FDA for FDA's approval that identifies the corrective actions it
will take to address deficiencies identified''). In the proposed rule,
we also used the term, ``corrective action'' to describe followup
activities undertaken by a food manufacturer or processor after product
or environmental testing indicates the presence of a pathogen or
indicator organism (84 FR 59452 at 59455).
We understand why comments express the view that it may have been
confusing for the term, ``corrective action'' to mean two different
things in the proposed rule. In addition, in the proposed rule, we
could have been more precise in our use of the term, ``explicit
corrective action testing'' to describe testing covered by section
422(b)(1)(A)(i) of the FD&C Act. Section 422(b)(1)(A)(i) directs this
program to cover testing ``in response to a specific testing
requirement under [the FD&C Act] or implementing regulations, when
applied to address an identified or suspected food safety problem.''
Not all the testing described by this statutory language may be
properly categorized as corrective action testing, (e.g., the sprouts
environmental tests at 21 CFR 112.146(c) are considered verification
tests within the sprouts regulatory framework; see Sec.
1.1107(a)(1)(i)).\3\ To improve clarity and precision, we use the
phrase, ``explicit followup testing'' in the final rule to mean the
testing that we have determined will be subject to this subpart under
our section 422(b)(1)(A)(i) authority.
---------------------------------------------------------------------------
\3\ For more information on sprouts environmental testing, see
the ``Compliance with and Recommendations for Implementation of the
Standards for the Growing, Harvesting, Packing, and Holding of
Produce for Human Consumption for Sprout Operations'' draft
guidance, available at https://www.fda.gov/regulatory-information/search-fda-guidance-documents/draft-guidance-industry-compliance-and-recommendations-implementation-standards-growing-harvesting.
---------------------------------------------------------------------------
For the foregoing reasons, including to minimize risk of confusion
and to improve the final rule, we generally reserve use of the term,
``corrective action,'' to the conformity-assessment context, in this
document. Exceptions include discussion related to the preventive
controls regulations; see Comment and Response 37. For clarity we have
added the following definition of ``corrective action'' to Sec.
1.1102: ``Corrective action means an action taken by an accreditation
body or laboratory to investigate and eliminate the cause of a
deficiency so that it does not recur.'' Relatedly, in Sec. Sec.
1.1121, 1.1131, and 1.1161 of the final rule, we have added references
to the specific sections of the relevant ISO/IEC standard to clarify
the process a recognized accreditation body or LAAF-accredited
laboratory must take to address deficiencies through corrective action.
(Comment 32) In the proposed rule, we described the circumstances
under which testing of imported food would be subject to the
requirements of this final rule. In brief, we proposed that an owner or
consignee whose entry has been detained because the food is or appears
to be adulterated or misbranded must use a LAAF-accredited laboratory
to conduct the food testing used as testimonial evidence supporting
admission to the United States. The
[[Page 68749]]
other import testing that we proposed to cover in this final rule is
testing to support the removal of food from import alert through
successful consecutive testing. Import alerts inform FDA's field staff
and the public that the Agency has enough evidence to allow for DWPE of
products that appear to be in violation of FDA's laws and regulations.
Some comments express appreciation that the proposed rule included
information on when imported foods would need to be tested. Some
comments support our proposal to require the use of a LAAF-accredited
laboratory for testing conducted to support removal from import alert.
These comments endorse the portion of the proposed rule preamble that
discussed the importance of reliable testing of imports and indicate
that in the past, food commodities subject to import alert have caused
multiple foodborne illness outbreaks. These comments state that
although it will take many tools and approaches to ensure the safety of
imported foods, reliable testing is a critical component of a
successful strategy.
(Response 32) With appreciation for these supportive comments, we
confirm that the import-related circumstances under which food testing
is required by this subpart in the proposed rule remain unchanged in
the final rule: Testing in support of admission of an article of food
under section 801(a) of the FD&C Act (Sec. 1.1107(a)(4)) and testing
to support removal from an import alert through successful consecutive
testing (Sec. 1.1107(a)(5)).
(Comment 33) Some comments express confusion about when this final
rule would apply and asked when the requirements of the final rule
would apply to regulatory feed testing laboratories.
(Response 33) A regulatory feed testing laboratory may choose to
seek LAAF-accreditation to conduct testing under this subpart. If
animal food were the subject of testing required to be conducted under
this program (i.e., the subject of food testing under Sec.
1.1107(a)(2) through (5)), then an owner or consignee would need to use
a LAAF-accredited laboratory to conduct the test. For a discussion of
program implementation, see Response 14.
(Comment 34) Some comments express the erroneous understanding that
the laboratory accreditation final rule would apply only when food
testing is conducted in a food manufacturing or processing facility.
These comments express the concern that adulteration may occur after
the food leaves the production facility, in which case testing
conducted during production is outdated and inaccurate, and potentially
masks a food safety problem.
(Response 34) We first clarify that the testing covered by this
rule is not limited to testing in a food manufacturing or processing
facility. Certain testing at farms is also covered; for example, Sec.
1.1107(a)(1)(ii) describes shell egg testing, and those eggs originate
on a poultry farm. In addition, this rule covers a significant number
of tests of imported food (Sec. 1.1107(a)(4) and (5)). Because FDA
agrees that adulteration may occur while food is in transit, the final
rule generally requires imported food products subject to this final
rule to be sampled and tested after the food has arrived in the United
States. (See Sec. 1.1107(c) and Response 40 for more on this topic.)
Thus, testing of imported food subject to this final rule generally
will occur at or near the U.S. border.
FDA also has other tools to address adulteration that occurs
outside of production establishments, including another FSMA
regulation, the ``Sanitary Transportation of Human and Animal Food''
regulation (part 1, subpart O), which requires shippers, carriers by
motor vehicle or rail vehicle, receivers, and other persons engaged in
the transportation of food, to use sanitary transportation practices to
ensure that the food is not transported under conditions that may
render the food adulterated.
(Comment 35) In the preamble to the proposed rule, we discussed
considerations in our interpretation of the phrase, ``identified or
suspected food safety problem,'' which appears in section
422(b)(1)(A)(i) and (ii) of the FD&C Act and is therefore important in
determining which testing will be covered by this subpart. Among other
things, we explored other uses of similar phrases elsewhere in FSMA. We
tentatively concluded that an ``identified food safety problem'' could
be present when a specific article of food violates a provision of the
FD&C Act that relates to food safety. We tentatively concluded that a
``suspected food safety problem'' typically would have a basis in fact
about a particular article of food (e.g., a lot or batch) or food
production environment (e.g., a specific facility). We reasoned that
the requisite suspicion would not be satisfied by the common or usual
characteristics of food (e.g., whether a food is considered ``high
risk'') or the manner in which the food is typically produced. We
tentatively concluded that the routine product testing and
environmental monitoring requirements required by the preventive
controls for human food regulation (see Sec. 117.165(a)(2) and (3),
respectively), are not conducted to address a suspected (or identified)
food safety problem, because this testing is conducted to verify the
implementation and effectiveness of preventive controls (``verification
testing'') and not because a food safety problem is suspected or
identified. 84 FR 59452 at 59462. This same tentative conclusion would
apply to the routine product testing and environmental monitoring
requirements required by the Current Good Manufacturing Practice,
Hazard Analysis, and Risk-based Preventive Controls for Food for
Animals (preventive controls for animal food) regulation (Sec.
507.49(a)(2) and (3) (21 CFR 507.49(a)(2)) and (3), respectively).
In the proposed rule we explained that, in the preventive controls
for human food regulation, FDA indicated that an ``unanticipated food
safety problem'' could occur where a preventive control is not properly
implemented, including where a pathogen or indicator organism is
detected during routine product or environmental testing (verification
testing). In the proposed rule we tentatively concluded that, depending
on the circumstances, a routine test that indicated the presence of an
indicator organism would not necessarily constitute a suspected food
safety problem. 84 FR 59452 at 59462.
Some comments dispute our interpretation of ``identified or
suspected food safety problem.'' From their perspective, there is no
need for the problem to be particularized to an article of food or a
facility. These comments state that the statute does not direct that
``an identified or suspected food safety problem,'' could only be
present in relation to a specific article of food or facility. The
comments argue that the appearance of the phrase, ``food safety
problems'' in two FSMA titles that cover multifaceted approaches to
food safety (Title I: ``Improving Capacity to Prevent Food Safety
Problems'' and Title II: ``Improving Capacity to Detect and Respond to
Food Safety Problems'') supports the position that Congress did not
intend for the same terms to be read narrowly in the context of section
422 of the FD&C Act. These comments indicate that the economic analysis
accompanying the proposed rule estimated that far fewer tests would be
subject to the LAAF program under section 422(b)(1)(A) than under
section 422(b)(1)(B) of the FD&C Act.
(Response 35) The phrase, ``identified or suspected food safety
problem,'' appears twice in section 422(b)(1)(A) of
[[Page 68750]]
the FD&C Act and therefore helps demarcate which testing will be
covered by this subpart. The statute does not define either
``identified or suspected food safety problem,'' or ``food safety
problem,'' nor do those phrases appear elsewhere in the body of FSMA.
As referenced above, the phrase, ``food safety problem'' appears in the
FSMA titles: Title I, ``Improving Capacity to Prevent Food Safety
Problems,'' and Title II, ``Improving Capacity to Detect and Respond to
Food Safety Problems.'' Comments urge us to infer from the breadth of
the various provisions within each of those two titles, that when
Congress used the same phrase in section 422(b)(1)(A) of the FD&C Act,
it intended the phrase to be broadly interpreted. However, we cannot
impute such an intention to Congress without some indication of that
intent in section 422 of the FD&C Act or the legislative history.
Indeed, one could reasonably infer the opposite--that from the breadth
of the provisions within FSMA Titles I and II, Congress must have
intended for the phrase, ``food safety problems'' to have different
meanings in different contexts. In sum, ``food safety problem'' is not
defined in the statute, and thus it falls to FDA to elaborate on its
meaning.
In the proposed rule, we looked at other FSMA standards and other
FSMA regulations, before making the tentative conclusions described
above in Comment 35. We finalize those conclusions without change.
In this vein, we observe that the purpose of routine product and
environmental testing under the preventive controls regulations is to
verify that preventive controls are consistently implemented and are
effective (Sec. Sec. 117.165(a) and 507.49(a)). Accordingly, such
testing does not address an identified or suspected food safety
problem, and is not covered by this subpart.
(Comment 36) In the proposed rule, we tentatively concluded that
although section 422(b)(1)(B)(i) of the FD&C Act requires testing, ``in
support of admission of an article of food under section 801(a)'' to be
conducted under this subpart, it was reasonable not to apply section
422(b)(1)(B)(i) to food testing related to FSVP. We explained that
under section 801(a)(3) of the FD&C Act, FDA may refuse admission of an
article of food if the food is, or appears to be, adulterated or
misbranded. When FDA determines that an article of food is, or appears
to be, adulterated or misbranded, we must notify the owner or consignee
of our determination, and state the reason(s) for such determination
(Sec. 1.94(a)). FDA must also specify a period of time during which
the owner or consignee may introduce testimony relevant to the
admissibility of the article of food. Id. Owners or consignees often
engage laboratories to test the food and then introduce the test
results (along with associated data and analysis) as evidence that the
food is admissible. If FDA determines that the sampling methods and
testing results are valid and indicate that the article of food does
not appear to violate the FD&C Act, FDA will determine that the article
of food is admissible, release it from detention, and permit its
entrance into the United States. Thus, the focus of section
422(b)(1)(B)(i) of the FD&C Act is the characteristics of an article of
food that is pending at the border. Under Sec. 1.1107(a)(4) of this
final rule, the testing obtained by the owner or consignee and
submitted as testimony to support release of the article of food from
detention, must be conducted under this subpart.
FSMA amended the FD&C Act to add section 805, ``Foreign Supplier
Verification Program,'' to require persons who import food into the
United States to perform risk-based foreign supplier verification
activities for the purpose of verifying that imported food meets
applicable U.S. safety requirements. The FSVP regulation, codified in
Sec. Sec. 1.500 through 1.514, specifies the foods and importers to
which the FSVP regulation applies and establishes requirements related
to supplier verification. Depending on the circumstances, sampling and
testing of a food may be an appropriate supplier verification activity.
See Sec. 1.506(d)(1)(ii)(B). If an FSVP importer fails to comply with
the FSVP regulations for a particular food, that food may be refused
admission under section 801(a)(3) of the FD&C Act.\4\ However, such
refusal is not because the article of food pending at the border is, or
appears to be, adulterated or misbranded. Instead, the refusal is a
consequence of the importer's failure to comply with its FSVP
obligations. Testing the article of food detained at the border in this
instance would have no impact on its admissibility under section
801(a)(3) of the FD&C Act, because the detention is due to the
characteristics of the importer. In the proposed rule we tentatively
concluded that, because the focus of the FSVP provision in section
801(a)(3) of the FD&C Act is entirely different than the focus of the
circumstances addressed by section 422(b)(1)(B)(i) of the FD&C Act, it
is reasonable not to apply the latter subpart to the testing of food
conducted under FSVP.
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\4\ For more information on FSVP, see https://www.fda.gov/food/food-safety-modernization-act-fsma/fsma-final-rule-foreign-supplier-verification-programs-fsvp-importers-food-humans-and-animals.
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Several comments agree with our reasoning regarding testing under
FSVP and our proposal that such testing not require use of a LAAF-
accredited laboratory. However, other comments disagree, expressing the
perspective that as the proposed rule would cover testing to support
removal from import alert, it seems more consistent with the FSMA
framework to also require testing related to FSVP to be conducted under
this subpart. We understand these comments to mean that, because FSVP
addresses the safety of food imports, and testing related to import
alerts also addresses the safety of food imports, FDA is being
inconsistent in covering import alert testing under this subpart, but
not testing related to FSVP. These comments further suggest that we not
require test results related to FSVP to be sent directly to FDA. The
comments do not explain why FSVP tests, which they argue should be
subject to this subpart, should nevertheless be excepted from the
requirement that all test results under this subpart be submitted
directly to FDA.
(Response 36) We disagree that our determinations regarding testing
related to FSVP are inconsistent with covering testing to support
removal from import alert under this subpart. As an initial matter, the
section of the statute authorizing the LAAF program explicitly directs
that testing to support removal from import alert be subject to this
program, and does not mention FSVP. Further, for the reasons discussed
in the proposed rule and briefly described in the comment summary
above, we conclude that it is reasonable not to apply section
422(b)(1)(B)(i) of the FD&C Act to food testing related to FSVP. These
comments do not explain why FSVP test results would warrant an
exception from the Sec. 1.1152(b) requirement to submit all tests
results under this program directly to FDA, and as the final rule will
not cover testing related to FSVP, the suggestion is inapplicable.
(Comment 37) Some comments agree with our tentative conclusion in
the proposed rule that the routine product and environmental testing
that occurs pursuant to a preventive controls food safety plan should
not require the use of a LAAF-accredited laboratory. Some of these
comments encourage FDA to make explicit in the final rule that routine
product testing under the preventive control regulations is performed
to verify that applied controls have been
[[Page 68751]]
effective, and not to address an identified or suspected food safety
problem, and therefore is not covered by the laboratory accreditation
final rule. Some comments also request that FDA clarify that
environmental testing conducted in response to routine environmental
monitoring results indicating the presence of a pathogen or indicator
organism would not typically be considered testing conducted to address
an identified or suspected food safety problem, and would therefore
typically fall outside the scope of the laboratory accreditation final
rule. According to these comments, facilities should have an
opportunity to perform an analysis of the root cause for the
environmental positive, take corrective actions and conduct additional
testing as needed, before FDA determines that an identified or
suspected food safety problem exists and possibly warrants testing by a
LAAF-accredited laboratory.
On the other hand, some comments urge FDA to include within the
purview of this final rule all food testing required by our
regulations, and at a minimum the verification testing and followup
testing conducted under the preventive controls and FSVP
regulations.\5\ Some of these comments contend that FDA has
misinterpreted the statute, and claim that section 422(b)(1)(A) of the
FD&C Act grants broad discretion to FDA to require use of a
participating laboratory in such circumstances.\6\ Some comments
highlight the language in section 422(b)(1)(A)(ii) of the FD&C Act,
which states in relevant part, ``as the Secretary deems appropriate, to
address an identified or suspected food safety problem,'' and argue
that such language grants FDA ``expansive'' authority for the final
rule to cover circumstances where either FDA or facilities themselves
have identified a food safety hazard and are using testing as part of
the approach to address the hazard. Such comments express the view that
if FDA does not require more domestic food testing to be conducted
under this program, FDA is failing to address food safety problems as
Congress intended. Comments encourage the Agency to adopt a broader
statutory interpretation of section 422(b)(1)(A) of the FD&C Act even
if we do not expand the testing subject to the final rule, so that we
may preserve the authority to add more testing to Sec. 1.1107 in the
future.
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\5\ Some comments refer to ``corrective action testing;'' we
have changed the phrase to ``explicit followup testing.'' See
Response 31.
\6\ Some comments imply that the testing required under section
422(b)(1)(A) of the FD&C Act is limited to domestic food production
circumstances. However there is nothing in the statute that limits
section 422(b)(1)(A) to testing of food produced domestically, and
accordingly Sec. 1.1107(a)(1)-(3) of this final rule also refrains
from imposing that limitation.
---------------------------------------------------------------------------
In support of their contentions, some comments offer an example of
a Georgia food processing facility that was conducting environmental
testing as required by the preventive controls for human food
regulation but whose products (boiled eggs) nevertheless caused an
outbreak, which, according to the comments, calls into question the
accuracy of the test results and the quality of the facility's testing
program.
These comments posit that perhaps FDA did not propose to include
testing related to the preventive controls or FSVP regulations within
the scope of this subpart because testing under those regulations is
not always required; depending on the circumstances the facility or
importer may find other actions sufficient. These comments find such
reasoning unpersuasive because in their view, whenever testing is
required as a verification or followup activity under the preventive
controls or FSVP regulations, the testing is being conducted ``in
response'' to a regulatory requirement and so is covered by section
422(b)(1)(A) of the FD&C Act.
These comments alternatively posit that perhaps FDA did not propose
to cover preventive controls and FSVP testing because this approach
might be burdensome for industry. According to these comments, if that
is the case, then such concerns could be addressed by providing
additional time for implementation; further, any such concerns would be
offset by the positive health and economic benefits that they suggest
testing would create by preventing outbreaks.
(Response 37) Some comments contend that section 422(b)(1)(A) of
the FD&C Act grants FDA broad discretion to require testing to be
conducted under this subpart. We address the two subparagraphs of
section 422(b)(1)(A) in turn.
Section 422(b)(1)(A)(i) of the FD&C Act
Section 422(b)(1)(A)(i) of the FD&C Act provides that testing must
be covered by this program when the testing is conducted, ``in response
to a specific testing requirement under this Act or implementing
regulations, when applied to address an identified or suspected food
safety problem.'' We discussed our interpretation of ``identified and
suspected food safety problem'' in Response 35, above, and concluded
that routine product and environmental testing that occurs pursuant to
a preventive controls food safety plan (Sec. Sec. 117.165(a) and
507.49(a)) is not covered by this subpart. We turn now to our
interpretation of the phrase, ``in response to a specific testing
requirement under this Act or implementing regulations.''
In the proposed rule, we tentatively interpreted, ``specific
testing requirement under this Act or implementing regulations'' to
mean that this subpart would cover food testing explicitly required by
a statutory or regulatory provision. 84 FR 59452 at 59462. We
identified nine testing requirements in FDA regulations that were both
explicit and address an identified or suspected food safety problem:
Five testing requirements in the egg safety rule (Sec. Sec.
118.4(a)(2)(iii), 118.5(a)(2)(ii), 118.5(b)(2)(ii), 118.6(a)(2), and
118.6(e)), three in the standards for the growing, harvesting, packing,
and holding of sprouts (Sec. 112.146(a), (c), and (d)), and one in our
regulations on the processing and bottling of bottled drinking water
(Sec. 129.35(a)(3)(i)).
Comments do not directly dispute our proposed interpretation of the
term, ``specific,'' but some contend that all food testing requirements
in our regulations should be covered by this subpart. However, the
statute only authorizes testing to be covered by this subpart if it is
both an explicit testing requirement and a testing requirement that
addresses an identified or suspected food safety problem. Not all food
testing requirements in FDA regulations satisfy those two prongs of
section 422(b)(1)(A)(i) of the FD&C Act. Indeed, if Congress had
intended for all food testing required by FDA regulations to be covered
by this program, they could have said so.
Some comments argue that testing under the preventive controls and
FSVP regulations falls within the purview of section 422(b)(1)(A)(i) of
the FD&C Act. More specifically, these comments identify the testing
done to verify the effectiveness of controls, or as part of corrective
actions taken when issues are identified, as testing that should be
covered by this subpart.
First, these comments discuss testing in relation to FSVP jointly
with testing under the preventive controls regulations. However, we
have already concluded that testing related to FSVP is not covered by
this subpart (see Response 36); for the remainder of this response we
consider comments just in relation to the preventive controls
regulations.
Some comments acknowledge that the preventive controls regulations
do not always require testing. Briefly, the preventive controls
regulations apply to most registered food facilities. A wide variety of
registered food facilities process, manufacture, pack, or hold all
[[Page 68752]]
kinds of foods, so these regulations are structured to address a
plethora of circumstances. Under the preventive controls regulations,
facilities are responsible for analyzing food safety hazards to
determine if there are hazards requiring a control and then developing
and implementing a plan for the control of those hazards. The
regulations are written to provide significant flexibility to
facilities, and that flexibility is reflected in the provisions that
address testing.
For example, facilities must verify that their controls are being
consistently implemented and are effective at minimizing or preventing
the identified hazards. The regulations identify testing as one
verification activity, but the facility is responsible for determining
which verification activities are appropriate in their particular
circumstances. By way of another example, facilities must establish and
implement corrective action procedures that must be taken if a
preventive control was not properly implemented. See Sec. Sec.
117.150(a) and 507.42(a). A routine verification test indicating the
presence of a pathogen or indicator organism in a ready-to-eat product
would signal that a preventive control was not properly implemented.
See Sec. 117.150(a)(1). In certain circumstances, followup testing
would be one appropriate corrective action a facility could take in
response to such a signal. However, the regulations do not prescribe
exactly when followup testing is required, instead placing the
responsibility for making that determination on the facility.
Comments argue that because any verification or followup testing
that occurs under the preventive controls regulations is ``in
response'' to the regulations, such tests fall within the purview of
section 422(b)(1)(A)(i) of the FD&C Act. These comments may prefer that
the word, ``specific'' not appear in section 422(b)(1)(A)(i) of the
FD&C Act, but it does, and it must be given meaning. Regulatory
provisions that confer significant discretion on regulated entities for
determining when food testing is necessary, are not explicit testing
requirements and therefore are not covered by this subpart. We finalize
our proposed interpretation of ``specific'' testing requirements
without change and conclude that neither routine verification testing
nor followup testing under the preventive controls regulations is
covered by this subpart using our section 422(b)(1)(A)(i) authority.
Some comments opposing our interpretation of section
422(b)(1)(A)(i) of the FD&C Act discuss whether we chose not to include
verification and followup testing under the preventive controls
regulations because it would place a greater burden on those
facilities. Comments state that if that is the case, our concerns could
be addressed by providing more time for such entities to comply with
this final rule. Comments also state that there would be public health
benefits from requiring the use of a LAAF-accredited laboratory for
such testing. However, as discussed above, we have determined that the
regulatory provisions describing verification and followup testing in
the preventive controls regulations are not explicit testing
requirements, and therefore we do not interpret them to satisfy the
statutory requirements of section 422(b)(1)(A)(i).
For the foregoing reasons, we conclude that we have properly
identified the nine FD&C Act testing requirements that are currently
covered by this subpart under our section 422(b)(1)(A)(i) authority. It
is possible that in the future, FDA may require additional specific
followup testing in FD&C Act regulations, and that testing would be
covered by this subpart. However for now, we finalize Sec.
1.1107(a)(1) without change.
Section 422(b)(1)(A)(ii) of the FD&C Act
Section 422(b)(1)(A)(ii) authorizes FDA to require testing to be
conducted under this subpart, ``as required by the Secretary, as the
Secretary deems appropriate, to address an identified or suspected food
safety problem.'' In the final rule we rely on this statutory provision
to require that testing conducted pursuant to a directed food
laboratory order be conducted under this subpart; see Sec. 1.1108.
Very briefly, as we interpret this statutory provision, directed food
laboratory orders will generally be limited to the rare situations when
we have reason to question the accuracy or reliability of past or
present test results, and an identified or suspected food safety
problem exists. (The directed food laboratory order is discussed in
Comment 41 through Comment 56 and Responses, below.) We also rely on
our section 422(b)(1)(A)(ii) authority to require in the final rule
that testing related to certain administrative proceedings be conducted
under this subpart; see Sec. 1.1107(a)(3). (For discussion of the use
of section 422(b)(1)(A)(ii) authority to cover certain administrative
proceedings testing under this subpart, see the proposed rule (84 FR
59452 at 59463-64)). We agree with those aspects of comments noting
that the language of section 422(b)(1)(A) of the FD&C Act is broad
enough that, in the future, we could cover additional testing under
this subpart by relying on that authority. This could occur if we deem
it appropriate to expand this program to cover additional testing, and
the additional testing addresses an identified or suspected food safety
problem. Further, we intend to make such a change only through notice-
and-comment rulemaking.
Some comments request that FDA clarify that environmental testing
conducted in response to routine environmental monitoring results
indicating the presence of a pathogen or indicator organism would not
typically be considered testing conducted to address an identified or
suspected food safety problem, and would therefore typically fall
outside the scope of the laboratory accreditation final rule. We have
determined that the routine verification and followup testing
provisions in the preventive controls regulations do not state explicit
testing requirements and are therefore not appropriate to include in
Sec. 1.1107(a)(1); therefore, they will typically fall outside the
scope of this final rule. We have also determined that routine
verification testing that occurs pursuant to a preventive controls food
safety plan (Sec. Sec. 117.165(a) and 507.49(a)) does not address an
identified or suspected food safety problem (Response 35). However,
followup testing in response to routine verification test results
indicating the presence of a pathogen or indicator organism in either a
food product or the food production environment may qualify as testing
that addresses an identified or suspected food safety problem,
depending on the circumstances. We affirm the statement we made in the
proposed rule that, depending on the circumstances, a positive
indicator organism test would not necessarily constitute a suspected
food safety problem; for example, a single positive Listeria spp. on a
food contact surface in a facility would not necessarily constitute a
suspected food safety problem. However, when a routine verification
test of a food product indicates the presence of a pathogen, in many
circumstances we would conclude that there is at least a suspicion of a
food safety problem. For example, the presence of Salmonella in nuts
indicates a suspicion of a food safety problem, but the presence of
Bacillus cereus in tree nuts is not likely to indicate a food safety
problem, since the organism cannot grow to the high numbers needed to
cause illness due to the low water activity of tree nuts. Additionally,
in many circumstances a
[[Page 68753]]
routine environmental monitoring test result indicating the presence of
a pathogen in a facility producing a ready-to-eat product could be
classified at least as a suspected food safety problem.
Followup testing that addresses an identified or suspected food
safety problem under the preventive controls regulations--or in the
context of the FD&C Act, or any FDA food safety regulation--may fall
within the purview of section 422(b)(1)(A)(ii) of the FD&C Act. Under
this final rule, this means that such testing may be the subject of a
directed food laboratory order under Sec. 1.1107(a)(2), and may be the
subject of the testing in certain administrative proceedings described
in Sec. 1.1107(a)(3). We do not anticipate frequent testing under
Sec. 1.1107(a)(2) or (3); as a result, under this final rule, followup
testing that addresses an identified or suspected food safety problem,
but that is not expressed in an explicit testing requirement, will
typically fall outside the scope of this subpart. Again, were we to
seek to expand the testing subject to this final rule, we would go
through the rulemaking process. (For discussion of the circumstances in
which we anticipate issuing a directed food laboratory order, see
Response 47.)
We do not agree that the 2019 foodborne illness outbreak linked to
hard-boiled eggs and cited in comments is evidence that this final rule
should generally cover routine verification and followup testing under
the preventive controls regulations. In the above-referenced situation,
the facility was processing shell eggs into hard-boiled egg products;
the hard-boiled eggs were linked to an outbreak of Listeria
monocytogenes infections. The facility was processing a ready-to-eat
product that was exposed to the facility environment prior to
packaging; in those circumstances, the preventive controls for human
food regulation generally requires that the facility establish
sanitation controls verified in part by an environmental monitoring
program that involves regularly testing the facility environment. See
Sec. 117.165(a)(3). We thus maintain the view that the existing
preventive controls for human food regulation adequately covers this
situation. When FDA collected environmental samples as part of its
investigation, the facility did as well. There would be no point in
requiring tests such as those taken by the facility to be subject to
this subpart when FDA was onsite to conduct its own investigational
tests. Indeed, the tests of environmental samples the facility
collected alongside FDA inspectors would not be categorized as
verification or followup tests, and thus would not fall within the
purview of this final rule, even if the rule did cover these test
categories.\7\
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\7\ Comments also state that the facility in question engaged a
laboratory to validate a process control, but comments do not
suggest that this final rule should cover such testing.
---------------------------------------------------------------------------
As support for their argument that FDA is applying section
422(b)(1)(A) of the FD&C Act too narrowly, some comments state that the
economic analysis accompanying the proposed rule indicated that many
more tests would be conducted under this subpart stemming from section
422(b)(1)(B) than section 422(b)(1)(A). The economic analysis
accompanying a rule simply reflects the rule it analyzes; this point
appears to be another facet of the argument that we have misinterpreted
the statute. We disagree for the reasons already stated.
We also disagree that in issuing this final rule FDA is falling
short of addressing important food safety problems. For the reasons
discussed throughout this response, we believe we have interpreted the
statute appropriately, and we look forward to achieving significant
public health benefits as a result of this rule (Ref. 4).
(Comment 38) Some comments generally urge a broader scope for the
laboratory accreditation final rule. Some of these comments discuss the
critical role food laboratories play in helping to keep the food supply
safe, including the corresponding need for accurate and reliable
results, and therefore seek Federal oversight of all food testing
laboratories. Some of these comments advocate for a requirement that
all food testing laboratories be accredited, which we understand to
mean either that these comments express the belief that all food
testing laboratories should be required to be accredited to ISO/IEC
17025:2017, or should be subject to LAAF-accreditation under this
subpart. Other comments suggest that all laboratories that test food
for human consumption should be required to satisfy the baseline
requirement of this final rule and be accredited to ISO/IEC 17025:2017.
These latter comments suggest that the additional requirements of this
final rule could then be reserved just for the testing identified in
Sec. 1.1107(a).
(Response 38) We appreciate the critical role that all food testing
laboratories play in helping to keep the food supply safe, and we
acknowledge the importance of accurate and reliable test results.
However, section 422 of the FD&C Act does not contemplate FDA
regulation of all food testing laboratories, or of all laboratories
that test food for human consumption. We therefore do not require that
all food testing, or human food testing, laboratories be accredited to
ISO/IEC 17025:2017 or comply with the laboratory requirements in this
subpart.
(Comment 39) Some comments request additional information about the
role the LAAF-accredited laboratories will play in relation to food
manufacturing facilities that are subject to required product or
environmental testing under the final rule. These comments assert that
the proposed rule was ``not clear regarding the level of authority an
accredited lab has in order to perform on-site collection activities at
food manufacturing facilities.'' These comments recommend that FDA
clarify in the final rule the roles and responsibilities of the
participating laboratory and facility, such as which information and
records the facility would be required to make available to the
laboratory.
(Response 39) We believe these comments misunderstood the proposed
rule. When food testing is required to be conducted under this subpart,
an owner or consignee must use a LAAF-accredited laboratory. However,
the owner or consignee will select a LAAF-accredited laboratory from
the online registry (see Sec. 1.1109), and engage the laboratory, and
that laboratory will have no more authority over the owner or consignee
than specified in the business arrangement between the parties. The
final rule requires that the sample be collected by a person qualified
by training or experience to do so, and requires certain sampling
documents (Sec. 1.1149), but the owner or consignee may select any
sampler or sampling firm it likes, as long as the entity or person is
qualified and will provide the documentation required under the final
rule. Sometimes owners or consignees collect their own samples,
sometimes they engage third-party sampling firms, and sometimes they
pay the laboratory that will analyze the sample to collect the sample.
Under this subpart, that choice remains with the owner or consignee.
Therefore, FDA declines to further articulate any roles or
responsibilities of these parties beyond the requirements of the final
rule.
(Comment 40) In the proposed rule, for imported food, we provided
that testing under this rule generally could only be conducted on
samples taken after the articles of food have arrived in the United
States. We proposed one exception to that policy, where FDA determines
that a sample taken prior to arrival is representative of the article
of food offered for import. We said that we would make such a
determination on a
[[Page 68754]]
case-by-case basis. We received several comments on this aspect of our
proposal.
First, some comments appear to understand that we proposed that
sampling prior to arrival may be allowed in certain circumstances, but
they seem unsure whether testing prior to arrival may also be allowed.
These comments ask whether foreign laboratories could participate in
this program and encourage FDA to clarify the extent to which the
requirements of this final rule would apply to such foreign
laboratories.
Some comments support allowing sampling and testing prior to
arrival in certain circumstances, such as sampling for removal from
import alert. Other comments maintain that we should allow no
exceptions to the policy that sampling of imports occur after arrival
in the United States. These comments opine that allowing sampling prior
to entry would amount to ``self-policing'' by the owner or consignee.
They also argue that allowing sampling prior to entry would ignore the
risk that changes may occur during transit that would impact the test
results. They view the proposed exception as creating a public health
concern.
Additionally, some comments in favor of the proposed policy suggest
that when FDA determines that a sample taken prior to entry is or would
be representative of the article of food offered for import, FDA should
make its determination publicly and widely available (i.e., ``publish''
it).
(Response 40) To clarify, foreign laboratories may seek LAAF-
accreditation to conduct food testing under this subpart. All
laboratories that choose to participate, whether foreign or domestic,
must meet the same accreditation standards and comply with all
provisions of the final rule (see section 422(a)(5) of the FD&C Act).
There is no requirement that testing of imports subject to this rule
must be conducted by a laboratory in the United States; testing may be
conducted by any LAAF-accredited laboratory, regardless of location.
However, we are finalizing the proposed policy that under this subpart,
sampling generally must occur after arrival in the United States,
unless FDA has granted an exception. This requirement protects public
health by helping to ensure that the test results we are relying on to
make admissibility decisions accurately reflect the conditions of the
article of food when offered for import into the United States.
At the same time, we disagree with the comments contending that all
import sampling should occur after arrival without exception. We are
finalizing the proposed exception for those situations in which we
determine that food sampled prior to export is representative of the
article offered for import (Sec. 1.1107(c)). The FDA determination to
grant the exception must be received by the owner or consignee, in
writing, prior to testing of samples taken prior to arrival in the
United States (id.). We generally would base such a determination on
specific circumstances of each shipment (e.g., characteristics of the
product and analyte, specifics of packaging and transportation) and
grant any exceptions on a case-by-case basis. We decline the suggestion
to publish our determinations of scenarios where a sample taken prior
to arrival is or would be representative of the article of food offered
for import because we expect our determinations to be situation-
specific. We may consider issuing guidance in the future on the factors
we evaluate in making such determinations, which we believe would be
more useful to our constituents than case-by-case publication.
It is possible that we could make such a determination for an
article of food subject to DWPE (on an import alert). Again, any such
determination generally would be made on a case-by-case basis, based on
clear evidence that the product sampled is representative of the
product offered for import (see Sec. 1.1107(c); 84 FR 59452 at 59465).
In the proposed rule, we solicited feedback on whether circumstances
warrant application of the exception broadly, for instance, to a
particular commodity or analyte generally. We received no comments with
suggestions for broader applications of the exception.
As discussed in Response 101, the rule does not prohibit owners or
consignees from collecting a sample or conducting their own test, as
long as all the requirements of the rule are satisfied.
2. When and how will FDA issue a directed food laboratory order (Sec.
1.1108)?
Proposed Sec. 1.1108 described the circumstances under which we
would issue a food testing order. Paragraph (a) described when we would
require an owner or consignee to have food testing conducted under this
subpart (``. . . to address an identified or suspected food safety
problem related to the article of food.'') Proposed Sec. 1.1108(b) and
(c) also specified what we would include in the order (e.g., the food
product or environment to be tested, any particular methods, and other
elements required by part 16 (21 CFR part 16) related to a regulatory
hearing). As previously discussed, we have changed the terminology in
this section from ``food testing order'' to ``directed food laboratory
order,'' and to avoid confusion we use the new term throughout this
document, even when referring to discussions in the proposed rule.
On our own initiative, we made a few revisions to this section. We
revised the proposed rule section title, ``When and how will FDA issue
a food testing order?'' to ``When and how will FDA issue a directed
food laboratory order?'' in the final rule and made changes in the
section to incorporate revised terminology. We removed the unnecessary
phrase, ``related to the article of food'' in Sec. 1.1108(a). We also
removed the phrase, ``of an article of food'' from Sec. 1.1108(a)
since the definition of owner or consignee in Sec. 1.1102 specifies
interest related to the food product or environment subject to food
testing. We also made minor editorial changes to this section.
Many comments support the rulemaking and the Agency's efforts to
implement section 422 of the FD&C Act; however, they do not support the
directed food laboratory order provision. Some comments raise
``substantial'' concerns with the Agency's proposal, specifically
legal, policy, and practical aspects of the proposed rule with respect
to directed food laboratory orders. We address these comments below.
(Comment 41) A number of comments argue that the Agency lacks
explicit and implied statutory authority in FSMA and the FD&C Act to
issue directed food laboratory orders. The comments conclude that the
Agency is limited by the authority delegated by Congress in FSMA and
under the FD&C Act, and that because neither the plain terms nor the
core purpose of the relevant sections of the statute contemplate
directed food laboratory orders, there is no explicit authority to
issue a directed food laboratory order.
The comments further argue that the Agency has misinterpreted
section 422(b)(1)(A)(ii) of the FD&C Act as providing implied authority
to issue directed food laboratory orders. Comments explain that section
422(b)(1)(A)(ii) is limited by section 422(b)(1)(A)(i) because the
clauses are linked by the word, ``and'' and therefore must be read
conjunctively. To support this interpretation, several comments cite
the plain language of the statute and case law in support of the
associated canon of statutory interpretation. Comments assert a
presumption that Congress intended ``and'' to be read
[[Page 68755]]
conjunctively. Some comments indicate that even though sections
422(b)(1)(A)(i) and 422(b)(1)(A)(ii) of the FD&C Act repeat the phrase,
``to address an identified or suspected food safety problem,'' this
repetition does not support reading the ``and'' disjunctively to
signify ``or.'' To support this position, the comments cite the case of
Loving v. IRS (917 F. Supp.2d 67), in which the D.C. Circuit Court
rejected the IRS argument that existence of overlapping or redundant
statutory language should override the plain meaning of ``and.'' The
comments thus conclude that the statute may only be read to require
food testing under this subpart in two circumstances, as opposed to the
five circumstances specified in Sec. 1.1107 of the proposed rule.
Interpreting the statute in this way to require food testing in
only two circumstances, some comments claim that the two circumstances
when LAAF-accredited laboratories must be used are when food testing is
conducted: (1) In response to a specific testing requirement under the
FD&C Act or implementing regulations, when applied to address an
identified or suspected food safety problem and as required by the
Secretary, as the Secretary deems appropriate, to address an identified
or suspected food safety problem or (2) in support of admission of an
article of food under section 801(a) of the FD&C Act and under an
import alert that requires successful consecutive tests. Comments add
that even if the plain meaning is proven otherwise to read the ``and''
disjunctively, it still does not provide the Agency with discretionary
authority to issue directed food laboratory orders. Comments urge that
this authority cannot be expanded even if the intent is to further the
goals of Congress.
Comments explain that the plain language of the statute requires
that section 422(b)(1)(A) of the FD&C Act apply only ``in response to''
and ``to address'' a food safety problem, not to seek one out. Were
directed food laboratory orders implemented as proposed, comments argue
that this approach would create an additional investigative tool not
contemplated by the statute. Comments express that FDA already has the
authority to conduct food testing and to choose a laboratory. Comments
state further that there is no evidence that Congress intended to shift
the Agency's responsibilities to owners and consignees.
Some comments state that any authority provided under section 422
of the FD&C Act to require food testing under this subpart, absent an
explicit requirement in statute or regulation to conduct testing, must
only apply in narrow circumstances where the basis for the food safety
problem has been established. These comments state they would support
testing by accredited laboratories as part of evidence for a hearing
prior to the issuance of a mandatory recall order, an order suspending
a food facility's registration, or an administrative detention order.
Likewise, other comments add support for the Agency to issue a directed
food laboratory order as part of the corrective action plan after a
facility's registration has been suspended.
Some comments echo the call for FDA to keep the scope of the rule
narrow and support applying the rule to specific testing requirements
in FDA's regulations, e.g., certain post-remediation testing after E.
coli has been identified in the source water for bottled drinking
water.
A few comments characterize Congress's grant of authority to the
FDA to address an ``identified or suspected food safety problem'' in
FSMA as broad and state that these terms were not defined; however, the
comments do not support the use of the statute to add what they view as
a new enforcement tool, namely, the directed food laboratory order.
These comments seek additional background regarding how this tool fits
with other FDA authorities as they did not anticipate the Agency
implementing the statute through the use of directed food laboratory
orders as set forth in the proposed rule.
(Response 41) We disagree with the assertions in the comments that
the Agency lacks the statutory authority to issue directed food
laboratory orders. Section 422(b)(1)(A)(ii) provides authority for
testing under this subpart ``as required by the Secretary, as the
Secretary deems appropriate, to address an identified or suspected food
safety problem.'' The ``and'' joining the two clauses in sections
422(b)(1)(A) and (B) is appropriately read as joining lists containing
two separate and distinct circumstances. Reading the ``and''
conjunctively as some comments urge would create an absurd result since
both clauses of 422(b)(1)(A) repeat the phrase, ``to address an
identified or suspected food safety problem.''
We also disagree with the notion that directed food laboratory
orders would inappropriately shift the burden of testing to owners or
consignees. The responsibility to produce safe food rests with the food
producers. Food testing by LAAF-accredited laboratories under this
subpart will provide assurance of the accuracy of the results conducted
in response to identified or suspected food safety problems of
significance to public health and will better enable both the Agency
and the owner or consignee to act in the best interest of public
health.
As we discuss below in Response 47, we believe the circumstances in
which we anticipate using a directed food laboratory order and the
examples provided demonstrate that a directed food laboratory order
will be used ``to address'' an identified or suspected food safety
problem.
We also disagree with aspects of comments asserting that the basis
for the food safety problem must be ``established'' in order for food
testing to be subject to this subpart. The statutory standard for when
the Agency may issue a directed food laboratory order is explicitly set
forth in section 422(b)(1)(A)(ii) of the FD&C Act: Such an order may be
issued ``as required by the Secretary, as the Secretary deems
appropriate, to address an identified or suspected food safety
problem.''
As proposed, we agree that this subpart will apply to testing in
relation to certain administrative proceedings. Under Sec.
1.1107(a)(3), certain testing as part of evidence for a hearing prior
to the issuance of a mandatory recall order, as part of the corrective
action plan after a food facility's registration has been suspended, as
well as an appeal of an administrative detention order, is subject to
this subpart.
(Comment 42) Several comments argue that the directed food
laboratory order provision violates the Administrative Procedure Act (5
U.S.C. 551 et seq.) (APA), because the proposal lacked a reasoned
explanation for the provision and contained insufficient detail to
facilitate meaningful public comment. These comments conclude that
finalizing the directed food laboratory order provision as proposed
would put this tool at risk of being invalidated if challenged as
arbitrary and capricious under the APA. Some comments state that the
Agency can finalize the laboratory accreditation rule and meet all
statutory obligations without issuing directed food laboratory orders
and therefore conclude directed food laboratory orders are not ``fit
for purpose.''
Many comments state that directed food laboratory orders are not
aligned with the purpose and principles of FSMA and the intent of
section 422 of the FD&C Act. Comments state that Congress's purpose in
section 422 of the FD&C Act is to address the practice of importers
engaging in ``laboratory shopping'' (i.e., a practice whereby an owner
or consignee sends samples to several laboratories in hopes that one
will return results indicating the sample complies with FDA
requirements and if
[[Page 68756]]
so, the owner or consignee submits only that result to FDA) by
requiring that food testing results be sent directly to the Agency;
these comments argue that the directed food laboratory order provision
of the proposed rule does not advance this objective.
Other comments frame the purpose of section 422 of the FD&C Act as
ensuring reliable and accurate test results. These comments counter
that instead of supporting this purpose, the proposed directed food
laboratory order creates a new investigatory and enforcement tool for
FDA, which is unnecessary given the Agency's existing enforcement
tools; namely, that FDA may already sample the product and the
environment and choose the laboratory to conduct the analysis. Comments
state that Congress carefully considered which additional tools were
necessary through FSMA and did not contemplate a duplicative
enforcement tool. Comments state that there is no indication that
Congress intended to shift this burden to industry through directed
food laboratory orders in section 422 of the FD&C Act and that doing so
would be unfair. Comments suggest that additional Agency funding is the
more appropriate solution to address limited Agency resources. Several
comments offer revisions to the directed food laboratory order
provision that they consider necessary to link the proposed provision
to the purpose of the statute. Additionally, some comments indicate
that facilities must implement environmental and product testing
according to food safety plans under other FSMA provisions and FDA may
review this information during routine inspections; comments express
the belief that this represents sufficient oversight into testing
methodology, laboratory choice, procedures, and test results. In sum,
comments argue that without a demonstrated concern with laboratory
integrity and a public health need, directed food laboratory orders are
inappropriate and outside the scope of section 422 of the FD&C Act.
Comments argue that the proposed rule preamble provided limited
information regarding the Agency's need or justification for directed
food laboratory orders, such as historical events or situations when
such orders would have been useful. Regarding the justification, many
comments state that the preamble fails to explain the problem directed
food laboratory orders are intended to address, as there is no
documented issue regarding the reliability of test results that would
warrant testing by LAAF-accredited laboratories. Some comments state
that without a clear explanation for the Agency's need for what they
perceive as a potentially expansive enforcement tool, comments cannot
support the directed food laboratory order provision. Additionally,
some comments state that the Agency has not considered how the proposed
directed food laboratory order provision would harm industry, including
by increasing costs to food companies associated with the use of LAAF-
accredited laboratories and disrupting production to hold product while
waiting for test results.
Some comments state that in the proposed rule we did not address
operational details of the directed food laboratory order such as who
in FDA would issue such orders, how the orders would be delivered; how
long the directed food laboratory order would be in place; and when and
how a directed food laboratory order would be lifted. We understand
some comments to argue that it was legally necessary for FDA to
describe these operational details in the proposed rule. Finally,
according to some comments, the proposed rule should have reflected
that we considered alternative approaches to the directed food
laboratory order.
(Response 42) The proposed rule contained a reasoned explanation
and sufficient detail on this topic to facilitate meaningful comment
and therefore fully satisfied APA requirements. In the proposed rule we
articulated the legal authority for the directed food laboratory order,
a description of the tool, and the substantive issues involved. We
stated that we were interpreting section 422(b)(1)(A)(ii) of the FD&C
Act to give FDA authority to propose the directed food laboratory
order. We described the proposed content of the directed food
laboratory order (e.g., it will specify the timeframe for the testing,
and any method that must be used). We communicated that the proposed
directed food laboratory order addresses an identified or suspected
food safety problem, and we discussed the meaning of that phrase at
some length. We made clear that the proposed tool could be used to
compel either product or environmental testing and explained our basis
for including environmental testing within the proposed definition of
``food testing.'' We also explained that under the proposed rule owners
or consignees subject to a directed food laboratory order may request a
regulatory hearing.
Comments also argue that the proposed rule was insufficient because
the Agency failed to explain a need for the directed food laboratory
order, for example by describing past enforcement cases in which the
Agency would have found it helpful to employ such a tool. It is true
that we did not describe a past case, but it was clear from the
proposed rule that the tool is directed at unreliable test results in
circumstances where we have reason to suspect, or have identified, a
particular food safety problem for which a particular owner or
consignee is responsible. Further, although we did not discuss our
consideration of alternative approaches in the proposed rule, based on
our knowledge and experience implementing FSMA, we have determined that
the directed food laboratory order is an appropriate application of
section 422(b)(1)(A)(ii) of the FD&C Act. See also, Response 41 and the
analysis of regulatory alternatives to this rule in the FRIA (Ref. 4).
With regard to comments expressing concern that we did not justify
an expansive new tool in the proposed rule, we believe this reflects a
misperception: The directed food laboratory order is a precise new tool
that will help us protect public health in a relatively narrow set of
circumstances. Section 422(b)(1)(A)(ii) of the FD&C Act gives FDA
authority to require testing to be conducted under this subpart as we
deem appropriate, to address an identified or suspected food safety
problem. As we interpret this statutory provision, directed food
laboratory orders will generally be limited to the rare situations when
we have reason to question the accuracy or reliability of past or
present test results, and an identified or suspected food safety
problem exists. (See Response 47 for discussion of the standard; see
Response 35 for discussion of ``identified or suspected food safety
problem.'')
Some comments appear to express doubt that there are ever any
problems with the reliability of food testing conducted by or for
owners or consignees, and claim that because the proposed rule did not
document that such problems exist, and threaten public health, there is
insufficient justification for the directed food laboratory order. We
suspect that this reflects the misperception in some comments regarding
the directed food laboratory order as an expansive new tool, which in
turn may have created a belief that the proposed rule should contain a
lengthy description of widespread problems with the validity of an
array of test results. As clarified above, however, the directed food
laboratory order is not a tool that we expect to apply broadly or
frequently. Rather, it will be applied in particularized circumstances.
If there were never any particularized problems
[[Page 68757]]
with the reliability of food testing conducted by or for owners and
consignees, Congress would not have enacted section 422 of the FD&C
Act. However, in this provision of the FD&C Act, Congress has
specifically reserved for the Agency the authority to require testing
to be conducted under this subpart in circumstances beyond just those
defined by Congress. And, given some of the egregious situations and
behaviors FDA has encountered in enforcing the food safety provisions
of the FD&C Act, many of which have been widely publicized, we do not
believe anyone could reasonably doubt the existence of particular
circumstances in which owners or consignees failed to use a quality,
reliable laboratory and where public health harm resulted. (See
Response 47 for examples of situations in which a directed food
laboratory order may be appropriate.)
Similarly, some comments claim that registered food facilities
conduct routine testing consistent with their obligations under the
preventive controls regulations, and there is no evidence that, ``as a
general matter,'' those test results are unreliable. Again, the
directed food laboratory order is not intended to be applied generally;
it will be applied in response to a particular set of circumstances.
Unfortunately, some registered food facilities do not perform routine
testing in a manner that is consistent with their preventive controls
obligations. We also note that the directed food laboratory order may
be applied to entities that are not subject to the preventive controls
regulations.
One piece of evidence indicating the sufficiency of the proposed
rule with respect to the directed food laboratory order is the quality
of the public comments on the topic. We appreciate commenters' robust
feedback and assure them we have carefully considered their input.
Several comments contained questions, suggestions, and requests
regarding the details of the application of the directed food
laboratory order; to the extent possible, we respond to those comments
in the subsequent responses in this section of the preamble. However,
the fact that such details, including operational details, did not
appear in the proposed rule does not call into question the legal
sufficiency of the proposal. In sum, the proposal adequately apprised
the public of the proposal under consideration in a manner that allowed
for meaningful comment on the directed food laboratory order.
We reject the contention that, because it would be possible to
implement other portions of section 422 of the FD&C Act without the
directed food laboratory order, the tool must not be ``fit for
purpose.'' The degree to which the directed food laboratory order
affects the success of the overall LAAF program framework does not
define its fitness for purpose. The relevant question is whether the
statute authorizes FDA to implement the directed food laboratory order,
which it does, as discussed in Response 41.
In contrast to the contention of some comments, the directed food
laboratory order squarely aligns with both the purpose of FSMA and the
intent of section 422 of the FD&C Act. We particularly agree with those
aspects of comments stating that a central purpose of section 422 of
the FD&C Act is to help ensure accurate and reliable test results in
certain circumstances identified in the statute. Directed food
laboratory orders will serve that purpose by increasing confidence in
testing results in particular circumstances when we have reason to
question the accuracy or reliability of past or present test results
and an identified or suspected food safety problem exists. To the
extent that preventing ``laboratory shopping'' was a purpose of section
422(b)(2) of the FD&C Act, which requires all test results to be
submitted directly to FDA, such purpose must be consistent with the
rest of section 422, including the provision granting discretion to the
Agency to include in this final rule testing, ``as the Secretary deems
appropriate, to address an identified or suspected food safety
problem.'' Section 422(b)(1)(A)(ii) of the FD&C Act.
The central purpose of FSMA was to shift the focus of food safety
efforts to preventing contamination of the food supply, rather than
primarily responding to problems after they occur. Directed food
laboratory orders serve this purpose by addressing the need for
reliable food testing when there are particular circumstances where
past or current testing is suspect and FDA has determined there is an
identified or suspected food safety problem. Testing in such
circumstances would be aimed at gathering trustworthy scientific
information to help FDA and others avoid or mitigate a food safety
event.
Some comments categorize the proposed directed food laboratory
order as a new investigatory and enforcement tool, and maintain that
FDA already has the authority to collect samples and send those samples
to the laboratory of the Agency's choosing. They also state that,
through the preventive controls regulations, FDA already has the
authority to review records of test results when inspecting a
registered food facility, which provides sufficient oversight of such
testing. Again, the directed food laboratory order is a tool that may
be applied to owners and consignees that are not registered food
facilities subject to the preventive controls regulations. Further,
section 422(b)(1)(A) of the FD&C Act makes plain that Congress intended
to require entities to be subject to this subpart even though FDA
already regulates testing for that industry. Accordingly, it is
irrelevant that FDA may already have the authority to collect samples
at an enterprise or review the enterprise's testing records; the
directed food laboratory order is an appropriate new tool authorized by
section 422(b)(1)(A)(ii) of the FD&C Act.
It is also irrelevant whether Congress specifically contemplated
the existence of the directed food laboratory order because Congress
delegated authority to the FDA to require testing to be conducted under
this subpart, as we deem appropriate, when an identified or suspected
food safety problem exists and the codified use of directed food
laboratory orders is fully consistent with the text and purpose of the
statute. We disagree that the directed food laboratory order is a
mechanism to shift the burden of enforcement and investigation onto
private industry or stretch FDA's budget; it is a precise tool that
will be rarely used and is not anticipated to impose significant burden
on regulated entities. We discuss comments on the estimated costs of
the directed food laboratory order in the FRIA (Ref. 4). (For more
information on all the estimated costs and benefits of the final rule,
see the FRIA (Ref. 4).)
(Comment 43) Several comments raise concerns that directed food
laboratory orders will have negative policy implications that the
Agency has not considered. These comments state the belief that
directed food laboratory orders could disincentivize facilities from
implementing ``seek and destroy'' pathogen environmental monitoring.
These comments assert that in response to FSMA, the industry already
has implemented robust environmental monitoring programs. These
comments further argue that the food safety and public health benefits
of these programs could be jeopardized by directed food laboratory
orders and the possibility that a facility's own routine testing could
result in issuance of a directed food laboratory order. These comments
state that uncertainty regarding the timing, duration, and cost
associated with directed food laboratory orders will cause facilities
to avoid routine testing for fear of triggering such an order. A few
comments state that some firms may modify their environmental testing
programs to avoid finding
[[Page 68758]]
positive results, negating what the comments characterize as the
``positive steps'' FDA has taken ``to encourage aggressive
environmental sampling in the 2017 publication of the (``Control of
Listeria monocytogenes in Ready-To-Eat Foods: Guidance for Industry''
draft guidance (Ref. 11)), through the acknowledgment that a finding
for Listeria species on a food contact surface does not render product
adulterated.'' \8\
---------------------------------------------------------------------------
\8\ The ``Control of Listeria monocytogenes in Ready-To-Eat
Foods: Guidance for Industry'' draft guidance describes followup
actions a facility should take in response to a finding of Listeria
spp. on a food contact surface. Although it is true that the draft
guidance indicates that we expect to find Listeria in certain food
facilities, we also expect that such facilities will implement
environmental monitoring plans to find Listeria when present and
take followup actions to ensure that Listeria does not contaminate
food. Our investigators will inspect a facility's environmental
monitoring results and the followup activities the facility performs
in the event of an environmental positive, to ensure that product
does not become adulterated. If we have concerns about the
facility's application of current good manufacturing practices and
preventive controls with respect to L. monocytogenes, we may perform
our own sampling of the facility's environment and may also take
food samples.
---------------------------------------------------------------------------
Some comments express concern that basing a directed food
laboratory order on environmental results increases the risk that the
test results could be taken out of context; several of these comments
mention that there would be a lack of information connecting the test
result to a product. A few comments request that FDA reiterate that
routine testing of product and environment related to a facility's food
safety plan is not required to be performed by LAAF-accredited
laboratories under this subpart and that followup sampling and testing
in response to routine environmental monitoring positive results for
pathogen/indicator organisms should not be covered by this subpart.
Some comments express concern that the LAAF program will cause
testing by laboratories not participating in the program to be devalued
or viewed as suspect. Some comments warn that widespread use of
directed food laboratory orders could cause testing performed by
laboratories not LAAF-accredited under FDA's program to be scrutinized.
These comments assert that many in-house and external laboratories are
not ISO-accredited; however, the laboratories still ensure integrity
and accuracy of test results and data. These comments stress the
important role in-house and other laboratories play in providing timely
test results on which food safety decisions are made. These comments
suggest that these laboratories may choose not to participate in the
LAAF program. Further, some comments are concerned that FDA and
investigators may question analytical results from non-LAAF-accredited
laboratories. Overall, comments assert there is no evidence to suspect
that non-ISO-accredited laboratories produce inaccurate or suspect
results.
Some comments urge FDA to consider the potential significant costs
associated with directed food laboratory orders as well as the
potential business disruption that may occur if product subject to
testing is placed on hold pending results. A few comments explain that
holding product under a directed food laboratory order could challenge
the company's hold capacity and disrupt both production and the supply
chain, as well as have additional costs for industry. Several comments
state that the preliminary economic impact analysis did not include any
costs for directed food laboratory orders and should be revised
accordingly.
(Response 43) We disagree that the directed food laboratory order
provision, as clarified, will have negative policy implications. The
authority under section 422 of the FD&C Act is intended to increase
confidence in receiving accurate and reliable test results. As stated
in Response 35, the purpose of routine environmental testing under the
preventive controls regulations (Sec. Sec. 117.165(a) and 507.49(a))
is to verify that preventive controls are consistently implemented and
are effective. Therefore, such testing does not address an identified
or suspected food safety problem and is not covered by this subpart.
The additional clarity we are providing in this final rule regarding
the directed food laboratory order in terms of the standard of
issuance, authority to issue such orders, and procedural details,
should provide sufficient boundaries to enable firms to continue or
expand robust environmental monitoring programs developed in the wake
of FSMA and in support of an overall culture of food safety, without
fearing that such programs will invite issuance of a directed food
laboratory order. We expect that it will be uncommon for us to issue a
directed food laboratory order. Further, we expect that facilities that
have implemented robust environmental monitoring programs and that are
taking appropriate corrective actions in response to positive findings
(``seek and destroy'') generally are not likely to be subject to such
an order.
However, as discussed in Response 37, followup testing in response
to routine environmental test results that indicate the presence of a
pathogen or indicator organism in the food production environment may
qualify as testing that addresses an identified or suspected food
safety problem, and therefore could warrant issuance of a directed food
laboratory order, depending on the circumstances. We disagree with the
contention that use of a directed food laboratory order for
environmental testing could cause results to be taken out of context.
As explained in Response 47, the use of a directed food laboratory
order is appropriate only in a narrowly defined set of circumstances.
Accordingly, in our view, the context (including relevant product(s))
for any environmental tests required by a directed food laboratory
order) will be sufficiently clear.
Absent a specific reason to question the reliability and accuracy
of results from a particular firm or laboratory, we do not believe that
testing from an in-house, third-party private, or other laboratory that
is not LAAF-accredited would be questioned solely based on the decision
of that laboratory not to participate in this program, and certainly
not as a result of the directed food laboratory order tool. We discuss
examples of circumstances in which we would employ a directed food
laboratory order in Response 47. As reiterated throughout our
discussion of the directed food laboratory order in this preamble, and
as reflected in the FRIA, we do not expect widespread use of such
orders (Ref. 4). We address costs related to a directed food laboratory
order in the FRIA, see (Ref. 4).
(Comment 44) Several comments state that the proposed rule does not
specify who has the authority to issue a directed food laboratory
order, nor does it indicate whether such authority could be delegated.
These comments recommend that the authority to issue a directed food
laboratory order remain a non-delegable function of the FDA
Commissioner. A subset of these comments mentions that this
recommendation aligns with section 415(b)(7) of the FD&C Act (regarding
the authority to issue an order to suspend a registration or vacate an
order of suspension [of a food facility]) and mandatory recall
authority. Some comments assert that the authority to issue a directed
food laboratory order would not be appropriate for FDA investigators or
State inspectors. A few comments ask whether State regulators
inspecting farms under the produce safety rule would have authority to
issue a directed food laboratory order.
(Response 44) In proposed Sec. 1.1108, we stated that a directed
food laboratory order may be issued by FDA. Although we agree that the
authority to issue a directed food laboratory order would
[[Page 68759]]
not be delegated to FDA investigators or State inspectors, we decline
to make the issuance of a directed food laboratory order a non-
delegable function of the FDA Commissioner. Section 415(b)(7) of the
FD&C Act and section 423(h) of the FD&C Act contain explicit provisions
limiting certain authority to the Commissioner. Section 422 of the FD&C
Act (21 U.S.C. 350k) does not include a similar limitation. Absent an
explicit statutory limitation regarding delegation, we find no reason
to impose one for the issuance of a directed food laboratory order.
Consistent with longstanding Agency practice and the APA, we intend to
limit the delegation of authority to issue a directed food laboratory
order under this subpart to FDA officials with the appropriate level of
responsibility. See 5 U.S.C. 553(a)(2).
(Comment 45) Several comments state that the proposed directed food
laboratory order procedures raise due process concerns for the
potential recipient of such an order. In support of this position, the
comments describe their perception of the uncertain standards and the
Agency's unfettered discretion to issue a directed food laboratory
order. Some comments urge FDA to have a transparent process and clear
standards with a documented sound scientific basis for issuance of a
directed food laboratory order. Some comments request more specific
examples of when the Agency would issue a directed food laboratory
order. These comments argue that without specifying who in the Agency
may issue a directed food laboratory order, it appears that FDA
investigators could issue them. The comments state that the perceived
lack of a process prior to issuance and the perceived lack of a
guaranteed process once a directed food laboratory order has been
received contribute to the overall insufficient due process associated
with the proposed provision.
(Response 45) We address several aspects of these concerns
elsewhere in this preamble, in Response 44 and Response 47.
Specifically, we clarify the standard of issuance for a directed food
laboratory order, who has the authority to issue such an order, and
certain procedural aspects associated with issuance of such an order.
With these details and the applicable procedures of part 16 in place,
we believe there is sufficient due process associated with the directed
food laboratory order provision.
(Comment 46) Several comments state that food testing pursuant to a
directed food laboratory order should be limited to product testing and
should not include environmental testing. These comments state that
FSMA section 202, Laboratory Accreditation for Analyses of Foods,
refers only to ``food testing'' and ``testing of food,'' without
defining these terms. The comments indicate that while environmental
testing is not specifically mentioned in section 202, Congress
explicitly refers to environmental testing elsewhere in FSMA (section
103, which creates section 418(f)(4) of the FD&C Act). Further, some
comments suggest that including environmental testing would create the
potential for test results to be taken out of context; several of these
comments state that there would be a lack of information connecting the
test result to a product. A few comments explain that routine testing,
including environmental testing, is covered by FDA guidance and
considers multiple variables; these comments state that it is not clear
whether and how all variables will be considered in determining when a
directed food laboratory order is issued. Some comments conclude that
there is no legal basis for requiring environmental testing under a
directed food laboratory order and that directed food laboratory orders
must only be used for food product testing.
(Response 46) We decline to limit directed food laboratory orders
to product testing. As already discussed in Response 19, FDA defines
``food testing'' and ``testing of food'' to include environmental
testing for purposes of this subpart. As stated in Response 19 and
discussed further in Response 35, routine environmental testing
(Sec. Sec. 117.165(a)(3) and 507.49(a)(3)) is not covered by this
subpart. As we noted in Response 43, we do not believe the directed
food laboratory order will cause environmental test results to be taken
out of context. For these reasons, in light of our legal authorities
under section 422 of the FD&C Act, and for the policy reasons already
discussed in relation to both environmental testing and the directed
food laboratory order, under this final rule and as appropriate, FDA
may issue a directed food laboratory order subjecting either product
testing or environmental testing to the requirements of this subpart.
(Comment 47) Some comments state that the proposed rule did not
provide enough information regarding the standard for issuance of a
directed food laboratory order. These comments express concern that the
proposed standard, an identified or suspected food safety problem,
could be present regardless of whether the article of food violates the
FD&C Act. Comments state that the examples provided in the preamble to
the proposed rule suggest that mere suspicion of a food safety problem,
such as the presence of Listeria monocytogenes on a food contact
surface, could lead to issuance of a directed food laboratory order
when there is no violative article involved. Comments argue that
issuance of a directed food laboratory order when there is no violative
product would exceed FDA's authority. Otherwise, comments suggest the
results of a food facility's routine testing could inappropriately
trigger a directed food laboratory order. Comments propose instead that
an identified or suspected food safety problem should only give rise to
a directed food laboratory order when there is a public health need or
when the food has a reasonable probability of serious adverse health
consequences or death to humans or animals (SAHCODHA).
A few comments express concerns that although FDA notes the
suspicion will ``typically be particularized'' as it relates to
specific articles of food or a specific portion of the food production
environment, it is not clear that this will always be the case. Several
comments suggest that the suspicion standard could lead to bias or
subjective determinations by an investigator where no problem exists.
Some comments propose instead that directed food laboratory orders
should include a direct reference to a violation. Other comments state
that issuance of a directed food laboratory order should require a
reasonable belief that the food is violative, similar to the standard
set forth in FSMA section 101 (relating to inspections of records).
These comments recommend that if the directed food laboratory order
provision remains in the final rule, it should be limited to
circumstances when both of the following factors are met: (1) An
identified or suspected food safety problem representing a SAHCODHA
hazard is established and (2) a substantiated concern exists regarding
the adequacy of the laboratory used by the owner or consignee such that
testing by an accredited laboratory under this program is necessary to
determine the food safety problem has been resolved. Comments state
that a concern about laboratory adequacy is necessary as Congress
intended section 202 of FSMA to address ``laboratory shopping'' and
other situations which raise questions about the validity of laboratory
results. The comments state that the directed food laboratory order
should not be used by FDA as an investigative tool.
Some comments recommend that issuance of the directed food
laboratory order be limited to cases where the pathogen risk is
immediate and FDA's
[[Page 68760]]
existing enforcement tools are not adequate to address the situation.
A few comments ask FDA to specifically exempt from a directed food
laboratory order pathogen/indicator organism positive results from
routine environmental testing since the manufacturer should have the
opportunity to resolve any associated concerns through corrective
actions.
A few comments request that the Agency provide additional
information, guidance, and examples for when a food safety problem is
``suspected'' in animal food, as well as more specific examples of when
a directed food laboratory order would be issued under the rule.
(Response 47) Per section 422(b)(1)(A)(ii) of the FD&C Act, the
standard for issuance of a directed food laboratory order is ``as
required by the Secretary, as the Secretary deems appropriate, to
address an identified or suspected food safety problem.'' We disagree
that SAHCODHA should be the standard, as Congress explicitly specified
a different standard here. For the same reason, we decline to use the
standard set forth in FSMA section 101 (reasonable belief that the food
is violative). The statutory clause in the section related to the LAAF
program, ``identified or suspected food safety problem'' specifically
allows for issuance of a directed food laboratory order when there is
no violative product.
Regarding the standard of issuance, we believe the phrase, ``as the
Secretary deems appropriate,'' in the context of the FSMA laboratory
accreditation program, generally would limit our issuance of a directed
food laboratory order to situations where we have evidence or
experience with a firm or laboratory which calls test results into
question, i.e., situations in which we have reason to question the
accuracy or reliability of past or present test results. In such
circumstances, there would be a clear benefit to receiving analytical
results directly from a LAAF-accredited laboratory. Ensuring accurate
and reliable test results is the precise issue Congress intended to
address in section 202 of FSMA. In the final rule, we have revised the
language in Sec. 1.1108(a) to better align with the statutory text by
adding the qualifying language, ``as FDA deems appropriate.''
In terms of the comment expressing apprehension that FDA will use
the directed food laboratory order as a tool to gather testing
information in the absence of heightened food safety concerns, we
reiterate that the order is only appropriate to address an identified
or suspected food safety problem. Similarly, regarding the contention
in some comments that a directed food laboratory order should only be
issued if there are concerns with laboratory adequacy, as just noted,
we interpret, ``as the Secretary deems appropriate'' to mean that the
tool would generally only be appropriate if we have reason to question
past or present test results.
Further, we intend to use a directed food laboratory order within
the context of other Agency authorities and tools, FSMA-related and
otherwise; accordingly, positive results from routine testing would not
normally trigger a directed food laboratory order absent other
circumstances (e.g., suspect test results) necessitating a directed
food laboratory order. Therefore, we decline to include specific
exemptions for pathogen/indicator organism positive results from
routine environmental testing or to limit issuance of a directed food
laboratory order to cases when the pathogen risk is immediate and the
Agency's other enforcement tools are not adequate to address the
situation.
We offer the following examples of the types of situations in which
we believe a directed food laboratory order would be useful and
appropriate ``as required by the Secretary, as the Secretary deems
appropriate, to address an identified or suspected food safety
problem.'' Some of these descriptions are modeled on our experience
with past compliance cases.
Following a for-cause inspection of a human food firm with
a documented history of falsified laboratory reports, after the
Agency's receipt of information from an employee informant indicating
that the firm continued to provide false or misleading certificates of
analysis to conceal the production of adulterated human food;
Following a recall by an animal food firm because the
firm's laboratory historically used an inappropriate method and
reported results that differed from FDA laboratory results; and
If FDA laboratories have on multiple occasions obtained
positive pathogen results on food products in past years that conflict
with the company's contract laboratory's results. Given a pattern of
past ineffective monitoring by the company, coupled with the public
health risk, on the next positive finding by FDA that leads to a
voluntary recall for pathogen adulteration in this company's food
products, FDA might issue a directed food laboratory order.
In light of the additional parameters for issuance of a directed
food laboratory order discussed above and limitations on who can issue
a directed food laboratory order (discussed in Response 44), we believe
issuance of directed food laboratory order would be insulated from
bias.
(Comment 48) A few comments state that pathogens in not ready to
eat (NRTE) food, and specifically in raw agricultural commodities such
as grains, which do not undergo a kill step in the mill, should not be
considered an identified or suspected food safety problem subject to a
directed food laboratory order. These comments state further that the
preamble to the proposed rule offered few examples of circumstances
that could generate a suspected food safety problem and mentioned
``potential contamination events'' as an example although we did not
define this phrase. These comments request that the Agency define that
phrase and explicitly state that the presence of pathogens in NRTE
foods is not considered an identified or suspected food safety problem.
The comments express the concern that directed food laboratory orders
could be used as a basis for requiring the milling industry generally
to sample food manufacturing environments or products through use of
LAAF-accredited laboratories. The comments suggest that any testing in
these circumstances would not be appropriate, regardless of whether the
use of a LAAF-accredited laboratory is required.
(Response 48) The proposed rule explored the meaning of the
statutory phrases, ``identified food safety problem,'' and ``suspected
food safety problem.'' (84 FR 59452 at 59455, 59462). In Response 35,
above, we finalize our tentative conclusions about the meaning of those
phrases.
A number and variety of factors impact food safety risk (e.g., the
pathogen, the history of foodborne illness outbreaks associated with
the pathogen in the food, whether the food undergoes further processing
with a kill step at a registered food facility). In some circumstances
a pathogen in an NRTE food may be considered an identified or suspected
food safety problem. For example, foodborne illness outbreaks have been
associated with Salmonella in raw tuna (https://www.cdc.gov/salmonella/newport-04-19/) and Shiga-toxin producing E. coli in raw
bison burgers (https://www.cdc.gov/ecoli/2019/bison-07-19/).
The strains of pathogens associated with the outbreaks are capable of
causing severe illnesses (both outbreaks resulted in hospitalizations),
and these raw foods were consumed without a treatment to significantly
minimize the hazard and
[[Page 68761]]
prevent illnesses. Consistent with the broader food safety regulatory
framework, which includes the preventive controls for human food
regulation and the preventive controls for animal food regulation, FDA
will consider all applicable regulations and relevant circumstances in
determining whether an identified or suspected food safety problem
exists. As explained in Response 47, a directed food laboratory order
is appropriate in situations in which an identified or suspected food
safety problem exists along with specific evidence or experience with a
firm or laboratory which calls past or present test results into
question. Accordingly, we expect to employ the directed food laboratory
order rarely. In many cases involving a pathogen in an NRTE food, other
food safety regulations or tools outside the scope of the LAAF program
may adequately address the risk.
We decline the request to define ``potential contamination event.''
We have defined the terms that describe the standard of issuance for a
directed food laboratory order (see Response 35). Consistent with these
definitions, a directed food laboratory order may be appropriate in
circumstances related to potential contamination events; e.g., where a
pathogen in the food production environment is transmitted to the food,
thereby causing the food to be adulterated, and where we have specific
evidence or experience with a firm or laboratory which calls past or
present test results into question.
(Comment 49) A few comments suggest that neither chemical nor
physical hazards would be appropriate for a directed food laboratory
order. According to such comments, the directed food laboratory order
should be limited to circumstances where there is a reasonable
likelihood of serious adverse health consequences or death to humans or
animals due to the potential for pathogens to be present in the food
product.
(Response 49) We decline to exempt chemical or physical hazards
from a potential directed food laboratory order. As previously stated,
a directed food laboratory order will generally be limited to the rare
situation when we have reason to question the accuracy or reliability
of past or present test results and where an identified or suspected
food safety problem exists. In addition to biological hazards, both
chemical and physical hazards are capable of causing food safety
problems. Therefore it is possible that any of the three types of
hazard could, in certain circumstances, form the basis for issuance of
a directed food laboratory order.
We also note that chemical and physical hazards are specifically
covered by other FSMA regulations such as the preventive controls
regulations (Sec. Sec. 117.130 and 507.33). We believe it is
appropriate to align coverage of a potential directed food laboratory
order with the potential hazards covered by those regulations.
(Comment 50) Several comments raise questions about operational
details related to the issuance of directed food laboratory orders.
These comments ask about the intended recipient of the directed food
laboratory order (corporate parent, facility, or both), means of
transmission (electronic, in-person, mail), and whether the issuance
would change based on multiple owner or consignee scenarios. Comments
state that these details are critical given the proposed 24-hour appeal
deadline for directed food laboratory order recipients.
(Response 50) FDA intends to provide the most legally responsible
person at the firm that day with written notice of a directed food
laboratory order, generally via email. We will make every attempt to
call to inform the firm of the order prior to its arrival.
In the imports context, there are sometimes multiple owners or
consignees. In such a case, we would generally deliver the written
notice to the importer of record. (See Response 26 for additional
discussion of multiple owner or consignee scenarios.)
As discussed in Response 138, we have extended the appeal deadline
from 24 hours to within 3 business days of receipt of a directed food
laboratory order.
(Comment 51) Several comments suggest that the lack of detail
surrounding the duration and termination of directed food laboratory
orders raises due process issues. These comments recommend that a
directed food laboratory order should be ``closed'' once the identified
or suspected food safety problem has been resolved. These comments also
request that FDA include a hearing process to permit owners or
consignees to submit evidence in support of the resolution to terminate
a directed food laboratory order or to have the directed food
laboratory order vacated. Additionally, some comments request that
directed food laboratory orders include a timeframe for the order and
frequency for testing. Further, a few comments suggest that FDA use a
hearing process if the Agency seeks to modify a directed food
laboratory order once issued. Some comments request that FDA provide
additional information on what is considered a reasonable timeline to
conduct testing required by a directed food laboratory order.
(Response 51) In general, a directed food laboratory order would
last until we have adequate assurances that the underlying known or
suspected food safety problem has been resolved. However, we agree that
the order will be ``closed'' once the identified or suspected food
safety problem has been resolved. We anticipate that this approach will
incentivize firms to resolve issues quickly. However, details regarding
the duration and termination of a directed food laboratory order will
be contingent on the specific facts and circumstances of the order,
which will vary greatly. For example, whether the order covers product
or environmental testing, whether it is designed to address a very
discrete issue or a system-wide issue, the applicable regulations, and
the role of other resources and tools applied to the circumstances, are
just a few of the factors that may impact the length of time a directed
food laboratory order would be appropriate. Some orders may initially
define the timeframe and testing frequency, but again, we will
determine these matters on a case-by-case basis.
At present we do not believe it necessary to create a hearing
process around the conclusion of a directed food laboratory order;
however, we expect to be in dialogue with the entity subject to the
order and intend to take their feedback into consideration.
(Comment 52) Some comments state that the proposed rule did not
include details regarding whether or how directed food laboratory
orders would be made public. These comments request that FDA clarify
that directed food laboratory orders will not be made public. The
comments argue that only the owner or consignee must take action under
a directed food laboratory order, so there is no need to make a
directed food laboratory order public.
(Response 52) We may include directed food laboratory orders on an
Agency website such as the data dashboard (see https://www.fda.gov/about-fda/transparency/fda-data-dashboard), so that other entities in
the supply chain can be aware of their existence as they research and
evaluate suppliers. We similarly publicize injunctions, seizures, and
warning letters on the data dashboard and believe that inclusion of
directed food laboratory orders would contribute to the overarching
goals of FDA's food safety communication strategy.
We also note that a directed food laboratory order generally would
be subject to the Freedom of Information
[[Page 68762]]
Act (FOIA). Any disclosures would be made in accordance with our
regulations in part 20 (21 CFR part 20) (i.e., redacting any
confidential commercial information as necessary).
(Comment 53) A few comments request additional information
regarding whether directed food laboratory orders only apply
domestically. These comments argue that directed food laboratory orders
must apply to both domestic and foreign facilities producing food for
consumption in the United States to comply with international
commitments. The comments state that, as proposed, directed food
laboratory orders will be issued more frequently to domestic entities,
resulting in unfair treatment, since the FDA conducts more domestic
inspections, therefore giving rise to more opportunities to issue such
orders domestically. These comments state that there may be
significantly fewer LAAF-accredited laboratories outside of the United
States, which could make it more difficult for foreign manufacturers to
comply with the requirements of a directed food laboratory order. These
comments argue there is an inherent unfairness to the lack of parity
and ask FDA to consider this when determining the need for directed
food laboratory orders.
(Response 53) We agree that a directed food laboratory order could
be used in both foreign and domestic settings; however, we disagree
that conducting more domestic inspections necessarily will mean there
are more opportunities to issue a directed food laboratory order
domestically. As discussed in Response 44, FDA investigators will not
be able to issue directed food laboratory orders. This limitation and
the additional clarifications provided regarding the standard of
issuance (see Response 47) will limit use of a directed food laboratory
order to those limited circumstances discussed and address the
potential for unfairness.
LAAF-accredited laboratory capacity for testing under this subpart
is addressed in Response 15 and will include consideration of both
foreign and domestic laboratories.
(Comment 54) Some comments request additional information regarding
whether FDA will specify the method to the owner or consignee of the
food subject to a directed food laboratory order so that the owner or
consignee can provide such information to the LAAF-accredited
laboratory.
(Response 54) We will specify the method to the owner or consignee
and, in some circumstances, may provide flexibility to use equivalent
methods, so that there may be access to a greater number of LAAF-
accredited laboratories that may conduct the food testing. See Sec.
1.1151(b)(2).
(Comment 55) Some comments maintain that directed food laboratory
orders should be issued only where a validated test method exists and
where there is sufficient LAAF-accredited laboratory capacity for that
method and the specific food matrix.
These comments are concerned that if a directed food laboratory
order were issued for a method requiring validation, it could
effectively prohibit the facility from operating until a method is
validated. Comments estimate validation of a single method could take 6
months or more and cost between $35,000 and $300,000, depending on the
complexity of the method. Comments contend that the proposed rule was
not clear regarding who bears the cost of validating a method; these
comments argue industry should not have to bear such costs as a result
of the issuance of a directed food laboratory order. Comments state
further that costs to validate a method were not included in the
preliminary economic impact analysis. A few comments assert that if
directed food laboratory orders are limited to SAHCODHA hazards posed
by pathogens, there would be fewer method validation concerns.
Some comments state that proposed Sec. 1.1151(e) would allow an
accredited laboratory to request FDA's permission to use a method
outside its scope of accreditation but FDA would only approve the
request if there is a ``food emergency.'' These comments express
concern that FDA could define a ``food emergency'' to exclude
circumstances specific to a particular food or facility. If narrowly
construed in this manner, the comments argue the lack of a validated
method or LAAF-accredited laboratory availability necessary under a
directed food laboratory order could effectively block a facility from
operating. Further, these comments assert that this provision would not
mitigate the concerns raised regarding the impact of a directed food
laboratory order for a method requiring validation.
(Response 55) We intend to issue a directed food laboratory order
when there exist both a validated method and sufficient laboratories
LAAF-accredited to that method. Under Sec. 1.1108(b), FDA will specify
the test method in a directed food laboratory order.
As discussed above in Response 47, the general standard for
issuance of a directed food laboratory order is that FDA has reason to
question the accuracy or reliability of past or present test results
and an identified or suspected food safety problem exists. Necessarily,
then, if a directed food laboratory order has been issued, the food
testing at issue is not novel because it has been happening for at
least long enough that FDA has reason to question the results. In such
circumstances, we believe a validated method will exist. Section
422(b)(3) of the FD&C Act expressly gives FDA the authority to waive
requirements of the LAAF program if: (1) A new methodology or
methodologies have been developed and validated but a laboratory has
not yet been accredited to perform such methodology or methodologies
and (2) the use of such methodology or methodologies are necessary to
prevent, control, or mitigate a food emergency or foodborne illness
outbreak.
(Comment 56) Many comments assert, based on legal, policy, and
practical concerns with the proposed rule, that directed food
laboratory orders should be removed from the final rule. Some of these
comments suggest that since FSMA section 202 does not contemplate
directed food laboratory orders, inclusion of the directed food
laboratory order provisions in the final rule is not required as part
of the rulemaking. Comments suggest that removing the directed food
laboratory order provision will help FDA meet its deadline to issue a
final rule.
Several comments argue that if FDA can establish both statutory
authority and a justified public health need for directed food
laboratory orders, either an independent rulemaking or a supplemental
notice of proposed rulemaking would be necessary to allow for
additional input, to clarify the proposal in terms of scope,
procedures, and policy concerns, and to avoid litigation. Some comments
suggest FDA has good cause to request modification of the consent
decree deadline to extend the deadline due to the issues raised in the
comments and the COVID-19 pandemic's impact on the Agency. Some of
these comments raise the concern that additional time is needed to
allow the Agency to give due consideration to the issues raised and to
engage industry on the food safety concerns addressed by directed food
laboratory orders.
However, some comments recommend revisions to directed food
laboratory orders to limit their scope and otherwise address procedural
aspects that they believe would make directed food laboratory orders
feasible if not removed from the final rule. These comments insist that
a supplemental notice of proposed rulemaking is necessary to fully vet
any revised proposal. A few comments ask that
[[Page 68763]]
directed food laboratory orders be used judiciously with specific
guidance for use, should FDA confirm it has authority to issue directed
food laboratory orders.
Some comments suggest that FDA should publish additional guidance
on directed food laboratory orders prior to issuing a directed food
laboratory order.
(Response 56) We decline the recommendation to remove the directed
food laboratory order from the final rule. As discussed above
throughout the comments and responses related to directed food
laboratory orders, we have addressed the necessary legal, policy, and
practical concerns raised. Additionally, we received meaningful
comments which we have carefully considered in developing the directed
food laboratory order provision of the final rule. Therefore, we do not
agree a supplemental rulemaking is necessary. We will consider issuing
additional guidance on directed food laboratory orders.
4. How will FDA make information about recognized accreditation bodies
and LAAF-accredited laboratories available to the public (Sec.
1.1109)?
Proposed Sec. 1.1109(a) provided that FDA would place on our
website a publicly available registry listing recognized accreditation
bodies and LAAF-accredited laboratories in the LAAF program. The
proposed list would include certain information regarding each
recognized accreditation body and LAAF-accredited laboratory such as
the name, contact information, duration of an accreditation body's
recognition, and the scope of accreditation for each laboratory. We
also proposed including certain information about changes in
recognition of an accreditation body, including probation, revocation,
voluntary relinquishment, or expiration and the effective date for any
change. Likewise, we proposed including certain information regarding
changes in LAAF-accreditation of laboratories, such as withdrawal,
revocation, probation, voluntary relinquishment and the effective date
for any change. Proposed Sec. 1.1109(b) reiterated the statutory
requirement for FDA to coordinate with the Department of Homeland
Security regarding the online registry.
On our own initiative, we have revised the section title to include
``LAAF-accredited laboratories,'' consistent with terminology changes
throughout the rule. We also have clarified in the final rule that FDA
will place on its website a publicly available registry listing
information about recognized accreditation bodies and LAAF-accredited
laboratories. As discussed at Response 10, we have revised the
terminology used in the final rule to better clarify roles and actions
taken by recognized accreditation bodies and FDA under this subpart. As
discussed in section V.C. regarding of the definition of ``scope of
LAAF-accreditation'' above, in the final rule we also changed the
verbiage, ``withdraw in part,'' to ``reduce the scope of LAAF-
accreditation.'' This section has been updated to reflect the revised
terminology. For transparency, we added denial of renewal of
recognition to the changes in recognition that will be included on the
website (see Sec. 1.1109(b) of the final rule); we stated we would
post information about denial of renewal of recognition in Sec.
1.1129(h) of the proposed rule, which appears in Sec. 1.1115(h) of the
final rule. Additionally, on our own initiative, we removed the
language that appeared in Sec. 1.1109(b) of the proposed rule. Section
422(a)(4) of the FD&C Act directs FDA to coordinate with the Department
of Homeland Security on the time, manner, and form of the online
registry of recognized accreditation bodies and LAAF-accredited
laboratories; we have done so. It is unnecessary to reiterate this duty
in the codified text and so we have removed that text from the final
rule. We also revised the section to improve clarity and readability.
Comments regarding this section are discussed below.
(Comment 57) Several comments support our proposal to maintain on
our website a registry of recognized accreditation bodies and
participating laboratories. Some comments request that the registry
include information regarding the methods to which specific
laboratories are accredited. Some comments suggest that the registry
include hyperlinks to the websites of the recognized accreditation
bodies, as those are updated regularly with information on LAAF-
accredited laboratories, including current scope information.
Some comments request that the registry include information beyond
that related to recognized accreditation bodies and LAAF-accredited
laboratories; they advocate for FDA to maintain a list of all ISO/IEC
17011:2017 accreditation bodies that are ILAC-Mutual Recognition
Arrangement (MRA) signatories and accredit food laboratories, as well
as all food laboratories that are accredited to ISO/IEC 17025:2017.
These comments express the view that such a listing would be a helpful
public service.
Some comments propose that the registry indicate which
participating laboratories are permitted to submit abridged analytical
reports; from their perspective, such information would be helpful to
industry in choosing a laboratory.
Other comments ask how the public will know which laboratories are
LAAF-accredited, and some comments consider the proposed rule to be
unclear regarding how the public will know the methods for which each
laboratory is LAAF-accredited and recommend this information be posted
on the public website.
(Response 57) We appreciate the support for the public registry and
note that its establishment is required by section 422(a)(1)(B) of the
FD&C Act. To be clear, under the final rule, the online registry will
list all LAAF-accredited laboratories and the scope of LAAF-
accreditation for each, among other things. See Sec. 1.1109.
We decline the recommendation to include on the public registry
hyperlinks to the websites of recognized accreditation bodies and LAAF-
accredited laboratories. Recognized accreditation bodies and LAAF-
accredited laboratories must report changes that impact their
recognition and LAAF-accreditation as specified in this final rule.
This will ensure the public registry contains accurate and up-to-date
information for use by owners and consignees.
We also decline the recommendation to expand the registry to
include a list of all ISO/IEC 17011:2017 accreditation bodies that are
ILAC-MRA signatories that accredit food laboratories and all ISO/IEC
17025:2017-accredited laboratories; expansion of the registry in this
manner is not specified in section 422(a)(1)(B) of the FD&C Act, which
describes the registry as including information regarding accreditation
bodies recognized by the FDA and the laboratories which are LAAF-
accredited by the recognized accreditation bodies.
Finally, we also decline the recommendation to indicate on the
public registry which LAAF-accredited laboratories are permitted to
submit abridged analytical reports. We do not consider testing
conducted by laboratories permitted to submit abridged analytical
reports to be of a higher quality than testing conducted by
laboratories without such permission. Nor do we have any reason to
conclude that owners and consignees would get test results faster from
a laboratory with permission to submit abridged analytical reports.
Note that under Sec. 1.1153(d), FDA may request that a LAAF-accredited
laboratory that is
[[Page 68764]]
permitted to submit abridged analytical reports submit additional
documentation or a full analytical report within 72 hours of FDA's
request. As stated in Sec. 1.1150(d) of the proposed and final rule, a
LAAF-accredited laboratory must document the testing information and
test results to the extent necessary to account for all information
that is required to be in a full analytical report.
(Comment 58) Regarding the public registry that lists recognized
accreditation bodies and participating laboratories, some comments
express concern about our proposal to include revocation or probation
information in the registry. These comments take issue with our
proposed use of both terms, and those issues are discussed at Response
10. Specifically, regarding the term, ``probation,'' the comments
indicate that including references to this status on the public
registry would inaccurately convey that such organizations are in poor
standing, given what the term, ``probation'' normally means in the
conformity assessment arena. Regarding the term, ``revocation,'' the
comments express the belief that attaching such a label to laboratories
in the public registry would cause confusion because it would imply
that FDA can revoke the ISO/IEC 17025:2017 accreditation of a
laboratory, which is not the case.
(Response 58) We have made revisions throughout the final rule to
address terminology concerns (see Response 10). As discussed in
Responses 13, 71, and 82, we revised the final rule so that a
recognized accreditation body may suspend a LAAF-accredited laboratory
under Sec. 1.1121 whereas FDA may place a recognized accreditation
body or a LAAF-accredited laboratory on probation under Sec. Sec.
1.1131 and 1.1161, respectively. We also revised the final rule to
allow corrective action under Sec. 1.1161 prior to any public change
in LAAF-accreditation status (see Response 133). With these
clarifications, the status information contained on the public registry
is more clearly limited to the LAAF-accreditation status of the
laboratory as opposed to the laboratory's ISO/IEC 17025 accreditation
status. Given the revisions throughout the final rule, we will retain,
with clarifications, the provision which makes public a LAAF-accredited
laboratory's probationary status to maintain transparency for the
public and specifically for the owners and consignees with food testing
subject to this subpart.
5. What are the general requirements for submitting information to FDA
under this subpart (Sec. 1.1110)?
On our own initiative, we added Sec. 1.1110 to consolidate
information previously repeated throughout the proposed codified text
regarding the requirement to submit applications, reports,
notifications, and records required by this subpart to FDA
electronically and in English, unless otherwise specified. The section
states further that if records are maintained in a language other than
English, the recognized accreditation body or LAAF-accredited
laboratory must provide an English translation within a reasonable
time. Paragraph (b) specifies that a program applicant must provide
translation and interpretation services needed by FDA during the
processing of the application, including during any onsite assessments
of the applicant. See table 5 for a list of consolidated sections in
Sec. 1.1110.
Table 5--Consolidation of Proposed Rule Sections Related to Submitting
Information to FDA Under This Subpart
------------------------------------------------------------------------
Final rule Proposed rule
------------------------------------------------------------------------
Sec. 1.1110 What are the general Sec. 1.1123(a)
requirements for submitting information Sec. 1.1124(b)
to FDA under this subpart? Sec. 1.1128(d)
Sec. 1.1129(f)
Sec. 1.1131(b)(2)
Sec. 1.1132(a)
Sec. 1.1152(a)
Sec. 1.1153(c)
Sec. 1.1162(c)
Sec. 1.1163(a)
Sec. 1.1171(b)
Sec. 1.1173(b)
Sec. 1.1174(b)
------------------------------------------------------------------------
E. Comments Regarding FDA Recognition of Accreditation Bodies
Table 6--Reorganization of Sections Regarding FDA Recognition of
Accreditation Bodies
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
FDA Recognition of Accreditation Recognition of Added ``FDA'' to
Bodies. Accreditation clarify that FDA
Bodies. is making
recognition
determinations.
Sec. 1.1113 What are the Sec. 1.1113 What Consolidated these
eligibility requirements for a requirements must two proposed
recognized accreditation body? an accreditation sections and
body meet to be revised the
recognized by section title.
FDA? Made conforming
Sec. 1.1118 What changes to
are the general reflect
requirements for eligibility
recognized requirements as
accreditation opposed to
bodies to remain requirements for
recognized?. seeking
recognition and
remaining
recognized.
Sec. 1.1114 How does an Sec. 1.1128 How Moved section to
accreditation body apply to FDA does an 1.1114 of the
for recognition or renewal of accreditation final rule.
recognition? body apply to FDA
for recognition
or renewal of
recognition?
Sec. 1.1115 How will FDA Sec. 1.1129 How Moved section to
evaluate applications for will FDA review 1.1115 of the
recognition and renewal of applications for final rule.
recognition? recognition and Changed ``review''
applications for to ``evaluate''
renewal of in the section
recognition? title.
Removed second
instance of
``applications
for'' in the
section title.
Sec. 1.1116 What must a Sec. 1.1132 What Moved section to
recognized accreditation body must a recognized 1.1116 of the
do to voluntarily relinquish or accreditation final rule.
not renew its recognition? body do if it Minor editorial
wants to changes to
voluntarily section title.
relinquish its
recognition or
does not want to
renew its
recognition?
Sec. 1.1117 How may an Sec. 1.1133 How Moved section to
accreditation body request does an 1.1117 of the
reinstatement of recognition? accreditation final rule.
body request Minor editorial
reinstatement of changes to
recognition? section title.
------------------------------------------------------------------------
[[Page 68765]]
1. What are the eligibility requirements for a recognized accreditation
body (Sec. 1.1113)?
Proposed Sec. 1.1113, ``What requirements must an accreditation
body meet to be recognized by FDA?'' included the requirements an
accreditation body must meet to become recognized by FDA under this
subpart, including the following: (a) Be a full member of ILAC and a
signatory to the ILAC-MRA that has demonstrated competence to ISO/IEC
17011:2017; (b) demonstrate it meets the requirements of ISO/IEC
17011:2017; (c) demonstrate that it possesses sufficient scientific/
technical expertise to be able to substantively assess certain work of
the laboratories it accredits; and (d) demonstrate it is capable of
complying with this rule's proposed requirements for recognized
accreditation bodies. Similarly, proposed Sec. 1.1118, ``What are the
general requirements for recognized accreditation bodies to remain
recognized?'' included the requirement that recognized accreditation
bodies continue to meet the requirements of Sec. 1.1113 in order to
remain recognized by FDA.
In the final rule, FDA has consolidated proposed Sec. Sec. 1.1113
and 1.1118. The new consolidated section is titled ``What are the
eligibility requirements for a recognized accreditation body?'' and is
located at Sec. 1.1113 of the final rule. Accordingly, FDA has revised
the section title to refer to eligibility requirements for recognized
accreditation bodies and has made minor conforming changes throughout
the section to accommodate the change. We also have reordered the list
of eligibility requirements and split the requirement that appeared in
paragraph (a) of the proposed sections into two distinct items, i.e.,
separating the requirement of full membership of ILAC from status as a
signatory to the ILAC-MRA that has demonstrated competence to ISO/IEC
17011:2017 with a scope of ``Testing: ISO/IEC 17025.'' FDA has added
the clarification that a scope of ``Testing: ISO/IEC 17025'' is
required; this requirement previously appeared only among the LAAF-
accredited laboratory requirements against which a recognized
accreditation body must assess a laboratory seeking LAAF-accreditation.
FDA also has removed the requirement in proposed Sec. 1.1113(c)(1)
through (3) regarding a recognized accreditation body's scientific and
technical expertise to review certain validation and verification
required by proposed Sec. 1.1138(a)(1), to review laboratory
determinations regarding the availability of proficiency testing
program, and to assess the adequacy of a laboratory's proposal to use a
comparison program in lieu of a proficiency. For additional discussion
regarding this change, see Comment 62 and Response. Finally, FDA has
revised the section to modify ``accreditation'' with the prefix ``LAAF-
'' to incorporate revised terminology for the final rule discussed at
Response 10. Comments regarding this section are discussed below.
(Comment 59) Some accreditation bodies, including ones located
outside of the United States, express interest in participating in this
program and request information about their role.
(Response 59) We appreciate global interest in the LAAF program. An
accreditation body that meets the eligibility requirements in Sec.
1.1113 may apply to FDA to become recognized, regardless of where the
accreditation body is located. See Response 14 for our implementation
discussion.
Recognized accreditation bodies will assess and oversee
laboratories seeking LAAF-accreditation against the requirements in
this final rule. The requirements for recognized accreditation bodies
are in Sec. Sec. 1.1113-1.1131 and the requirements for LAAF-
accredited laboratories are in Sec. Sec. 1.1138-1.1162.
(Comment 60) Many comments endorse the proposed requirement that a
recognized accreditation body must be an ILAC-MRA signatory that has
demonstrated competence to ISO/IEC 17011:2017. They support the use of
both ISO/IEC 17011:2017 and ISO/IEC 17025:2017 as the foundational
requirements for this rule. Some of the comments express the belief
that reliance on the ILAC framework and ISO standards will ensure an
efficient and effective food testing program by FDA.
Some comments mention that the rigorous ILAC-MRA process provides
ongoing reassurance to regulators that ILAC-MRA signatories and their
accredited laboratories are meeting relevant international standards
and criteria for competence. Some comments provide examples of other
Federal government Agencies and programs that rely on ILAC member
accreditation bodies including the Consumer Product Safety Commission
(CPSC), Environmental Protection Agency (EPA) National Lead Laboratory
Accreditation Program, and Department of Defense Environmental
Laboratory Accreditation Program. Other comments refer to the analysis
we described in the proposed rule which indicated that all the
accredited laboratories that submitted import-related food testing
results in 2016 and 2017 were accredited by accreditation bodies that
are full members of ILAC and signatories to the ILAC-MRA. According to
these comments, it is unsurprising that owners and consignees choose to
rely on laboratories accredited by ILAC-MRA signatories.
Similarly, some comments state that accreditation bodies already
satisfy the foundational requirements for participating in the LAAF
program. Further, these comments state that accreditation bodies are
willing to establish internal procedures and processes to ensure that
they and the laboratories they LAAF-accredit meet all additional
program requirements beyond ISO/IEC 17011:2017, ILAC-MRA signatory
status, and ISO/IEC 17025:2017. Finally, some comments encourage FDA to
collaborate with NIST as we establish this accreditation program. Some
comments applaud FDA's proposed adoption of voluntary consensus
standards and state that such action is in furtherance of the NTTAA.
(Response 60) We appreciate the support expressed for the selected
standards and requirements for recognized accreditation bodies in the
LAAF program. We also appreciate the information provided regarding the
accreditation landscape, as well as the support expressed in these
comments for the LAAF program generally. We have consulted with NIST
throughout this rulemaking process and appreciate their technical
assistance and support.
(Comment 61) In the proposed rule, when we discussed our proposal
to require accreditation bodies to be ILAC-MRA signatories, we
mentioned the laboratory accreditation program established by the CPSC
(84 FR 59452 at 59467). We restated with approval the CPSC's rationale
for establishing the same requirement.
A few comments suggest that we also consider emulating the CPSC's
laboratory accreditation program. Some comments particularly appreciate
that, according to these comments, CPSC relies solely on ILAC-MRA
signatory status to determine whether an accreditation body may
accredit laboratories under CPSC's program; CPSC imposes no additional
standards or requirements for accreditation bodies. According to these
comments, CPSC also exercises very minimal oversight of accreditation
bodies.
We note that the CPSC does not directly regulate accreditation
bodies, but instead requires that laboratories participating in its
program be accredited to ISO/IEC 17025 by an
[[Page 68766]]
accreditation body that is an ILAC-MRA signatory (see Sec.
1112.13(a)(2)(i)). Comments contend that a similar approach by FDA
would provide accreditation bodies with more flexibility and reduce
FDA's costs related to accreditation body oversight. These comments
suggest that even with a reduced oversight role, FDA still could
participate in accreditation body assessments and ILAC peer
evaluations, as do other Federal Agencies with accreditation programs.
Other comments appear to misunderstand our discussion related to the
CPSC in the proposed rule and perceive it as a potential framework FDA
intends to use as a model for our relationship with accreditation
bodies under this subpart.
(Response 61) Under Federal law, children's products must be tested
by a third party, CPSC-accepted laboratory to ensure compliance with
relevant safety requirements. The CPSC established requirements for
third party conformity assessment bodies wishing to conduct these tests
and maintains on its website a list of those conformity assessment
bodies that have been accepted by the CPSC for that purpose. (For more
information on the CPSC program, see https://www.cpsc.gov/Regulations-Laws-Standards/Rulemaking/Final-and-Proposed-Rules/Third-Party-Conformity-Assessment-Bodies/.)
Emulating the framework of the CPSC program is not feasible for the
LAAF program. Whereas the CPSC does not have a formal relationship with
accreditation bodies, section 422 of the FD&C Act requires that FDA
establish standards for, and recognize, accreditation bodies. The
statute also directs FDA to periodically review the recognition of
accreditation bodies and to provide a public registry of recognized
accreditation bodies. Therefore, we believe the statutory requirements
for the LAAF program preclude using the CPSC framework as a model for
our program.
(Comment 62) In proposed Sec. 1.1113(c), we provided that
accreditation bodies seeking recognition demonstrate sufficient
scientific and technical expertise to be able to review validation and
verification studies, assess a laboratory's determination that no
proficiency test is available for a given method, and assess the
adequacy of a laboratory's proposed alternative to a proficiency test,
where none is available. In the preamble we stated that we did not
consider such reviews and determinations to be traditional functions of
accreditation bodies and that accreditation bodies may need to hire or
contract with additional persons possessing this scientific/technical
expertise.
Many comments support the notion that accreditation bodies must
have the expertise to conduct substantive reviews of validation and
verification studies, as well as alternatives to proficiency testing
when a proficiency test is not available. However, several comments
express the view that FDA need not include such a requirement in this
rule because an equivalent requirement already exists, albeit in
general terms, in ISO/IEC 17011:2017, and in order to be an ILAC-MRA
signatory. Further, several of these comments disagree with FDA's
statement that conducting a substantive review of validation and
verification studies and assessing proposed alternatives to proficiency
testing constitute non-traditional functions for accreditation bodies.
Instead, these comments clarify that accreditation bodies routinely
conduct those activities as part of the ISO/IEC 17025:2017 assessment
and routinely hire qualified staff and assessors to carry out this
work. They also state that satisfying the ILAC requirement is enforced
and ensured by way of ILAC's robust peer evaluation process. Other
comments offer conditional support for the proposed requirement that
accreditation bodies demonstrate that they possess scientific/technical
expertise, as long as our requirements do not impair the ability of
accreditation bodies to fulfill their mission.
Some comments stress the robust nature of the peer evaluation
system that provides evaluation and surveillance of ILAC-MRA
signatories. Some comments express the belief that an ILAC-MRA
signatory accreditation body necessarily would possess the scientific/
technical expertise that FDA described in proposed Sec. 1.1113(c).
(Response 62) Upon consideration of these comments, we agree that
the requirement in proposed Sec. 1.1113(c) regarding scientific and
technical expertise is unnecessary; it does not appear in the final
rule. Also, as described above, we proposed to require that
accreditation bodies seeking recognition demonstrate sufficient
scientific and technical expertise in part to support their review of
certain validation and verification studies that would be required in
connection with the testing conducted under this subpart. Under the
final rule FDA will review all verification and validation studies that
are required in connection with the testing conducted under this
subpart. See Comment and Response 122.
(Comment 63) In the proposed rule, in connection with our
discussion of recognized accreditation bodies assessing certain
validation and verification studies required under this subpart as well
as alternatives to proficiency tests, we stated that we may consider a
variety of activities such as issuing guidance and regular roundtable
meetings with recognized accreditation bodies, to communicate our
expectations for such assessments. (See 84 FR 59452 at 59467). Several
comments encourage FDA to provide such guidance. Some comments request
a defined list of the items FDA considers necessary for a complete
validation report. These comments state that an accreditation body's
recognition may be revoked if the accreditation body allows a
laboratory to use a method and the method was not appropriate due to
errors or omissions in the validation study. Several comments suggest
that clearly communicated expectations from FDA would better ensure
consistency among laboratories and accreditation bodies and increase
the likelihood that the studies and alternatives would be satisfactory
to the Agency.
(Response 63) We acknowledge that these comments encourage FDA to
issue guidance communicating our expectations for the validation and
verification studies required under this subpart. Although we may do
so, there is information already available on our website regarding FDA
expectations for validation studies: Foods Program Methods Validation
Processes and Guidelines are available at https://www.fda.gov/food/laboratory-methods-food/foods-program-methods-validation-processes-and-guidelines.
2. How does an accreditation body apply to FDA for recognition or
renewal of recognition (Sec. 1.1114)?
Section 1.1128 of the proposed rule concerned how an accreditation
body would apply to FDA for recognition or renewal of recognition.
Paragraphs (a) and (b) of proposed Sec. 1.1128 included the
requirement for an accreditation body to submit its application for
recognition or renewal of recognition to FDA. Paragraph (c) of the
proposed section discussed the specific documentation requirements for
an accreditation body applicant, including documentation of conformance
with ISO/IEC 17011:2017, separate documentation of ILAC-MRA signatory
status demonstrating competence to ISO/IEC 17011:2017, and
documentation of compliance with proposed Sec. 1.1113(c) and (d)
(concerning the requirement to possess sufficient scientific and
technical expertise: (1) To review certain
[[Page 68767]]
validation and verification studies, (2) to assess a laboratory's
determination regarding proficiency test availability, and (3) to
assess a laboratory's proposed comparison program; and the requirement
to meet all additional requirements of the subpart) or proposed Sec.
1.1118(c) and (d) (which covered the same provisions as proposed Sec.
1.1113(c) and (d) for recognized accreditation bodies seeking renewal
of recognition). Paragraph (d) of proposed Sec. 1.1128 included the
requirement to submit the application electronically and in English and
to provide any required translation services needed by FDA during the
processing of the application or an onsite assessment of the
accreditation body. Finally, paragraph (e) of proposed Sec. 1.1128
covered requirements for signing the application for recognition or
renewal of recognition.
As part of our overall reorganization of the final rule, we have
moved the contents of proposed Sec. 1.1128 to Sec. 1.1114 of the
final rule. We received no comments directly related to this section of
the rule; however, we have made several editorial and conforming
changes to improve clarity and readability and to streamline the
section. We combined proposed paragraphs (a) and (b) into a single
paragraph (a) of the final rule to cover both initial and renewal
applications. Paragraph (c) of the proposed rule regarding
documentation has been updated to reflect correct cross-references
since proposed Sec. Sec. 1.1113 and 1.1118 were combined; the
documentation paragraph of the final rule is now paragraph (b). We
relocated the contents of proposed paragraph (d) (regarding submitting
documents to FDA electronically and in English) to Sec. 1.1110 of the
final rule. Finally, proposed paragraph (e) is now paragraph (c) of the
final rule.
3. How will FDA evaluate applications for recognition and renewal of
recognition (Sec. 1.1115)?
Section 1.1129 of the proposed rule, ``How will FDA review
applications for recognition and applications for renewal of
recognition?'' concerned FDA evaluation of applications for recognition
and renewal of recognition. Paragraph (a) of proposed Sec. 1.1129
stated that FDA would notify an accreditation body applicant if the
application is incomplete and would review completed applications in
the order in which the completed application is received; however, FDA
reserved discretion to prioritize review to meet program needs.
Paragraph (b) of proposed Sec. 1.1129 stated that FDA would evaluate
applications and may include an onsite visit to determine whether the
accreditation body applicant meets the requirements for recognition. We
also noted that we may extend the term of recognition for an
accreditation body if FDA's review of the application for renewal of
recognition was not complete prior to the term's expiration. In
paragraphs (c) and (d), we stated that we would notify an accreditation
body if the application is approved and that we may grant recognition
for a period up to 5 years from the date of recognition, unless our
review of the application extends past the expiration of the term of
recognition (as covered in proposed paragraph (b)). Proposed Sec.
1.1129 also provided that we would notify an accreditation body
applicant if we deny the application for recognition or renewal of
recognition, including the basis for the denial and procedures for
requesting reconsideration (see proposed Sec. 1.1129(e)). If we deny
an application for renewal of recognition, paragraph (f) stated that
the accreditation body applicant would have to identify a records
custodian to maintain records pursuant to proposed Sec. 1.1124, and
provide the custodian's contact information including email and street
address. As discussed above regarding changes to Sec. 1.1102,
throughout this subpart when we say, ``street address,'' we mean full
physical address including country; a mailing address that is not a
physical address (e.g., post office number) is insufficient, though
supplying both types of address is acceptable (see new definition of
street address in Sec. 1.1102 of the final rule). Paragraphs (g) and
(h) of proposed Sec. 1.1129 stated that when the application for
renewal of recognition is denied FDA would provide notice to
laboratories accredited by the accreditation body and public notice on
the website described in proposed Sec. 1.1109.
As part of our overall reorganization of the final rule, we have
moved the contents of proposed Sec. 1.1129 to Sec. 1.1115 of the
final rule and revised the section title to ``How will FDA evaluate
applications for recognition and renewal of recognition?'' We relocated
the requirement in proposed Sec. 1.1129(f) regarding submitting
notifications electronically and in English to Sec. 1.1110 of the
final rule. We have made several revisions to the contents of this
section to incorporate revised terminology and to improve clarity and
readability. Comments regarding this section are discussed below.
(Comment 64) Some comments suggest that FDA establish an initial
accreditation body application deadline, and an approval date for all
the accreditation bodies that apply for recognition by that deadline.
They state that this approach would avoid any competitive advantage
that might otherwise accrue to the accreditation body that first gains
FDA recognition. The comments also suggest that FDA set up additional
rounds of accreditation body application deadlines and recognition
decisions.
(Response 64) As discussed in Response 14, we intend to implement
the LAAF program in a stepwise fashion. The first step will be
announcing that accreditation bodies may apply for recognition. We
understand and acknowledge the concern that a competitive advantage may
accrue to the first accreditation body recognized. We will consider
this matter and communicate further on the details of the accreditation
body application process when we announce that applications may be
submitted.
4. What must a recognized accreditation body do to voluntarily
relinquish or not renew its recognition (Sec. 1.1116)?
Section 1.1132 of the proposed rule, ``What must a recognized
accreditation body do if it wants to voluntarily relinquish its
recognition or does not want to renew its recognition?'' concerned the
procedures for voluntary relinquishment of recognition and non-renewal
of recognition of a recognized accreditation body, including the
requirement to provide to FDA a notice of intent 60 days prior to
relinquishing recognition as well as a records point of contact for
records required by proposed Sec. 1.1124 (see proposed Sec.
1.1132(a)). Paragraph (b) required the accreditation body to provide
notice of intent to relinquish recognition to the laboratories the
accreditation body LAAF-accredits, and paragraph (c) noted that FDA
would provide notice of the same on the website described in proposed
Sec. 1.1109.
As part of our overall reorganization of the final rule, we have
moved the contents of proposed Sec. 1.1132 to Sec. 1.1116 of the
final rule. We received no comments directly related to this section of
the rule; however, we made certain changes on our own initiative.
First, we revised the section title to read, ``What must a recognized
accreditation body do to voluntarily relinquish or not renew its
recognition?'' In paragraph (a) we clarified that when a recognized
accreditation body notifies FDA of its intention to leave the program
it must specify the date on which the relinquishment or expiration will
occur.
[[Page 68768]]
We also deleted ``electronically, in English'' in paragraph (a) since
this is covered by the new Sec. 1.1110 in the final rule. We also made
several conforming changes to update cross-references throughout the
section to reflect the reorganized structure of the final rule and to
update terminology, such as the change to ``LAAF-accreditation.'' We
revised paragraphs (a) and (b) of the final rule to specify
``calendar'' days. Finally, we have made revisions to improve clarity
and readability of the final rule.
5. How may an accreditation body request reinstatement of recognition
(Sec. 1.1117)?
Section 1.1133 of the proposed rule, ``How does an accreditation
body request reinstatement of recognition?'' concerned an accreditation
body's request for reinstatement of recognition. Under proposed Sec.
1.1133(a), an accreditation body that had its recognition revoked could
seek reinstatement of recognition by submitting a new application along
with evidence that the grounds for revocation have been resolved. As
described in proposed Sec. 1.1133(b), an accreditation body that
allowed its recognition to expire or voluntarily relinquished
recognition could submit a new application without additional
requirements.
As part of our overall reorganization of the final rule, we have
moved the contents of proposed Sec. 1.1133 to Sec. 1.1117 of the
final rule and revised the title to read, ``How may an accreditation
body request reinstatement of recognition?'' We received no comments
directly related to this section of the rule; however, we revised the
section to update cross-references to reflect the reorganized structure
of the final rule and have made revisions to improve the clarity and
readability of the final rule.
F. Comments Regarding Requirements for Recognized Accreditation Bodies
Table 7--Changes to the Sections Regarding Requirements for Recognized
Accreditation Bodies
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
N/A (contents combined with Sec. Sec. 1.1118 What
1.1113). are the general
requirements for
recognized
accreditation
bodies to remain
recognized?
Sec. 1.1119 What are the Sec. 1.1119 What Editorial changes
conflict of interest requirements to section title.
requirements for a recognized apply to how a
accreditation body? recognized
accreditation
body must protect
against conflicts
of interests?
Sec. 1.1120 How must a Sec. 1.1120 How Revised section
recognized accreditation body must a recognized title to change
assess laboratories seeking accreditation ``evaluate'' to
LAAF-accreditation and oversee body evaluate ``assess'' and to
LAAF-accredited laboratories? laboratories modify
seeking ``accreditation''
accreditation and with the prefix
oversee the ``LAAF-''.
performance of
laboratories it
accredits?
Sec. 1.1121 When must a Sec. 1.1121 What Relocated section
recognized accreditation body appeal procedures and revised
require corrective action, must a recognized section title to
suspend a LAAF-accredited accreditation reflect
laboratory, or reduce the scope body provide for opportunity for
of or withdraw the LAAF- appeals of corrective
accreditation of a laboratory? decisions to not action, to revise
grant this use of
accreditation? ``probation'' to
Sec. 1.1122(h) ``suspension,''
Appeals to modify
procedures.. ``accreditation''
with the prefix
``LAAF-,'' to
refer to scope
reduction, and to
re-order the
terms.
Sec. 1.1122 What procedures Sec. 1.1122 When Relocated section
must a recognized accreditation must a recognized and revised
body provide for appeals of accreditation section title to
decisions to suspend, reduce body withdraw or include appeals
the scope of, withdraw, or deny reduce the scope for suspension,
LAAF-accreditation? of the scope reduction,
accreditation of withdrawal, or
a laboratory, and denial of LAAF-
when may a accreditation.
recognized
accreditation
body put an
accredited
laboratory on
probation?
Sec. 1.1123 What reports, Sec. 1.1123 What Revised title to
notifications, and reports and include
documentation must a recognized notifications ``documentation''
accreditation body submit to must a recognized to more
FDA? accreditation accurately
body submit to reflect the
FDA? contents of the
section.
Sec. 1.1124 What are the Sec. 1.1124 What Editorial changes
records requirements for a records to section title.
recognized accreditation body? requirements must
a recognized
accreditation
body meet?
Sec. 1.1125 What are the Sec. 1.1125 What Editorial changes
internal audit requirements for internal audit to section title.
a recognized accreditation requirements must
body? a recognized
accreditation
body meet?
------------------------------------------------------------------------
1. What are the conflict of interest requirements for a recognized
accreditation body (Sec. 1.1119)?
Proposed Sec. 1.1119 concerned conflict of interest requirements
for recognized accreditation bodies. In addition to meeting the
impartiality and conflict of interest requirements in ISO/IEC
17011:2017, proposed Sec. 1.1119(a)(1) stated the following
requirements: An accreditation body, including its officers, employees,
and other agents involved in accreditation activities, could not own,
have a financial interest in, manage, or otherwise control a
laboratory, including affiliates, parents, or subsidiary, that it LAAF-
accredits. Paragraph (a)(2) prohibited the acceptance of money, gifts,
gratuities, and other items of value by an accreditation body's
officers, employees, and other agents from a laboratory it LAAF-
accredits. Proposed Sec. 1.1119(b) excluded the following from
prohibited items of value: (1) Money representing payment for
accreditation fees and services, (2) reimbursement of direct costs
associated with an onsite assessment, and (3) lunch of a de minimis
value in certain circumstances. Proposed Sec. 1.1119(c) stated that
the financial interest of a spouse or child under 18 years of age of
any recognized accreditation body officer, employee, or other agent
involved in accreditation activities would be considered the financial
interest of such officer, employee, or other agent for purposes of the
rule.
In addition to the changes discussed below, we have revised cross-
references and terminology throughout the final rule to reflect the
reorganization and revised terms in the final rule. We revised the
title of the section to read, ``What are the conflict of interest
requirements for a recognized accreditation body?'' We have relocated
the contents of proposed paragraph (c) to paragraph (b) of the final
rule to better accommodate the addition of two
[[Page 68769]]
new paragraphs described below. We also changed the phrase ``lunch of
de minimis value'' (see proposed Sec. 1.1119(b)(2)) to ``meal of de
minimis value'' in Sec. 1.1119(e)(2) of the final rule to provide
flexibility. We also have revised this section to improve clarity and
readability. Comments regarding this section are discussed below.
(Comment 65) Many comments agree with the proposed accreditation
body conflict of interest provisions in Sec. 1.1119. Some comments
express particular support that our proposed policy would allow
individuals involved in accreditation decisions to accept both; (1)
payment for accreditation services, including reimbursement for direct
costs, and (2) lunch of de minimis value during an onsite assessment.
However, some comments state that our proposed requirements would be
duplicative of requirements in ISO/IEC 17011:2017.
(Response 65) We appreciate comments in support of the conflict of
interest provisions. We disagree that the requirements of Sec. 1.1119
are duplicative of ISO/IEC 17011:2017. The ISO/IEC 17011:2017
requirements for conflict of interest are stated in general terms and
included in the sections on impartiality. ISO/IEC 17011:2017 section
4.4.4 specifically addresses financial conflict of interest as follows:
``All accreditation body personnel and committees who could influence
the accreditation process shall act objectively and shall be free from
any undue commercial, financial and other pressures that could
compromise impartiality. The accreditation body shall require all
personnel and committee members to disclose any potential conflict of
interest whenever it may arise'' (Ref. 2). In contrast, Sec. 1.1119
offers more detailed and specific information than specified by ISO/IEC
17011:2017 with respect to what is permitted.
(Comment 66) Among the proposed conflict of interest provisions for
accreditation bodies, one would prohibit the officers, employees, or
other agents of an accreditation body from owning or having a financial
interest in any laboratory (including an affiliate, parent, or
subsidiary) LAAF-accredited by the accreditation body. Some comments
specifically applaud this proposed policy. Other comments express
concern that this proposed provision contains a much broader
interpretation of ``conflict'' than is either the industry standard or
practical in application. They state that, as proposed, this provision
may apply to accreditation body board members, decision panel members,
and technical committee members, among others, and could prohibit such
individuals from investing in a mutual fund that includes a company
with a financial interest in a laboratory accredited by the
accreditation body, even if that laboratory is not LAAF-accredited and
conducts no food testing. These comments suggest that FDA limit its
conflict of interest provisions in two ways. First, they suggest that
we limit our financial conflict of interest restrictions for
accreditation bodies to the more limited cases of owning or having a
financial interest in food testing laboratories LAAF-accredited by the
accreditation body under this program, or that are in direct
competition with listed laboratories, rather than all laboratories the
accreditation body has accredited. Second, they seem to imply that the
conflict of interest restrictions should apply only to individuals
involved in assessments and LAAF-accreditation decisions. Certain
comments from accreditation bodies explain that their practice is to
ask the laboratories being assessed to declare that no conflict exists
between the laboratory and the individual assessor(s) or accreditor(s).
Finally, these comments mention that their conflict of interest
policies have been deemed sufficient by other regulators as well as
peer evaluators.
(Response 66) We appreciate support for the conflict of interest
provisions proposed in Sec. 1.1119. As a threshold matter, we note
that the proposed rule defined ``accreditation'' in Sec. 1.1102, in
relevant part, as being limited to accreditation under this subpart.
Therefore, proposed section 1.1119(a)(1) was intended only to prevent
an accreditation body's ownership, financial interest in, management
of, or control of any laboratory it LAAF-accredits under this subpart.
As discussed at Response 10, we understand the potential for confusion
and have updated the terminology to better clarify the scope of the
rule and these conflict of interest provisions. With revisions to
reflect these terminology changes, Sec. 1.1119(a)(1) of the final rule
specifies that the prohibited interests relate solely to laboratories
that are LAAF-accredited by the recognized accreditation body. We
decline the suggestion to apply the conflict of interest requirements
for accreditation bodies as a prohibition against having a financial
interest in laboratories in direct competition with LAAF-accredited
laboratories because such a provision would be extremely challenging to
monitor and enforce.
In response to concerns raised in these comments, we have added new
paragraph (c) to this section in the final rule to permit a recognized
accreditation body, including officers, employees, or other agents
involved in LAAF-accreditation activities to have interest in a
publicly traded or publicly available fund (such as a mutual fund), or
a widely held pension or similar fund if the accreditation body
exercises no control over the financial interests in the funds. We
believe this type of interest to be low-risk and not to pose a
meaningful conflict of interest for a recognized accreditation body.
However, we decline to only apply these and other conflict of
interest restrictions to those individuals involved in LAAF-
accreditation or LAAF assessment decisions. If any officer, employee,
or other agent of the accreditation body owns or has a financial
interest in, manages or otherwise controls a laboratory that the
accreditation body LAAF-accredits, a conflict of interest exists.
Protecting against conflicts of interest is critical to the integrity
of this program.
(Comment 67) With regard to the proposed conflict of interest
provisions for accreditation bodies, some comments indicate that
whereas our proposed rule focused solely on financial conflicts of
interest, ISO/IEC 17011:2017 also addresses other types of conflicts of
interest such as consultation. We understand these comments to be
asking whether individuals who provide consulting services to a LAAF-
accredited laboratory apart from, or in preparation for, an assessment
by an accreditation body (e.g., the consultant who assists the
laboratory with determining how to design their quality management
system, or the consultant who provides services to the laboratory such
as performing the laboratory's required internal audit) will be
prohibited from serving as the consulting assessor that assesses the
laboratory on behalf of the recognized accreditation body.
(Response 67) Proposed Sec. 1.1119(a) stated that the conflict of
interest requirements in that section were in addition to the conflict
of interest requirements in proposed Sec. 1.1118(b), which
incorporated by reference, in its entirety, ISO/IEC 17011:2017.
Likewise, in the final rule, Sec. 1.1119(a) states that the conflict
of interest requirements in that section are in addition to the
conflict of interest requirements in Sec. 1.1113(a), which
incorporates by reference, in its entirety, ISO/IEC 17011:2017. Thus,
all the requirements in ISO/IEC 17011:2017, including those regarding
other conflicts of interest, are required by the final rule. Sections
4.4.11 through 4.4.13 of ISO/IEC 17011:2017 address consultancy among
[[Page 68770]]
the activities an accreditation body is restricted from performing. In
addition to consultancy, this section of ISO/IEC 17011:2017 also
addresses testing; calibration; inspection; certification of management
systems, persons, products, processes and services; provision of
proficiency testing; production of reference materials; and validations
and verifications (Ref. 2).
(Comment 68) Some comments on the proposed section regarding
conflict of interest requirements for accreditation bodies request that
FDA clarify the term, ``other agents.'' These comments ask whether our
proposal to include ``other agents'' among the actors prohibited from
having a financial interest in any laboratory the accreditation body
accredits, is intended to prohibit the accreditation body from
contracting with technical assessors who may also work for a laboratory
that the accreditation body LAAF-accredits. These comments state that
the use of contract assessors who work in accredited laboratories is
common in the industry. If we intended to prohibit that practice, these
comments recommend that we instead allow it to continue. They further
recommend that the applicant laboratory be made aware that the contract
assessor is from another accredited laboratory and be given an
opportunity to object to that assessor.
(Response 68) In light of these concerns, we have revised the final
rule to include new Sec. 1.1119(d) which permits a recognized
accreditation body to use a contract assessor with a specified
financial interest in a laboratory the recognized accreditation body
assesses for LAAF-accreditation, if all the following circumstances
apply: First, the contract assessor's primary occupation is owning or
having a financial interest in, managing, or otherwise controlling a
LAAF-accredited laboratory. Second, the assessor contracts with the
recognized accreditation body to provide assessment services on an
intermittent or part-time basis. Third, the contract assessor does not
assess the LAAF-accredited laboratory that the assessor owns or has a
financial interest in, manages, or otherwise controls. Finally, the
contract assessor and the recognized accreditation body inform any
laboratory that the contract assessor may assess or reassess for LAAF-
accreditation, that the contract assessor owns or has a financial
interest in, manages, or otherwise controls a LAAF-accredited
laboratory. The laboratory seeking LAAF-accreditation assessment or
reassessment must acknowledge that the contract assessor owns or has a
financial interest in, manages, or otherwise controls a LAAF-accredited
laboratory and be provided the option to be assessed by a different
representative of the recognized accreditation body.
The addition of this paragraph to the final rule is intended to
facilitate the existing industry practice of accreditation bodies using
contract assessors from LAAF-accredited laboratories. We believe that
any potential conflict of interest arising from this narrow exception
is mitigated by the disclosure of the financial interest of the
contract assessor to the laboratory subject to assessment for purposes
of LAAF-accreditation, as well as an acknowledgement by the laboratory
and the option to request a different assessor.
To accommodate changes to the final rule regarding the excepted
interests described in Sec. 1.1119(c) and (d) (see Responses 66 and
67) we have revised Sec. 1.1119(a)(1) to expressly reference the new
exceptions.
2. How must a recognized accreditation body assess laboratories seeking
LAAF-accreditation and oversee LAAF-accredited laboratories (Sec.
1.1120)?
Section 1.1120 of the proposed rule, ``How must a recognized
accreditation body evaluate laboratories seeking accreditation and
oversee the performance of laboratories it accredits?'' concerned
recognized accreditation body assessment of LAAF-accredited
laboratories. This proposed section stated that recognized
accreditation bodies would need to conduct an initial assessment of a
laboratory seeking LAAF-accreditation onsite, unless the recognized
accreditation body had conducted an onsite assessment of the laboratory
in the last 2 years in accordance with ISO/IEC 17025:2017. The proposed
section stated in paragraph (c) that a recognized accreditation body
that had conducted an onsite assessment of a laboratory in the last 2
years in accordance with ISO/IEC 17025:2017 could conduct the initial
assessment of such laboratory seeking LAAF-accreditation remotely and
need only address the requirements beyond ISO/IEC 17025:2017. Once
LAAF-accredited, proposed paragraph (d) required that a recognized
accreditation body oversee the performance of a laboratory it LAAF-
accredits in accordance with the requirements of this subpart. Proposed
paragraph (e) required the assessment of the sample of the scope of
LAAF-accreditation to be conducted onsite and at least every 2 years,
unless, as proposed paragraph (f) stated, the initial assessment was
conducted remotely under the exception in proposed paragraph (c), in
which case the first assessment of the sample of the scope of LAAF-
accreditation must be conducted within 2 years of the last onsite
assessment in accordance with ISO/IEC 17025:2017. Proposed Sec.
1.1120(g) also required that the reassessment of at the end of the
LAAF-accredited laboratory's LAAF-accreditation cycle be conducted
onsite. In all assessment scenarios in this proposed section, certain
assessment activities could be conducted remotely if it would not aid
the assessment to conduct them onsite. Finally, in paragraph (h), we
proposed that any additional assessments beyond those referred to in
the section could be conducted remotely.
We have updated cross-references and terminology throughout the
section and, correspondingly, we revised the section title to read,
``How must a recognized accreditation body assess laboratories seeking
LAAF-accreditation and oversee LAAF-accredited laboratories?'' On our
own initiative, we revised Sec. 1.1120(e) to improve clarity and
readability. To better distinguish between initial assessment
activities and activities conducted in subsequent assessments, we
replaced several instances of ``assessment'' with ``reassessment.'' We
also deleted references to assessing ``in accordance with'' ISO/IEC
17011:2017 because such references were redundant of the foundational
ISO/IEC 17011:2017 requirement (Sec. 1.1113). Comments regarding this
section are discussed below.
(Comment 69) Some comments praise FDA for the clarity of the
requirements in Sec. 1.1120. These comments state that the
accreditation body would be responsible for deciding, within the
parameters set by the rule, whether and when remote assessment would be
sufficient.
A few comments indicate that the proposed rule did not distinctly
address a laboratory's request to expand or extend its scope of LAAF-
accreditation or propose requirements for how a recognized
accreditation body would assess such a request. These comments suggest
that a remote assessment should be allowed if the laboratory is simply
adding analytes to a technique or method for which it is already LAAF-
accredited. In contrast, these comments recommend that an onsite
assessment be required if the request to extend the scope of LAAF-
accreditation involves techniques or methods that are new to that
laboratory.
(Response 69) We appreciate the support and agree that this section
indicates minimum requirements but does not prevent a recognized
[[Page 68771]]
accreditation body from conducting additional site visits or remote
visits if they so choose, provided they are not in conflict with our
requirements.
Proposed Sec. 1.1120 did not explicitly address assessments for
extensions of LAAF accreditation. However, such assessments would be
governed by the terms of Sec. 1.1120, meaning that if such an
assessment was not required to be onsite under paragraphs (a), (e), or
(g), it would be covered by paragraph (h) and the recognized
accreditation body would determine whether going onsite would aid the
assessment. In most circumstances FDA would recommend that recognized
accreditation bodies go onsite to assess a LAAF-laboratory for
techniques, technology, and types of instrumentation that have not been
previously observed during an onsite assessment. In our view, remote
off-cycle assessments are generally sufficient in circumstances such as
the addition of analyte(s) to a method previously evaluated during an
onsite assessment, the addition of matrices to a method previously
evaluated during an onsite assessment, and the addition of a method for
a technique or technology that the laboratory has been determined to
have competence to perform based on a previous onsite assessment.
3. When must a recognized accreditation body require corrective action,
suspend a LAAF-accredited laboratory, or reduce the scope of or
withdraw the LAAF-accreditation of a laboratory (Sec. 1.1121)?
Proposed Sec. 1.1122 concerned the probation, withdrawal, and
reduction of scope of a laboratory's LAAF-accreditation. Paragraphs (a)
and (c) of this proposed section described the grounds for withdrawal
of LAAF-accreditation as when a laboratory substantially fails to
comply with this subpart; it also provided that withdrawal may be
limited to certain methods if the deficiencies only impact those
methods within the scope of LAAF-accreditation. Paragraph (b) of this
proposed section described grounds for probation as when a laboratory
demonstrates deficiencies less serious than those warranting withdrawal
that are reasonably likely to be fixed within a specified period of
time. Proposed Sec. 1.1122(d) stated the provision to submit required
records as requested by the recognized accreditation body to assist in
determining whether withdrawal or probation is warranted. This proposed
section also included the procedures for withdrawal of LAAF-
accreditation and for probation of a LAAF-accredited laboratory as well
as the consequences of each: specifically, a laboratory would not be
eligible to conduct testing under this subpart for any methods for
which LAAF-accreditation had been withdrawn and a laboratory on
probation could continue to conduct testing under this subpart.
Paragraph (h) of this proposed section included the requirements for
appeals procedures a recognized accreditation body would need to
establish and implement for a laboratory to appeal any decision to
withdraw LAAF-accreditation.
As a threshold matter, we moved the contents of proposed Sec.
1.1122 to Sec. 1.1121 in the final rule. Additionally, we have revised
this section to remove proposed Sec. 1.1122(h) regarding appeals
procedures for reducing the scope of or withdrawal of LAAF-
accreditation; this content has been incorporated into Sec. 1.1122 of
the final rule regarding appeals procedures for decisions to suspend,
reduce the scope of, withdraw, or deny LAAF-accreditation. We have also
revised the section to clarify that a recognized accreditation body can
use suspension on a method-specific basis; we believe this change
better aligns LAAF-accreditation with ISO/IEC 17025:2017 accreditation.
In response to comments, we have made substantial revisions to this
section. In addition to updating terminology, we also have revised the
section to include the opportunity to implement corrective action prior
to suspension of a LAAF-accredited laboratory. See Sec. 1.1121(a). A
laboratory with its LAAF-accreditation suspended also has a corrective
action opportunity before its LAAF-accreditation is withdrawn by the
recognized accreditation body. We revised the section title to read,
``When must a recognized accreditation body require corrective action,
suspend a LAAF-accredited laboratory, or reduce the scope of or
withdraw the LAAF-accreditation of a laboratory?'' to incorporate
revised terminology and to better reflect the contents of the section
in the final rule.
(Comment 70) Section 1.1122(a) of the proposed rule provided that a
recognized accreditation body must withdraw a laboratory's LAAF-
accreditation if the laboratory substantially fails to comply with this
rule. We have addressed in Response 10 the confusion and concern some
comments express regarding our proposed use of the word,
``accreditation'' to mean the laboratory had been approved to conduct
testing under this subpart. Here we address the proposed requirement
that an accreditation body act to remove a laboratory from this program
if the laboratory substantially fails to comply with this rule.
Some comments state support for this proposed requirement, stating
that it reflects common industry practice.
(Response 70) We appreciate support for the proposed requirements
and note that the final rule is limited to impact on a laboratory's
LAAF-accreditation, as opposed to having any impact on ISO/IEC
17025:2017 accreditation.
(Comment 71) Many comments highlight that the term, ``probation''
typically is not used in conformity assessment. Many comments also
argue that marketplace confusion and commercial harm would likely
result from use of the term, ``probation'' to describe an action that a
recognized accreditation body could take against a laboratory--
particularly in combination with our proposed specialized definition of
the term, ``accreditation'' to mean that the laboratory satisfies the
requirements of this subpart and the proposal that laboratories be
labeled publicly with ``probation'' status via our online registry.
Some comments recommend that the rule allow for three actions that
could be taken against a LAAF-accredited laboratory: probation,
suspension, and withdrawal. Some comments recommend that FDA not
establish another accreditation status outside of the ILAC-MRA and ISO/
IEC 17011:2017, which provides for suspension, withdrawal, and
reduction of the scope of accreditation. Some comments urge that, if
FDA does use the term, ``probation'' in this subpart, we use the term
solely to describe an action we might take, e.g., in relation to the
online registry, rather than an action taken by the accreditation body.
Some comments contend that a laboratory should not be placed on
``inactive'' status if it has been cited for noncompliance during an
assessment. We understand this comment to mean that a laboratory should
not be placed on probation or suspension from this program until after
the laboratory has had an opportunity to take corrective action.
(Response 71) We understand that the term, ``probation'' typically
is not used in this context and appreciate the recommendations for
other terms. We have revised the terminology used here and throughout
the rule to be more specific to LAAF-accreditation. In Sec. 1.1121, we
have revised the section to refer to ``suspension'' instead of
``probation,'' as we understand this to be a more appropriate term
based on context. We also agree that the opportunity for corrective
action should
[[Page 68772]]
be afforded prior to suspending a laboratory and we have revised the
section to include such opportunity prior to a recognized accreditation
body suspending a LAAF-accredited laboratory or withdrawing or reducing
the laboratory's scope of LAAF-accreditation. We have retained the
term, ``probation'' in the final rule to refer to an action taken by
FDA with respect to a recognized accreditation body (see Sec. 1.1131)
or a LAAF-accredited laboratory (see Sec. 1.1161).
We also acknowledge that laboratory suspension may occur at the
request of the laboratory to accommodate temporary circumstances
unrelated to deficiencies, such as to move locations, remodel, or while
certain equipment is inoperable or otherwise unavailable. A suspension
of ISO/IEC 17025 accreditation for any reason would necessarily impact
LAAF-accreditation and therefore must be reported to FDA by the
recognized accreditation body under Sec. 1.1123. We intend to
accurately maintain the information contained on the public registry
described in Sec. 1.1109.
Although we proposed in Sec. 1.1122(g) that a LAAF-accredited
laboratory would be permitted to continue to conduct food testing under
this subpart while on probation, we have also revised the final rule to
better align with the consequences of suspension in section 4.3.1 of
ISO/IEC 17011:2017 (Ref. 2). Since a laboratory would not be able to
hold itself out as accredited for a method subject to suspension, Sec.
1.1121(f)(1) of the final rule states that a LAAF-accredited laboratory
may not conduct food testing under this subpart using suspended
methods.
(Comment 72) Some comments express concern about the proposed
provisions regarding recognized accreditation bodies placing
laboratories on probation or withdrawing LAAF-accreditation for the
laboratory's failure to comply with the rule, when combined with what
these comments describe as ``punitive and excessive'' documentation and
reporting proposed requirements associated with analytical reports. We
understand these comments to be expressing concern that if FDA applies
exacting standards to all contents of the full analytical report, a
laboratory may be deemed out of compliance with the rule for failing to
satisfy those reporting requirements, at which point the recognized
accreditation body may place the laboratory on probation or withdraw
LAAF-accreditation.
(Response 72) We have revised the final rule to clarify that
probation is an action that only FDA will take; under Sec. 1.1121, a
recognized accreditation body may suspend a LAAF-accredited laboratory.
(See Response 10 for additional discussion of clarifying terminology
changes in the final rule.)
It remains true in the final rule that a recognized accreditation
body ``must reduce the scope of or withdraw the LAAF-accreditation of a
laboratory it LAAF-accredits when the laboratory substantially fails to
comply with this subpart'' (Sec. 1.1121(c)). However, the word,
``substantially'' is included in this regulatory provision for a
reason, and that is to distinguish minor or isolated infractions from
more serious failings. In the context of laboratory reporting
requirements, ``substantially'' means that it would be unnecessary and
inappropriate for an accreditation body to place a LAAF-accredited
laboratory on probation, or to reduce the scope of or withdraw its
LAAF-accreditation, for minor administrative errors in analytical
reports. Nor would such errors ordinarily result in FDA placing the
laboratory on probation or disqualifying the laboratory. Further, it is
FDA's responsibility, and not the recognized accreditation body's, to
review the performance of LAAF-accredited laboratories, including
reviewing submitted analytical reports.
For more information on laboratory reporting requirements, see our
discussion of Sec. 1.1152, below. For more information on FDA review
of analytical reports, see our discussion of Sec. 1.1160 below.
4. What procedures must a recognized accreditation body provide for
appeals of decisions to suspend, reduce the scope of, withdraw, or deny
LAAF-accreditation (Sec. 1.1122)?
Proposed Sec. 1.1121 concerned the procedures for appeals of
decisions to deny LAAF-accreditation. This proposed section specified
requirements for appeals procedures in addition to those in ISO/IEC
17011:2017, including the requirement to make appeals procedures
publicly available, and to use a competent person free from bias who
has not participated in the accreditation decision and is not the
subordinate of a person who participated in the accreditation decision.
As mentioned above, we have moved the contents of proposed Sec.
1.1121 to Sec. 1.1122 in the final rule. Considering the overlap
between proposed Sec. Sec. 1.1121 and 1.1122(h) (regarding appeals
procedures for withdrawal of LAAF-accreditation), we have revised Sec.
1.1122 of the final rule to cover appeals of denial, reduction of
scope, and withdrawal of LAAF-accreditation. Additionally, we include
appeals of suspension decisions in this section of the final rule; this
requirement previously only appeared in Sec. 1.1124 of the proposed
rule. Accordingly, we have revised the section title to reflect the
contents of the section in the final rule (``What procedures must a
recognized accreditation body provide for appeals of decisions to
suspend, reduce the scope of, withdraw, or deny LAAF-accreditation?'')
We also have revised the section in the final rule to update cross-
references and to make minor editorial changes to improve clarity and
readability. Comments regarding this section are discussed below.
(Comment 73) Several comments support the proposed provision
describing the appeal procedures that a recognized accreditation body
must provide. Some comments state that ISO/IEC 17011:2017 does not
specify which accreditation body actions may be appealed, and thus
appreciate that the proposed rule would create appeal rights for
accreditation decisions. Some comments also support our proposed
requirement that an accreditation body's appeal procedures be written
and publicly available. Some comments mention that at least some
accreditation bodies already have internal appeals policies and
procedures, some of which meet our proposed requirements, and some
comments state that our proposed requirements describe the current
appeals practices of ILAC-MRA accreditation bodies.
However, some comments disagree with the proposed policy that would
render subordinates of the person who made the initial accreditation
decision ineligible to decide the appeal. These comments suggest bias
would be sufficiently avoided as long as the rule requires someone
different than the initial decision-maker to decide an appeal.
(Response 73) We appreciate the comments in support of the proposed
appeals procedures. Since publication of the proposed rule we have
learned that ISO/IEC 17011:2017 specifies which actions an accredited
laboratory may appeal within the definitions section of the standard.
ISO/IEC 17011:2017 definitions, section 3.21 defines ``appeal'' as:
``request by a conformity assessment body (3.4) for reconsideration of
any adverse accreditation decision (3.13) related to its desired
accreditation (3.1) status''. Section 3.13 then defines ``accreditation
decision'' as: ``decision on granting (3.14), maintaining (3.15),
extending (3.16), reducing (3.17), suspending (3.18) and withdrawing
(3.19) accreditation (3.1)'' (Ref. 2). We nevertheless specify the
actions a
[[Page 68773]]
LAAF-accredited laboratory may appeal in Sec. 1.1122 to maintain
consistency and clarity within the subpart.
Furthermore, we also have come to appreciate that the requirement
for a written and publicly available appeals procedure is required by
ISO/IEC 17011:2017 as follows: section 7.13.1 requires ``The
accreditation body shall have a documented process to receive, evaluate
and make decisions on appeals''; 8.2.1(b)(5) states that ``[t]he
accreditation body shall make publicly available . . . information on
procedures for lodging and handling complaints and appeals.'' (Ref. 2).
We are deleting from the final rule the requirement for a recognized
accreditation body to make its appeals procedure publicly available
because that requirement is already addressed by ISO/IEC 17011:2017.
Regarding the additional requirement in the proposed rule that
would prohibit subordinates of the person who made the initial
accreditation decision from hearing the appeal, we decline to remove
this requirement because subordinates are generally not free to
exercise authority that is fully independent of the supervisor, and are
to some extent under the control and influence of the supervisor.
Prohibiting subordinates from hearing the appeal will therefore better
ensure a fair and unbiased review.
(Comment 74) A few comments request clarification as to whether an
accredited laboratory can continue to conduct food testing under the
LAAF program while appealing a recognized accreditation body's
withdrawal of LAAF-accreditation. The comments opine that laboratories
should not be permitted to conduct testing under this subpart during
the appeal process.
(Response 74) We agree that laboratories should not be permitted to
conduct testing under this subpart during the appeal process.
Consistent with the intent of the proposed rule, the final rule
provides that if a recognized accreditation body withdraws the LAAF-
accreditation of a laboratory, the laboratory is immediately ineligible
to conduct food testing under this rule. If the recognized
accreditation body reduces the scope of LAAF-accreditation, the
laboratory is immediately ineligible to conduct food testing under this
rule with respect to the specific methods for which LAAF-accreditation
was withdrawn. See Sec. 1.1121(f)(2). The proposed rule would have
allowed LAAF-accredited laboratories to continue to conduct tests under
this subpart even if the recognized accreditation body had placed the
laboratory on what we then called ``probation'' (and now call
``suspension''). To align with how suspension is handled under ISO/IEC
17011:2017 (see, e.g., section 3.18 (Ref. 2)), the final rule provides
that a LAAF-accredited laboratory may not conduct food testing under
this subpart for any suspended methods. See Sec. 1.1121(f)(1).
Although the final rule requires the recognized accreditation body to
provide an appeals process for decisions to suspend, reduce the scope
of, or withdraw, LAAF-accreditation (Sec. 1.1122), pending such
appeal, the laboratory is still suspended, has had its scope reduced,
or has had its LAAF-accreditation withdrawn, and therefore cannot
conduct applicable testing under this subpart.
5. What reports, notifications, and documentation must a recognized
accreditation body submit to FDA (Sec. 1.1123)?
Proposed Sec. 1.1123 concerned reports and notifications a
recognized accreditation body must submit to FDA. Proposed paragraph
(a) of this section included the general requirements for all reports
and notifications under this subpart and specific recognized
accreditation body and LAAF-accredited laboratory identifying
information to be included as applicable. Proposed paragraph (b) of
this section described the internal audit reporting requirements for a
recognized accreditation body. Proposed Sec. 1.1123(c) required
immediate notification (within 48 hours) to FDA of the following:
changes that affect the recognition status of the accreditation body
and any LAAF-accreditation decisions such as granting, denying, or
withdrawing LAAF-accreditation, putting a LAAF-accredited laboratory on
probation, learning of a LAAF-accredited laboratory's intent to
voluntarily relinquish LAAF-accreditation, and awareness of LAAF-
accredited laboratory fraud. The proposed section included specific
information to be included with each item requiring immediate
notification.
On our own initiative, we revised the section title to read, ``What
reports, notifications, and documentation must a recognized
accreditation body submit to FDA?'' to more accurately reflect the
contents of the section in the final rule. We have revised subsection
(a) to remove the requirement to submit reports and notifications to
FDA electronically and in English; this requirement is now in Sec.
1.1110 of the final rule. We also revised paragraph (b) to specify
``calendar'' days. We have reorganized the section by the category of
information to be submitted (e.g., changes affecting recognition,
changes in LAAF-accreditation) and have made revisions to improve
clarity and readability, incorporate revised terminology, and update
cross-references. Also, in Sec. 1.1123(d) we have clarified that a
certificate reflecting the scope of accreditation must be submitted by
a recognized accreditation body within 48 hours of a change in LAAF-
accreditation (e.g., grant of LAAF accreditation, reduction in scope).
We note that there will not be such a certificate when the recognized
accreditation body denies LAAF-accreditation for all methods requested
by the laboratory. In that scenario, the recognized accreditation body
need only submit the information described in Sec. 1.1123(d)(2): (i)
The scope of LAAF-accreditation requested by the laboratory, (ii) the
scope of LAAF-accreditation denied, and (iii) the grounds for denial.
On further review of the proposed rule, we identified a potentially
duplicative notification regarding a laboratory relinquishing LAAF-
accreditation; under the proposed rule, the LAAF-accredited laboratory
would have to notify the recognized accreditation body and FDA 60 days
prior to relinquishing LAAF-accreditation. Additionally, proposed Sec.
1.1123(c)(4) required the recognized accreditation body to notify FDA
within 48 hours after it receives notice a LAAF-accredited laboratory
intends to relinquish LAAF-accreditation. We have clarified in the
final rule that the recognized accreditation body must only provide
notice to FDA if the laboratory has not provided notice to FDA 60
calendar days prior to relinquishment as required by Sec. 1.1140 (see
Sec. 1.1123(d)(3) of the final rule). For clarity and to align with
common conformity assessment terminology, in the final rule we
consistently use the verb, ``extend,'' rather than sometimes also using
the term, ``expand,'' to refer to the action of adding a method to the
scope of LAAF-accreditation. That change is reflected in paragraph
(d)(1)(iii) of Sec. 1.1123, (``the effective date of the . . .
extension''). We deleted the word ``alleged'' that appeared in Sec.
1.1123(c)(7)(ii) of the proposed rule so that the requirements related
to reporting laboratory fraud or false statements to FDA are internally
consistent and clearly communicate the requirements for submitting such
information; see Sec. 1.1123(e)(2) of the final rule. Finally, we have
clarified in Sec. 1.1123(d)(4)(iii) that notification of a reduction
of scope or withdrawal of LAAF-accreditation must include the
[[Page 68774]]
effective date. We have also made other conforming terminology and
minor editorial revisions in this section. Comments regarding this
section are discussed below.
(Comment 75) Proposed Sec. 1.1123 listed the reports and
notifications that a recognized accreditation body would be required to
submit to FDA and contained proposed timeframes for submission of the
reports and notifications. In Sec. 1.1123(b) we proposed that a
recognized accreditation body must submit results of an internal audit
to FDA no later than 45 days after completing the audit. Some comments
suggest we extend the deadline to 90 days, contending that 45 days may
be insufficient for the resolution of some corrective actions.
(Response 75) Although 45 days may be insufficient time for the
complete resolution of some corrective actions, we believe it is
sufficient time to complete the investigation required by the
corrective action process unless information is needed from an outside
source that is not within the control of the accreditation body.
Proposed Sec. 1.1123(b)(3) required a description of any corrective
action taken and any corrective action that the accreditation body will
take; this provision of the proposed rule acknowledged that
implementation or monitoring of a proposed corrective action may not
have been completed within 45 calendar days but expected that a
recommendation for a proposed corrective action should reasonably be
completed within the 45 calendar day window. Accordingly, we decline to
revise the final rule to extend the deadline to 90 calendar days.
(Comment 76) Section 1.1123(c)(1) proposed to require a recognized
accreditation body to immediately notify FDA if the recognized
accreditation body was aware of a change that would affect their
recognition under this subpart. Comments seek clarification of what we
meant by changes that would ``affect recognition.'' Some comments
suggest it would be clearer if we require recognized accreditation
bodies to submit to FDA reports resulting from evaluations of adherence
to ISO/IEC 17011:2017.
(Response 76) The preamble discussed specific examples of ``any
changes it is aware of that would affect its recognition'' as
referenced in 1.1123(c) of the proposed rule. The changes listed were
not exclusively those changes that would be included in the reports
resulting from evaluations of adherence to ISO/IEC 17011:2017. As
stated in the preamble to the proposed rule, some examples of changes
that affect recognition include, but are not limited to, ``changes in
the name or operations of a recognized accreditation body, such as the
purchase of a recognized accreditation body by a company, as well as
changes that would cause the recognized accreditation body to no longer
meet the requirements of this proposed program, including if the
recognized accreditation body ceases membership in ILAC or is no longer
a signatory of the ILAC MRA demonstrating competence to ISO/IEC
17011:2017'' (84 FR 59452 at 59471).
(Comment 77) In Sec. 1.1123(c)(2) through (7), we proposed to
require that a recognized accreditation body immediately notify FDA of
certain information related to the LAAF-accreditation status of
laboratories it LAAF-accredits or laboratories that have sought LAAF-
accreditation. Proposed Sec. 1.1123(c)(2) through (6) addressed
information related to accreditation or status (e.g., grants or denials
of accreditation). Proposed Sec. 1.1123(c)(7) addressed information
indicating that a LAAF-accredited laboratory committed fraud or
submitted to FDA a material false statement. We proposed a timeframe of
48 hours for a recognized accreditation body to notify FDA of
information covered by Sec. 1.1123(c)(2) through (7).
Some comments request clarification of when the 48-hour clock
starts for purposes of proposed Sec. 1.1123(c)(2) through (6);
comments ask whether the clock starts from the date the LAAF-
accreditation decision is made or the date the recognized accreditation
body issues the laboratory's certificate of LAAF-accreditation. These
comments state that there can be a lag between when the decision is
made and when the certificate is issued and appears on the
accreditation body's website. These comments recommend that the 48-hour
timeframe commence when the LAAF-accreditation certificate is issued to
the laboratory.
With regard to proposed Sec. 1.1123(c)(7), some comments familiar
with accreditation body practice explain that, if an accreditation body
is notified of potential fraud by an accredited laboratory, the
accreditation body would conduct a full investigation prior to deciding
whether to withdraw accreditation. According to these comments,
accreditation bodies may place laboratories on suspension until the
investigation is complete. The comments further state that the
suspension would be lifted if and when the accreditation body receives
evidence of ``sufficient corrective action'' from the laboratory and
conducts followup onsite visits.
(Response 77) We understand that some comments ask when the 48-hour
notification deadline starts in matters relating to LAAF accreditation.
To clarify, the 48-hour window begins when the recognized accreditation
body issues the certificate of LAAF-accreditation. Note that in the
final rule, we have clarified that within those 48 hours, the
recognized accreditation body must notify and submit to FDA the
certificate reflecting the scope of LAAF-accreditation (Sec.
1.1123(d)). When the recognized accreditation body denies LAAF-
accreditation for all methods requested by a laboratory, there is no
scope certificate, and the 48-hour notification window begins when the
recognized accreditation body makes the denial decision.
If a recognized accreditation body places a LAAF-accredited
laboratory on suspension while it investigates potential fraud, then
both the suspension and the fraud allegation would need to be reported
within 48 hours. Any further decision regarding withdrawal of LAAF-
accreditation or lifting of the suspension would in turn be an
additional change in the laboratory's accreditation status that would
trigger the 48-hour reporting requirement.
6. What are the records requirements for a recognized accreditation
body (Sec. 1.1124)?
Proposed Sec. 1.1124 concerned records requirements for recognized
accreditation bodies in addition to those required by ISO/IEC
17011:2017. Proposed Sec. 1.1124(a) required recognized accreditation
bodies to maintain electronically, for 5 years after the date of
creation, certain records related to compliance with this subpart,
including records regarding: Applications for LAAF-accreditation; LAAF-
accreditation decisions; appeals of adverse LAAF-accreditation
decisions; oversight of LAAF-accredited laboratories; oversight of the
recognized accreditation body's compliance with this subpart; reports,
notifications, and supporting documents required under this subpart;
and records of fee payments and direct costs. Records relating to a
recognized accreditation body's oversight of laboratories it has LAAF-
accredited include records of related to proficiency testing and
comparison programs (see Sec. 1.1138(a)(2)). Proposed Sec. 1.1124(b)
stated the requirement that a recognized accreditation body make
required records available to FDA upon request for copying and
inspection or electronically, if requested as such; the recognized
accreditation body would be
[[Page 68775]]
responsible for submitting an English translation of any records
maintained in another language. Proposed Sec. 1.1124(c) stated that a
recognized accreditation body must not prevent or interfere with FDA's
access to the records of the laboratories it LAAF-accredits.
We have updated the applicable section in the final rule to
incorporate revised terminology and to update cross-references. On our
own initiative, we made minor editorial changes to the section title to
read, ``What are the records requirements for a recognized
accreditation body?'' Additionally, we removed the word,
``electronically,'' from paragraph (a) to allow flexibility around how
recognized accreditation bodies maintain records. We revised paragraph
(a)(2) to specify that records of decisions to suspend or lift the
suspension of a LAAF-accredited laboratory must be maintained under
this section. We revised paragraph (a)(3) to reflect changes to Sec.
1.1122 of the final rule to incorporate each type of appeal. We also
removed the requirement in paragraph (b) to submit an English
translation of records electronically since that requirement is covered
by Sec. 1.1110 of the final rule. Also, as a result of the new
accommodation added to manage conflicts of interest associated with
contract assessor activities (see Sec. 1.1119(d) of the final rule),
we have added as a required record documentation demonstrating
compliance with the requirements for assessment activities by contract
assessors with certain financial interests described in Sec.
1.1119(d). See Sec. 1.1124(a)(8) of the final rule. Comments regarding
this section are discussed below.
(Comment 78) A few comments request that FDA specify those records
that are to be retained for 5 years, and caution that without a clear
list, accreditation bodies may be delayed in submitting the documents
to FDA. The comments suggest the following records be included in a
specific list of records subject to 5-year retention: 1. Assessment
report; 2. Corrective actions related to the assessment; 3. Complaints
records; 4. Dispute/appeals records; 5. Proficiency testing results.
(Response 78) Proposed Sec. 1.1124(a) lists the records that a
recognized accreditation body must maintain for 5 years and remains
unchanged in the final rule. We note that the recommended list aligns
with our proposed and final requirements.
7. What are the internal audit requirements for a recognized
accreditation body (Sec. 1.1125)?
Section 1.1125 of the proposed rule concerned internal audit
requirements for a recognized accreditation body, including the
requirements in ISO/IEC 17011:2017 and the requirement to audit
compliance with the additional requirements of this subpart for
recognized accreditation bodies. We received no comments directly
related to this section of the rule. On our own initiative, we revised
the section to update cross-references to reflect the reorganized
structure of the final rule and made minor revisions to improve clarity
and readability, including revising the section title (``What are the
internal audit requirements for a recognized accreditation body?'').
G. Comments Regarding FDA Oversight of Recognized Accreditation Bodies
Table 8--Changes to Sections Regarding FDA Oversight of Recognized
Accreditation Bodies
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
FDA Oversight of Recognized Procedures for Revised section
Accreditation Bodies. Recognized title to reflect
Accreditation revised
Bodies. terminology.
Sec. 1.1130 How will FDA Sec. 1.1130 How No changes to the
oversee recognized will FDA oversee section title.
accreditation bodies? recognized
accreditation
bodies?
Sec. 1.1131 When will FDA Sec. 1.1131 When Revised section
require corrective action, put will FDA revoke title to reflect
a recognized accreditation body the recognition opportunity for
on probation, or revoke the of an corrective action
recognition of an accreditation accreditation and to re-order
body? body or put a actions to match
recognized the section
accreditation contents.
body on
probation?
------------------------------------------------------------------------
1. How will FDA oversee recognized accreditation bodies (Sec. 1.1130)?
Proposed Sec. 1.1130 concerned FDA oversight of recognized
accreditation bodies to determine compliance with this subpart.
Proposed Sec. 1.1130(a) stated that FDA's evaluation of a recognized
accreditation body would occur by at least 4 years after the date of a
recognition for a 5-year term or by the mid-term point for a
recognition period less than 5 years. This section stated that FDA
oversight could include review of records, an onsite assessment of the
recognized accreditation body, and an onsite assessment of one or more
laboratories it LAAF-accredits, with or without the recognized
accreditation body present. Proposed Sec. 1.1130(b) reserved the right
of FDA to conduct additional evaluations of a recognized accreditation
body at any time to review compliance with this subpart.
Consistent with the discussion in Response 10, we have updated the
section to refer to FDA's actions as ``evaluations'' instead of
``assessments'' to further distinguish the role of FDA from that of a
recognized accreditation body. Additionally, we have made explicit that
FDA may conduct certain evaluation activities remotely if it will not
aid in the evaluation to conduct them onsite. We also restructured and
revised this section in the final rule to update terminology and to
make minor changes to improve clarity and readability. Comments
regarding this section are discussed below.
(Comment 79) Some comments agree that FDA should have the authority
to schedule onsite visits to observe recognized accreditation bodies,
but they contend FDA should not conduct such site visits unannounced.
In their view, it would be unproductive for FDA to make an unannounced
onsite visit to a recognized accreditation body, because recognized
accreditation bodies need notice to ensure staff will be there to
answer FDA questions about the program or else risk wasting Agency time
and resources. Comments also state that FDA may review accreditation
body records and reports remotely and thus would not gain any further
information from unannounced visits.
(Response 79) Onsite evaluations of accreditation bodies are one of
several tools we will use for LAAF program oversight. Flexibility to
conduct unannounced onsite evaluations will support program integrity
as there may be cases where such visits may be the only way the Agency
can be assured an accurate assessment of the situation. The Agency
recognizes that some personnel may be not be onsite and would
necessarily take this into account when planning unannounced visits. We
view this as a rare but necessary tool.
[[Page 68776]]
(Comment 80) A few comments recommend that it would be preferable
for FDA to evaluate a recognized accreditation body's program
performance by observing the accreditation body while they are
conducting an accreditation assessment for a laboratory. Similarly,
some comments recommend that FDA observe the ILAC peer evaluation of
accreditation bodies. In the view of these comments, FDA has the right
to review all aspects of the accreditation program at any time.
(Response 80) We appreciate these suggestions. As stated in the
proposed and final rule, we will make evaluations through a wide
variety of means and the recommended approaches could be used.
2. When will FDA require corrective action, put a recognized
accreditation body on probation, or revoke the recognition of an
accreditation body (Sec. 1.1131)?
Proposed Sec. 1.1131 concerned FDA revocation of recognition and
probation of a recognized accreditation body. Proposed Sec. 1.1131(a)
and (b) stated the grounds and process for revocation of recognition;
FDA would revoke recognition if the accreditation body failed to meet
the requirements of this subpart or if FDA determined the accreditation
body committed fraud or submitted material false statements to FDA. The
proposed process for revocation of recognition included issuance of a
notice with a statement of the grounds for revocation and the
procedures for requesting a hearing or reinstatement of recognition as
well as the requirement for an accreditation body to provide a records
point of contact for provision of records once the accreditation body
is no longer recognized. Proposed Sec. 1.1131(c) stated that FDA may
place a recognized accreditation body on probation if there are
deficiencies that are less serious and more limited than those for
revocation and the deficiencies are reasonably likely to be corrected
within a reasonable amount of time. Under paragraph (d) of this
proposed section, we stated that probation would remain in effect until
the identified deficiencies are sufficiently addressed or until FDA
revokes recognition. Proposed Sec. 1.1131(e) stated the procedures for
probation and proposed paragraph (f) stated the effect of probation or
revocation: an accreditation body that has had its recognition revoked
may not LAAF-accredit laboratories or continue to oversee the
laboratories it has LAAF-accredited; a recognized accreditation body on
probation would be expected to continue to oversee the laboratories it
has LAAF-accredited and permitted to continue to LAAF-accredit
laboratories. Paragraphs (g) and (h) of this section stated that FDA
would notify impacted LAAF-accredited laboratories of the probation or
revocation of recognition of the accreditation body that LAAF-accredits
the laboratory and that FDA would provide notice on the public website
described in proposed Sec. 1.1109.
We have revised the section title of the final rule to more
accurately reflect the contents of the revised section, to read as
``When will FDA require corrective action, put a recognized
accreditation body on probation, or revoke the recognition of an
accreditation body?'' We also clarify in Sec. 1.1131(d)(1) of the
final rule that in the revocation of recognition procedures, FDA's
notice will include the date on which the revocation is effective. We
have revised the section to incorporate revised terminology and to
update cross-references. We have made several changes in response to
comments, discussed below.
(Comment 81) A few comments assert that it is not a usual
conformity assessment practice to place an accreditation body on
``probation'' (proposed Sec. 1.1131(c), (g), and (h)), especially if
the accreditation body has only demonstrated deficiencies in matters
that are less serious and do not raise concerns about the accreditation
decisions of the accreditation body. These comments also state that
public notice of probationary status, if done without adequate
justification, may be undeserved and could potentially damage both the
accreditation body and the LAAF program. We understand these comments
to be expressing the concern that if the registry indicates an
accreditation body is on probation, such a characterization could cause
harm to the accreditation body's reputation and business interests.
Further, such comments express the view that if probation was
undeserved, such harm would be unwarranted. We further understand these
comments to be expressing that accreditation bodies may hesitate to
participate in this program if they are concerned that they may be
characterized unfairly on the registry. Similarly, a few comments
recommend that FDA provide an accreditation body with an opportunity to
take corrective action before FDA revokes recognition. These comments
argue that revocation of an accreditation body's recognition without
first providing such an opportunity would adversely impact both the
accreditation body and the laboratories it LAAF-accredits and would
represent a ``very aggressive approach.''
(Response 81) We agree that it is appropriate to afford a
recognized accreditation body the opportunity to take corrective action
prior to putting the recognized accreditation body on probation and
notifying the public. We have revised Sec. 1.1131 to reflect this
position. Although the opportunity for corrective action and probation
may be appropriate prior to revocation of recognition, we maintain that
some circumstances warrant more immediate revocation of recognition. As
described in the proposed and final rule, circumstances that may
warrant immediate revocation of recognition include failure to meet the
requirements of the subpart or a determination that the recognized
accreditation body has committed fraud or submitted material false
statements to FDA.
(Comment 82) A few comments request that we clarify exactly when a
recognized accreditation body will be placed in probationary status.
(Response 82) We understand from various comments that
``probation'' is not a status term typically utilized in the conformity
assessment arena. We intend the status to be an intermediary step after
corrective action and before we proceed to revoke our recognition of an
accreditation body.
As revised, Sec. 1.1131 provides that if FDA identifies a
deficiency, utilizes the recognized accreditation body's complaint
process (under ISO/IEC 17011:2017 section 7.12), but determines that
the corrective action (under ISO/IEC 17011:2017 section 9.5) is not
acceptable, we may place the accreditation body on probation. Section
1.1131(b) states that probation may be appropriate when FDA determines
that a recognized accreditation body, ``has not effectively implemented
corrective action or otherwise fails to address deficiencies
identified.''
Under Sec. 1.1131(b)(1), FDA will notify the recognized
accreditation body that it is on probation, will provide the grounds
for the probation, and list all deficiencies that must be corrected.
Note that under Sec. 1.1131(b)(2), probationary status will be
reflected on the online registry described in Sec. 1.1109.
Probationary status will endure until either FDA is satisfied with the
recognized accreditation body's corrective actions or FDA revokes the
recognition under Sec. 1.1131(c) and (d).
H. Comments on LAAF-Accreditation of Laboratories
[[Page 68777]]
Table 9--Changes to Sections Regarding LAAF-Accreditation of
Laboratories
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
LAAF-Accreditation of Accreditation of Revised to reflect
Laboratories. Laboratories. new terminology.
Sec. 1.1138 What are the Sec. 1.1138 What Combined sections
eligibility requirements for a requirements must in the final
LAAF-accredited laboratory? a laboratory meet rule.
to become
accredited by a
recognized
accreditation
body?
Sec. 1.1146 What
are the general
requirements for
accredited
laboratories to
remain
accredited?.
Sec. 1.1139 How does a Sec. 1.1159 How Relocated section,
laboratory apply for LAAF- does a laboratory revised section
accreditation or extend its apply for title to
scope of LAAF-accreditation? accreditation or incorporate new
modification of terminology and
its scope of improve clarity.
accreditation by
a recognized
accreditation
body?
Sec. 1.1140 What must a LAAF- Sec. 1.1163 What Relocated the
accredited laboratory do to if a laboratory section, revised
voluntarily relinquish its LAAF- wants to section title to
accreditation? voluntarily incorporate new
relinquish its terminology and
accreditation? improve clarity.
Sec. 1.1141 What is the effect Sec. 1.1164 What Relocated the
on a LAAF-accredited laboratory is the effect on section, revised
if its recognized accreditation accredited section title to
body is no longer recognized by laboratories if incorporate new
FDA? their terminology and
accreditation improve clarity.
body voluntarily
or involuntarily
loses its
recognition?
Sec. 1.1142 How does a Sec. 1.1165 How Relocated the
laboratory request does a laboratory section, revised
reinstatement of LAAF- request section title to
accreditation? reinstatement of incorporate new
accreditation? terminology.
------------------------------------------------------------------------
1. What are the eligibility requirements for a LAAF-accredited
laboratory (Sec. 1.1138)?
In proposed Sec. 1.1138 we stated the baseline requirements for a
laboratory to participate in the LAAF program. In paragraph (a)(1)(i)
we proposed that a laboratory must demonstrate to a recognized
accreditation body that a laboratory is capable of conducting the
method(s) it wishes to perform under this subpart by submitting
information to demonstrate appropriate verification or validation of
each method. In paragraph (a)(1)(ii) we proposed that a laboratory must
annually pass a proficiency test (or comparison program, where no
proficiency test is available or practicable) for each method. In
paragraph (a)(2) we proposed that a laboratory must be accredited to
ISO/IEC 17025:2017 and we incorporated that standard by reference; in
paragraph (b) we proposed to except certain provisions of ISO/IEC
17025:2017. In paragraph (c) we proposed that a laboratory must
demonstrate it is capable of meeting and operating in conformance with
all other requirements for laboratories under this subpart.
On our own initiative, we made some organizational changes. The
proposed title for the section was, ``What requirements must a
laboratory meet to become accredited by a recognized accreditation
body?'' We proposed a separate section, Sec. 1.1146, to address the
requirements for accredited laboratories to remain accredited. There
was significant overlap between the two sections. To improve efficiency
and readability, we combined Sec. 1.1146 with this section and made
certain editorial changes to effect the merge, including revising the
section title to read, ``What are the eligibility requirements for a
LAAF-accredited laboratory?''
Proposed Sec. 1.1148 addressed quality assurance requirements for
LAAF-accredited laboratories. Proposed Sec. 1.1148(a) required, in
brief, annual proficiency testing for each method. Proposed Sec.
1.1148(b) required a LAAF-accredited laboratory to ``[e]nsure its
procedures for monitoring the validity of the results of testing it
conducts under this subpart include the use of reference materials or
quality control samples with each batch of samples it tests under this
subpart.'' There was significant overlap between the proficiency test
provisions in proposed Sec. 1.1138(a)(1)(ii) and those in Sec.
1.1148(a). For clarity and efficiency, we merged the proficiency test
content from proposed Sec. 1.1148(a) into what is now Sec.
1.1138(a)(2) of the final rule. We also moved to this section the
requirement for laboratory quality assurance procedures to include the
use of reference materials or quality control samples with each batch
of samples tested under this subpart, because we view these tools as
vital to a laboratory's demonstration of capability to conduct a
method. (Relatedly, we have added quality control results to the
required contents of an abridged analytical report; see the discussion
of Sec. 1.1153(c)(2), below.)
Also, as explained in our discussion of Sec. 1.1101 above, we
moved the language formally incorporating ISO/IEC 17025:2017 from this
section to Sec. 1.1101. Finally, we made conforming and minor
editorial changes, including specifying calendar days in Sec.
1.1138(a)(2)(iii) (this requirement appeared in Sec. 1.1153(b) of the
proposed rule and did not specify ``calendar'' days). We discuss
additional changes to the section made in response to comments below.
(Comment 83) Some comments inquire about the laboratory standards
we are establishing in this final rule. Some ask which criteria should
be set. A few comments appear to ask how FDA would determine which of
the many existing food testing laboratories satisfy the standards we
are establishing.
Some comments encourage us to ensure that all laboratory
requirements are clear and concise. Other comments urge FDA to avoid
what they perceive as vague and ambiguous phrases such as ``strongly
encourage'' and instead to use clearer language such as ``must.''
(Response 83) The laboratory standards we are establishing are
contained in this final rule, specifically in Sec. Sec. 1.1138 through
1.1142. We agree that clear and concise requirements will benefit the
LAAF program and we have done our best to achieve that goal. The task
of determining which laboratories satisfy our requirements is the
responsibility of the recognized accreditation bodies which will assess
laboratories against our standards.
In the proposed rule, after stating that we would not propose to
require the accreditation of sampling, we said that we ``strongly
encourage all samplers to consider accreditation'' 84 FR 59452 at
59476. When we use such language, we do not intend to state a
requirement, nor do we create any obligation. Only the codified section
of a rule becomes the regulation. The preamble discussion
[[Page 68778]]
represents our current thinking on the matters addressed in the text of
the regulation.
(Comment 84) In the proposed rule, a laboratory would be required
to demonstrate it is capable of conducting each method it wishes to use
in food testing under this subpart by submitting verification or
validation information to a recognized accreditation body, as well as a
statement that the laboratory was able to properly apply the method.
The proposed rule would also have required a laboratory to pass a
proficiency test (or comparison program when no proficiency testing is
available or practicable) for each method it wishes to use to conduct
food testing under this subpart once per year. Some comments express
support for these requirements. Some comments state that these
requirements are similar to existing ISO/IEC 17025:2017 requirements.
(Response 84) We are gratified that several comments support these
requirements.
We agree that these requirements are similar to provisions in ISO/
IEC 17025:2017. With regard to validation and verification information,
ISO/IEC 17025:2017 requires a laboratory to submit to the accreditation
body verification or validation information on each method for which it
is seeking accreditation. Our requirement would accomplish the same.
However, although the validation information we require a laboratory to
send to a recognized accreditation body aligns with information
required in ISO/IEC 17025:2017, we specify (in Sec. 1.1151(d)(2)) the
verification information in greater detail than does ISO/IEC 17025:2017
(Ref. 3).
At the same time, as discussed above at Response 10, after careful
consideration of the comments we are clarifying in this subpart the
roles of the FDA and recognized accreditation bodies with respect to
LAAF-accredited laboratories. Consistent with our clarified role of
reviewing the performance of LAAF-accredited laboratories via
individual analytical reports, we have determined that it is
appropriate for LAAF-accredited laboratories to submit the verification
and validation studies relevant to their analytical reports to FDA (see
Sec. 1.1152(c) and discussion at Response 122). This change means FDA
will receive the more detailed verification information that, under the
proposed rule, we would have required a laboratory to send to the
recognized accreditation body. Given that the specified verification
information will be submitted to FDA, we are comfortable removing the
requirement that it be submitted to the recognized accreditation body.
Having resolved that difference between proposed Sec.
1.1138(a)(1)(i) and ISO/IEC 17025:2017, there remains no substantive
difference between the two standards with regard to the validation and
verification information to be submitted to an accreditation body.
Accordingly, we have removed from the final rule the provision in
proposed Sec. 1.1138(a)(1)(i) requiring laboratories to send
validation or verification information to the recognized accreditation
body and will rely on ISO/IEC 17025:2017 for that requirement.
With regard to the proposed requirement that a laboratory pass a
proficiency test for each method (or a comparison program, where no
proficiency test is available or practicable) ``once per year,'' the
provision in ISO/IEC 17025:2017 is similar. Section 7.7.2 of ISO/IEC
17025:2017 requires a laboratory to monitor its performance by engaging
in either proficiency testing or interlaboratory comparisons but does
not indicate a frequency (Ref. 3). We remain committed to the frequent
nature of this requirement and therefore the final rule requires that a
LAAF-accredited laboratory must successfully pass a proficiency test
(or where one is not available or practicable, a comparison program)
for each LAAF-accredited method at least once every 12 months. For
additional discussion of the proficiency testing requirements under
this subpart, see Responses 92-94, below.
(Comment 85) Some comments support the proposed policy that LAAF-
accreditation should be awarded on a method-by-method basis. In fact,
some comments consider method-specific LAAF-accreditation so important
that they suggest we communicate that requirement more clearly in the
final rule. Some comments encourage us to clarify the use of open or
flexible scopes under this subpart.
(Response 85) We agree that it is essential that the competency of
laboratories be assessed, and LAAF-accreditation awarded, on a method-
specific basis. Test methods vary widely and even within the same
discipline, competence to one method does not correlate or imply
competence to another method. Further, laboratory competence to the
particular method employed is integral to the validity of the test
result. Accordingly, we accept the suggestion in the comments
summarized above and have revised Sec. 1.1138 to include ``each
method'' in paragraph (a) and (a)(1).
ISO/IEC 17011:2017 defines a flexible scope (sometimes referred to
as an open scope), as a ``scope of accreditation . . . expressed to
allow [laboratories] to make changes in methodology and other
parameters which fall within the competence of the [laboratory] . . .
as confirmed by the accreditation body.'' (ISO/IEC 17011:2017 section
3.7, (Ref. 2)). Flexible scopes can have flexibility for analytes,
matrices, and methods. ISO/IEC 17011:2017 requires accreditation bodies
to have written procedures describing how the accreditation body will
administer flexible scopes. As relevant to this discussion, these
written procedures must include a description of how the accreditation
body will maintain for the laboratories they LAAF-accredit certificates
of scope that include matrix (materials or products); analyte(s)
(component, parameter or characteristic); and method or technology
(Ref. 2).
An open or flexible scope is employed when an accreditation body
assesses a laboratory's competency in using a particular technology or
technique. Once the laboratory proves that competency, it is able to
add methods, analytes, or matrices to its scope without the need for an
additional assessment by the accreditation body as long as those
additions fall within the broader scope of the accredited technology
and meet the requirements of ISO/IEC 17025:2017.
Given that ISO/IEC 17011:2017 requires accreditation bodies to
maintain certificates of accreditation that communicate which analytes,
matrices, and methods are covered by the flexible scope, and Sec.
1.1123(c)(2) requires that a recognized accreditation body must
immediately notify FDA when it grants or extends a laboratory's LAAF-
accreditation, we are prepared to accommodate open or flexible scopes
under this subpart.
(Comment 86) We proposed in Sec. 1.1138(a)(2) that, as a baseline
matter, laboratories wishing to conduct testing under this subpart must
be accredited to ISO/IEC 17025:2017, and we proposed to incorporate
ISO/IEC 17025:2017 by reference into our regulation. We proposed in
Sec. 1.1138(b) to exclude three portions of ISO/IEC 17025:2017 from
the incorporation by reference, and from the requirements under this
subpart. First, we proposed to exclude provisions of ISO/IEC 17025:2017
that relate to the relationship between the laboratory and its
customers, to the extent that such provisions establish obligations
that conflict with the requirements of this subpart. Second, we
proposed to exclude section 7.3
[[Page 68779]]
because, we reasoned, it addresses sampling and we did not propose to
require the accreditation of samplers. Finally, we proposed to exclude
section 7.8, which describes requirements for reporting test results to
customers, based on a concern that it might conflict with the test
reporting requirements in this subpart (Ref. 3).
Many comments support the baseline laboratory requirement of
accreditation to ISO/IEC 17025:2017. Some comments commend the use of
this standard, noting that it may be a means to improve the quality of
tests, and is accepted globally. Some comments maintain that
accreditation to ISO/IEC 17025:2017 increases confidence in a
laboratory's data. Some comments indicate that many laboratories that
test imported food have already sought ISO/IEC 17025:2017 accreditation
voluntarily to improve the quality of their test results. Some comments
assert that conformance to ISO/IEC 17025:2017 helps ensure scientific
integrity in food testing. Some comments state that relying on ISO/IEC
17025:2017 accreditation will be more efficient for FDA. A few comments
express the belief that all private laboratories should be required to
be ISO/IEC 17025:2017-accredited.
A few comments agree that ISO/IEC 17025:2017 is currently the
predominant standard for the type of laboratory that would conduct
testing under this subpart, but encourage FDA to allow more
flexibility, stating that over time ISO/IEC 17025:2017 might become
less predominant.
Some comments encourage FDA to rely solely and entirely on ISO/IEC
17025:2017; we understand these comments to discourage us from adding
any additional requirements or varying at all from ISO/IEC 17025:2017.
(To the extent that some comments reference ISO/IEC 17065, which is a
conformity assessment standard for bodies that certify products, that
standard does not apply here.) These comments express preference for a
single uniform accreditation standard and contend that varying
standards can present challenges both to laboratories attempting to
maintain multiple differing accreditation schemes and to their
customers. Some comments state a risk that variations in standards,
even different standards based on ISO/IEC 17025:2017, may result in a
need for laboratories to be accredited by more than one accreditation
body, and encourage FDA to reduce or eliminate redundant
accreditations. Some comments encourage FDA to work with leading
standard and scientific organizations so that the various standards
align and have scientific integrity.
With regard to the ISO/IEC 17025:2017 sections that we proposed to
exclude from our requirements, some comments support some or all the
exclusions. Some of these comments agree with our proposal not to
require the accreditation of samplers and express consequent support
for the exclusion of ISO/IEC 17025:2017 section 7.3, which addresses
sampling. Some comments concur with our proposed exclusion of customer-
related ISO/IEC 17025:2017 provisions, but disagree with the proposed
exclusions related to sampling and reporting results because these
comments state the belief that FDA should require the accreditation of
samplers and better align its reporting requirements with those of ISO/
IEC 17025:2017.
On the other hand, many comments encourage us not to exclude
certain or any ISO/IEC 17025:2017 provisions. Some comments
specifically suggest that we include ISO/IEC 17025:2017 requirements
related to customers, as owners and consignees under this rule could be
considered the customers of LAAF-accredited laboratories. Some of these
comments disagree that the provisions we proposed to exclude conflict
with the requirements in this subpart, and suggest that even if they
do, any conflicts can be effectively addressed without excluding ISO/
IEC 17025:2017 provisions.
Relatedly, some comments state that adherence to certain
requirements contained in ISO/IEC 17025:2017 is required only by
specific customers; these comments request that we clarify who is the
customer of a LAAF-accredited laboratory (i.e., FDA or the owner or
consignee). These comments also ask whether ISO/IEC 17025:2017
requirements with which the customer requires adherence will apply to
State laboratories that become LAAF-accredited.
A few comments express the belief that documents can be developed
to supplement ISO/IEC 17025:2017 accreditation, and that such documents
would cover the additional requirements codified in this subpart. Some
comments argue that excluding certain parts of the ISO/IEC 17025:2017
standard from our requirements while still labeling a laboratory,
``accredited,'' would cause confusion and would conflict with
established business and operational models in laboratories fully
compliant with ISO/IEC 17025:2017. Similarly, some comments request
that FDA require ISO/IEC 17025:2017 as a baseline matter, and then
indicate additional requirements to clarify or expand upon the
standard. Comments also state that FDA should stay current with any
changes to ISO/IEC 17025:2017.
(Response 86) We remain committed to ISO/IEC 17025:2017 as a
baseline requirement for laboratories that wish to conduct food testing
under this subpart. Many comments agree with that aspect of the
proposed rule and identify various benefits of this policy such as
improved test quality; greater scientific integrity; and global
acceptance of, and increased confidence in, the test results. We
concur. As described in the FRIA (Ref. 4), we also agree that FDA will
experience certain efficiencies as a result of this rule. And while we
encourage all food testing laboratories to consider becoming accredited
to ISO/IEC 17025:2017, we lack the authority to compel such action.
Regarding the possibility that ISO/IEC 17025:2017 may not always be
the predominant standard for food testing laboratories, we are
confident that ISO/IEC 17025:2017 will be an appropriate baseline for
the foreseeable future. Other parts of FDA, and many other Federal
Agencies, also rely on ISO/IEC 17025:2017 to establish baseline
requirements for their laboratory accreditation programs (e.g., FDA
Center for Devices and Radiological Health Accreditation Scheme for
Conformity Assessment, CPSC, Department of Defense Environmental
Laboratory Program). Every time ISO/IEC updates the 17025 standard, we
will consider whether to update this subpart (through notice-and-
comment rulemaking) to require accreditation to the updated standard.
If during those considerations we conclude that ISO/IEC 17025:2017 is
no longer an appropriate baseline for our requirements, we will revise
this subpart accordingly (through notice-and-comment rulemaking).
Some comments encourage us to simply rely on ISO/IEC 17025:2017 and
neither add nor subtract any requirements. Comments advocating that we
not add requirements to ISO/IEC 17025:2017 discuss the advantages of a
uniform standard. We do not discount those advantages or the challenges
that laboratories face in satisfying varying accreditation schemes.
Nevertheless each laboratory requirement that we add to the ISO/IEC
17025:2017 baseline serves an important program purpose. For example,
requiring successful proficiency tests for each method at least every
12 months (Sec. 1.1138(a)(2)) provides increased quality assurance,
and requiring at least the creation and retention of the records that
comprise a full analytical report will preserve FDA's ability to
conduct a meaningful
[[Page 68780]]
indepth scientific review of the test (Sec. Sec. 1.1150(d),
1.1154(a)(2)). As a reminder, all the food testing that takes place
under this subpart occurs in the context of heightened public health
concern. Laboratories that wish to conduct food testing under this
subpart will be required to satisfy requirements in addition to those
specified in ISO/IEC 17025:2017 (Ref. 3).
After carefully considering the comments, we have decided not to
exclude any provisions of ISO/IEC 17025:2017. Comments successfully
argued that our proposed exclusions would unnecessarily complicate the
work of the recognized accreditation bodies and LAAF-accredited
laboratories and provide limited benefit. We also appreciate the
comments remarking that market confusion could result from our
exclusion of portions of ISO/IEC 17025:2017 while labeling laboratories
``accredited.'' Although we doubt our proposed exclusion of a small
number of ISO/IEC 17025:2017 provisions would result in a need for
duplicative accreditation body assessments, we need not belabor that
issue raised in the comments, given our decision.
In particular, we are persuaded that we do not need to formally
exclude from our regulation ISO/IEC 17025:2017 section 7.3, which
addresses sampling, even though we are not requiring sampling
accreditation (Ref. 3). Section 7.3 is not necessary to ISO/IEC
17025:2017 accreditation. Indeed, many laboratories are accredited to
ISO/IEC 17025 for diverse types of methods and yet not for sampling.
When a recognized accreditation body assesses a laboratory for LAAF-
accreditation, the recognized accreditation body may simply note
section 7.3 as not applicable.
We also proposed to exclude any provisions of ISO/IEC 17025:2017
that relate to the relationship between the laboratory and its
customer, to the extent that the provision would conflict with the
requirements of this subpart. For example, in the preamble to the
proposed rule we expressed concern that including ISO/IEC 17025:2017
section 7.2.1.4, which indicates that the customer may specify the test
method, could create a conflict for the laboratory (see 84 FR 59452 at
59477 to 59478). We are now convinced that provisions of ISO/IEC
17025:2017 that mention the customer do not conflict with obligations
under this subpart because under ISO/IEC 17025:2017, ``customer'' has a
broader meaning than simply the entity who pays the laboratory, and FDA
qualifies as a customer alongside the owner or consignee that engages
the laboratory (Ref. 3). We appreciate comments noting that the owners
or consignees are customers and we should therefore not exclude the
ISO/IEC 17025:2017 customer provisions on that basis. We agree that
owners and consignees are appropriately considered customers of the
laboratory and appreciate that under this subpart, LAAF-accredited
laboratories will fulfill their obligations to owners and consignees,
as well as their obligations to FDA. This is ensured by the requirement
in ISO/IEC 17025:2017 section 5.4 that ``Laboratory activities shall be
carried out in such a way as to meet the requirements of this document,
the laboratory's customers, regulatory authorities and organizations
providing recognition'' (Ref. 3). Regarding the question of whether
state or other public laboratories that become LAAF-accredited will be
bound by the customer provisions in ISO/IEC 17025:2017, we confirm that
they will. The many public laboratories that are or will become ISO/IEC
17025:2017-accredited are required to meet the same requirements of
ISO/IEC 17025:2017 as private laboratories, including both customer
provisions and the requirements of section 5.4.
Finally, we proposed to exclude ISO/IEC 17025:2017 section 7.8,
which addresses reports, based on a concern that it would conflict with
the reporting requirements under this subpart. Again, we have come to
appreciate that a laboratory's reporting duties under ISO/IEC
17025:2017 do not present any conflict for the laboratory also
fulfilling the reporting requirements under this subpart (Ref. 3).
Accordingly, the final rule incorporates ISO/IEC 17025:2017 in its
entirety.
(Comment 87) Some comments recommend that FDA allow the bottled
drinking water tests in Sec. 1.1107(a)(1)(iii) (i.e., the requirement
in Sec. 129.35(a)(3)(i) to test five samples from the same sampling
site that originally tested positive for E. coli) to be conducted by
laboratories certified or accredited to other water-related laboratory
accreditation or oversight programs such as the National Environmental
Laboratory Accreditation Program, or EPA or State water testing
certification programs. From the perspective of these comments, the EPA
and State water testing certification programs are an existing
laboratory oversight system and FDA should leverage those
certifications, in place of LAAF-accreditation, for purposes of the
bottled drinking water testing subject to this final rule. These
comments predict that if we fail to do so, an insufficient number of
laboratories will become LAAF-accredited to conduct the bottled
drinking water testing required by Sec. 1.1107(a)(1)(iii). Relatedly,
these comments disagree with our proposed conforming revision in the
bottled drinking water regulations. Instead of revising the bottled
drinking water regulation to require that the testing required in Sec.
129.35(a)(3) be conducted under this subpart, these comments recommend
that the bottled drinking water regulations be revised to require that
the testing in Sec. 129.35(a)(3) be conducted by a competent
commercial water testing laboratory that is EPA or State-certified for
E.coli testing and sends the results directly to FDA.
(Response 87) For a variety of reasons, we decline this request.
First, FDA lacks the authority under section 422 of the FD&C Act to
directly accredit laboratories or otherwise approve them to conduct the
food testing described in Sec. 1.1107. FSMA section 202 directed that
FDA recognize accreditation bodies, establish standards for
laboratories, and create a public registry of recognized accreditation
bodies and LAAF-accredited laboratories (section 422(a)(1)(b) and
(a)(6) of the FD&C Act). FSMA section 202 describes only the recognized
accreditation bodies as having the ability to accredit a laboratory
(see, e.g., section 422(a)(1)(B), (a)(2), (a)(5), (a)(6), and (b)(1) of
the FD&C Act). In contrast, FSMA section 307 directed FDA to establish
a very similar program: ``a system for the recognition of accreditation
bodies that accredit third-party auditors'' \9\ (Section
808(b)(1)(A)(i) of the FD&C Act). However FSMA section 307 specifically
granted FDA authority to directly accredit third-party auditors if, 2
years after establishing the required system, FDA had not recognized an
accreditation body (section 808(b)(1)(A)(ii) of the FD&C Act). As
Congress specifically provided FDA with authority to directly accredit
third-party auditors in FSMA section 307, we presume their decision not
to provide FDA with similar authority in FSMA section 202 was
intentional. Accordingly, we lack the authority to directly accredit or
otherwise approve laboratories for inclusion in the LAAF program
generally or the public registry in particular.
---------------------------------------------------------------------------
\9\ Under that authority we issued the ``Accreditation of Third-
Party Certification Bodies To Conduct Food Safety Audits and To
Issue Certifications Final Rule,'' 80 FR 74569 (Nov. 27, 2015) which
established the Accredited Third-Party Certification Program (see
https://www.fda.gov/food/importing-food-products-united-states/accredited-third-party-certification-program).
---------------------------------------------------------------------------
The only way a laboratory may conduct the food testing described in
[[Page 68781]]
Sec. 1.1107, then, is through a favorable assessment by a recognized
accreditation body. In conducting such an assessment, a recognized
accreditation body assesses the laboratory against the model laboratory
standards we are creating in this final rule. Theoretically we could
tailor our model standards to allow for sector-specific standards, if
we were confident that those sector-specific standards provided equal
rigor and public health protections. For example, theoretically we
could allow laboratories that conduct the testing described in Sec.
1.1107(a)(1)(iii) to substitute our laboratory requirements based on
accreditation to ISO/IEC 17025:2017 with a sector-specific
accreditation standard such as the standard of the National
Environmental Laboratory Accreditation Program, or the standard of the
EPA water testing certification programs. However, FDA lacks the
resources to perform indepth comparisons of various program standards,
whether related to bottled drinking water or any other sector, with
ISO/IEC 17025:2017 and the remainder of our requirements. Indeed, a
prime advantage of relying on an international voluntary consensus
standard for our baseline requirement is uniformity. ISO/IEC 17025:2017
is a single standard that addresses technical competency and quality
management universally; its requirements mean the same thing in every
country and context in which it is used. For those practical and
philosophical reasons, we decline the comments' suggestion that we
allow bottled drinking water sector-specific laboratory standards in
place of the model laboratory standards established in this subpart.
In declining this suggestion, we offer a few additional notes. To
the extent a sector-specific standard is also based on ISO/IEC
17025:2017, it should not be difficult or costly for a laboratory
accredited to such a sector-specific standard to become LAAF-
accredited. Further, the tests described in Sec. 1.1107(a)(1)(iii)
(and methods deemed acceptable under Sec. 129.35(a)(3)(ii)) involve
analyzing water for the presence of E. coli, which is not an uncommon
capability among food laboratories accredited to biological methods.
Meanwhile, we estimate that there will be one testing occasion per year
resulting in five separate tests under Sec. 1.1107(a)(1)(iii). (Ref.
4). We therefore believe it is reasonable to anticipate sufficient
capacity among LAAF-accredited laboratories to handle the bottled
drinking water testing covered by this final rule.
(Comment 88) Some comments describe the positive features of the
American Association of Veterinary Laboratory Diagnosticians (AAVLD)
laboratory accreditation standard. These comments state that results
from AAVLD laboratories are accepted by Federal Agency laboratory
networks focused on disease surveillance, and that AAVLD laboratories
already perform research and emergency response work for FDA. These
comments further state that the AAVLD standard is aligned with ISO/IEC
17025:2017.
(Response 88) AAVLD-accredited laboratories play a critical role in
FDA programs. Many of the veterinary diagnostic laboratories that are
part of FDA's Veterinary Laboratory Investigation and Response Network
(Vet-LIRN) are AAVLD-accredited. Vet-LIRN laboratories enhance public
health by providing testing of food and animal feed products for
zoonotic pathogens. These laboratories also perform pathogen and
chemical toxin testing in response to foodborne and animal
feed[hyphen]associated illnesses. Vet[hyphen]LIRN laboratories respond
to requests for testing as directed by FDA resulting from consumer
complaints, and participate in surveillance studies, method development
activities, and proficiency tests. These laboratories primarily analyze
animal samples (e.g., stool, urine, blood, tissue) and nonregulatory
animal food samples (e.g., leftover opened foods and feed) to help
FDA's Center for Veterinary Medicine (CVM) investigate potential
problems with CVM-regulated products (such as animal feeds or animal
drugs). Use of a LAAF-accredited laboratory is required for those tests
described in Sec. 1.1107, but the vast majority of the analyses
performed as part of the Vet-LIRN do not fall under Sec. 1.1107.
Accordingly, it is not necessary for laboratories participating in the
Vet-LIRN to become LAAF-accredited.
To the extent that an AAVLD-accredited laboratory wishes to
participate in the food testing described in Sec. 1.1107, it would
need to meet all the requirements for a LAAF-accredited laboratory in
this subpart. For reasons discussed above in Response 87, FDA cannot
admit laboratories meeting other standards into this program. The only
way a laboratory may become LAAF-accredited is through a favorable
assessment by an accreditation body recognized under this subpart. That
construct does not comport with the structure of the AAVLD laboratory
accreditation program. AAVLD laboratory accreditation is awarded by
AAVLD itself, following an assessment by a committee of laboratory
professionals from other AAVLD laboratories. However, AAVLD is not an
ILAC-MRA signatory accreditation body that comports with ISO/IEC
17011:2017. Accordingly, it is not eligible for recognition under this
subpart.
Moreover, our analysis of the AAVLD standard indicates that
although the AAVLD standard is aligned with ISO/IEC 17025:2017,
differences remain. For example, the AAVLD standard is designed to
assess the laboratory as a whole, rather than particular testing
methods. Also, the AAVLD reassessments occur at least once every 5
years, whereas ISO/IEC 17011:2017 section 7.9.3 requires that
laboratories be reassessed at least every 2 years (Ref. 2).
For the foregoing reasons, an AAVLD laboratory wishing to conduct
the food testing described in Sec. 1.1107 would need to be accredited
to ISO/IEC 17025:2017 and satisfy the other laboratory requirements
described in this final rule. However, LAAF-accreditation is not
required for an AAVLD laboratory to continue to participate in the Vet-
LIRN.
(Comment 89) Some comments request that we consider a modified set
of requirements for small specialized laboratories such as those that
solely analyze DWPE samples to determine the presence of filth and
decomposition in seafood. These comments suggest that we not require
ISO/IEC 17025:2017 accreditation for small specialized laboratories;
instead, such laboratories should be required to provide the laboratory
analyst's qualifications, the materials and methods used to conduct the
test, and be subject to random FDA audits. A subset of these comments
states that, for small specialized laboratories, the ISO/IEC 17025:2017
accreditation requirement would be too onerous for such laboratories to
continue operating. Specifically, comments list the cost of initial
certification, annual fee, training, internal program writing, and
corrective action responses as examples of particularly onerous
requirements. These comments emphasize the over-representation of small
laboratories in the total number of laboratories that conduct analyses
of food subject to DWPE by referring to estimates reported in the
preamble to the proposed rule that 84 percent of the current DWPE
analyses are performed by 10 laboratories, while about 90 laboratories
performed the remaining 16 percent of the analyses. The comments assert
that providing modified requirements for small businesses would be
consistent with other FSMA regulations.
[[Page 68782]]
(Response 89) We decline to provide a modified set of requirements
for specialized laboratories of any size. The purpose of the LAAF
program is to help ensure quality testing in the context of heightened
food safety concerns. To achieve this public health goal, we have
determined that without exception, only laboratories that satisfy all
applicable laboratory standards may conduct the tests covered by this
subpart. We reach the same conclusion when we consider the specific
testing mentioned in some of these comments: DWPE testing of seafood
for filth and decomposition. FDA places products on DWPE when we have
evidence that such products appear to be in violation of FDA's laws and
regulations. Moreover, seafood products which were filthy and
decomposed have been implicated in past foodborne illness outbreaks
(e.g., scombrotoxin fish poisoning; (Ref. 12)). Filth and decomposition
are specified as the reasons some seafood products are subject to DWPE
(e.g., https://www.accessdata.fda.gov/cms_ia/importalert_19.html;
https://www.accessdata.fda.gov/cms_ia/importalert_43.html). We cannot
find any basis for concluding that DWPE testing of seafood for filth
and decomposition should be subject to different quality standards.
ISO/IEC 17025:2017 includes technical competency, impartiality, and
quality management system standards, and we view these components as
critical in the context of testing covered by this subpart. By way of
example, section 4.1 of ISO/IEC 17025:2017 provides that laboratory
activities must be managed to safeguard impartiality and states that
the laboratory may not allow commercial and financial pressures to
compromise its impartiality (Ref. 3). The testing covered by this
subpart involves heightened food safety concerns, and we can find no
basis to justify modifying these standards or the other protections
included in ISO/IEC 17025:2017 accreditation.
Next we address the data analysis supporting the proposed rule,
which indicated that 96 laboratories conducted about 16 percent of the
analyses on food products detained when offered for import because the
food was or appeared to be violative (84 FR 59452 at 59457) (Ref. 15).
The same data analysis indicated that 34 of those 96 laboratories were
accredited to ISO/IEC 17025, and that 44 laboratories already
accredited to ISO/IEC 17025 conducted about 95 percent of the analyses.
The same data analysis indicated that 62 unaccredited laboratories
accounted for the remaining 5 percent of import-related analyses.
To the extent that comments requesting modified standards for
specialized laboratories intend to imply that most or all of the 62
unaccredited laboratories that conducted import-related food testing
were small, we do not have enough information to reach this conclusion.
In addition, we have no way of knowing how specialized these 62
laboratories are; some may conduct only DWPE testing, but we cannot
tell the range of analyses each conducts.
Even if we assume a high proportion of small, specialized
laboratories that focus on DWPE testing, we expect the costs for such
laboratories to become ISO/IEC 17025:2017-accredited to be less than
the costs for larger laboratories and those with a more diverse set of
testing capabilities. Reasoned assumptions which may reduce the cost of
ISO/IEC 17025 accreditation for small, specialized laboratories
include: (1) The ability to efficiently manage data collection and
maintenance using relatively simpler in-house databases, particularly
for seafood filth and decomposition testing, which generates discrete
data; (2) lower onsite assessment costs since an accreditation body
necessarily will spend less time assessing a smaller scope of
accreditation (e.g., 1-3 methods); \10\ and (3) reduced costs for
equipment and proficiency samples due to the small number of methods
performed.
---------------------------------------------------------------------------
\10\ A laboratory that is ``specialized'' necessarily performs a
narrow range of methods.
---------------------------------------------------------------------------
All testing covered by this subpart, including filth and
decomposition testing in seafood for DWPE purposes, is of critical
public health significance. As described above, we estimate that the
costs of ISO/IEC 17025:2017 accreditation generally should be lower for
laboratories with very few methods in their scope. On balance, we do
not think the costs of requiring relatively small laboratories that
conduct specialized testing to become ISO/IEC 17025:2017-accredited to
perform covered testing outweigh the benefits that will be derived from
doing so.
For these reasons, we decline the request to modify LAAF program
standards for certain laboratories.
(Comment 90) Some comments recommend that FDA require laboratories
wishing to conduct food testing under this subpart to be accredited to
both ISO/IEC 17025:2017 and the supplemental document, ``AOAC
International Guidelines for Laboratories Performing Microbiological
and Chemical Analyses of Food, Dietary Supplements, and
Pharmaceuticals, An Aid to Interpretation of ISO/IEC 17025:2017'' (the
AOAC 17025 Guidelines) (Ref. 13). Other comments maintain that the AOAC
17025 Guidelines are not appropriate for laboratories that test only
animal food or feed, and not human food. Instead, these latter comments
suggest that for laboratories testing animal food or feed, FDA should
require the accreditation to ISO/IEC 17025:2017 and ``Quality
Assurance/Quality Control Guidelines for Feed Laboratories,'' the
guidance on interpreting ISO/IEC 17025:2017 issued by the Association
of American Feed Control Officials (AAFCO) (Ref. 14). For laboratories
that test both human food and animal food or feed, these comments
recommend FDA require accreditation to both supplemental guidelines.
(Response 90) In several places in the preamble to the proposed
rule, FDA took note of how a matter is addressed in the AOAC 17025
Guidelines. For example, in our discussion of our proposed requirement
that laboratories pass a proficiency test (or a comparison program if
no proficiency test is available or practicable) annually for each
method to which they are LAAF-accredited, we noted that the AOAC 17025
Guidelines contain a similar requirement and exception (84 FR 59452 at
59477). It appears that some readers may have misunderstood these
discussion points, and mistakenly believed that we proposed to require
laboratories to comply with all AOAC 17025 Guidelines or to be
accredited to both ISO/IEC 17025:2017 and the AOAC 17025 Guidelines.
Although we found it instructive to consider the approach taken by the
AOAC 17025 Guidelines on certain matters, we did not propose that
laboratories must be accredited to both ISO/IEC 17025:2017 and the AOAC
17025 Guidelines. In addition, we acknowledge the AAFCO guidelines
provide equally useful supplemental information in animal food testing
matters. The AAFCO guidelines share best practices which would assure
that data of appropriate quality are generated by laboratories for feed
programs and may be useful for producing reliable and defensible
analytical test results. After careful consideration, we decline the
suggestion to require either the AOAC or AAFCO guidelines in this
subpart, but agree that both provide useful supplemental information.
We do not presently perceive a need for such a requirement, and as some
comments have pointed out, there may be challenges around the breadth
of the AOAC 17025 Guidelines considering the wide variety of tests
required to be conducted by LAAF-accredited laboratories under this
subpart.
[[Page 68783]]
(Comment 91) A few comments seek clarification of the roles of
Federal, State, and local regulatory laboratories with respect to this
rule. Some comments seek clarification on whether State and local
regulatory laboratories that are already accredited to ISO/IEC
17025:2017 by an ILAC-MRA signatory and may have agreements with FDA
for testing related to food safety inspections, will need to do
anything differently as a result of this rule. Some comments posit that
only a few public laboratories are conducting the testing covered by
this subpart, and those laboratories may already operate under quality
management systems, and perhaps even ISO/IEC 17025:2017.
Some comments suggest that Federal laboratories (e.g., a laboratory
within a Federal Agency) should be considered equivalent to LAAF-
accredited laboratories. Stated differently, these comments recommend
that if an owner or consignee uses a Federal laboratory, the result
should be acceptable to FDA even if the laboratory is not LAAF-
accredited.
(Response 91) Federal, State, and local regulatory laboratories
perform the vital function of testing product samples of human food,
and animal food and feed, collected by public health officials either
in the course of an investigation or as part of routine market
surveillance. Over the years great strides have been made at all levels
of government to build an integrated food safety system; improving
coordination with and among public regulatory laboratories has been an
important part of that work. This subpart does not impact those tests
and so it may be irrelevant to many public regulatory laboratories.
On the other hand, in addition to testing samples collected by
public health officials, some public regulatory laboratories may also
currently conduct some of the food testing that is covered by this
subpart. For full details see Sec. 1.1107, but the bulk of the testing
covered by this subpart falls within the categories of certain tests of
bottled drinking water, shell eggs, and sprouts; testing to support
removal from import alert; and testing to support admission of an
imported food product detained at the border because FDA has determined
that the food is, or appears to be, adulterated or misbranded. Once
this subpart is fully implemented, all testing covered by this rule
must be conducted by a LAAF-accredited laboratory. Public regulatory
laboratories may become LAAF-accredited laboratories; indeed, the
statute specifically contemplates public laboratories participating in
this program (``laboratories, including independent private
laboratories and laboratories run and operated by a Federal Agency
(including the Department of Commerce), State, or locality'' (section
422(a)(2) of the FD&C Act)). All laboratories, including public
regulatory laboratories, that wish to become LAAF-accredited must
satisfy the requirements of this subpart.
Similarly, an array of laboratories throughout the Federal
government conduct a variety of tests in service to the missions of
their organizations. Any Federal laboratories that wish to become LAAF-
accredited to conduct the testing covered by this subpart will need to
satisfy the requirements of this subpart.
(Comment 92) We received several comments regarding the frequency
with which we should require proficiency testing (or a comparison
program, where no proficiency test is available or practicable). Some
comments applaud the proposed requirement for an annual proficiency
test for each method (or comparison program, where no proficiency test
is available or practicable). Some comments suggest that the annual
frequency be set as a minimum requirement, as even more frequent
proficiency testing would allow for trending of results. Other comments
suggest FDA defer to ISO/IEC 17025:2017 for proficiency testing
frequency. Some of these comments seek to clarify how the FDA will
handle the annual proficiency testing requirement in the case of open
or flexible scopes. Some comments express that it is hard to find a
proficiency test provider that includes all analytes for such a method.
Other comments state that owners or consignees may have a difficult
time finding laboratories that are both ISO/IEC 17025:2017-accredited
and have performed a proficiency test for the analyte/method
combination within the last year for emerging issues, new methods, or
novel matrices being sampled and tested.
(Response 92) Proficiency testing is a quality assurance mechanism
provided by an independent provider that results in an indication of a
laboratory's performance of a method. A successful proficiency test
round indicates that a laboratory can competently analyze samples by
that method whereas an unsatisfactory result indicates that the
laboratory needs to investigate and correct the cause(s) of the
unsatisfactory result.
Although participation in proficiency testing provided by an
outside, independent provider is desired for all testing, we recognize
that it is not available for all test methods, specific analytes, or
matrices; or that, where available, it may not occur at the required
frequency. Therefore, we allow as an option a similarly designed
comparison program which will provide a demonstration of the
laboratory's competence to perform a method not covered by an available
proficiency test program. The comparison program should be an
independent or blind test of the laboratory's performance of a method
that is evaluated against the expected performance of the method
resulting in a conclusion of the laboratory's performance as acceptable
or unacceptable. All the testing covered by this subpart is occurring
in the context of heightened public health concern. We must therefore
be assured that LAAF-accredited laboratories are producing accurate
test results. For example, the results of testing conducted under Sec.
1.1107(a)(4) are used as evidence to overcome an appearance that a
product detained at the border violates FDA laws and regulations.
We agree that requiring LAAF-accredited laboratories to
successfully complete an annual proficiency test (or a comparison
program, where no proficiency test is available or practicable) for
each LAAF-accredited method is important to support the testing under
this subpart. We have determined that deferring to the proficiency test
requirement in ISO/IEC 17025:2017 will not meet the needs of this
program, given the context of heightened public health concern. As
noted in the proposed rule, our proficiency testing frequency
requirement is similar to that of the AOAC 17025 Guidelines.\11\
Although even more frequent proficiency testing may be instructive, we
are not requiring it under this subpart. Accordingly, we are finalizing
the requirement that a LAAF-accredited laboratory must successfully
complete a proficiency test or comparison program for each method every
12 months. We avoid stating the requirement must be satisfied every
``year,'' to avoid implying that the proficiency tests or comparison
programs requirement applies per calendar-year.
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\11\ Some comments explain that although we stated in the
proposed rule that section 5.9.1 of the AOAC 17025 Guidelines
addresses proficiency testing, the AOAC 17025 Guidelines have been
updated. The updated AOAC 17025 Guidelines address proficiency
testing in section 7.7.2. FDA appreciates the comments.
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In light of the comments, and considering the critical role that
proficiency testing plays in the context of this final rule to help
ensure both the integrity of specific tests conducted under this
subpart and this laboratory accreditation program as a whole, we are
revising the proficiency testing provisions so that positive results
are
[[Page 68784]]
explicitly required. In the language of the proposed rule LAAF-
accredited laboratories were required to ``participate'' and
``conduct'' a proficiency test annually, per method. The final rule
requires that a proficiency test for each method must be ``successfully
passed'' within a 12-month cycle, unless one is not available or
practicable. Sec. 1.1138(a)(2)(i). In that case, the final rule
requires that the LAAF-accredited laboratory ``demonstrate competency
through participation in [a] comparison program.'' Sec.
1.1138(a)(2)(ii). As we discuss further below in (Response 96, the
LAAF-accredited laboratory must submit all proficiency test and
comparison program results, regardless of outcome, to the recognized
accreditation body within 30 calendar days of receipt. Sec.
1.1138(a)(2)(iii).
For laboratories LAAF-accredited to an open or flexible scope, the
requirement would be for a proficiency test or comparison program
within 12 months for each method within the open or flexible scope.
With regard to comments expressing concern that it may be hard for
an owner or consignee to find a laboratory that is ISO/IEC 17025:2017-
accredited and meets our proficiency test requirements, we note that we
will be maintaining an public registry of all LAAF-accredited
laboratories (and recognized accreditation bodies) online; see Sec.
1.1109 for additional discussion of the public registry.
(Comment 93) Some comments express confusion regarding whether FDA
expects each analyst performing a method in the LAAF-accredited
laboratory to annually fulfill the proficiency testing requirement for
that method. These comments reference the requirement proposed at Sec.
1.1152(g)(12)(iv) that a full analytical report include, ``[i]ndividual
proficiency test worksheets'' and suggest that we clarify our
requirement.
(Response 93) The requirement is for the laboratory to successfully
pass a proficiency test for each LAAF-accredited method within the last
12 months. We have revised the full analytical report requirement to
clarify; for more information see the discussion of Sec. 1.1152,
below.
(Comment 94) Some comments express confusion regarding whether FDA
expects the LAAF-accredited laboratory to inform the recognized
accreditation body that the laboratory has determined that a
proficiency test is either not available or practicable, and so the
laboratory intends to participate in a comparison program instead.
Comments speculate regarding whether FDA might have intended that the
recognized accreditation body review such determinations when it audits
the laboratory.
(Response 94) The LAAF-accredited laboratory's determination that a
proficiency test is not available or practicable must be approved by
its recognized accreditation body; we revised the proficiency test
provisions of the final rule to clarify this requirement; see Sec.
1.1138(a)(2)(ii). The LAAF-accredited laboratory's proposed alternative
to a proficiency test also must be approved by its recognized
accreditation body, prior to the laboratory's participation in the
alternative.
We consider quality assurance measures vital to the integrity of
the LAAF program and the testing that occurs under this subpart.
Although one aspect of that quality assurance is requiring proficiency
testing for each LAAF-accredited method within each 12-month period, an
additional aspect is having the recognized accreditation body concur
with both the laboratory's determination that no proficiency test is
available to the laboratory, and the alternative proposed by the
laboratory.
(Comment 95) In the proposed rule, we noted that ISO/IEC 17043:2010
``Conformity Assessment--General Requirements for Proficiency Testing''
(Ref. 16) provides specific standards for proficiency test providers.
We requested comment on whether FDA should require the use of
proficiency test providers accredited to ISO/IEC 17043:2010.
Some comments support the proposed requirement that proficiency
testing providers must be ``competent,'' and do not recommend that we
specify accreditation to ISO/IEC 17043:2010. Some comments state that
many proficiency test providers that are not accredited to the ISO/IEC
17043:2010 standard have equivalent quality systems and are established
programs in the industry or in government organizations. Some comments
state that international proficiency test providers are less likely to
be accredited to ISO/IEC 17043:2010 as this standard is not utilized
very much outside of the United States. Some comments suggest that
recognized accreditation bodies can institute processes for determining
equivalency for such proficiency test providers.
Other comments recommend that we require the use of proficiency
test providers accredited to ISO/IEC 17043:2010. Some assert that
accreditation of proficiency test providers provides assurances
regarding both the accuracy of the proficiency test and the technical
competence of the laboratories that successfully participate. Some
comments suggest that FDA could require the use of ISO/IEC 17043:2010
accredited proficiency test providers when available. Other comments
suggest that the FDA adopt the stance taken in AOAC 17025 Guidelines
section 7.7.2 which states that an ISO/IEC 17043 accredited proficiency
test provider should be given preference. Some comments ask FDA to
clarify which steps should be taken if we require ISO/IEC 17043:2010
accreditation for proficiency test providers, but where none is
available for certain methods.
(Response 95) FDA appreciates the detailed responses to our
question on this matter.
Having considered the comments, we have decided against requiring
the use of proficiency test providers accredited to ISO/IEC 17043:2010.
We agree with the specification in the AOAC 17025 Guidelines that such
providers should be given preference, and we encourage laboratories to
seek providers with such accreditation. However, at the present time
there are many methods for which no proficiency test provider exists at
all, let alone one accredited to ISO/IEC 17043:2010. Given the
importance of an independent, third-party evaluation of a laboratory's
competence--as provided by a proficiency test within every 12-month
cycle--we have decided to allow a wide selection of proficiency test
providers to cover as many of the testing methods covered by this
regulation as possible. Although the use of an ISO/IEC 17043:2010
accredited proficiency test provider may give the laboratory confidence
in the quality and consistency of the proficiency test material and the
evaluation of laboratory test results, at the present time, the breadth
of testing covered by ISO/IEC 17043:2010 providers is not sufficient to
support making this a requirement.
(Comment 96) Some comments disagree with the proposed requirements
in Sec. 1.1153(b)(1) and (2) that within 30 days of receipt, the LAAF-
accredited laboratory must submit proficiency test results to the
recognized accreditation body and that failing proficiency test results
must also be submitted to the FDA; comments state that this deviates
from current ISO/IEC 17025:2017 procedures. Comments explain that
proficiency test results for an ISO/IEC 17025:2017-accredited
laboratory are assessed annually by an accrediting body. Comments
further explain that ISO/IEC 17025:2017-accredited laboratories address
unsatisfactory results by conducting a
[[Page 68785]]
root cause analysis and taking corrective action.
Some comments agree with proposed Sec. 1.1153(b)(2), which
required the LAAF-accredited laboratory to submit failing proficiency
test results to FDA within 30 days of receipt. Other comments state
that requiring recognized accreditation bodies to review proficiency
test results without specified timeframes is not efficient, and the 30-
day timeframe may not provide enough time for the laboratory to
complete its corrective action process. Comments express concern that
failing results submitted to the recognized accreditation body and FDA
could be used against the laboratory without consideration of the
laboratory's corrective action procedures.
Comments state that FDA should defer to ISO/IEC 17025:2017
proficiency test reporting requirements and that recognized
accreditation bodies can submit non-conforming laboratory results to
the FDA during their onsite assessments. Comments also state that some
accreditation bodies require that the proficiency testing data be
submitted directly to the accreditation body from the proficiency test
provider and that procedures already are in place for review of
proficiency testing schemes. A few comments have asked FDA to clarify
what would be considered a ``questionable'' or failing proficiency test
result. Comments state that some proficiency test providers consider
consecutive questionable results when determining a laboratory's
proficiency test performance and comments ask for clarification on how
FDA would evaluate consecutive questionable results.
(Response 96) We have moved the proficiency test result reporting
requirements from Sec. 1.1153(b) to Sec. 1.1138(a)(2)(iii) so that
they appear alongside the main proficiency test requirements.
After considering the comments, we have decided to revise the
requirements regarding LAAF-accredited laboratories' sharing results of
proficiency tests (or a comparison program, where no proficiency test
is available or practicable) with the recognized accreditation body and
FDA. First, we have determined that it is sufficient for the LAAF-
accredited laboratory to share results with the recognized
accreditation body and have therefore deleted the requirement that
failing results also be submitted to FDA. Upon consideration of the
comments on these provisions, the comments encouraging greater
delineation of FDA's role, and the requirements in Sec.
1.1138(a)(2)(ii) that recognized accreditation bodies must concur in
both the determination that no proficiency test is available and the
alternative chosen, we conclude that it better suits the role of the
accreditation body to review proficiency test results.
We acknowledge that current ISO/IEC procedures only require the
accreditation body to review a laboratory's proficiency test results
annually, and that reviewing all results, and on an ongoing basis, will
not be as efficient for the accreditation body. (According to the
comments, some accreditation bodies go beyond what is required under
the ISO/IEC standard and so, may already receive results of all
proficiency test results, sometimes directly from the proficiency test
provider itself; our requirements may not be as much of a change for
those accreditation bodies.) However, we view proficiency testing (or
comparison programs, where no proficiency test is available or
practicable) as a very important tool to either reflect the continued
competence of a laboratory with regard to a particular method or
provide an opportunity for the laboratory to determine why it did not
receive a fully acceptable result and address any related need for
process improvements. We believe that providing the recognized
accreditation body with proficiency test results on an ongoing basis
will allow the recognized accreditation body to maintain greater and
more timely awareness of a laboratory's competency.
At the same time, we take the point of the comments stating that if
the result is less than fully acceptable, it is unlikely that the LAAF-
accredited laboratory will complete its corrective action process
within 30 calendar days of receiving the result. In addition, as
explained above, we want recognized accreditation bodies to be in
possession of additional information about laboratory competency in a
timelier fashion than annual reviews provide. Therefore in the final
rule we are retaining the 30 calendar day timeframe for submission to
the recognized accreditation body of the results of the proficiency
test (or comparison program, where no proficiency test is available or
practicable).
We note that a LAAF-accredited laboratory must successfully pass a
proficiency test (or comparison program, if a proficiency test is not
available or practicable) as described in Sec. 1.1138(a)(2) to gain or
maintain LAAF-accreditation for a particular method.
Finally, with regard to the proposed requirement that a LAAF-
accredited laboratory submit to FDA results of ``failed'' proficiency
tests, comments request that we clarify what would be considered a
failing result. We acknowledge and agree with comments indicating that
proficiency test results generally are phrased in terms such as
``satisfactory'' or ``fully acceptable,'' or ``unsatisfactory'' or
``questionable.'' We have revised the requirement in the final rule to
require that a laboratory submit all proficiency test and comparison
program results, regardless of outcome, to the recognized accreditation
body within 30 calendar days of receipt (see Sec. 1.1138(a)(2)(iii)).
(Comment 97) We received several comments regarding the quality
assurance requirements in proposed Sec. 1.1148. Some comments agree
with the proposed requirement that reference materials or quality
control samples be used with each test conducted under this subpart.
Some comments ask that FDA provide more details of the requirements for
a quality assurance process, including how quality is assured and by
whom, who performs audits and how they are issued, and, regarding
proposed Sec. 1.1148, who is accountable for findings and corrective
action. Some comments include for FDA's consideration examples of how
quality assurance is defined and implemented in other organizations,
including mention of the AOAC 17025 Guidelines' treatment of reference
materials and quality control samples.
(Response 97) FDA considers quality assurance to be vital to the
integrity of this program and the testing that occurs under this
subpart. We have included various requirements throughout this subpart
that address quality assurance precisely because confidence in LAAF-
accredited testing is essential. One example is the requirement that
LAAF-accredited laboratories ensure that policies and procedures for
monitoring the validity of the results of testing they conduct under
this subpart include the use of reference materials or quality control
samples with each batch of samples tested under this subpart (Sec.
1.1138(a)(3)), a policy that aligns with the AOAC 17025 Guidelines
(Ref. 13). Relatedly, we have revised the final rule to require
submission of quality control results even with abridged analytical
reports, again, because of the importance we place on quality
assurance. ISO/IEC 17025:2017 similarly contains quality assurance
requirements, and not as a stand-alone provision, but integrated
throughout the standard (Ref. 3).
In our view, quality assurance is most effective when it is not
treated as a distinct activity or addendum, but rather as a commitment
that should be
[[Page 68786]]
reflected in many facets of laboratory operations. Accordingly, we
decline the invitation to include a definition of ``quality
assurance.'' We do not believe a definition would significantly advance
the degree to which LAAF-accredited laboratories pursue and conduct
quality assurance.
Commenters interested in additional details about the quality
assurance process under this subpart need only become more familiar
with its provisions. Both the recognized accreditation bodies and LAAF-
accredited laboratories are subject to requirements that we believe
will promote quality assurance.
(Comment 98) We received many comments regarding whether FDA should
require LAAF-accreditation for the entities that collect the samples
that get tested under this subpart.
In the proposed rule we chose not to include requirements for the
accreditation of samplers. We acknowledged the importance of proper
sampling procedures and that accreditation for sampling could
potentially help ensure the collection of representative samples. We
stated that although only laboratories were eligible for ISO/IEC 17025
accreditation under the 2005 version of that standard, the 2017 version
of the standard allows for the accreditation of entities that only
collect and do not analyze samples (``stand-alone sampling entities'')
(see 84 FR 59452 at 59476). As the revision was relatively new at the
time of the proposed rule, we were not able to adequately assess the
accreditation of such entities. We solicited comments on several
related issues, such as the capacity of accredited samplers (both
laboratories and stand-alone sampling entities), which international
voluntary consensus standard would serve as the optimal basis for a
consensus sampling standard, and which standards are currently employed
to assess samplers and whether such standards are effective and
sufficient. We proposed instead, in Sec. 1.1149, to require LAAF-
accredited laboratories to develop or obtain certain sampling documents
that would allow FDA to exercise oversight of the sampling conducted as
part of this program. Comments on proposed Sec. 1.1149 are addressed
below.
Several comments endorse not requiring the accreditation of
samplers at the present time. Some of these comments contend samplers
are adequately qualified and therefore an accreditation requirement is
not warranted. These comments consider that the FDA oversight of
samples made possible by proposed Sec. 1.1149 will provide adequate
assurance of samplers' qualification and will provide helpful
flexibility in allowing different entities to collect the sample. Some
comments claim that for many food facilities, the preventive controls
regulations already require that sampling activities be performed by a
qualified individual and be overseen by a person with specialized
training in food safety preventive controls (i.e., a preventive
controls qualified individual).
We understand some comments to argue that without substantive
sampling protocols to which samplers could refer, it would be difficult
for accreditation bodies to accredit samplers to ISO/IEC 17025:2017 or
assess against proposed Sec. 1.1149. These comments recommend that, at
a minimum, FDA should provide a mechanism whereby samplers could verify
sampling protocols with FDA. See discussion of this point with respect
to Sec. 1.1149, below.
Some comments agree with our assessment in the proposed rule that
accreditation of stand-alone samplers is still relatively new. Some
comments agree that we should review this issue in the future. Some
comments contend that requiring the accreditation of samplers would
necessitate significant investments of time and expense by industry to
obtain such accreditation but would not result in significant public
health benefit.
Other comments disagree with FDA's proposed decision and instead
argue that the final rule should require the accreditation of samplers.
Some of these comments contend that the statute requires samplers to be
accredited under this subpart; comments specifically quoted or
referenced section 422(a)(6)(A)(iv) and (b)(1) of the FD&C Act.
Some comments contend that allowing sampling by unaccredited
entities would fail to provide the clarity needed for proper sample
collection, which can have a significant impact on the quality of the
test results and related uncertainty. These comments state that
analysis of an improper sample can invalidate the test results, and
argue that requiring accredited samplers is crucial to the integrity of
both the sample itself and the resulting test data. A few comments
claim that requiring the accreditation of samplers would ensure
traceability, which we understand to mean the ability to connect the
sample back to a lot or shipment.
Some comments contend that aspects of ISO/IEC 17025:2017 are
necessary to ensure quality sampling. Some comments reason that, if
samplers are not required to be ISO/IEC 17025:2017-accredited, there is
a risk they may be connected to owners and consignees, and thus have an
interest in the outcome of the sampling and food testing. These
comments express the concern that allowing unaccredited samplers may
lead to the analysis of biased, substituted, or manipulated samples.
Comments suggest that accreditation to the ISO/IEC 17025:2017 standard
would protect against such conflict of interest concerns. Some comments
also champion the value of ISO/IEC 17025:2017 to establish standards
for sampler qualifications.
Some comments disagree with the Agency's assessment in the proposed
rule that ISO/IEC 17025:2017 accreditation for stand-alone sampling
entities is relatively new and the FDA does not have enough information
to assess their accreditation. Comments disagree that accreditation
bodies do not have the experience or bandwidth to satisfy a requirement
under this subpart that samplers be ISO/IEC 17025:2017-accredited.
Regarding current capacity among ISO/IEC 17025:2017-accredited
samplers, some comments assert that there is more than sufficient
accredited-sampler capacity to conduct all the DWPE sampling that would
be required under this subpart. They claim that current ISO/IEC
17025:2017-accredited sampling providers can expand their workforce as
needed to meet increased demand. They also contend that if we were to
require the accreditation of samplers under this subpart, we would be
creating additional incentive for sampling entities to become ISO/
IEC17025:2017-accredited, which would further increase capacity. Other
comments seem to suggest that accredited sampling capacity will
increase over time for market reasons (as accreditation generates
revenue), regardless of whether we incentivize by requiring sampling
accreditation under this subpart.
Certain comments suggest that the sampling requirements in ISO/IEC
17025:2017 in conjunction with FDA's Investigations Operations Manual
(IOM) (Ref. 17) would provide comprehensive standards for sampling.
Comments also maintain that ILAC is in the process of considering the
circumstances in which it may be appropriate to require accredited
sampling.
(Response 98) As discussed at some length in the proposed rule,
proper sampling procedures are essential to meaningful test results.
Accordingly, it is important that this subpart address samplers'
training and procedures. After careful consideration of the comments,
we have decided that the most appropriate way to support those goals at
the present time is through the
[[Page 68787]]
oversight provisions at Sec. 1.1149 rather than by requiring ISO/IEC
17025:2017-accreditation of samplers.
Although we have decided not to require the accreditation of
sampling at this time, it should be noted that with the adoption of
ISO/IEC 17025:2017 without exclusions, those laboratories that include
sampling on their scope of accreditation will be assessed by their
accreditation body to the requirements of ISO/IEC 17025:2017 section
7.3 on sampling. Even though many sampling entities are not part of an
ISO/IEC 17025:2017-accredited laboratory, we conclude that the general
requirements in ISO/IEC 17025:2017 section 7.3 are sufficiently
addressed in Sec. 1.1149 (Ref. 3). There currently is no other
consensus standard specific to sampling of which we are aware; nor is
there a single, widely accepted sampling standard for us to incorporate
or on which to rely. Instead, there are several publications that
address the appropriate statistical sampling that is required to obtain
the representative sample referred to in Sec. 1.1149. Some comments
suggest that the FDA IOM could serve as the substantive standard.
However, while the FDA Compliance Programs \12\ and the IOM define the
general process for all sampling to ensure that the sample is
representative of the entire lot and in conformance with FDA sampling
procedures and methods, many of the instructions in these documents are
specific to FDA operations and would not be appropriate for
incorporation within this subpart. We also acknowledge the point of the
comments that argue that the 2017 version of ISO/IEC 17025 is not still
``new,'' and the comments that maintain that accreditation bodies have
the capacity to accredit entities for sampling. Nevertheless, in the
absence of any other consensus standard specific to sampling of which
we are aware; nor a single, widely accepted standard on sampling
criteria and specifications, we believe more time is needed for
industry to flesh out, and for us to assess, the ISO/IEC 17025:2017
accreditation of entities (including non-testing entities) for
sampling. Additionally, due to the absence of a predominant substantive
sampling standard, we do not agree with the position expressed in
comments that accreditation alone would provide sufficient clear
direction on sampling protocols to ensure proper sample collection. For
additional discussion regarding FDA substantive sampling resources, see
FDA Compliance Programs and IOM Ch. 4.
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\12\ For more information on FDA Compliance Programs, see
https://www.fda.gov/inspections-compliance-enforcement-and-criminal-investigations/compliance-manuals/compliance-program-guidance-manual-cpgm.
---------------------------------------------------------------------------
Despite the contentions of some comments, the statute does not
specify that FDA must require the accreditation of samplers in this
subpart. Comments point to section 422(a)(6)(A)(iv) and (b)(1) of the
FD&C Act to support the argument that sampling accreditation is
necessary. Section 422(a)(6)(A)(iv) of the FD&C Act states that the
model standards established in this subpart must include methods to
ensure that (among other things), ``individuals who conduct the
sampling and analysis are qualified by training and experience to do
so.'' This language does not mention accreditation; instead, it
provides (in relevant part) that FDA require samplers to be qualified.
We are fulfilling that obligation in Sec. 1.1149. Section 422(b)(1) of
the FD&C Act lists the tests that must be covered by this subpart; the
introductory text reads (in relevant part), ``food testing shall be
conducted by Federal laboratories or non-Federal laboratories that have
been accredited for the appropriate sampling or analytical testing
methodology or methodologies.'' This provision refers to accreditation,
but the ``or'' is important; by stating ``sampling or analytical
testing methodology,'' the statute allows for the satisfaction of just
one type of accreditation. Thus, this language explicitly allows for
testing to be conducted by laboratories accredited for just the
appropriate test method.
As we stated in the proposed rule, in the 2-year period from 2016-
2017, about 63 percent of DWPE sampling was conducted by 5 entities
accredited for sampling under ISO/IEC 17025:2017 (see 84 FR 59452 at
59476). About 37 percent of DWPE sampling was conducted by more than
300 entities not accredited for sampling (see id.). In the proposed
rule, we specifically solicited feedback regarding the current capacity
of accredited samplers. Some comments respond that there is sufficient
capacity among already-accredited samplers to conduct all DWPE
sampling, and that it would be relatively easy for such entities to
expand capacity much further. We appreciate the time taken by
commenters to thoroughly address our specific inquiries.
This subpart reaches beyond testing to support removal from import
alert, and entities focused on the sampling and testing needs at ports
of entry may not be convenient choices for non-import related owners
and consignees needing the services of a LAAF-accredited entity. We
note incidentally that some of the non-import sampling needs under this
subpart are unique; there are serious biosecurity concerns that would
need to be addressed by any outside entity collecting the shell egg
samples the testing of which is covered by this subpart under Sec.
1.1107(a)(1)(ii). See, e.g., Biosecurity Basics for Poultry Growers
(Ref. 18). We did not receive any comments describing the current
capacity of accredited samplers to collect non-import samples, though
as stated, some comments express the view that it would be relatively
easy to expand capacity, and some comments make the point that if we
require the accreditation of samplers we would be creating an incentive
to become accredited for sampling.
Some comments suggest that there is no indication current samplers
are unqualified. For current purposes it is sufficient to acknowledge
that the statute directs FDA to address sampler qualifications in this
subpart. Some comments claim that sampling that takes place pursuant to
the FSMA preventive controls regulations is already required to be
conducted by a trained individual, and overseen by another person with
specialized food safety preventive controls training. (See the
definition of preventive controls qualified individual in Sec. Sec.
117.3 and 507.3.) It is true that each of those regulations requires
sampling to be conducted by an individual qualified by education,
training, or experience to carry out such sampling (Sec. Sec. 117.3,
117.4(b); Sec. Sec. 507.3, 507.4(b)), but the preventive controls
regulations only require a preventive controls qualified individual to
prepare or oversee the preparation of the food safety plan that would
detail the sampling regimen, not to oversee the sampling activity
(Sec. Sec. 117.180, 507.53). In addition, very few of the samples that
must be tested by a LAAF-accredited laboratory would be collected from
registered food facilities subject to either of the preventive controls
regulations; we estimate that almost all of the laboratory analytical
reports submitted in accordance with this subpart will be related to
sprouts (see Sec. 1.1107(a)(1)(i)), shell eggs (see Sec.
1.1107(a)(1)(ii)), and imports under section 801(a) (see Sec.
1.1107(a)(4), (5)) (Ref. 4).
Some comments raise concerns about biased sampling. These comments
contend that the conflict of interest provisions in ISO/IEC 17025:2017
protect against samplers that have an interest in the outcome of the
test from submitting unrepresentative (e.g., ``cherry picked'' or
manipulated) samples. Although we also appreciate that ISO/IEC
17025:2017 contains conflict of interest provisions, the requirements
in Sec. 1.1149(a)(2) and (3)
[[Page 68788]]
for a sampling plan and collection report will ensure that the sample
collection procedures and preparation techniques, as well as the chain
of custody including controlling for the representative nature of the
sample, are documented and reviewed by FDA. For more information on the
sampling documentation required by this final rule, see the discussion
of Sec. 1.1149, below.
Regarding sampler qualifications, ISO/IEC 17025:2017 section 6.2
requires accredited entities to document (among other things) the
educational, training, and experiential needs of each position and
ensure that personnel possess the necessary competence to perform their
function (Ref. 3). Although we do not dispute that these aspects of
ISO/IEC 17025:2017's quality management system are valuable, we are
addressing sampler qualifications, albeit using a different approach,
in this rule. Section 1.1149(a)(1) requires the qualifications of each
sampler to be submitted to FDA. Reviewing the documentation of
samplers' training and experience will provide FDA with a means of
helping to ensure that each sampler possesses qualifications sufficient
for the task.
A few comments claim that requiring the accreditation of samplers
would facilitate connecting a sample back to a lot or shipment.
However, the requirements in Sec. 1.1149(a)(1) through (3) for the
written documentation of the sampler's qualifications by training and
experience, the written sampling plan used to conduct the sampling, and
the collection report combined should include the information required
to allow for tracing back to the lot or shipment.
A number of pending developments may cause us to revisit this
issue. Contrary to the assertion of some comments, our understanding is
that ILAC is not considering developing standards or advice regarding
the circumstances in which it would be appropriate to require sampling
accreditation. However, a number of other developments may cause us to
revisit this issue, including our experience administering this
program, which will include reviewing sampling documents from both
LAAF-accredited laboratories and unaccredited samplers. Any change we
propose to this subpart will be effected through rulemaking and include
an opportunity for public comment.
2. How does a laboratory apply for LAAF-accreditation or extend its
scope of LAAF-accreditation (Sec. 1.1139)?
This topic appeared in Sec. 1.1158 of the proposed rule. In the
proposed rule, paragraph (a) of this section directed a laboratory
seeking LAAF-accreditation to apply to a recognized accreditation body.
It also noted that a laboratory that had previously been disqualified
from the program by FDA or had its LAAF-accreditation withdrawn by a
recognized accreditation body must meet additional requirements to be
reinstated; those requirements are contained in Sec. 1.1142 of the
final rule (proposed Sec. 1.1165).
In the proposed rule, paragraph (b) of this section stated that a
laboratory seeking LAAF-accreditation may use documentation of
conformance with ISO/IEC 17025:2017 in meeting the requirements of this
subpart.
In the proposed rule, paragraph (c) of this section provided that
LAAF-accreditation endures as long as the laboratory maintains
compliance with all requirements of this subpart, unless the laboratory
relinquishes its LAAF-accreditation, FDA disqualifies the laboratory
from the program, or the recognized accreditation body withdraws the
laboratory's LAAF-accreditation.
On our own initiative, we specified the relevant paragraph in the
cross-reference to Sec. 1.1142 and made other conforming and minor
editorial changes. Conforming terminology changes include adding the
phrase, ``reduced in scope,'' and the term, ``disqualified'' to the
list of ways LAAF-accreditation may end, in paragraph (c). Whereas in
the proposed rule, the words, ``withdrawn'' and ``revoked'' included
``in part'' withdrawal or reduction, in the final rule we use the word,
``reduce,'' to mean that some (but not all) methods are removed from
the scope of LAAF-accreditation and we use ``disqualify'' to refer to
the action FDA takes with respect to a LAAF-accredited laboratory.
Additionally, we have revised the section to remove reference to
``modification of scope,'' instead referring to extension of scope in
the final rule. We also revised the section title accordingly to read,
``How does a laboratory apply for LAAF-accreditation or extend its
scope of LAAF-accreditation?'' Comments regarding this section are
discussed below.
(Comment 99) We received a few comments on this section; they
concern paragraph (c). Comments state that as proposed, LAAF-
accreditation would continue indefinitely, and accreditation bodies may
approach this policy differently. Some accreditation bodies take a
proactive approach and prompt laboratories to begin the renewal
accreditation process for ISO/IEC 17025:2017 well in advance of
expiration.
(Response 99) We acknowledge that accreditation bodies vary in
their approaches to the duration and renewal of ISO/IEC 17025:2017
accreditation. Nevertheless, we are comfortable with the policy that
LAAF-accreditation for a particular method endures indefinitely for a
variety of reasons including that ISO/IEC 17011:2017 section 7.9.1
prescribes that ISO/IEC 17025:2017 accreditation may be for a maximum
of 5 years (Ref. 2); Sec. 1.1120(e) of this subpart requires
recognized accreditation bodies to conduct an onsite assessment of a
sample of the laboratory's scope every 2 years; and we have included
various quality assurance requirements in this subpart such as the
requirement in Sec. 1.1138(a)(2) for a successful proficiency test at
least every 12 months for each method to which a laboratory is LAAF-
accredited.
3. What must a LAAF-accredited laboratory do to voluntarily relinquish
its LAAF-accreditation (Sec. 1.1140)?
This topic appeared in Sec. 1.1163 in the proposed rule. We
proposed to title this section, ``What if a laboratory wants to
voluntary relinquish its accreditation?'' For precision and in keeping
with the terminology changes described above at Response 10, the title
has been reworded to read, ``What must a LAAF-accredited laboratory do
to voluntarily relinquish its LAAF-accreditation?''.
In the proposed rule, paragraph (a) of this section provided that a
LAAF-accredited laboratory must notify FDA and its recognized
accreditation body at least 60 days before relinquishing its LAAF-
accreditation either in whole or in part. We proposed that the notice
must include the date on which the relinquishment will occur, and if
the laboratory is relinquishing its LAAF-accreditation in whole,
certain information on a records custodian.
In the proposed rule, paragraph (b) stated that FDA will provide
notice of the relinquishment on the public registry described in Sec.
1.1109.
On our own initiative, we made a few changes to this section.
First, we removed the language requiring the notice of relinquishment
to be electronic and in English; requirements for submitting
information to FDA under this subpart are now addressed in Sec.
1.1110. We also removed mention of the fact that the relinquishing
laboratory must make its records available to FDA as required by Sec.
1.1153 because it was superfluous. We also made minor editorial changes
and specified ``calendar'' days in paragraph (a).
We received no comments solely related to this section and made no
further changes to it.
[[Page 68789]]
4. What is the effect on a LAAF-accredited laboratory if its recognized
accreditation body is no longer recognized by FDA (Sec. 1.1141)?
This topic appeared in Sec. 1.1164 in the proposed rule. We
proposed to title this section, ``What is the effect on accredited
laboratories if their accreditation body voluntarily or involuntarily
loses its recognition?'' We rephrased the title for efficiency and in
keeping with the terminology changes described above at Response 10 so
that it now reads, ``What is the effect on a LAAF-accredited laboratory
if its recognized accreditation body is no longer recognized by FDA?''.
In the proposed rule, paragraph (a)(1) of this section explained
the actions a LAAF-accredited laboratory must take if its recognized
accreditation body departs the program. Within 30 days of FDA issuing a
notice informing the LAAF-accredited laboratory of the recognized
accreditation body's departure, the laboratory must submit to FDA its
most recent internal audit (see Sec. 1.1154(a)(5) of the final rule),
documentation showing compliance with the conflict of interest
requirements in Sec. 1.1147, and documentation of the most recent
proficiency test for each method to which the laboratory is LAAF-
accredited (see proposed Sec. 1.1148(a), (b)). Proposed paragraph
(a)(2) stated that within 1 year of receiving FDA's notice informing
the laboratory of its accreditation body's departure from the program,
the laboratory must become LAAF-accredited by a recognized
accreditation body.
In the proposed rule, paragraph (b) provided that the laboratory
need not comply with paragraph (a) if, within 15 days of receiving
FDA's notice informing the laboratory of its accreditation body's
departure from the program, the laboratory initiates relinquishment of
its LAAF-accreditation in whole (see proposed Sec. 1.1163, final rule
Sec. 1.1140) with the relinquishment to occur within no more than 90
days.
In addition to changes made in response to comments discussed
below, we made several changes to this section on our own initiative in
the final rule. We restructured the section to change proposed
paragraph (a) to a chapeau introducing paragraphs (a) and (b) of the
final rule and reordered the language of the chapeau to match the order
in which the notifications are listed in the final rule. On our own
initiative we replaced the phrase, ``30 days after FDA issues the
notice to the accredited laboratory'' with, ``30 calendar days after
receiving the notice,'' because these notices do not always come from
FDA and it is clearer to specify ``calendar'' days here and in
paragraph (b) of this section. In the case of a recognized
accreditation body that chooses to allow its recognition to expire or
voluntarily relinquishes its recognition, Sec. 1.1116(b) requires the
recognized accreditation body to notify the laboratories it has LAAF-
accredited. We also updated cross-references to the sections requiring
notice to the LAAF-accredited laboratories. In addition, we corrected
the reference to the section addressing a recognized accreditation body
allowing expiration of, or voluntarily relinquishing, its recognition.
Comments regarding this section are discussed below.
(Comment 100) Comments state that the 15-day timeframe proposed in
Sec. 1.1164(b), during which time a LAAF-accredited laboratory
``orphaned'' by its recognized accreditation body may inform FDA that
the laboratory intends to relinquish its LAAF-accreditation, instead of
taking the actions required by paragraph (a), is inconsistent with the
timeframes established in the section on relinquishment (see Sec.
1.1140 of the final rule). Section 1.1140 of the final rule states that
a LAAF-accredited laboratory that chooses to voluntarily relinquish its
LAAF-accreditation must provide at least 60 calendar days advance
notice of the intention to relinquish. Comments indicate that the 15-
day timeframe in proposed Sec. 1.1164(b) seems irrelevant because a
laboratory could decide to depart the program on the 25th day after
receiving FDA's notice and still comply with the timeframes established
in Sec. 1.1140.
(Response 100) We agree with these aspects of the comments and so
have revised the introduction of this section to provide that the LAAF-
accredited laboratory has 30 calendar days to either provide to FDA the
required documentation (i.e., its most recent internal audit (see Sec.
1.1154(a)(5)), documentation showing compliance with the conflict of
interest requirements in Sec. 1.1147, and documentation of the most
recent proficiency test for each method to which the laboratory is
LAAF-accredited (see Sec. 1.1138(a)) or inform FDA of its intent to
relinquish under Sec. 1.1140(a).
5. How does a laboratory request reinstatement of LAAF-accreditation
(Sec. 1.1142)?
This topic appeared in Sec. 1.1165 in the proposed rule. In the
proposed rule, paragraph (a) of this section provided that a laboratory
that had any portion of its LAAF-accreditation withdrawn by the
recognized accreditation body or was disqualified by FDA for any
portion of its LAAF-accreditation, may seek reinstatement by submitting
a new application for LAAF-accreditation. We also proposed that the
laboratory take additional actions: Notify FDA of certain information
prior to submitting the application to the recognized accreditation
body and demonstrate to the recognized accreditation body to which the
laboratory is newly applying that the grounds for the withdrawal or
disqualification have been resolved and the laboratory has implemented
measures to prevent recurrence.
In the proposed rule, paragraph (b) of this section stated that a
LAAF-accredited laboratory that voluntarily relinquished any portion of
its LAAF-accreditation may seek reaccreditation by submitting a new
application to a recognized accreditation body.
We revised the section and section title to reflect updated
terminology and made other conforming and minor editorial changes
within the section. In this section and throughout the final rule, we
removed ``legal'' as a modifier for certain names required to be
submitted (for example, names of the laboratory and recognized
accreditation body in this section and the analyst names in other
sections) as the distinction was unnecessary and inconsistently used in
the proposed rule. We also removed ``valid'' as a modifier for contact
information in Sec. 1.1142(a)(1) as it was also unnecessary. We
received no comments solely related to this section.
I. Comments Regarding Requirements for LAAF-Accredited Laboratories
Table 10--Changes to Sections Regarding Requirements for LAAF-Accredited
Laboratories
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
Requirements for LAAF-Accredited Requirements for Revised to reflect
Laboratories. Accredited new terminology.
Laboratories.
[[Page 68790]]
N/A............................. Sec. 1.1146 What Merged contents of
are the general proposed section
requirements for with Sec.
accredited 1.1138.
laboratories to
remain
accredited?
Sec. 1.1147 What are the Sec. 1.1147 What Revised to reflect
impartiality and conflict of impartiality and new terminology
interest requirements for a conflict of and to improve
LAAF-accredited laboratory? interest clarity.
requirements must
accredited
laboratories
meet?
N/A............................. Sec. 1.1148 What Removed this
quality assurance section and
requirements must relocated content
accredited to Sec. 1.1138.
laboratories
meet?
Sec. 1.1149 What oversight Sec. 1.1149 What Section title
standards apply to sampling? oversight remains the same.
standards apply
to sampling?
Sec. 1.1150 What are the Sec. 1.1150 What Revised to reflect
requirements for analysis of requirements new terminology
samples by a LAAF-accredited apply to analysis and to improve
laboratory? of samples by an clarity.
accredited
laboratory?
Sec. 1.1151 What requirements Sec. 1.1151 What Revised to reflect
apply to the methods of requirements new terminology.
analysis a LAAF-accredited apply to the
laboratory uses to conduct food methods of
testing under this subpart? analysis an
accredited
laboratory uses
to conduct food
testing under
this subpart?
Sec. 1.1152 What Sec. 1.1152 What Revised to reflect
notifications, results, notifications, new terminology
reports, and studies must a results, and and include
LAAF-accredited laboratory reports must ``studies''.
submit to FDA? accredited
laboratories
submit to FDA?
Sec. 1.1153 What are the New section....... Created new stand-
requirements for submitting alone section for
abridged analytical reports? the portions of
Sec. 1.1152
related to
abridged reports.
Sec. 1.1154 What other records Sec. 1.1153 What Relocated records
requirements must a LAAF- other records section and
accredited laboratory meet? requirements must revised to
an accredited reflect new
laboratory meet? terminology.
------------------------------------------------------------------------
1. What are the impartiality and conflict of interest requirements for
a LAAF-accredited laboratory (Sec. 1.1147)?
In the proposed rule, Sec. 1.1147(a) required LAAF-accredited
laboratories to generally prohibit employees, contractors, and agents
involved in food testing and related activities from accepting any
money or other item of value from the owner or consignee of the food
that is being, or will be, tested by the laboratory. Proposed paragraph
(b) excepted from the general prohibition the payment of fees for
testing services; reimbursement of direct costs associated with the
testing; and for laboratories owned by the owner or consignee, payment
of salary. Proposed paragraph (c) required that payment by the owner or
consignee for the testing service, and any direct reimbursement related
to the testing, must be independent of the test outcome.
On our own initiative we revised paragraph (b)(1). In the proposed
rule, paragraph (b)(1) excepted, ``payment of fees for food testing
services.'' In the final rule, it excepts, ``[p]ayment of fees for food
testing under this subpart and related services,'' because owners and
consignees may pay a LAAF-accredited laboratory for services incidental
to testing, such as to collect a sample or for shipping and handling
costs.
We have revised the text of this section to update terminology and
to make other conforming and editorial changes. We also revised the
section title to read, ``What are the impartiality and conflict of
interest requirements for a LAAF-accredited laboratory?'' We discuss
additional changes to the section made in response to comments below.
(Comment 101) We proposed to allow laboratories owned by the owner
or consignee (``in-house'' laboratories) to become LAAF-accredited. We
received several comments regarding this proposed policy.
Some comments express support for the proposed policy. These
comments state that the LAAF-accreditation process and other
requirements in the proposed rule would protect against potential
conflicts of interest. Some of these comments express the view that
although in-house laboratories should be permitted to become LAAF-
accredited, they should not be required to do so.
Some comments oppose the proposed policy. Some of these comments
contend in-house laboratories cannot be free from conflicts of
interest. Some comments contend that this conflict of interest may
place public health at risk since owners or consignees testing their
food would have a vested interest in the outcome of the food testing;
some comments cite a widely-publicized foodborne illness outbreak and
state that the risk of our proposed policy is the recurrence of such
situations. Some comments also seem to argue that in-house laboratories
do not, or inherently cannot, satisfy the conflict of interest
provisions in ISO/IEC 17025:2017. These comments may have been
attempting to address our statement in the proposed rule that we were
unaware of any information indicating that laboratories owned by owners
or consignees are less able to become LAAF-accredited than independent
laboratories.
Some comments opposing the proposed policy argue that the statute
precludes in-house laboratories from conducting at least import-related
testing under the LAAF program. These comments disagree with FDA's
interpretation of ``on behalf of'' in 422(b)(1)(B) of the FD&C Act.
These comments argue that when Congress used such language it was
clearly Congress's intent to prohibit in-house laboratories from
testing their own products under that 422(b)(1)(B) of the FD&C Act.
In the proposed rule, we said that reading the statute such that
in-house laboratories would be ineligible for import-related testing
under this program could raise potential concerns under U.S.
international trade obligations. (see 84 FR 59452 at 59461 through
59462). We tentatively concluded that such a reading would not comport
with section 404 of FSMA, which states that nothing in the FD&C Act
shall be construed in a manner inconsistent with the agreement
establishing the WTO or any other treaty or international agreement to
which the United States is a party. Some comments that oppose the
proposed policy disagree with our proposed reasoning, and state that
there is insufficient evidence that treaties or international
agreements apply in this instance or that they are sufficient to
[[Page 68791]]
justify, according to these comments, risking public health by allowing
in-house laboratories to be eligible for LAAF-accreditation.
(Response 101) After considering the comments and reviewing the
statute, we are retaining the proposed policy such that in-house
laboratories may become LAAF-accredited to conduct any of the testing
described in Sec. 1.1107 as long as those laboratories meet all the
laboratory requirements of this subpart.
We acknowledge that opportunities may exist for owners and
consignees to exert undue influence over an in-house laboratory; owners
and consignees generally do not have the same amount of power and
control over an independent or third-party laboratory. However, as we
discussed in the proposed rule, ISO/IEC 17025:2017 contains several
requirements relevant to conflict of interest and impartiality (see 84
FR 59452 at 59478). For example, ISO/IEC 17025:2017 section 4.1
requires the laboratory to conduct its activities impartially and to be
structured and managed so as to safeguard impartiality, to not allow
commercial, financial, or other pressures to compromise its
impartiality, and, if a risk to impartiality is identified, the
laboratory must be able to demonstrate how the laboratory eliminates or
minimizes the risk (Ref. 3). We are aware that in-house laboratories
are accredited to ISO/IEC 17025:2017, indicating that accreditation
bodies have found sufficient safeguards in place to allow such
laboratories to be impartial. We have no basis to question those
accreditation body determinations.
To further protect the integrity of the testing conducted under
this subpart, Sec. 1.1147 imposes on laboratories impartiality and
conflict of interest requirements that supplement those contained in
ISO/IEC 17025:2017. With limited exceptions, we require laboratory
employees, contractors, and agents not to accepts gifts or other items
of value from owners or consignees whose food is tested by the
laboratory. We also require that the owners' or consignees' payment to
the laboratory be independent of the testing outcome. This final rule
also contains oversight provisions which allow accreditation bodies to
assess, and FDA to review, the performance of, laboratories. Recognized
accreditation bodies and FDA both have the authority and the
responsibility to exercise their oversight to help ensure that
laboratories comply with the requirements of this subpart including the
requirements of Sec. 1.1147.
Some comments point to a widely publicized foodborne illness
outbreak case as an example of the risk presented by in-house
laboratories. In that case, several executives and employees were
convicted and sentenced for Federal crimes related to selling peanut
butter products that the defendants knew had tested positive for
Salmonella. Among other misdeeds, the defendants fabricated test
results. That is, the testing accurately indicated that the product
contained Salmonella but the owners produced fraudulent test
certificates stating the opposite. In addition, the firm did not use an
in-house laboratory; rather, it sent its product to two different
independent laboratories for analysis. Accordingly, the facts of that
case have no direct bearing on the integrity of in-house laboratories.
Furthermore, section 422(b)(2) of the FD&C Act, implemented by Sec.
1.1152(b) of this final rule, requires laboratories to send the results
of all tests covered by this subpart directly to FDA, thus protecting
against the opportunity for owners or consignees to fabricate test
results of independent or third-party laboratories.
We disagree that the statute precludes in-house laboratories from
conducting any or all testing covered by this subpart. Section
422(b)(1) of the FD&C Act contains two paragraphs. Paragraph (A) states
that certain testing ``by or on behalf of an owner or consignee'' must
be conducted by a LAAF-accredited laboratory; this paragraph describes
specific followup testing required by existing FDA regulations and
testing ``as the Secretary deems appropriate,'' in both cases to
address an identified or suspected food safety problem. Paragraph (B)
states that certain testing, ``on behalf of an owner or consignee''
must be conducted by a LAAF-accredited laboratory; paragraph (B)
describes testing in support of admission of detained imported food.
First, section 422 of the FD&C Act explicitly contemplates the
participation of in-house laboratories when it states that ``food
testing shall be conducted . . . by or on behalf of an owner or
consignee'' (section 422(b)(1)(A)). As we discussed in the proposed
rule, section 422(b)(1)(B) of the FD&C Act is silent with respect to
testing conducted on imports by owners or consignees. Under one
possible interpretation, the absence of ``by or'' in paragraph (B)
would mean that only independent laboratories may be accredited to
conduct food testing on detained imports (84 FR 59452 at 59461 through
59462).\13\ Under this interpretation, laboratories owned by owners or
consignees would be prohibited from conducting such import-related food
testing, but laboratories owned by owners or consignees would be
eligible to conduct food testing under section 422(b)(1)(A) of the FD&C
Act. That would raise the prospect that section 422(b)(1) would not
apply equally to domestic and foreign goods (section 422(b)(1)(A) of
the FD&C Act would generally apply to domestic owners or consignees and
potentially foreign owners or consignees). Such a difference in
treatment could raise potential concerns under U.S. international trade
obligations. In this regard, we note that section 404 of FSMA provides
that nothing in the FD&C Act shall be construed in a manner
inconsistent with the agreement establishing the WTO or any other
treaty or international agreement to which the United States is a
party.
---------------------------------------------------------------------------
\13\ Under another possible interpretation of section 422(b)(1),
the phrase, ``on behalf of'' may be read as sufficiently broad to
encompass in-house laboratories (i.e., an in-house laboratory
conducts testing on behalf of the entity that owns the laboratory).
In that case, the absence of ``by or'' is inconsequential, and we
would again reach the conclusion that allowing in-house laboratories
to conduct any testing under this subpart is consistent with the
statute.
---------------------------------------------------------------------------
In considering section 422(b)(1)(B) of the FD&C Act and section 404
of FSMA together, we finalize the proposed conclusion that it is
reasonable to interpret section 422(b)(1)(B) of the FD&C Act to allow
laboratories owned by owners or consignees to conduct food testing that
falls under section 422(b)(1)(B) of the FD&C Act, provided that such
laboratories meet the accreditation requirements proposed.
We understand some comments to question whether treaties or
international agreements are relevant to the food testing circumstances
covered by this subpart. Other comments appear to question whether the
existence of such treaties or international agreements justifies
permitting in-house laboratories to participate despite the purported
public health risks posed by such participation. It is undisputed that
the United States is a party to the WTO, and two WTO agreements are
relevant to FDA's regulatory authorities: (1) The Agreement on the
Application of Sanitary and Phytosanitary Measures and (2) the
Agreement on Technical Barriers to Trade. More significantly, however,
we believe we have addressed the fundamental issue at the heart of the
opposing comments, i.e., the concern that allowing in-house
laboratories (whether foreign or domestic) to become LAAF-accredited
jeopardizes public health because in-house laboratories have such a
vested interest in vouching
[[Page 68792]]
for their products that their test results are inherently suspect.
Above, we have explained our view that robust requirements in ISO/IEC
17025:2017 and in the final rule address conflict of interest and
impartiality such that in-house laboratories may qualify to become
LAAF-accredited. We also have explained our view that the statute
appropriately may be read to permit participation by such laboratories.
We therefore conclude that owners or consignees may become LAAF-
accredited as long as they satisfy all the relevant requirements of
this subpart.
Finally, to clarify, no laboratory is required to participate in
this program; it is entirely voluntary for both accreditation bodies
and laboratories.
(Comment 102) Some comments agree with the requirement in Sec.
1.1147(c) that payment for laboratory services must be independent of
the testing result; these comments indicate that it is routine
commercial practice to require payment in advance of testing to prevent
non-payment for violative samples.
(Response 102) We appreciate comments concurring with the proposed
provision and are pleased that it is common practice for laboratories
to require payment prior to conducting the test. On our own initiative
and because the section discusses impartiality and conflict of interest
requirements for a LAAF-accredited laboratory, we have clarified in
Sec. 1.1147(c) of the final rule that the LAAF-accredited laboratory
must require the owner's or consignee's payment to be independent of
the outcome of the test results.
2. What are the quality assurance requirements for LAAF-accredited
laboratories (Sec. 1.1148)?
Proposed Sec. 1.1148 concerned the quality assurance requirements
beyond those in ISO/IEC 17025:2017 for LAAF-accredited laboratories.
Paragraph (a) described the annual proficiency test requirement and
provided for the opportunity to use a comparison program if an annual
proficiency test for the method was not available or was otherwise
impracticable. Paragraph (b) provided that LAAF-accredited laboratories
ensure procedures for monitoring the validity of the results of testing
conducted under this subpart include the use of reference materials or
quality control samples with each batch of samples it tests under this
subpart.
On our own initiative, we determined that the requirements in
proposed Sec. 1.1148 are more appropriately categorized as eligibility
requirements for LAAF-accredited laboratories. As such, these
provisions are in Sec. 1.1138 of the final rule.
3. What oversight standards apply to sampling (Sec. 1.1149)?
In the proposed rule, Sec. 1.1149(a) required a LAAF-accredited
laboratory to develop (if the laboratory collected the sample) or
obtain (if the laboratory was not the entity responsible for collecting
the sample) certain documents related to sampling, prior to analyzing
the sample. Proposed paragraph (b) provided that if the sampling
documentation requirements were not met, we might consider the test to
be invalid.
Proposed paragraph (a)(1) required documentation of the sampler's
qualifications by training and experience. We proposed that such
qualification documentation need only be obtained the first time an
individual collects a sample, unless the qualifications had changed
significantly. Proposed paragraph (a)(2) required a written sampling
plan that identified the sampler and listed factors the sampler would
control to ensure sample validity. Proposed paragraph (a)(3) required a
written sample collection report to include at least the following five
elements: The product code or, if collecting an environmental sample,
the location and a description of the environment; the date of
sampling; the size, identity, and quantity of the sample; documentation
of the sample collection procedures and any sample preparation
techniques; and documentation of the chain of custody and measures
taken to secure the validity of the subsequent test, including
controlling for the representational nature of the sample. On our own
initiative, we added, ``lot number'' to the information required in a
sample collection report. This information is consistent with the other
types of information required in a sample collection report and will
provide us with better visibility into how the sample was collected, as
well as additional information to allow us to trace the sample back to
its origin.
In terms of the requirement that the sample collection report
include a product code, for domestic products we mean the product code
assigned by the manufacturer, packager, or labeler, as applicable. In
the import context, a product code is a string of letters and numbers
that represent certain information such as which industry produced the
item. For more information on product codes for imports, see https://www.fda.gov/industry/import-program-resources/product-codes-and-product-code-builder#whatcode. On our own initiative, we moved the
provisions addressing the advance notice of sampling from proposed
Sec. 1.1152(i) to a new paragraph (c) in Sec. 1.1149 of the final
rule. In the proposed rule, these provisions required that in certain
circumstances FDA may require a LAAF-accredited laboratory to request
and obtain from a sampler advance notice of sampling. We proposed that
we may require advance notice of sampling if we determine that sampling
may materially differ from the sampling documented in the associated
sampling plan or sample collection report, or, if we determine that the
sampling may otherwise have been improper.
When we require advance notice of sampling, either the LAAF-
accredited laboratory must submit, or it must require the sampler to
submit, the notice to FDA 48 hours before each of that sampler's next
10 LAAF program sampling collections. We proposed that the notice must
contain:
A unique identification code for the advance notice of
sampling;
The name of the accredited laboratory that will conduct
analysis of the sample;
The name and street address of the sampler that will
conduct the sampling;
A primary contact (name and phone number) for the sampler;
The reason(s) why the food product or environment will be
sampled;
The location of the food product or environment that will
be sampled, including sufficient information to identify the food
product or environment to be sampled;
As applicable, the U.S. Customs and Border Protection
entry and line number(s) and the FDA product code(s) of the food; and
The date and approximate time the sampling will begin.
We also proposed that FDA may, as appropriate, specify the type of
food product or environment that requires advance notice of sampling.
We proposed that we might specify an amount of time other than 48 hours
advance notice is required, between 24 hours and 7 business days. We
proposed that we might require a number of sampling occasions other
than 10, between 1 and 20. Finally, we proposed that we might notify
the LAAF-accredited laboratory that additional advance notice is not
required.
As discussed previously in Response 22, we added the term,
``sampling firm'' in Sec. 1.1102 and defined it to mean an entity that
provides sampling services. We have updated the references to sampler
in Sec. 1.1149 to more accurately distinguish between requirements for
the sampler and the sampling firm.
[[Page 68793]]
On our own initiative, for clarity, we added the phrase, ``at
least'' before ``48 hours.'' We clarify in Sec. 1.1149(c)(2)(i) that
FDA may, as appropriate, specify that the requirement regarding the
advance notice of sampling applies to samples collected by a particular
sampler. We also deleted the word, ``code,'' after, ``identification,''
because it was unnecessary and inconsistent with other uses of
``identification'' in this subpart. We also clarify in the final rule
that ``the FDA product code(s) of the food'' contained in proposed
Sec. 1.1152(i)(3)(vii) must include the product code of the food
product (if product is being sampled) or the location and a description
of the environment (if environment is being sampled). See Sec.
1.1149(c)(3)(viii) of the final rule. Finally, we made terminology,
conforming, and minor editorial changes to this section. We discuss
changes made in response to comments below.
(Comment 103) Some comments ask FDA to clarify what constitutes an
acceptable sampling plan. Some comments state that our sampling
requirements are different for different types of commodity and test,
that FDA commonly rejects results due to sampling variations, and that
we should publish all FDA Laboratory Information Bulletin methods and
refer to them in import alerts as applicable. Some comments recommend
that we align sampling requirements under this subpart with certain
existing documents that describe a scientific approach to creating or
assessing sampling protocol: The AAFCO/Association of Public Health
Laboratories/Association of Food and Drug Officials documents
``GOODSamples'' (Ref. 19) and ``GOOD Test Portions'' (Ref. 20).
(Response 103) As we discussed in the proposed rule, proper
sampling procedures are essential to meaningful test results and it is
therefore important that this subpart address the training and
procedures of samplers. After careful consideration of the comments, we
have decided that the most appropriate way to support those goals at
the present time is through the oversight provisions in this section,
rather than by requiring ISO/IEC 17025:2017-accreditation of samplers.
Accordingly, we are not establishing model standards for sampling in
this subpart. For more information on our decision not to require the
accreditation of samplers, see (Response 98.
Regarding comments' suggestion that FDA publish all Laboratory
Information Bulletin methods, we note that although we have published
some (see https://www.fda.gov/science-research/field-science-and-laboratories/laboratory-information-bulletins), Laboratory Information
Bulletins typically do not include sampling collection information.
However, there are a variety of other publicly available FDA resources
concerning sampling. Generally applicable sampling procedures and
methods are described in the FDA Food Compliance Programs (https://www.fda.gov/food/compliance-enforcement-food/food-compliance-programs)
and the sampling chapter of the IOM, Ch. 4. The IOM section 4.3.7.2
addresses random sampling. A random representative sample should
reflect the average composition of the entire lot to ensure that
analytical results are meaningful. This is particularly imperative when
potential foodborne adulterants that pose a public health risk are not
homogeneous in the product.
FDA also provides more specific information on sampling in certain
circumstances.
Some import alerts contain more customized information on sampling
(see https://www.fda.gov/science-research/field-science-and-laboratories/private-laboratory-testing). Sampling for the testing of
bottled drinking water, shell eggs, and sprouts required under Sec.
1.1107(a)(1) is impacted by the product-specific regulations and/or may
be informed by product-specific guidance. See e.g., Sec. Sec. 118.7
(addresses shell egg sampling); 129.35(a)(3)(ii) (addresses bottled
drinking water sampling); and ``Compliance with and Recommendations for
Implementation of the Standards for the Growing, Harvesting, Packing,
and Holding of Produce for Human Consumption for Sprout Operations:
Draft Guidance for Industry,'' available at https://www.fda.gov/media/102430/download (addresses product and environmental sampling for
sprouts). When finalized, this guidance will represent FDA's current
thinking on this issue.
FDA appreciates the suggestion that we consult reputable industry
sampling guidance documents. We note that the ``GOODSamples'' and
``GOOD Test Portions'' documents were generally written for use by
State and local regulatory laboratories and not for private laboratory
use. Nevertheless, we are aware of these documents and agree they are
helpful resources.
(Comment 104) Some comments disagree with, or request additional
clarification about, certain provisions within Sec. 1.1149. Some
comments express concern that requirements in Sec. 1.1149(a) for
documentation before analyzing the sample will lead to delays in
testing and obtaining results, and some comments express concern that
the delay could interfere with the sample's integrity. Some of those
comments suggest that instead, FDA should have a mechanism in place to
approve the sampling method or plan prior to sample collection.
A few comments ask FDA to clarify how a laboratory is to evaluate
the effectiveness of a sampling plan. Comments also request that FDA
clarify what would constitute a ``significant change'' in a sampler's
qualifications and how a laboratory would learn about such a change.
Some comments contend that FDA should not collect all the proposed
sampling documentation in Sec. 1.1149(a) in every instance, and argue
that the documentation need not be collected if the sample is collected
at a domestic food facility, because such entities are subject to
preventive controls regulations and we could allow the preventive
controls qualified individual to attest to the sufficiency of the
sampler's qualifications and the sampling procedures.
Other comments suggest the documentation in Sec. 1.1149(a) should
be submitted to the laboratory's recognized accreditation body. Some
comments express the view that recognized accreditation bodies are
noticeably absent from the sample document collection process and this
could be rectified by either requiring that samplers be accredited or
by establishing clear substantive sampling requirements against which
recognized accreditation bodies could assess sampling documents.
(Response 104) The submission to FDA of the sampler's
qualifications, the sampling plan, and the sampling collection report
will allow the Agency to exercise oversight over the sampling that
occurs under this subpart. We acknowledge that the proposed rule could
have been clearer on this point, but there is no requirement that the
sampling documents be submitted to or approved by FDA prior to the
LAAF-accredited laboratory conducting the test. Nor does the LAAF-
accredited laboratory need to evaluate the documents or do anything
with them prior to conducting the test; the laboratory need only submit
the documents to FDA with the analytical report, after the testing is
complete (see Sec. 1.1152(c)). As long as the LAAF-accredited
laboratory possesses the documents, it can proceed to conduct the test,
and we presume that in most instances the documents will either be
developed by the laboratory (if it collected the sample) or delivered
with the sample (if another entity collected
[[Page 68794]]
the sample). Either way, once the LAAF-accredited laboratory possesses
the sample we expect it will usually also possess the documentation
required under Sec. 1.1149(a). Relatedly, at the present time the
Agency does not perceive a need to require or create a pathway for
routine preapproval of the sample method or plan prior to sampling.
After considering the comments, we are removing from the final rule
the requirement that the LAAF-accredited laboratory obtain
documentation of an individual sampler's qualifications more than once
if that person's qualifications have ``significantly changed.'' We no
longer view the information as necessary and agree that often the LAAF-
accredited laboratory would be unaware of it. We have also clarified
that a LAAF-accredited laboratory may refer to the previously submitted
qualifications if the LAAF-accredited laboratory has previously
submitted them to FDA under Sec. 1.1152(c). We do not expect many
samples collected under this program to come from food facilities
subject to the preventive controls regulations and so decline the
invitation to create an exception to Sec. 1.1149(a) for such
establishments. We discourage samplers and LAAF-accredited laboratories
from submitting to us an individual's social security number, or other
unnecessary personally identifiable information.
For the reasons discussed above at Response 98, we have decided not
to require the accreditation of samplers at the present time, and we
also do not perceive a reviewing role for the recognized accreditation
bodies with regard to the documents required under Sec. 1.1149(a). As
noted above, submission of those documents to FDA is the mechanism
whereby we may exercise oversight of the sampling that occurs under
this subpart.
(Comment 105) Some comments express concern with the proposed
provisions on advance notice of sampling. Comments ask for
clarification regarding how these requirements might work in the
context of the directed food laboratory order and the other testing
conducted under this subpart. Comments also indicate that delays
associated with this requirement could lead to significant losses for
entities, particularly regarding perishable foods. A few comments
suggest that requiring advance notice of sampling may not be
appropriate when resolving a food safety issue that needs rapid testing
and that it is commercially and logistically impractical to regularly
specify an exact date and approximate time of sampling.
(Response 105) FDA has concluded it is reasonable for public health
reasons to require advance notice of sampling when the Agency suspects
a sampler previously has failed to follow proper protocols. Again,
utilizing appropriate sampling techniques is essential to generating a
representative sample, which is in turn essential to producing a
meaningful test result. FDA generally will require the advance notice
of sampling to be submitted to us at least 48 hours prior to collection
of the sample(s) to allow us time to determine whether to observe the
sampling or to take an audit sample and assign appropriate personnel to
the task. However, under Sec. 1.1149(c)(2)(iii), we may require an
amount of time other than 48 hours, perhaps as little as 24. In
tailoring the requirements to a particular situation, we would consider
a variety of factors including product shelf life.
It is possible that we could require advance notice of sampling in
connection with any test required to be conducted by a LAAF-accredited
laboratory, including a directed food laboratory order. As the
circumstances in which we might require advance notice of sampling vary
widely, it is impossible to predict or generalize regarding how these
requirements will be implemented, e.g., depending on the provision of
Sec. 1.1107 under which the testing falls. However, FDA will take into
consideration such factors as the type of product, its shelf life,
timing requirements of the test method, public health context for the
testing, etc., and will use the options under Sec. 1.1149(c)(2) to
customize the requirements accordingly.
(Comment 106) Some comments recommend that FDA clarify how we will
notify a LAAF-accredited laboratory that a sampler must provide advance
notice of sampling under Sec. 1.1149(c) (proposed Sec. 1.1152(i)),
and how we will track the subsequent 10 samples from that sampler. Some
comments suggest that we share with owners or consignees the pending
requirement for advance notice of sampling. Some comments emphasize the
logistical and operational challenges of several entities coordinating
around the collection of a sample. With regard to the requirements in
Sec. 1.1149(c)(3)(iii) (proposed Sec. 1.1152(i)(3)(iii)) that the
advance notice include the sampler's name and street address, some
comments seek clarification as to why we would require the sampler's
street address. Some comments recommend that we clarify that the
requirement is for a business name and address for the sampling entity,
and not an individual's name and address. In addition, these comments
suggest we clarify that the primary contact required by Sec.
1.1149(c)(3)(iv) (proposed Sec. 1.1152(i)(3)(iv)) should be the
individual managing the sampling operation.
(Response 106) First, we note that under Sec. 1.1149(c), the LAAF-
accredited laboratory is not simply communicating a requirement to the
sampler. Instead, the LAAF-accredited laboratory is the entity required
either to obtain the advance notice of sampling from the sampler and
submit it to FDA itself, or to require the sampler to submit the notice
directly to FDA.
In terms of our communications with LAAF-accredited laboratories
regarding Sec. 1.1149(c), such communications may occur by email but
regardless, will be tailored to the circumstances. Further, we may use
a variety of methods to track subsequent collections by a sampler
identified under Sec. 1.1149(c); one method will be to review the
documents we receive under Sec. 1.1149(a).
Regarding the suggestion that we inform owners and consignees when
we will require advance notice of sampling from a particular sampler,
we have revised the codified text to state that we may, as appropriate,
notify the owner or consignee that advance notice of sampling applies
to food testing conducted on its behalf. Such notification is
consistent with current FDA practice in the context of reviewing
import-related private laboratory analytical packages (PLAPs), which we
have been doing for years. If FDA identifies a deficiency in a PLAP, we
routinely inform the owner or consignee the basis for FDA's concern
(i.e., we would inform the owner or consignee if we identified a
sampling problem that may have impacted the test result).
FDA has experience auditing samplers and we acknowledge that it can
be a logistical challenge. Nevertheless, when we have cause for concern
with a particular sampler, especially given the public health context
in which testing under this subpart occurs, it is reasonable to require
advance notice of sampling.
Finally, after considering the comments regarding the sampler's
name and address required by Sec. 1.1149(c)(3)(iii) and the primary
contact required by Sec. 1.1149(c)(3)(iv), we note that we have
revised this section to incorporate the new term, ``sampling firm''
(see Sec. 1.1102). We have revised these sections to refer instead to
the sampling firm information in the final rule.
Our general purpose in requiring a sampling entity's address in an
advance
[[Page 68795]]
notice of sampling is to clearly identify the commercial operation
responsible for conducting the sampling. Again, we would only require
an individual sampler's name and street address if that person has been
contracted to provide sampling services for testing conducted under
this subpart. If an individual has assumed responsibility for that
task, then we have an interest in ensuring that we can properly
identify that individual and a street address helps us to do so. We
again emphasize that all the tests required to be conducted by a LAAF-
accredited laboratory occur in the context of heightened public health
concern. Although we are not requiring the accreditation of samplers,
we nevertheless require that any individuals collecting samples under
this subpart be properly qualified. Owners and consignees risk having
us reject test results if the sample that was analyzed, was collected
using improper sampling methods or procedures. If we have cause to
believe that past sampling conducted by an individual has, for example,
materially differed from the sampling described in the sample
collection report, this may constitute a reasonable need to clearly
identify that individual and may also provide a reasonable basis on
which to audit that person's future sampling activities.
4. What are the requirements for analysis of samples by a LAAF-
accredited laboratory (Sec. 1.1150)?
Proposed Sec. 1.1150 concerned requirements for analysis of
samples by a LAAF-accredited laboratory. Paragraph (a) required
analysis to be conducted on the sample received from the sampler or a
representative sample of the sample received from the sampler.
Paragraph (b) provided requirements for the analyst conducting the
analysis: (1) To be qualified by appropriate education, training or
experience; (2) to have appropriately demonstrated their ability to
perform the method properly in the specific context of the food testing
to be conducted; and (3) be in compliance with the conflict of interest
requirements in this subpart. Paragraph (c) required that the method
used to conduct food testing meet the requirements of Sec. 1.1151.
Paragraph (d) stated that the LAAF-accredited laboratory must document
testing information and test results to account for all the information
that is required to be included in a full analytical report. We note
that this requirement concerns all testing under this subpart,
regardless of whether the LAAF-accredited laboratory submits full or
abridged analytical reports (see Sec. Sec. 1.1152 and 1.1153 of the
final rule).
We have made revisions to the section to update terminology and
cross-references to reflect the reorganization of the final rule. We
revised the section title to read, ``What are the requirements for
analysis of samples by a LAAF-accredited laboratory?'' and made minor
editorial changes to the section. We received no comments specific to
this section and made no further changes.
5. What requirements apply to the methods of analysis a LAAF-accredited
laboratory uses to conduct food testing under this subpart (Sec.
1.1151)?
Proposed Sec. 1.1151 concerned requirements for methods of
analysis a LAAF-accredited laboratory uses to conduct food testing
under this subpart. Paragraph (a) required that analysis conducted
under this subpart must be conducted using a method of analysis that is
fit for purpose, within the laboratory's scope of LAAF-accreditation,
and has been appropriately validated and verified for use in such food
testing. In paragraph (b), we stated that if a method is prescribed by
the FD&C Act or implementing regulations for the testing under Sec.
1.1107(a)(1), or by the directed food laboratory order for the testing
under Sec. 1.1107(a)(2), then that method must be used to conduct food
testing under this subpart. Paragraph (c) stated that a LAAF-accredited
laboratory must validate methods and record the information. Paragraph
(d) stated that before a LAAF-accredited laboratory conducts food
testing under this subpart using a method for a specific intended use
for which the method has been validated, but for which the laboratory
has not previously applied the method under this subpart, the LAAF-
accredited laboratory must have verified it can properly perform the
method for the specific intended use. Further, a LAAF-accredited
laboratory performing verification of a method under this subpart must
record the method that is the subject of the verification, the intended
purpose of the analysis, the results of the verification, the procedure
used for the verification, supporting analytical data, and whether the
accredited laboratory is able to properly perform the method. Paragraph
(e) provided that a LAAF-accredited laboratory may submit a request to
FDA to use a method outside its scope of LAAF-accreditation. FDA may
approve the request if: (1) A new method has been developed and
validated, but no reasonably available laboratory has been accredited
to perform the method and (2) use of the method is necessary to
prevent, control, or mitigate a food emergency or foodborne illness
outbreak.
We made several revisions to this section on our own initiative to
improve clarity and readability of the section. We also have updated
terminology and revised cross-references throughout the section,
including the section title. Comments regarding this section are
discussed below.
(Comment 107) Some comments ask FDA to identify the criteria that
will be used to assess whether a method is ``fit for purpose'' in Sec.
1.1151(a)(1). Other comments request that FDA provide a list of
validated methods deemed fit for purpose. These comments state that
since there may be more than one method that could be classified as
such, there may be inconsistent test results from use of different
methodologies.
In the proposed rule, we referenced a page on our website that
lists methods currently being used for food and feed safety programs:
https://www.fda.gov/food/science-research-food/laboratory-methods-food
(84 FR 59452 at 59481). Some comments argue that this website is often
outdated or incomplete, and that FDA should publish a complete list and
reference it in import alerts. Other comments urge FDA to specify
methods in import alerts. These comments state that some import alerts
cover perishable food items such as produce, and it would be impossible
to validate a new method quickly enough to test such perishable goods.
(Response 107) As a preliminary matter, we describe some key terms.
Validation is meant to demonstrate that a method is suitable for the
intended purpose, and verification is meant to show that the laboratory
can properly apply the method for a specific intended use, and meet the
performance criteria of the method for the matrix and analyte being
tested. When we say a method is ``fit for purpose,'' we mean that it
may only be applied for the food testing to which it is intended to
apply, for the purpose for which it is validated, and that the method
performance is suitable for the intended use--specifically with respect
to the limit of detection or probability of detection, specificity,
reproducibility, and accuracy. Due to the broad range of testing under
this subpart, it is not possible for us to provide a more specific set
of criteria for determining whether a method is fit for purpose. (See
also, section 7.2.1.4 of ISO/IEC 17025:2017 (Ref. 3).)
Standard methods must be verified and non-standard methods or a
standard method applied outside its original scope (for example,
applied in a different food matrix) must be validated.
[[Page 68796]]
If a LAAF-accredited laboratory wishes to use a method that is already
validated, the laboratory must verify that the laboratory is able to
run the method and achieve an acceptable detection limit. If a method
validation was not performed on a particular food category (i.e.,
validation performed on dairy but the new matrix is fruit or
vegetables) then the laboratory will need to perform a ``matrix
extension'' either through a single laboratory validation or an
independent validation study. We will review laboratory analytical
reports to determine whether the food matrix tested fits into a
validated matrix, and if not, the laboratory will need to perform a
matrix extension. (For additional discussion of matrix extensions, see
Response 108.) FDA guidelines for validations can be found at: https://www.fda.gov/science-research/field-science-and-laboratories/method-validation-guidelines. LAAF-accredited laboratories may use these
guidelines in performing validation studies, or they may use other
established and recognized protocols, such as those published by AOAC.
We request that a LAAF-accredited laboratory cite the protocol used
when submitting a validation.
Regarding the request that FDA provide a list of validated methods
deemed fit for purpose, we decline to provide a list or to include
specific methods in import alerts. It is simply not practical for FDA
to try and provide an exhaustive list of all methods that may be
appropriate in food testing circumstances. The website provided above
(and in the proposed rule) is one example of a potential resource for
methods of analysis; we endeavor to keep it current. Also, a method
prescribed for use in a compliance program is considered to have
already been validated. (See https://www.fda.gov/food/compliance-enforcement-food/food-compliance-programs and https://www.fda.gov/animal-veterinary/compliance-enforcement/cvm-compliance-programs.)
However, laboratories are not required to use these methods.
Regarding specifying methods in import alerts, in most cases it not
necessary to limit testing to a single specific method where there are
multiple acceptable methods of analysis. Further, we do not agree with
the comments expressing concern that use of different methodologies may
produce inconsistent results; validated methods that are fit for
purpose and conducted properly by a laboratory should yield consistent
results. Indeed, that concept lies at the base of all validation
studies; if the new method works properly, the result should be
consistent with the result produced using the standard method.
Finally, we agree that validating a new method takes time. It is
anticipated that products under import alert will already have
appropriate methods available. For import alerts concerning time-
sensitive products, we expect that owners and consignees will refer to
the online registry described in Sec. 1.1109 (once it is up and
running) to locate a LAAF-accredited laboratory that is able to conduct
the desired test promptly.
(Comment 108) Many comments agree with the requirements in proposed
Sec. 1.1151(a)(3) and (4) that methods used under this rule must be
appropriately validated or verified. However, some comments state that
it would be very onerous for a laboratory to validate every single
potential food matrix. Some of these comments discuss the example in
the preamble to the proposed rule regarding chloramphenicol in shrimp
(see 84 FR 59452 at 59480) and assert that this example conflicts with
FDA validation guidance and use of the AOAC Food Matrix Triangle to
group like foods into one validation. Other comments request that we
clarify when a matrix extension or further validation would be
necessary, especially if other validated methods are available.
(Response 108) Appropriate method validation and verification, as
just discussed in Response 107, is critical to data acceptability.
Although tools such as the AOAC Food Triangle are commonly used to
group like foods, there are sometimes limits to this approach as
provided in the example of the chloramphenicol analysis that performs
differently for fish and shrimp which are similar matrices within the
same food group. Though it is generally assumed that the more closely
related a new food matrix is to a previously validated matrix from the
same food group for the detection of a defined analyte, the greater the
probability that the method will perform similarly with the new matrix,
the method must nonetheless be verified for all new matrices. This is
to ensure that the new matrix will neither produce high false positive
rates (e.g., matrix is free from cross reactive substances) nor high
false negative rates (e.g., matrix is free of inhibitory substances).
As we agree that it would be onerous for a laboratory to validate every
single potential food matrix, an acceptable approach for a matrix
verification within the same food group as the validated matrices is
the use of spiked samples and blank matrix (if available) as described
in the ``matrix extension'' sections of the validation guidance
documents provided at: https://www.fda.gov/science-research/field-science-and-laboratories/method-validation-guidelines. Note that
matrices falling within food groups not previously validated cannot use
this approach and will require validation.
Some comments asking about our requirements for verification and
validation studies reference the portion of the PRIA in which we
estimated the cost of requiring LAAF-accredited laboratories to submit
additional verification studies to be between 1 percent and 5 percent
of the costs for verification and validation activities required to
maintain ISO/IEC 17025:2017 accreditation. To the extent that such
comments are questioning why we would estimate between 1 percent and 5
percent of the costs for verification and validation studies over and
above verification and validation costs required to maintain
accreditation to ISO/IEC 17025:2017, we note that the additional costs
acknowledge the possibility of differing requirements for matrix
extensions between this subpart and ISO/IEC 17025:2017 on a case-by-
case basis.
Finally, we agree that in most cases it is not necessary to limit
testing to a single specific method where there are multiple acceptable
methods of analysis.
(Comment 109) A few comments state that proposed Sec. 1.1108(b)
provided that the directed food laboratory order would specify, among
other things, ``the manner of the food testing, such as the methods
that must be used'' whereas proposed Sec. 1.1151(b)(2) stated that
``if the [directed food laboratory] order prescribes a test method,
that is the only appropriate method. . . .'' These comments explain
that, read in conjunction, these proposed sections indicate that FDA
may not specify a method in the directed food laboratory order and may
allow a LAAF-accredited laboratory to use an appropriate method within
its scope of LAAF-accreditation.
(Response 109) As discussed above in Response 54, in a directed
food laboratory order, we would specify the method to the owner or
consignee and, in some circumstances, may provide flexibility to use
equivalent methods, so that an owner or consignee may have access to a
greater number of LAAF-accredited laboratories that could conduct the
testing. If a directed food laboratory order allows for flexibility to
use equivalent methods, a LAAF-accredited laboratory could use an
appropriate method within its scope of LAAF-accreditation which meets
the requirements of this section.
(Comment 110) Proposed Sec. 1.1151(e) implemented the waiver
provision of
[[Page 68797]]
section 422(b)(3) of the FD&C Act and stated that a LAAF-accredited
laboratory could submit a written request to FDA requesting permission
to use a method outside its scope of LAAF-accreditation. The proposed
rule went on to state that FDA may approve the request if two
conditions were met: (1) A new method had been developed and validated
but no reasonably available laboratory had been accredited to perform
the method and (2) the use of the new method is necessary to prevent,
control, or mitigate a food emergency or foodborne illness outbreak.
Some comments agree that FDA should decide whether to allow a LAAF-
accredited laboratory to use a method outside its scope; they state,
however, that the recognized accreditation body is not involved in the
decision and should be notified. Other comments urge FDA to clearly
define ``reasonably available'' to avoid improper use of this exception
and an unfair barrier to competition among laboratories if, for
example, one LAAF-accredited laboratory is not reasonably available due
to a longer turnaround time than another.
(Response 110) We appreciate the supportive comments. Given the
narrow circumstances in which the statute contemplates FDA waiving the
requirements of this subpart (e.g., new method and either a food
emergency or a foodborne illness outbreak), we disagree that a
definition of ``reasonably available,'' is necessary to avoid our abuse
of this provision. Further, we hesitate to limit our authority to rely
on this subpart in the context of either an outbreak or an emergency.
We expect that in most circumstances, we would notify a recognized
accreditation body if we authorize a laboratory it has LAAF-accredited
to use a method outside the scope of the laboratory's LAAF-
accreditation. However, because food emergencies and outbreaks may
necessitate fast action, we decline to add to the final rule a
commitment that we will notify the recognized accreditation body in
every situation.
6. What notifications, results, reports, and studies must a LAAF-
accredited laboratory submit to FDA (Sec. 1.1152)?
Proposed Sec. 1.1152 concerned the notifications, results, and
reports a LAAF-accredited laboratory must submit to FDA. Note that in
the final rule we devote a separate section to abridged analytical
reports (Sec. 1.1153), and so the content from proposed Sec.
1.1152(d), (e), and (f) is now located in Sec. 1.1153 of the final
rule. In the final rule we also relocated the contents of Sec.
1.1152(i), on advance notice of sampling, to Sec. 1.1149.
In the proposed rule, paragraph (a) of Sec. 1.1152 stated general
requirements such as that all LAAF-accredited laboratory notifications,
results, reports, and studies must display a unique identification
(e.g., an alphanumeric identifier unique to each analytical report, to
clarify which pages comprise the report), and that the LAAF-accredited
laboratory must submit corrected versions if the LAAF-accredited
laboratory becomes aware that the originals were in some way
inaccurate.
Briefly, in proposed paragraph (b) we stated that test results must
generally be submitted by the LAAF-accredited laboratory directly to
FDA via a destination we will specify on the website described in Sec.
1.1109. Also briefly, in paragraph (c) we listed the documentation
required to be submitted to FDA with each test result: All sampling
documentation required by Sec. 1.1149, a full analytical report unless
permitted to submit an abridged analytical report, validation or
verification information required by Sec. 1.1151 unless submitted to
the recognized accreditation body under proposed Sec. 1.1138, and a
signed certification from the laboratory's management that the
submissions are true, accurate, and include the results of all the
tests conducted under this subpart. Note that in the final rule, we
moved the requirement for submission of justification and authorization
for deviating from or modifying the method of analysis to paragraph
(c). In the proposed rule, that requirement was stated once for
abridged analytical reports (Sec. 1.1152(f)(2)) and also referenced
for full analytical reports (Sec. 1.1152(g)(1)); for efficiency and
clarity it is now stated once in Sec. 1.1152(c).
Proposed paragraph (g) listed the required contents of a full
analytical report, such as documentation of references to the test
method used, identification and qualifications of the analyst(s),
calculations, and identification of any software used. Proposed
paragraph (h) stated that if the LAAF-accredited laboratory used a
method not published in a reputable standard or that is otherwise not
publicly or readily available, the LAAF-accredited laboratory must
submit documentation of the method to FDA upon request. Proposed
paragraph (j) required LAAF-accredited laboratories to immediately
(within 48 hours) notify FDA and the recognized accreditation body of
any changes that affect LAAF-accreditation. Proposed paragraph (k)
provided that if FDA does not receive all the information required in
Sec. 1.1152, we may consider the related testing to be invalid.
On our own initiative, we made several revisions to this section in
the final rule. We revised the title of the section to include
``studies'' to more accurately reflect the contents of the section. We
revised paragraph (a) to remove the requirement here for notifications,
results, and reports to be submitted electronically and in English; the
requirement remains and is now in Sec. 1.1110 of the final rule. We
have also revised the list of general requirements for all
notifications, results, reports, and studies required to be submitted
to FDA in paragraph (a)(1) to improve clarity and readability. We
revised paragraph (b) to clarify that a LAAF-accredited laboratory must
identify on the test results the name and street address of the owner
or consignee for which the testing was conducted and, as appropriate,
the U.S. Customs and Border Protection entry number and line number(s).
The entry and line numbers link import-related tests with related
product shipments; they are inapplicable in the domestic context.
Although ISO/IEC 17025:2017 provides that test reports include the name
and contact information for the customer, FDA needs the level of detail
we have specified in the final rule so that we may precisely identify
the entity and/or article of food to which the test results relate. We
have also revised the section to reflect revised terminology, to update
cross-references, to improve the clarity and readability of the
section, and to make minor editorial changes. We discuss additional
changes made in response to comments below.
(Comment 111) Some comments recommend that FDA establish uniform
analytical data requirements by adopting international accreditation
standards and appropriate national scientific technical standards as
the main basis for qualifying laboratories and sampling organizations
to sample and submit analytical data to FDA.
(Response 111) We agree with the aspects of these comments stating
that it can be beneficial to rely on international standards in the
right circumstances. Accordingly, we are relying on the international
voluntary consensus standards ISO/IEC 17025:2017 and ISO/IEC 17011:2017
as the foundational requirements for laboratories and accreditation
bodies, respectively, under this subpart. Further, we agree with the
aspects of comments stating that the LAAF program will benefit from
uniform requirements for test records and the data, analysis, and
information supporting the test result. However, we
[[Page 68798]]
do not agree that such requirements in a voluntary consensus standard
or national scientific technical standard alone would meet the unique
needs of the LAAF program. Accordingly, we have established in
Sec. Sec. 1.1152, 1.1153, and 1.1154 the notifications, results,
records, and reports that a LAAF-accredited laboratory must create,
maintain, and submit under this subpart.
For our discussion regarding the decision not to require ISO/IEC
17025:2017 accreditation of samplers, see Response 98.
(Comment 112) Some comments express the mistaken impression that
results from tests conducted under this subpart will be made publicly
available.
(Response 112) Information on the recognized accreditation bodies
and LAAF-accredited laboratories participating in the LAAF program will
be made available via the online registry described in Sec. 1.1109.
However, test results will not be made public. All the testing
conducted under this subpart is initiated by an owner, such as a food
producer or a consignee, such as an importer of food. The owner or
consignee contracts with a LAAF-accredited laboratory to conduct a food
test. Due to the public heath significance of the test, various
provisions of the FD&C Act grant FDA the authority to require the test
results and associated records and reports to be submitted to us, but
these documents contain confidential business information. FDA will
treat such information in accordance with the requirements of
applicable information disclosure laws, such as FOIA and its
implementing regulations.
(Comment 113) Some comments recommend clarifications to proposed
Sec. 1.1152(b). As proposed, section 1.1152(b)(1) stated that, ``the
results of any and all tests conducted by an accredited laboratory
under this subpart must be submitted directly to FDA''; some comments
contend that this provision could be misinterpreted to mean that all
testing from a LAAF-accredited laboratory must be submitted to FDA.
These comments recommend that this section be revised to clearly state
that LAAF-accredited laboratories only need to send test results to FDA
if the testing is conducted under this subpart.
Other comments urge FDA to address when LAAF-accredited
laboratories should send test results to the owner or consignee of the
product, e.g., at the same time as the results are submitted to FDA.
Comments state that given the importance of the results, owners and
consignees need this information to make informed decisions about the
products to protect public health.
(Response 113) Proposed Sec. 1.1152(b)(1) was intended to apply
only to the results of tests required to be conducted by LAAF-
accredited laboratories under this subpart. We have revised the
provision as follows: ``The LAAF-accredited laboratory must submit the
results of all testing required to be conducted under this subpart
directly to FDA via the location specified by the website described in
Sec. 1.1109, unless another location is specified by FDA regarding
testing conducted under Sec. 1.1107(a)(2) or (a)(3).'' See Sec.
1.1152(b)(1) of the final rule.
We decline to address the timing of when a LAAF-accredited
laboratory sends results to the owner or consignee. Section 422(b)(2)
of the FD&C Act states that testing results under this subpart shall be
sent directly to FDA. Nothing in section 422 of the FD&C Act addresses
sharing test results with an owner or consignee. Therefore, we decline
to regulate or opine on this matter. In short, the issue of when the
LAAF-accredited laboratory shares test results with the food owner or
consignee is strictly a matter of negotiation between those two
parties. We note that nothing in the final rule would prohibit the
LAAF-accredited laboratory from sending the results of testing required
to be conducted under this subpart to the owner or consignee at the
same time results are sent to FDA in accordance with this subpart.
(Comment 114) Regarding the testing described in Sec. 1.1107(a)(1)
(explicit followup testing requirements in existing FDA regulations),
some comments express concern that requiring such tests to be conducted
by LAAF-accredited laboratories may delay products moving into
commerce. We understand these comments to reason that the use of
different methods by different laboratories may result in confusion and
therefore delay the release of product being held pending the test
results. These comments recommend that FDA specify testing requirements
and timelines for each product subject to testing under Sec.
1.1107(a)(1). These comments also request that we provide owners and
consignees with guidance on any product hold requirements during
testing.
(Response 114) Section 1.1107(a)(1) requires that certain followup
tests required by existing product-specific FDA regulations be
conducted by a LAAF-accredited laboratory. There are three commodities
for which existing FDA regulations require followup testing that is
covered under this subpart: Sprouts, shell eggs, and bottled drinking
water. Producers of these three commodities have been required to
conduct the particular followup tests referenced in Sec. 1.1107(a)(1)
for years; under this final rule, the new requirement is for producers
to have the tests conducted by a LAAF-accredited laboratory.
There is no reason to suspect that LAAF-accredited laboratories
will be slower than other laboratories, nor is there any reason to
suspect that test results from LAAF-accredited laboratories will be
more confusing than results from other laboratories. In fact, we
anticipate less confusion with results from LAAF-accredited
laboratories because such laboratories must meet the standards we are
establishing in this rule. For example, all LAAF-accredited
laboratories will be ISO/IEC 17025:2017-accredited and will participate
in the proficiency test and other quality assurance activities required
under this subpart.
Further, wide variation in test methods is less probable in the
context of testing under Sec. 1.1107(a)(1). Existing sprouts, shell
eggs, and bottled drinking water regulations and guidances address the
test methods for the tests referenced in Sec. 1.1107(a)(1) (see
Sec. Sec. 129.35(a)(3)(ii) (bottled drinking water), 118.8 (shell
eggs), 112.152 (sprouts)).
For the foregoing reasons, there is no need for us to further
specify testing requirements and timelines for these products, nor is
additional guidance on these specific test requirements necessary as a
result of this rulemaking.
(Comment 115) Some comments disagree with proposed Sec. 1.1152(h),
which stated that LAAF-accredited laboratories that use non-standard
methods that are not publicly available in a reputable international or
national standard must submit documentation of the method to FDA upon
request and caution that laboratories may be hesitant to provide
proprietary method information to the FDA. Others question whether we
should allow use of non-standard methods for testing under this subpart
at all, arguing that results generated for regulatory purposes should
be transparent to the regulated industry and the public.
Other comments agree with the requirement to submit documentation
of a non-standard method in proposed Sec. 1.1152(h) but believe the
information would be redundant since it would be included on the
certificate of analysis. Comments also contend that FDA does not have a
mechanism for reviewing the requested information on non-standard
methods.
[[Page 68799]]
(Response 115) First, we note that this provision appears in Sec.
1.1152(e) in the final rule.
We decline to prohibit use of non-standard methods in the LAAF
program. First, given the breadth of food testing covered by this rule,
it is not practical to rely solely on standard methods. Moreover, test
methods, test results, and analytical reports submitted to FDA under
this program will not be made publicly available regardless of whether
a standard method was applied; accordingly we do not believe use of
non-standard methods is problematic. Therefore, LAAF-accredited
laboratories can use any validated and verified method within the scope
of their LAAF-accreditation. LAAF-accredited laboratories are not
limited to using methods FDA has developed or uses; they can use any
properly validated and verified method as long as the method achieves
the same performance specifications as the FDA method. Any standard or
FDA official methods need verification to ensure that the LAAF-
accredited laboratory is capable of performing the analysis, and all
non-standard and laboratory-developed methods need method validation.
If a standard method has been modified significantly, it requires
revalidation. We acknowledge the concerns regarding submitting
proprietary information method information to FDA and will protect such
information.
We disagree that the information FDA would request under Sec.
1.1152(e) is redundant. The certificate of analysis includes a
reference to the method used; for published or standard methods, FDA
can use the reference to determine the technology and methods used
without requesting additional information. Section 1.1152(e) will allow
FDA to request documentation of a non-standard method and will ensure
that we have access to the same type of information on which to base
our review as we would for published or standard methods.
We also disagree that FDA does not have a mechanism for reviewing
requested information on non-standard methods. For decades, FDA field
scientists have been assessing the scientific credibility, reliability,
and validity of each analytical testing result, and the analytical
methods used to obtain these results, as part of reviewing the PLAPs
submitted to FDA (see ORA Laboratory Manual Volume II, ORA-LAB.5.4.5
``Methods, Method Verification and Validation'' (Ref. 21)).
(Comment 116) Comments suggest that it is unnecessary and
burdensome for FDA to request that the qualifications of the laboratory
analyst be submitted as part of a full analytical report in proposed
Sec. 1.1152(g)(12), as the recognized accreditation body would have
already reviewed and vetted the analyst as part of their accreditation
process. A few comments question how FDA will use the analyst
information requested in the full analytical report. Other comments
state that personal analyst information is not needed if individual
proficiency testing worksheets are collected. Several comments seek
clarification on how FDA intends to use such information and how FDA
will protect individual analyst information from disclosure.
(Response 116) Under final Sec. 1.1152(d)(12), we are requiring
that certain information on the qualification of individual analysts be
submitted to FDA the first time that analyst conducts testing under
this subpart and to account for any significant changes (e.g., new
competencies gained). Briefly, we require the analyst's curriculum
vitae, training records for the methods that the analyst is qualified
to perform, and any other documentation of the analyst's ability to
perform the method properly (see Sec. 1.1150(b)). Note that in the
final rule we are not requiring individual proficiency test worksheets
as part of the full analytical report; for that discussion see Response
93, and we have clarified that analyst training information is limited
to the applicable methods (we are not requiring submission of all an
analyst's training records).
Analyst-specific information is essential to our review of the
LAAF-accredited laboratory's performance; it allows us to verify the
technical competence of the individual conducting the test. Further,
while recognized accreditation bodies assess LAAF-accredited
laboratories every 2 years (see Sec. 1.1120), there may be significant
analyst turnover and changes in responsibilities in the interim. We
note that analyst-specific information is not required for abridged
analytical reports (see Sec. 1.1153(c) of the final rule).
We have been routinely collecting information on individual
analysts as part of the PLAPs submitted to support admission of an
article of imported food and removal from import alert. FDA is
critically aware of protecting individual personally identifiable
information, and FDA information technology systems have safeguards in
place to ensure this information remains confidential. Having said
that, we discourage LAAF-accredited laboratories from submitting to us
an individual analyst's social security number or any other unnecessary
personally identifiable information.
(Comment 117) Several comments express concern with FDA collecting
and reviewing test results and analytical reports. Some comments state
concern with the resources required for the Agency to review test
results and analytical reports and the mechanisms to ensure consistent
review across FDA.
(Response 117) FDA has been collecting and reviewing the private
laboratory test results and analytical packages used to support
admission of an article of imported food and removal from import alert
for decades. To implement the LAAF program described in section 422 of
the FD&C Act, FDA will collect and review additional test results and
analytical packages as well (e.g., shell egg testing) (see Sec.
1.1107). This program is designed to further protect the U.S. food
supply and FDA is committed to implementing this program and realizing
the public health benefits associated with the improved confidence in
these test results. See the FRIA (Ref. 4) for additional discussion of
the estimated costs (and cost savings) to FDA associated with this
rule.
For discussion of how we ensure consistent review of analytical
reports, please see Response 132.
(Comment 118) Some comments ask whether the justification for any
modification to or deviation from the method of analysis and the
recognized accreditation body's authorization therefore should be
submitted as an extra document or as part of a full or abridged
analytical report.
(Response 118) ISO/IEC 17025:2017 requires the laboratory to
justify and authorize any method deviation or modification (e.g.,
sections 5.6.b and 5.6.c require personnel to have the authority and
resources to identify and prevent or minimize deviations; section
7.2.1.7 requires deviations to be technically justified and authorized)
(Ref. 3). Final Sec. 1.1152(c)(5) requires the LAAF-accredited
laboratory to submit documentation of any such justification and
authorization to FDA as part of the documentation required to be
submitted with test results. Regarding the method of submission, the
justification and authorization should be a distinct document, clearly
marked, within the analytical report.
Again, note that in the final rule this requirement appears at
Sec. 1.1152(c)(5), which is the provision detailing information
required with every analytical report (whether full or abridged); in
the proposed rule the requirement was repeated in the separate lists of
what is required in a full and what is required in an abridged
analytical report.
[[Page 68800]]
(Comment 119) Some comments state that the reporting requirements
under Sec. 1.1152 should be modified, suggesting that they are
duplicative, onerous, and can create unnecessary delays and increases
in both laboratory administrative time and FDA review. Under the
proposed rule, laboratories would be required to be accredited by
recognized accreditation bodies that are full members of the ILAC (see
Sec. 1.1113); some comments state this means that FDA should require
less documentation under Sec. 1.1152. Some comments state that testing
procedures within the scope of LAAF-accreditation are assessed by
auditors and that certificates of analysis of test medium and equipment
calibration are reviewed before LAAF-accreditation is granted. Further,
comments question the need for the analyst name and signature for each
analytical step. Comments overall question the added value of
collecting what they view as a large amount of information.
Some comments express concern over the burden of submitting the
full analytical reports as required under proposed Sec. 1.1152(g). To
decrease this burden, the comments recommend that FDA reduce the level
of detail in each report since ISO/IEC 17025:2017 already includes
periodic audits by the accreditation body for many of these analytical
report requirements, such as proficiency testing and verification and
validation studies required by proposed Sec. 1.1152(c). The comments
also suggest that the frequency of reporting to FDA could be adjusted
and reduced based on risk.
A few comments also suggest that an official certificate of
analysis from a laboratory accredited by a recognized accreditation
body and submission of an analytical report meeting the requirements of
ISO/IEC 17025:2017 should be sufficient to serve as the full analytical
report required in proposed Sec. 1.1152(g).
Some comments express the belief that certain documents listed
below should not be required to be submitted to FDA with each test
result under proposed Sec. 1.1152:
All sampling plans and sample collection reports related
to food testing conducted and written documentation of the sampler's
qualifications (proposed Sec. 1.1152(c)(1) and (2));
Certification from one or more members of the accredited
laboratory's management certifying that test results, notifications,
reports and studies are true and accurate (proposed Sec.
1.1152(c)(7));
Documentation of references for the method or methods of
analysis used (proposed Sec. 1.1152(g)(2));
Identification of the analyst(s) who conducted each
analytical step, validation step, and verification step, including
analyst(s) legal name and signature (proposed Sec. 1.1152(g)(3));
Calculations (proposed Sec. 1.1152(g)(4));
References, in color, of chromatograms, charts, graphs,
observations, photographs of thin layer chromatographic plates, and
spectra (proposed Sec. 1.1152(g)(5));
Copy of the label from any immediate container sampled and
any additional labeling needed to evaluate the product (proposed Sec.
1.1152(g)(7));
All original compilations of raw data secured in the
course of analysis, including discarded, unused, or reworked data, with
the justification for discarding or reworking such data, corresponding
supporting data, and quality control results all identified with unique
sample identification (proposed Sec. 1.1152(g)(8));
Any other relevant additional supporting information,
storage location of analyzed samples, and appropriate attachments such
as instrument printouts, computer generated charts and data sheets,
photocopies or original labels for the product analyzed (proposed Sec.
1.1152(g)(9));
Curriculum vitae of testing analysts, training records for
analyst(s), including dates of training, name of trainer; any other
documentation of the analyst(s)' ability to perform the method properly
in the context of the food testing (proposed Sec. 1.1152(g)(12);
``Documents related to the accredited laboratory's grant''
(proposed Sec. 1.1153(a)(1)).
A few comments support the submission of the remaining items in
proposed Sec. 1.1152(a), (c), and (g), with the exception of the
modifiers ``all'' and ``any'' throughout Sec. 1.1152 since comments
contend the language is unclear and may put participating laboratories
at unreasonable risk.
(Response 119) After considering the comments, FDA is making
limited changes to the required contents of a full analytical report.
We note that documents related to the LAAF-accredited laboratory's
grant of LAAF-accreditation are not required to be submitted as part of
an analytical report. Next, we note that we have removed the individual
proficiency test worksheet requirement from among the documents to be
submitted as part of a full analytical report. Also, we have clarified
in the final rule that analyst training information is only for the
applicable methods, not all training records. We also added a
parenthetical clarification after ``quality control results,'' which
states, ``including the expected result and whether it is acceptable.''
Note that we have added corresponding text to the required contents of
an abridged analytical report; see our discussion of Sec. 1.1153
below.
According to some comments, FDA is asking for too much information
in a full analytical report or is asking for LAAF-accredited
laboratories to prepare and maintain too much information or
documentation for each test. The reason we disagree with both
contentions is based on our mission of protecting the public health
from adulterated food products; namely, in order for FDA to responsibly
carry out its duties with regard to the food testing described in Sec.
1.1107, we need to be able to assess the scientific credibility,
reliability, and validity of each test result. When a LAAF-accredited
laboratory submits a full analytical report, we are able to conduct a
meaningful scientific review of the LAAF-accredited laboratory's work.
When a laboratory submits an abridged analytical report, we must be
able to promptly access the information that would facilitate our
substantive scientific review; hence, we require its creation and
maintenance under this subpart (see Sec. 1.1150(d)).
To the extent that we are allowing for the submission of abridged
analytical reports under this subpart, we are allowing laboratories
that have been LAAF-accredited by a recognized accreditation body to
submit less documentation under this rule than we have routinely
accepted for import-related PLAPs. We do not agree with comments
arguing that because a recognized accreditation body reviews some
laboratory documentation during its biennial assessment, we should
decline to review documentation related to individual test results; the
purpose of an assessment by a recognized accreditation body is entirely
different than the purpose of our review of analytical reports and
naturally the scope and depth of the two activities will reflect those
differences.
With regard to the particular documents the comments suggest we
should not require:
The information related to the sampling plan, sample
collection, and sampler qualifications are required since the
accreditation of sampling is not required under this rule; therefore,
FDA uses this documentation to ensure that sampling was performed
correctly.
The certification of results is a requirement of ISO/IEC
17025:2017 section 6.2.6.c (``authorization'');
[[Page 68801]]
however since this is not one of the required reporting elements in
ISO/IEC 17025:2017 section 7.8, it is specified as a required document
in this rule to ensure that FDA receives the information (Ref. 3).
Where standard methods have not been referenced on a
report, it is critical for FDA to be able to determine the test method
used and therefore we require that the reference method is listed in
order to make that determination.
Identification of analysts performing specific steps are a
requirement for an audit trail in laboratory records.
The calculations are needed for the review of data to
ensure that no errors affecting the reported results occurred due to
math errors.
The compilation of all raw data along with the
chromatograms, charts, graphs, observations, photographs of thin layer
chromatographic plates, and spectra and other attachments such as
instrument printouts, computer generated charts and data sheets
requested are records that are required by ISO/IEC 17025:2017 to be
retained as technical records and should be readily accessible by the
laboratories. This information provides the necessary evidence to
support the analytical conclusion of the test results. Note that, as
long as a record of the processed data file is submitted, we do not
consider instrument data files maintained on the instrument computer as
originally obtained to be ``raw data'' and so do not require their
submission (or their maintenance under Sec. 1.1154(a)(3)).
The requirement for the label from any immediate container
sampled and any additional labeling needed to evaluate the product as
well as photocopies or original labels for the product analyzed are
important components for any analysis in making a determination on the
acceptability of the specific product tested in relationship to the
test result obtained.
The storage location of the sample is important to assure
that samples were stored in a manner which protected the integrity of
the sample prior to and during analysis so that test results were not
adversely impacted.
Curriculum vitae, training records, and other records of
analyst competence are discussed in Response 116.
Finally, while FDA agrees that use of the words, ``any'' (e.g.,
``any other relevant supporting information'') and ``all'' (``all
original compilations of raw data'') is broad, we have retained their
use in this section of the final rule because it is not possible to
generate a full list of the potential information or data that might be
needed to review the testing data due to the broad scope of analysis
covered by this rule. The intent is for the LAAF-accredited laboratory
to submit any records needed for a thorough technical review of the
testing data.
(Comment 120) A few comments ask for FDA to define ``individual
proficiency testing worksheets'' in proposed Sec. 1.1152(g)(12)(iv)
and to clarify whether each analyst who submits test results must have
participated in proficiency testing each year on the method used.
(Response 120) As discussed in Response 92, the requirement that a
LAAF-accredited laboratory must meet the proficiency test requirements
on an annual basis for each method within the scope of LAAF-
accreditation is on a per laboratory basis. Also, we have revised the
final rule to delete from the full analytical package the relevant
proficiency test worksheets. The recognized accreditation bodies will
be reviewing proficiency testing results and any related corrective
actions under Sec. 1.1138(a)(2)(iii) of the final rule.
(Comment 121) A few comments recommend that FDA modify the language
requiring a copy of the container label to be submitted to FDA as part
of a full analytical report under Sec. 1.1152(g)(7) of the proposed
rule to include the qualifier, ``if available,'' as foods taken from
bulk containers may not have a label.
(Response 121) We appreciate this suggestion and have revised the
final rule to include ``if available'' (see Sec. 1.1152(d)(7)).
(Comment 122) A few comments request clarification of what is
required to be submitted to the recognized accreditation body or FDA as
part of analytical method verification or validation studies in
proposed Sec. 1.1152 (c)(4) through (6). These comments recommend
that, at a minimum, accuracy, precision, recovery, detection limits and
in-matrix studies be included.
(Response 122) Note that under the final rule, all validation and
verification studies required by Sec. 1.1151(c) and (d) are required
to be submitted to FDA (see Sec. 1.1152(c)(3) and (4)). In the
proposed rule, we proposed to require that some validation and
verification studies be submitted to the recognized accreditation body;
specifically, those validation and verification studies that were
necessary for the recognized accreditation body to assess competence to
the method for purposes of granting LAAF-accreditation. However, we
believe it better clarifies the role of FDA as distinct from the role
of the recognized accreditation body if we do not share the
responsibility of reviewing those studies. When FDA reviews validation
and verification studies, it is for the purpose of determining whether
such a study, such as a matrix extension, demonstrates laboratory
performance sufficient to support the particular analytical report
under review. In contrast, recognized accreditation bodies review
validation and verification studies for the purpose of assessing
whether to award accreditation. Therefore, upon further consideration,
in light of the comments, and in keeping with our role as reviewer of
the performance of LAAF-accredited laboratories, we have determined it
to be appropriate for all such studies to be submitted to FDA as a
component of an analytical report.
Note that because of the differences in types of testing (chemical,
biological, or physical) and the purpose of the testing, it is not
practical to provide a single concise list of elements needed in a
specific validation or verification study. In terms of clarifying what
a LAAF-accredited laboratory needs to submit to FDA as part of a
validation or verification study, we direct interested parties to the
existing FDA Food Program's guidelines on performing validation and
verification studies located at the following web link: https://www.fda.gov/science-research/field-science-and-laboratories/method-validation-guidelines. Laboratories may use these guidelines in
performing validation studies or they may use other established and
recognized protocols such as AOAC. Please identify the protocol that is
being used when submitting a validation.
7. What are the requirements for submitting abridged analytical reports
(Sec. 1.1153)?
Proposed Sec. 1.1153 covered records requirements for LAAF-
accredited laboratories; we have relocated those provisions to Sec.
1.1154 in the final rule. Section 1.1153 in the final rule addresses
abridged analytical reports and is comprised of provisions that
appeared in Sec. 1.1152(d) through (f) in the proposed rule.
In the proposed rule, an abridged analytical report was comprised
of most of the information required in a report by ISO/IEC 17025:2017
and the justification and documented authorization for any modification
to or deviation from the method used. Note that in the proposed rule,
the justification and authorization information was also required as
part of a full analytical report. On our own initiative and for
efficiency and clarity, we moved this requirement to
[[Page 68802]]
Sec. 1.1152(c), which is the provision describing documentation
required to be submitted with test results (whether full or abridged
analytical reports).
Additionally, in the final rule we have added a component to the
abridged analytical report contents: Quality control results (including
the expected result and whether it is acceptable). The addition of
quality control results to the abridged analytical report will provide
FDA with important contextual information for the certificate of
analysis and may reduce our need to request other documentation or a
full analytical report pursuant to Sec. 1.1153(d). Finally, in Sec.
1.1153(e) of the final rule, we reiterate that we may consider the
testing to be invalid if the LAAF-accredited laboratory fails to submit
all required testing-related documentation. This appeared in Sec.
1.1152(k) of the proposed rule and applied to all analytical reports;
it appears in Sec. 1.1152(g) of the final rule as it applies to full
analytical reports and all other information required to be submitted
to FDA under Sec. 1.1152.
Briefly, in the proposed rule a LAAF-accredited laboratory would
have gained permission to submit abridged analytical reports after
submitting 10 successful consecutive full analytical reports to FDA. Of
the full analytical reports, at least one would have needed to be from
each of the major food testing discipline for which the laboratory
sought permission. LAAF-accredited laboratories that failed to submit
10 successful consecutive analytical reports would be required to wait
a minimum of 2 years before again attempting to submit the 10
successful consecutive analytical reports. Similarly, if an abridged
analytical report contained material substantive shortcomings or
repeated administrative deficiencies, that laboratory would be required
to wait a minimum of 2 years before reapplying for permission to submit
abridged analytical reports. Comments regarding the abridged analytical
report provisions of the proposed rule are discussed below.
(Comment 123) Many comments support allowing laboratories to submit
shorter and simpler abridged analytical reports to FDA after meeting
certain requirements, as outlined in proposed Sec. 1.1152(d). These
comments suggest that FDA may be able to more quickly review abridged
analytical reports. A few comments request clarification on whether the
requirements for abridged analytical reports apply to governmental
accredited laboratories and if not, whether FDA would consider
developing a similar process for them. Some comments state that the
opportunity to submit abridged analytical reports should apply to all
accredited laboratories, public and private.
A few comments contend that the ability to submit abridged
analytical reports to FDA is of limited benefit because LAAF-accredited
laboratories would have to submit a full analytical report to FDA
within 48 hours if requested, as proposed under Sec. 1.1152(e)(1).
Some comments also recommend that the timeframe for providing FDA with
the full analytical report should be at least 72 hours, as 48 hours is
not enough time to compile the large amount of information needed for a
full analytical report.
Other comments mention that the circumstances necessitating the
exceptions described in the preamble to the proposed rule, (``. . .
[for] the purposes of auditing abridged analytical reports and
otherwise protecting the public health and the integrity of this food
testing program . . . .'' (84 FR 59452 at 59484)) are vague and request
that FDA clarify the standard it will use in requesting full analytical
reports.
(Response 123) We appreciate the support for the proposal to allow
the submission of abridged analytical reports and we agree that this
approach may promote certain efficiencies for LAAF-accredited
laboratories and FDA.
As a threshold matter, the final rule requirements regarding
abridged analytical reports apply to all LAAF-accredited laboratories
conducting food testing under this subpart. Government laboratories may
apply to a recognized accreditation body to become LAAF-accredited to
conduct food testing under this subpart and may request permission to
submit abridged analytical reports as described in Sec. 1.1153.
Regarding the 48-hour timeframe in which laboratories permitted to
submit abridged analytical reports may need to produce and submit to
FDA a full analytical report, we are making two changes in response to
comments. First, we are changing the timeframe in which a LAAF-
accredited laboratory would need to submit a full analytical report
pursuant to the exception from 48 to 72 hours to provide additional
time to prepare documents for submission to FDA. Second, we are
clarifying that we may request one or more additional documents up to a
full analytical report under the exception. This will enable the Agency
to tailor the request to the specific circumstances and likewise will
reduce the burden on LAAF-accredited laboratories under this exception.
With those changes, we are maintaining the exception as it remains
an important tool by which we may audit abridged analytical reports and
otherwise protect public health and LAAF program integrity (see
discussion at 84 FR 59452 at 59484). Under this exception and as stated
in the preamble to the proposed rule, we may request additional
documentation or a full report under this exception at our discretion,
which may be based on the underlying public health risk of the analyte,
if we have a question about something in the abridged analytical
report, something in the abridged analytical report appears to be
amiss, or on a random basis to spot-check LAAF-accredited laboratory
performance. We estimated making these requests for no more than 10
percent of abridged analytical reports submitted, but at least once per
year (see 84 FR 59452 at 59484).
Finally, we note that the analytical steps should not change when
producing an abridged analytical report, only the amount of information
submitted to FDA (see Sec. 1.1150(d)).
(Comment 124) Several comments state that FDA should simplify the
process for granting permission to submit abridged analytical reports
as it is overly burdensome on both LAAF-accredited laboratories and FDA
and diverts resources away from protecting public health. These
comments recommend that FDA consider as few as one or two full
analytical reports per major food testing discipline. These comments
contend that the proposed process, requiring 10 full reports, would
give larger LAAF-accredited laboratories an advantage and that these
larger laboratories are better able to absorb the increased cost of
full analytical reports without the need to pass the higher cost on to
the owner or consignee.
Many comments argue that the proposed disqualification periods from
submitting abridged analytical reports or even the failure to gain
permission would be detrimental to LAAF-accredited laboratories and
overly punitive. These comments state that corrective action to address
deficiencies would be more appropriate and would afford the LAAF-
accredited laboratory due process. Some comments recommend that FDA
issue a warning letter to LAAF-accredited laboratories with material
substantive shortcomings so that corrective action could be taken in
response. Comments state further that FDA should meet with the LAAF-
accredited laboratory and recognized accreditation body or allow for an
appeals process prior to taking further action to use probation or
disqualification especially since this could be based on minor repeated
[[Page 68803]]
administrative deficiencies yet would result in a long disqualification
period.
Comments also request additional details regarding ``material
substantive shortcomings'' and ``administrative deficiencies'' and
argue that interpretation of these terms, if not clearly defined, could
be inconsistently applied when reviewing abridged analytical reports.
Further, comments express concerns that, as proposed, repeated
administrative deficiencies could become a material substantive
shortcoming and lead to disqualification, which would have a large
financial impact on LAAF-accredited laboratories. These comments urge
FDA to consider what public health benefit, if any, would accrue from
focusing on administrative deficiencies and the resulting burden on
LAAF-accredited laboratories.
Some comments indicate that permission to submit abridged reports
represents a direct relationship between FDA and LAAF-accredited
laboratories where the recognized accreditation body is not involved.
Other comments contend that the LAAF-accreditation process should be
considered evidence of a laboratory's ability to submit full analytical
reports and ultimately reduce or eliminate the number of full
analytical reports required to be submitted to gain permission from FDA
to submit abridged analytical reports.
(Response 124) We agree with comments regarding the need to
simplify the proposed process for seeking permission to submit abridged
analytical reports and the need to revisit the consequences of
deficiencies in abridged analytical reports. We have made significant
changes to both aspects of the abridged analytical report process in
the final rule. In simplifying the process, we decline the
recommendation to rely on recognized accreditation bodies to evaluate a
LAAF-accredited laboratory's ability to submit abridged analytical
reports. We agree that recognized accreditation bodies will play a
crucial role with respect to LAAF-accrediting laboratories and
continuing oversight of the laboratories they LAAF-accredit; however,
FDA's role is to review the performance of those laboratories and in
particular, to do so by reviewing analytical reports. Moreover, we
maintain that FDA's experience with LAAF-accredited laboratories' full
analytical reports and the Agency's confidence in reliance on such
analytical reports to make regulatory decisions are imperative factors
in the decision to grant permission to submit abridged analytical
reports. Therefore, although we have revised the processes related to
abridged analytical reports, it remains FDA, rather than the recognized
accreditation bodies, that will have the authority to grant permission
to submit abridged reports.
In terms of gaining permission to submit reports, on request of the
LAAF-accredited laboratory, FDA will review the last five full
analytical reports for a major food testing discipline (biological,
chemical, and physical) to determine whether the LAAF-accredited
laboratory will be granted permission to submit abridged analytical
reports for that major food testing discipline. In reviewing the last
five analytical reports, FDA will check that the reports contain no
shortcomings that call into question the validity of the test result or
repeated administrative errors. Additionally, FDA will confirm that the
LAAF-accredited laboratory requesting permission is not on suspension
or probation for any method within the major food testing discipline
for which the laboratory is requesting permission and that the
laboratory has successfully implemented any required corrective action
(see Sec. Sec. 1.1121 and 1.1161). FDA will notify the LAAF-accredited
laboratory if permission has been granted or denied.
The revised process for requesting permission should reduce the
burden for both FDA and LAAF-accredited laboratories and will still
ensure that there is requisite experience with full analytical reports
for each major food testing discipline for which permission to submit
abridged analytical reports is sought. We recognize that the proposed
process of submitting 10 full analytical reports and granting
permission for the major food testing disciplines included in those 10
reports could result in a grant of permission for a major food testing
discipline based on as few as 1 full analytical report if it was
included among a group of 9 other full analytical reports for another
major food testing discipline. Changing the process to review five full
analytical reports per major food testing discipline provides for more
equal oversight of, and experience with, full analytical reports,
reduces the potential competitive advantage of larger laboratories, and
reduces the overall barrier to permission. It also alleviates the need
for a separate process for adding a major food testing discipline as
proposed (see Sec. 1.1152(d)(3) of the proposed rule). Finally, in
response to comments and on our own initiative, we have revised and
simplified the oversight process for abridged analytical reports to
leverage existing program oversight tools, including corrective action,
described in Sec. 1.1161 as opposed to relying on the separate process
proposed. Thus, we have removed disqualification periods specific to
issues with submitting abridged analytical reports (see proposed Sec.
1.1152(d)(2) and (d)(4) through (6)). Section 1.1153(b) of the final
rule describes the process by which FDA will review and communicate
issues with abridged analytical reports and when FDA may require
corrective action, probation, or may revoke permission to submit
abridged analytical reports. We believe the revised process will be
fairer and more transparent for LAAF-accredited laboratories and easier
for FDA to implement.
In response to concerns that a LAAF-accredited laboratory's failure
to gain permission to submit abridged analytical reports will
negatively impact the laboratory, we note that, as discussed above in
Response 57, permission to submit abridged analytical reports will not
be included on the public registry described in Sec. 1.1109.
We decline the request to define the terms, ``material substantive
shortcomings'' and ``repeated administrative deficiencies''; however,
we have made the following modifications which we believe will address
the underlying concerns: We revised the final rule to specify that
substantive shortcomings are those that call into question the validity
of the results and clarified the section to refer to repeated
administrative errors. In addition, we have specified that FDA will
notify the LAAF-accredited laboratory of any deficiencies as described
in Sec. 1.1153(b)(2).
8. What other records requirements must a LAAF-accredited laboratory
meet (Sec. 1.1154)?
The other records requirements for a LAAF-accredited laboratory
appeared in Sec. 1.1153 of the proposed rule but appear in Sec.
1.1154 of the final rule. In paragraph (a) we proposed that LAAF-
accredited laboratories be required to maintain electronically for 5
years, records created and received under this subpart, such as
documents relating to the grant of LAAF-accreditation and documentation
of testing conducted under this subpart. In paragraph (b) we proposed
that within 30 days of the receipt of proficiency testing results, the
LAAF-accredited laboratory submit the results to the recognized
accreditation body and, if the laboratory failed the test, to FDA.
Proposed paragraph (c) stated that a LAAF-accredited laboratory must
make records available for FDA inspection and copying upon written
request, and addressed related details.
[[Page 68804]]
Proposed paragraph (d) stated that a LAAF-accredited laboratory must
ensure that significant amendments to records can be tracked to
previous and original versions, and addressed related details.
We have revised the section to update terminology and cross-
references and to make other minor editorial changes to improve the
clarity and readability of the section. We also have made several
conforming changes to reflect changes elsewhere in the final rule: We
have revised paragraph (a)(1) to specify proficiency test and
comparison program records; this information was previously required by
proposed Sec. 1.1153(b)(1). Accordingly, paragraph (b) has been
removed and the requirement to submit proficiency test results to the
recognized accreditation body has been incorporated in Sec.
1.1138(a)(2)(iii). We removed reference to the English language and
English translation requirement and electronic submission as this is
now included in Sec. 1.1110 of the final rule. Additionally, we
removed the word, ``electronically,'' from paragraph (a) to allow
flexibility around how LAAF-accredited laboratories maintain records
and to align with the same revision for recognized accreditation bodies
in Sec. 1.1124(a). We revised paragraph (a)(3) so that it now says,
``associated correspondence between the LAAF-accredited laboratory . .
. and the owner or consignee'' rather than, ``associated correspondence
by the LAAF-accredited laboratory . . . with the owner or consignee;''
to clarify that correspondence to the laboratory related to food
testing under this subpart is among the records the laboratory must
maintain. Finally, we clarify in Sec. 1.1154(a)(2) that the
documentation of food testing that a LAAF-accredited laboratory
conducted under this subpart must account for all information required
by Sec. 1.1152(d) of the final rule. This addition better clarifies
the contents of the cross-reference to Sec. 1.1150(d) in the proposed
and final rule. We discuss additional changes made in response to
comments below.
(Comment 125) Some comments agree that the requirement to maintain
records for 5 years is reasonable and agree with the 10-business day
record submission requirement in proposed Sec. 1.1153(c).
A few comments request that FDA clarify that food testing records
required in proposed Sec. 1.1153(a)(2) are limited to records related
to testing covered by this subpart and would not apply to routine
testing that is performed outside the scope of the rule. Some comments
request clarification as to why all requests for food testing from an
owner or consignee are necessary as stated in proposed Sec.
1.1153(a)(4).
(Response 125) We appreciate the supportive comments and agree that
records a LAAF-accredited laboratory must maintain under this rule
(proposed Sec. 1.1153, final rule Sec. 1.1154) are only those related
to food testing covered by this subpart. Per the request from comments,
we clarify in the final rule that LAAF-accredited laboratories maintain
all requests for food testing from an owner or consignee that would be
conducted under this subpart. These records would help FDA ascertain
compliance with the requirement to submit all test results to FDA
(under Sec. 1.1152(b)).
J. Comments Regarding FDA Oversight of LAAF-Accredited Laboratories
Table 11--Changes to Sections Regarding FDA Oversight of LAAF-Accredited
Laboratories
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
FDA Oversight of LAAF-Accredited Procedures for Revised to reflect
Laboratories. Accreditation of new terminology
Laboratories. and
reorganization of
the final rule.
Sec. 1.1159 How will FDA Sec. 1.1159 How Revised to reflect
oversee LAAF-accredited will FDA oversee new terminology.
laboratories? accredited
laboratories?
Sec. 1.1160 How will FDA Sec. 1.1160 How Minor editorial
review test results and will FDA review change.
analytical reports? submitted test
results and
analytical
reports?
Sec. 1.1161 When will FDA Sec. 1.1161 When Revised to reflect
require corrective action, put will FDA put an new terminology
a LAAF-accredited laboratory on accredited and revised
probation, or disqualify a LAAF- laboratory on contents of the
accredited laboratory from probation or section.
submitting analytical reports? revoke the
accreditation of
a laboratory?
Sec. 1.1162 What are the Sec. 1.1162 What Revised to reflect
consequences if FDA puts a LAAF- are the new terminology.
accredited laboratory on consequences if
probation or disqualifies a FDA puts an
LAAF-accredited laboratory? accredited
laboratory on
probation or
revokes the
accreditation of
a laboratory?
------------------------------------------------------------------------
1. How will FDA oversee LAAF-accredited laboratories (Sec. 1.1159)?
This section of the proposed rule described three broad mechanisms
FDA might employ to oversee LAAF-accredited laboratories. First, in
proposed paragraph (a) we stated that we ``may assess accredited
laboratories at any time to determine whether . . . there are
deficiencies . . . that, if not corrected, would warrant . . .
revocation of its accreditation.''
In proposed paragraph (b), we listed various records and
information that we may review in evaluating the performance of a LAAF-
accredited laboratory, such as records the laboratory is required to
maintain under this subpart. Proposed paragraph (c) stated that we may
conduct an onsite ``assessment'' of the LAAF-accredited laboratory.
Proposed paragraph (d) stated that we will report our observations and
findings to the recognized accreditation body.
As discussed above at Response 10, FDA has revised terminology
throughout this rule to clarify that our role with regard to LAAF-
accredited laboratories is not to ``assess'' them but is to review
their performance, primarily by reviewing analytical reports and test
results. In final Sec. 1.1159 we revised the language accordingly, to
more clearly communicate our role. This section now consistently refers
to FDA reviewing the performance of a LAAF-accredited laboratory and
explicitly includes analytical reports and test results submitted to
FDA among the things we may review in Sec. 1.1159(b)(5).
We have also revised paragraph (c) of the final rule to explicitly
state that certain FDA review activities may be conducted remotely if
it will not aid in the review to conduct them onsite. For example,
records reviews or auditing filth plates are common review activities
that may be conducted remotely. The ability to conduct remote reviews
of LAAF-accredited laboratory performance under this subpart will
provide a more efficient, cost-effective, and less intrusive option for
reviews. This may also allow for continued
[[Page 68805]]
oversight of LAAF-accredited laboratories when onsite visits are
otherwise impracticable.
We also made other conforming and minor editorial changes to this
section and section title, including deletion of the phrase, ``of food
subject to food testing under this subpart'' in proposed Sec.
1.1159(b)(5) because the phrase is included in the definition of owner
or consignee in Sec. 1.1102 and therefore need not be repeated; see
Sec. 1.1159(b)(6) if the final rule. Comments regarding this section
are discussed below.
(Comment 126) A few comments state that FDA onsite reviews under
Sec. 1.1159(c) should be limited to work performed under this subpart
and should not extend to other work conducted by the LAAF-accredited
laboratory, even work related to other FDA regulations (e.g., testing
under part 117). These comments further contend that when FDA conducts
onsite reviews, we may not examine privileged or proprietary records or
laboratory practices not directly related to this subpart.
(Response 126) We agree that an onsite review of a LAAF-accredited
laboratory and any review activities conducted remotely would be
limited to work performed under this subpart. We have revised Sec.
1.1159(c) to further clarify that FDA's onsite review is limited to a
LAAF-accredited laboratory's performance under this subpart. As such,
it would not include review of privileged or proprietary records or
laboratory practices outside the scope of this final rule.
(Comment 127) Some comments encourage FDA to communicate with the
recognized accreditation body if during the course of our review of a
LAAF-accredited laboratory we obtain information causing us to place
the LAAF-accredited laboratory on probation or disqualify the LAAF-
accredited laboratory from conducting food testing under this subpart.
The recognized accreditation body could then perform an assessment of
its own related to the laboratory's ISO/IEC 17025:2017 accreditation
and LAAF-accreditation status.
(Response 127) Section 1.1159(d) of the final rule states that
``FDA may report any observations and deficiencies identified during
its review of LAAF-accredited laboratory performance under this subpart
to the recognized accreditation body.'' This would include information
that causes us to place the LAAF-accredited laboratory or disqualify
the laboratory from conducting testing under this subpart.
(Comment 128) Some comments express concern that the proposed rule
did not communicate more detailed information about the processes
around FDA review of LAAF-accredited laboratories. These comments ask
what the impact would be if FDA found a deficiency in the course of its
review; for example, whether FDA would invalidate past test results
and, if so, how far back in time the invalidation would extend.
(Response 128) The impact of any deficiency identified in the
course of an FDA review of a LAAF-accredited laboratory's performance
under this subpart would depend on the deficiency found. Section 1.1160
describes what would happen if FDA finds a deficiency in an analytical
report. As described in Sec. 1.1161(a) of the final rule, FDA may
require corrective action to address any deficiencies identified. In
the case of certain serious deficiencies such as those described in
Sec. 1.1161(c) of the final rule, FDA may disqualify a LAAF-accredited
laboratory from submitting analytical reports for one or more methods
within the scope of LAAF-accreditation. The consequences of probation
or disqualification are described in Sec. 1.1162 of the final rule.
Paragraph (c) states in relevant part that FDA may refuse to consider
specific food testing results if the basis for disqualification of the
laboratory indicates that the specific food testing conducted by the
laboratory may not be reliable.
2. How will FDA review test results and analytical reports (Sec.
1.1160)?
Proposed Sec. 1.1160(a) through (c) described how FDA would
proceed if it finds deficiencies in any test result, analytical report,
related documents (e.g., related to sampling), or the associated
analysis indicates that any aspect of the testing under this subpart is
not being conducted in compliance with the requirements of this
subpart. In paragraph (a), we proposed that we may consider the
analysis to be invalid and/or will notify the LAAF-accredited
laboratory and may also notify the owner or consignee, of the
deficiency. The LAAF-accredited laboratory would be required to respond
to FDA within 30 days. Proposed paragraph (b) stated that we may report
our determination of a deficiency to the recognized accreditation body.
Proposed paragraph (c) stated that if the deficiency demonstrates a
material substantive shortcoming in the related food testing, or
demonstrates repeated administrative deficiencies, we may also consider
disallowing the LAAF-accredited laboratory from submitting abridged
analytical reports, or other actions under this subpart. Proposed
paragraph (d) noted that nothing in this subpart limits FDA's ability
to review and act upon information received about food testing.
We revised this section to incorporate updated terminology, to make
conforming changes, and to improve clarity and readability. We discuss
additional changes made in response to comments below.
(Comment 129) Some comments indicate that proposed Sec. 1.1160(b)
did not state that recognized accreditation bodies ``will'' be informed
when FDA finds a deficiency as a result of reviewing a LAAF-accredited
laboratory's test results, analytical reports, related documents, or
the associated analysis; instead we used the word, ``may.'' These
comments urge FDA to inform the recognized accreditation body of
findings of deficiency. Other comments appear to encourage us to notify
the recognized accreditation body when we learn of a possible
deficiency, before we reach a conclusion that a deficiency has
occurred. Comments generally urge FDA to have transparent communication
with recognized accreditation bodies regarding the LAAF-accredited
laboratories.
(Response 129) We agree that communication between the FDA and the
recognized accreditation bodies will be beneficial for this program. At
the same time, we do not want to overwhelm a recognized accreditation
body with details concerning analytical reports that are unlikely to be
relevant to their oversight of a LAAF-accredited laboratory. To that
end, final Sec. 1.1160(b) provides FDA with discretion regarding which
observations and deficiencies we will report to a recognized
accreditation body. We anticipate deciding on a case-by-case basis
which deficiencies are significant enough to warrant notifying a
recognized accreditation body. By way of two examples, while a
deficiency such as failure to run quality control samples as required
in Sec. 1.1138(a)(3), that would call into question the validity of
the test result, likely would be reported to the recognized
accreditation body, a deficiency that does not call into question the
validity of the test, such as FDA requesting a missing document,
generally would not require notification of the recognized
accreditation body. Relatedly, we have clarified in Sec. 1.1160(a)
that we may require that a laboratory correct the test result,
analytical report, related documents, or the associated analysis. Such
correction would not require additional corrective action; however, FDA
may require corrective action for certain deficiencies.
[[Page 68806]]
(Comment 130) Some comments request that in the event that FDA
identifies a deficiency in an analytical report, FDA not notify the
owner or consignee if the deficiency can be immediately resolved and
human health is not directly affected.
(Response 130) The potential circumstances surrounding FDA
identification of a deficiency in a test result, analytical report, or
related documents are numerous and varied. It would be imprudent for us
to try to categorize deficiencies and establish different notification
requirements for the various categories. Instead, we will approach each
instance of deficiency under Sec. 1.1160(a) on a case-by-case basis,
in terms of determining whether it is appropriate to inform the owner
or consignee. We do take the point of the comment, though, and agree
that owners or consignees need not always be informed when FDA
identifies a deficiency in a test result, analytical report, or related
documents. Accordingly, we are retaining the conditional language of
the proposed rule in Sec. 1.1160(a) of the final rule by stating that
FDA ``may'' report such deficiencies to the owner or consignee.
(Comment 131) Some comments state that FDA should expedite review
of analytical reports and test results from all LAAF-accredited
laboratories. These comments contend that this will benefit both
importers and their customers and will result in more efficient use of
FDA resources during review.
(Response 131) We acknowledge these comments and intend to review
analytical reports in a timely fashion.
(Comment 132) Some comments express the concern that FDA's review
of analytical reports submitted in relation to testing to support
removal from import alert has been inconsistent, both between FDA
regions and within single facilities. Comments contend that over time
FDA has required increasing amounts of information. Comments express
frustration that it has been difficult to gain clarity from FDA
regarding what our standards are for the documents comprising a full
analytical report. Comments recommend that FDA develop a document that
clearly communicates to FDA staff as well as laboratories submitting
reports, our requirements for each component of a full analytical
report; comments assert this should be done before holding laboratories
accountable for failure to satisfy such requirements.
Other comments express frustration regarding working with FDA to
resolve issues identified in analytical reports submitted in relation
to testing to support removal from import alert. These comments assert
that such resolution requires the participation of more than one office
within FDA's Office of Regulatory Affairs. In the view of these
comments, the cumbersome FDA resolution process results in delayed
admissibility decisions.
Other comments request that we clarify how we will ensure that
analytical reports are reviewed by qualified FDA personnel.
(Response 132) The review of the laboratory analytical reports and
test results is a very structured process. Reviewers complete technical
reviews using the Laboratory Manual Volume III Section 7--Private
Laboratory Guidance, corresponding import alerts, and other appropriate
guidance documents ensuring that the technical reviews are consistent
across reviewers and that testimony submitted contains all pertinent
elements needed for the specified analysis to assure FDA that the
scientific data is credible, reliable, and valid. Reviewing personnel
are highly qualified and have gone through extensive training to
perform these reviews. The use of technical lead review panels further
aids in preventing inconsistencies and in standardizing the review
process by insuring a uniform, systematic, and effective approach to
package review across the FDA. The periodic auditing of the technical
review process in accordance with FDA's quality system and Laboratory
Manual Volume III Section 7--Private Laboratory Guidance (https://www.fda.gov/media/73540/download) provides another layer of consistency
to the process. Average turnaround time for a review is generally 2
days including the technical lead review assignments. The required
elements for full and abridged analytical reports, along with the
documents required to be submitted with test results, are set forth in
this final rule. This process is designed to mitigate inconsistencies.
Finally, it is true that more than one FDA office may have a role
to play when we work with laboratories to resolve questions regarding
an analytical report. We endeavor to work efficiently across the
involved FDA offices to resolve such issues and communicate the
resolution to impacted internal and external entities.
3. When will FDA require corrective action, put a LAAF-accredited
laboratory on probation, or disqualify a LAAF-accredited laboratory
from submitting analytical reports (Sec. 1.1161)?
Proposed Sec. 1.1161 described the grounds necessary for FDA to
place a LAAF-accredited laboratory on probation or disqualify it from
the program and the processes for taking such action. In paragraph (a)
we stated that we may disqualify a laboratory in whole or in part for
good cause and when the recognized accreditation body fails to withdraw
LAAF-accreditation. We stated that the reasons may include demonstrated
bias or lack of objectivity in testing, performance that calls into
question the validity or reliability of testing, or other failure to
substantially comply with this subpart.
In proposed paragraph (b) we described the grounds for probation as
deficiencies that are less serious and more limited than those
identified in paragraph (a), when it is reasonably likely that the
LAAF-accredited laboratory will be able to correct them within a
specified period of time. We stated that under such circumstances we
would temporarily place the laboratory on probation and request
appropriate corrective action. In proposed paragraph (c) we clarified
that we may disqualify a LAAF-accredited laboratory in part (for just
some methods).
In proposed paragraph (d) we stated that a LAAF-accredited
laboratory's probationary status would last either until the deficiency
is corrected or FDA determines that disqualification is warranted. In
proposed paragraph (e) we described the notice of disqualification that
we would provide to a LAAF-accredited laboratory. In proposed paragraph
(f) we described the notice of probation that we would provide to a
LAAF-accredited laboratory. In proposed paragraph (g) we stated that if
we place a LAAF-accredited laboratory on probation and determine that
the laboratory is not implementing appropriate corrective actions we
may disqualify the laboratory in whole or in part. In proposed
paragraph (h) we stated that probationary status and disqualification
will be noted on the public registry described in Sec. 1.1109.
We revised the section to incorporate updated terminology and to
specify that probation can be method-specific, to be consistent with
disqualification which is also method-specific (see Sec. 1.1161(b) of
the final rule). We also revised the section title to more accurately
reflect the section contents of the final rule (``When will FDA require
corrective action, put a LAAF-accredited laboratory on probation, or
disqualify a LAAF-accredited laboratory from submitting analytical
reports?'') We discuss additional changes made in response to comments
below.
(Comment 133) Some comments disagree with the processes we proposed
in Sec. 1.1161 regarding how FDA would follow up with a LAAF-
accredited laboratory if we identify a
[[Page 68807]]
concern with the laboratory's performance. Some comments disagree with
the ordering of our actions because in the proposed rule, we described
first notifying a LAAF-accredited laboratory that we were placing it on
probation, and then allowing an opportunity for the laboratory to
correct. Some comments assert that such a process is not consistent
with processes in the conformity assessment arena.
Several comments state that under the proposed rule, probationary
status would be publicly noted on the online registry; several comments
argue that sharing that status publicly could impede the LAAF-
accredited laboratory's business. Comments contend that professional
courtesy and due process should dictate that the Agency provide notice
before imposing any status changes or restrictions on a LAAF-accredited
laboratory. These comments argue it would be unfair of FDA to imply on
the public registry that the laboratory's performance had been
unacceptable without first allowing the laboratory an opportunity to
take corrective action.
Several comments recommend that, instead, FDA should notify the
LAAF-accredited laboratory of our concern and provide an opportunity
for the laboratory to correct, before the Agency imposes any status
changes. In particular some comments recommend that, if FDA has a
concern with the LAAF-accredited laboratory's performance, FDA should
utilize the laboratory complaint process (required by ISO/IEC
17025:2017 section 7.9 (Ref. 3)). In the view of these comments, if
FDA's concern has not yet been adequately addressed via the LAAF-
accredited laboratory's complaint process, then the matter should be
raised to the recognized accreditation body. For example, some comments
suggest that if FDA is not satisfied with a LAAF-accredited
laboratory's corrective action, then there should be a meeting between
FDA, the LAAF-accredited laboratory, and the recognized accreditation
body to try and resolve the issue, before FDA proceeds to probation or
disqualification. Some comments suggest that, after FDA places a LAAF-
accredited laboratory on probation, the laboratory be afforded an
additional opportunity to remedy the deficiency.
Some comments maintain that LAAF-accredited laboratories should
have an opportunity to defend against a potentially ``hypercritical
review'' that raises only minor problems or mistakes that do not impact
the test results. These comments further contend that such problems or
mistakes should not impact the laboratory's LAAF-accreditation status.
Finally, comments encourage FDA to establish a single process for
following up on concerns with the performance of a LAAF-accredited
laboratory, and that process should lead only to potential probation or
disqualification. In this view, potential or actual deficiencies in the
performance of a LAAF-accredited laboratory should not impact the
laboratory's eligibility to submit abridged analytical reports.
(Response 133) After considering the comments, we agree that a
LAAF-accredited laboratory should be afforded the opportunity to take
corrective action on FDA notification of a deficiency prior to being
placed on probation by FDA. Thus, we have revised Sec. 1.1161 of the
final rule to reflect this position. Specifically, Sec. 1.1161(a)
describes a corrective action process which relies on the complaint and
corrective action processes required by ISO/IEC 17025:2017 sections 7.9
and 8.7, respectively. As stated in Sec. 1.1161(b) of the final rule,
FDA will only proceed to probation if ``FDA determines that a LAAF-
accredited laboratory has not effectively implemented corrective action
or otherwise fails to address deficiencies identified.'' Similarly, FDA
will only proceed to disqualify a laboratory from the LAAF program if
we determine that ``a LAAF-accredited laboratory on probation [failed]
to effectively implement correction action or otherwise address
identified deficiencies.'' Id. at (c)(2). Thus, a LAAF-accredited
laboratory will have at least two opportunities to respond to FDA
regarding an identified deficiency before FDA disqualifies the
laboratory from submitting analytical reports under the LAAF program.
Some comments suggest that if the initial complaint and corrective
action process fails to satisfy FDA, FDA should involve the recognized
accreditation body. FDA agrees and accordingly, final Sec.
1.1161(b)(1) provides that FDA will notify both the LAAF-accredited
laboratory and its recognized accreditation body if we have grounds for
probation. It is possible that a meeting between the FDA, the
recognized accreditation body, and the LAAF-accredited laboratory may
be beneficial at that stage, but as deficiency circumstances will vary
greatly, we will consider that option on a case-by-case basis.
We accept the point made in some comments that minor deficiencies
should not result in probationary status, and agree that a small number
of administrative errors would not form the basis for FDA to require
corrective action. However, in the case of submissions from a LAAF-
accredited laboratory that evidence a pattern of inattention with
regard to any requirements, it may not be unreasonable for FDA to grow
concerned that the laboratory may also be failing to observe other,
more substantive, details.
Finally, after considering the comments we agree that it will be
clearer and more efficient to forego a separate set of disciplinary
actions regarding permission for a LAAF-accredited laboratory to submit
abridged analytical reports. Accordingly, final Sec. 1.1161 describes
the single path of actions that FDA can pursue against a LAAF-
accredited laboratory. For more information on permission to submit
abridged analytical reports, see above discussion of Sec. 1.1153 at
Response 124.
(Comment 134) Several comments express concern with FDA's proposed
use of the words, ``probation'' and ``revoke'' in Sec. 1.1161. Some
comments advise that FDA should better distinguish between actions the
FDA may take against a LAAF-accredited laboratory under this subpart,
and the actions an accreditation body might take against a laboratory
with regard to that laboratory's ISO/IEC 17025:2017 accreditation. Some
comments suggest that, because FDA lacks authority to impact a
laboratory's ISO/IEC 17025:2017 accreditation, we should clarify that
if we place a LAAF-accredited laboratory on probation, the impact of
our action is limited to this subpart, and not the laboratory's ISO/IEC
17025:2017 accreditation.
(Response 134) We agree that FDA authority under this subpart does
not directly impact or relate to the laboratory's ISO/IEC 17025:2017
accreditation. We have made changes throughout the final rule to
clarify that actions taken under this subpart against LAAF-accredited
laboratories by recognized accreditation bodies are limited to
impacting a laboratory's LAAF-accreditation and actions taken by FDA
are limited to impacting the laboratory's ability to conduct the tests
described in Sec. 1.1107. Additionally, we have revised the language
used in Sec. 1.1161 to better distinguish FDA and recognized
accreditation body actions under this subpart. For example, we use the
terms, ``reduce the scope'' and ``withdraw'' to describe the actions a
recognized accreditation body may take with respect to LAAF-
accreditation and we use the word, ``disqualify'' to describe the
action FDA may take with regard to a laboratory's eligibility to
conduct the testing described in Sec. 1.1107. For a full discussion of
[[Page 68808]]
terminology revisions in the final rule, see Response 10, above.
(Comment 135) A few comments request clarification of exactly when
a LAAF-accredited laboratory would be placed on probation. We
understand these comments to be expressing confusion over what
``probation'' means in this context, because it is not a familiar
concept in the realm of conformity assessment (e.g., neither ISO/IEC
17011:2017 or ISO/IEC 17025:2017 contemplate probation).
(Response 135) We first note that in light of the comments, FDA
changed several terms in the final rule. We are now using separate
terms for actions taken by FDA and recognized accreditation bodies with
regard to LAAF-accredited laboratories, to better delineate the roles
of FDA and the recognized accreditation bodies under this subpart. In
the final rule, FDA may place a LAAF-accredited laboratory on
``probation'' but the recognized accreditation body ``suspends'' a
laboratory's LAAF-accreditation.
Also in light of the comments, we substantively revised the grounds
for probation of a LAAF-accredited laboratory. In the proposed rule,
probation was reserved for less serious laboratory deficiencies than
the deficiencies that might lead to FDA disqualification of the LAAF-
accredited laboratory. In the final rule, FDA will use a single path
for all laboratory deficiencies and that single path will typically
involve at least a three-step process: Corrective action, then
probation if the corrective action is not effective, followed by
disqualification if additional actions taken during probation are
ineffective. Thus, final Sec. 1.1161(b) provides that probation may
occur when ``FDA determines that a LAAF-accredited laboratory has not
effectively implemented corrective action or otherwise fails to address
deficiencies identified.'' Note, however, that we reserve the option to
disqualify a LAAF-accredited laboratory without prior corrective action
or probation in certain egregious cases described in Sec. 1.1161(c)(1)
of the final rule.
4. What are the consequences if FDA puts a LAAF-accredited laboratory
on probation or disqualifies a LAAF-accredited laboratory (Sec.
1.1162)?
Proposed Sec. 1.1162 describes the consequences of FDA placing a
LAAF-accredited laboratory on probation or disqualifying the laboratory
from submitting analytical reports under the program. Proposed
paragraph (a) stated that the disqualified laboratory is immediately
ineligible to conduct testing under this subpart either in part or in
whole, depending on the extent of the disqualification, and a
laboratory on probation may continue to conduct testing under this
subpart.
Proposed paragraph (b) stated that FDA may refuse to consider
testing conducted prior to disqualification if the basis for the
disqualification indicates that the specific food testing previously
conducted may not be reliable. Proposed paragraph (c) provided that a
disqualified laboratory must notify FDA of a records custodian within
10 days. Proposed paragraph (d) stated that a laboratory on probation
or that has been disqualified must notify any owners or consignees for
whom it is conducting testing under this subpart, that it is on
probation or has been disqualified.
We have updated this section of the final rule to incorporate
updated terminology and to make other conforming changes to denote that
probation and disqualification by FDA can be on a method-specific
basis. On our own initiative, we relocated the requirement that the
laboratory notification regarding the records custodian be submitted to
FDA electronically and in English in Sec. 1.1162(c) of the proposed
rule to Sec. 1.1110 in the final rule. We also made minor editorial
changes to improve clarity and readability of the section. We received
no comments solely related to this section.
K. Comments Regarding Requesting FDA Reconsideration or Regulatory
Hearings of FDA Decisions Under This Subpart
Table 12--Changes Regarding Requesting FDA Reconsideration or Regulatory
Hearings of FDA Decisions Under This Subpart
------------------------------------------------------------------------
Final rule Proposed rule Notes
------------------------------------------------------------------------
Requesting FDA Reconsideration Requesting FDA Revised to reflect
or Regulatory Hearings of FDA Reconsideration, the contents of
Decisions Under This Subpart. FDA Internal the sections
Review, or included.
Regulatory
Hearings of FDA
Decisions Under
This Subpart.
Sec. 1.1171 How does an Sec. 1.1171 How No changes to the
accreditation body request does an section title.
reconsideration by FDA of a accreditation
decision to deny its body request
application for recognition, reconsideration
renewal, or reinstatement? by FDA of a
decision to deny
its application
for recognition,
renewal, or
reinstatement?
Sec. 1.1173 How does an Sec. 1.1173 How Revised to reflect
accreditation body or does an new terminology.
laboratory request a regulatory accreditation
hearing on FDA's decision to body or
revoke the accreditation body's laboratory
recognition or disqualify a request a
LAAF-accredited laboratory? regulatory
hearing on FDA's
decision to
revoke the
recognized
accreditation
body's
recognition or
revoke the
accredited
laboratory's
accreditation?
Sec. 1.1174 How does an owner Sec. 1.1174 How Revised to reflect
or consignee request a does an owner or new terminology.
regulatory hearing on a consignee request
directed food laboratory order? a regulatory
hearing on a food
testing order?
------------------------------------------------------------------------
(Comment 136) Some comments suggest that regulatory hearings be
held for decisions relating to FDA acceptance of test reports (full or
abridged) from LAAF-accredited laboratories.
(Response 136) We decline to expand the availability of regulatory
hearings to this situation. The mere acceptance of test reports from
LAAF-accredited laboratories does not constitute regulatory action for
which a hearing under part 16 is available or would be warranted. To
the extent comments suggest a regulatory hearing should be available
regarding whether a LAAF-accredited laboratory has met the criteria
specified in Sec. 1.1153 and thus may submit abridged analytical
reports, as discussed in Response 124, we have revised the final rule
based on the comments received to facilitate a more streamlined process
for obtaining FDA permission to submit abridged analytical reports. In
addition, under the final rule, if FDA identifies a deficiency in an
abridged analytical report, such deficiencies are handled the same way
[[Page 68809]]
we would handle a deficiency in a full analytical report. Under Sec.
1.1161 of the final rule, that means the laboratory generally has an
opportunity to pursue corrective action before experiencing any
negative consequences such as probation and loss of permission to
submit abridged analytical reports. In our view, this process will be
more productive and efficient than holding regulatory hearings in each
case. Further, as discussed above in Response 57, permission to submit
abridged analytical reports will not be included on the public registry
described in Sec. 1.1109. This decision mitigates any potential
negative impact on a LAAF-accredited laboratory and obviates the need
for a formal regulatory hearing.
1. How does an accreditation body request reconsideration by FDA of a
decision to deny its application for recognition, renewal, or
reinstatement (Sec. 1.1171)?
Proposed Sec. 1.1171 described the processes for an accreditation
body to request that FDA reconsider its decision to deny an application
either for recognition, renewal, or reinstatement. In paragraph (a), we
proposed that an accreditation body must submit a reconsideration
request within 10 business days after FDA issues the denial. In
paragraph (b), we proposed that the reconsideration request must be
signed and submitted in English, electronically, and in compliance with
whatever procedures are described in the denial notice. In paragraph
(c), we proposed that after reviewing and evaluating the
reconsideration request, FDA would notify the accreditation body of our
decision.
On our own initiative, we relocated the requirement that the
reconsideration request be submitted to FDA electronically and in
English in Sec. 1.1171(b) of the proposed rule to Sec. 1.1110 in the
final rule. Additionally, we clarify in Sec. 1.1171(b) that the
request must include any supporting information. Comments regarding
this section are discussed below.
(Comment 137) Some comments suggest that prior to denying an
accreditation body's application for recognition, renewal, or
reinstatement, FDA should provide the reason for the proposed denial
and allow the accreditation body the opportunity to address FDA's
concerns.
(Response 137) Procedures outlined in other sections of this final
rule provide the notice and opportunity requested by these comments.
With regard to an application for recognition or renewal, Sec.
1.1115(a) provides that FDA will notify the applicant of any
insufficiencies. FDA views the accreditation body application process
as iterative; as stated in 1.1115(a), we will notify the applicant of
any insufficiencies and provide an opportunity for the accreditation
body to complete the application, before we evaluate it under Sec.
1.1115(b).
With regard to reinstatement, under Sec. 1.1117 an accreditation
body seeks recognition by submitting a new application. The new
application would be processed as described under Sec. 1.1115. Note
that an accreditation body that has had its recognition revoked by FDA
is also required to submit evidence that the ground(s) for revocation
have been resolved; for more information see the discussion of Sec.
1.1117(a), above.
2. How does an accreditation body or laboratory request a regulatory
hearing on FDA's decision to revoke the accreditation body's
recognition or disqualify a LAAF-accredited laboratory (Sec. 1.1173)?
Proposed Sec. 1.1173 described the processes for a regulatory
hearing concerning a decision by the Agency to revoke an accreditation
body's recognition or disqualify a laboratory from the LAAF program.
In paragraph (a) we proposed that an entity must submit a request
for a regulatory hearing within 10 business days after FDA issued a
revocation of recognition or disqualification. We proposed that the
hearing would be conducted under part 16 and that the revocation or
disqualification notice would contain all necessary elements to
constitute the notice of an opportunity for hearing under part 16 of
this chapter. In brief, in paragraph (b) we proposed that the hearing
request must be written and respond to the bases for FDA's
determinations described in the notice.
Proposed paragraph (c) stated that the submission of a request for
a hearing will not operate to delay or stay FDA's decision to revoke or
disqualify, unless FDA determines that delay or a stay is in the public
interest. Proposed paragraph (d) stated that the presiding officer
would be designated after the hearing request is submitted to FDA and
proposed paragraph (e) stated that the presiding officer may deny the
hearing request under Sec. 16.26(a). Proposed paragraph (f) addressed
the conduct of the hearing.
In the proposed rule, we used the word, ``revocation'' in this
section, to refer to FDA removing a laboratory from the program. We
received comments expressing concern with that terminology and have
revised our phrasing in light of such concerns, as discussed above at
Response 10. On our own initiative, we relocated the requirement that
the reconsideration request be submitted to FDA electronically and in
English in Sec. 1.1173(b) of the proposed rule to Sec. 1.1110 in the
final rule. We received no other comments solely related to this
section and so have only made minor editorial and conforming changes
(e.g., FDA may ``disqualify'' a laboratory rather than ``revoke the
laboratory's accreditation'') to the section, including the section
title.
3. How does an owner or consignee request a regulatory hearing on a
directed food laboratory order (Sec. 1.1174)?
Proposed Sec. 1.1174 described the processes for a regulatory
hearing concerning a directed food laboratory order. In paragraph (a)
we proposed that an owner or consignee must submit a request for a
regulatory hearing within 24 hours. We proposed that the hearing would
be conducted under part 16 and that the directed food laboratory order
would contain all necessary elements to constitute the notice of an
opportunity for hearing under part 16 of this chapter.
In brief, in paragraph (b) we proposed that the hearing request
must be written and respond to the bases for FDA's determinations
described in the directed food laboratory order. Proposed paragraph (c)
stated that the presiding officer would be designated after the hearing
request is submitted to FDA and proposed paragraph (d) stated that the
presiding officer may deny the hearing request under Sec. 16.26(a).
Proposed paragraph (e) addressed the conduct of the hearing.
On our own initiative, we relocated the requirement that the
reconsideration request be submitted to FDA electronically and in
English in Sec. 1.1174(b) of the proposed rule to Sec. 1.1110 in the
final rule. We also revised the section to incorporate updated
terminology and made minor editorial changes to improve the clarity and
readability of the section. We discuss changes made in response to
comments below.
(Comment 138) Several comments disagree with the proposed hearing
process for a directed food laboratory order because they contend it
would not afford sufficient due process protections to owners or
consignees. Specifically, comments raise concerns that the hearing
process under part 16 is discretionary and that an owner or consignee
must request a hearing by filing an appeal within 24 hours. These
comments state that the hearing should be guaranteed if requested.
Further,
[[Page 68810]]
these comments argue that 24 hours is not enough time to request the
hearing upon receipt of a directed food laboratory order, and that this
timeframe is also not warranted from a public health standpoint.
Instead, comments recommend more time, up to 10 days, as a reasonable
timeframe in which to review the directed food laboratory order and
prepare the request. Comments state the hearing should provide the
opportunity to determine the appropriate scope of the directed food
laboratory order and the ability to lift or vacate the directed food
laboratory order. Comments suggest that the hearing process used for
the facility registration suspension and mandatory recalls would be
more appropriate.
(Response 138) After considering the comments, we agree that 24
hours may not be sufficient time to request a regulatory hearing on a
directed food laboratory order. Part 16 of this chapter, which provides
for regulatory hearings before the FDA, provides not less than 3
working days after receipt of the notice to request a hearing (see
Sec. 16.22(b)). We have therefore revised Sec. 1.1174(a) to state
that the hearing request under this subpart must be submitted within 3
business days, to align with the intent of part 16 of this chapter. We
decline the request to establish a 10-day deadline because we consider
the 3 business days applicable in other part 16 contexts to be
sufficient in the directed food laboratory order context as well.
We also decline to adopt the hearing processes for facility
registration suspension and mandatory recalls. The statute guarantees
the opportunity for a hearing on the suspension of a food facility
registration ``to be held as soon as possible, but not later than two
business days after the issuance of the order . . .'' unless FDA and
the registrant agree otherwise (section 415(b)(2) of the FD&C Act).
Similarly, the statute guarantees the opportunity for an informal
hearing regarding a mandatory recall order ``to be held as soon as
possible, but not later than 2 days after the issuance of the order . .
. . '' (section 423(c) of the FD&C Act). In contrast, section 422 of
the FD&C Act does not provide for a guaranteed hearing process.
Therefore we believe the discretionary hearing process proposed, which
incorporates existing procedures in 21 CFR part 16, is appropriate with
respect to directed food laboratory orders. Under Sec. 16.26(a), a
hearing request may be denied, in whole or in part, if ``no genuine and
substantial issue of fact has been raised by the material submitted.''
With regard to the comments' contention that the hearing should
provide the opportunity to determine the appropriate scope of the
directed food laboratory order and the ability to lift or vacate the
directed food laboratory order, we believe this is inherent in the
procedure specified in Sec. 16.60, which permits the presentation of
any oral or written information relevant to the hearing, and which
grants the presiding officer power to take any actions necessary or
appropriate to conduct a fair, expeditious, and impartial hearing.
L. Comments Regarding Electronic Records and Public Disclosure
Requirements
1. Are electronic records created under this subpart subject to the
electronic records requirements of part 11 of this chapter (Sec.
1.1199)?
In Sec. 1.1199 of the proposed rule, we proposed to exempt from
the requirements of part 11 (21 CFR part 11) those records that meet
the definition of electronic records in Sec. 11.3(b)(6) and were
established or maintained to satisfy the requirements of this subpart.
(Comment 139) Comments on this aspect of the proposed rule voice
support for the proposed exemption. Comments contend that requiring
such records to comply with the requirements in 21 CFR part 11 would be
unnecessarily burdensome.
(Response 139) We appreciate support for this section and have
finalized it without change.
2. Are the records obtained by FDA under this subpart subject to public
disclosure (Sec. 1.1200)?
Proposed Sec. 1.1200 stated that records obtained by FDA under
this subpart are subject to the disclosure requirements under 21 CFR
part 20. We received no comments on this section and have finalized the
section without change.
M. Comments on Conforming and Technical Amendments and FDA Response
The proposed rule contained several conforming and technical
amendments.
We proposed revising the requirements for certain analyses under
the Accredited Third-Party Certification Program. Specifically, we
proposed to revise Sec. 1.651(b)(3) to require use of a laboratory
that is accredited in accordance with ISO/IEC 17025:2017 to perform
certain analyses for a regulatory audit. We also proposed to update the
cross-reference in paragraph (c)(2) of the same section.
We received no comments on these proposed changes. Thus, we have
finalized these changes as proposed, with one minor exception. In final
Sec. 1.651(c)(2), we changed, ``Federal Food, Drug, and Cosmetic
Act,'' to ``FD&C Act'' to be consistent with references to the statute
in the regulations for the Accredited Third-Party Certification Program
in part 1, subpart M.
We proposed to amend Sec. 11.1 regarding the scope of the
electronic records and electronic signatures regulations to add
paragraph (p) which states that part 11 does not apply to records
required to be established or maintained by part 1, subpart R of this
chapter (i.e., the LAAF regulations). However, records that satisfy the
requirements of subpart R of part 1 of this chapter (i.e., the LAAF
regulations), but that are also required under other applicable
statutory provisions or regulations, remain subject to part 11.
We received no comments regarding this conforming amendment. Thus,
we have finalized these changes as proposed.
We proposed conforming amendments to revise FDA's regulatory
hearing regulations at Sec. 16.1(b)(2) to include Sec. Sec. 1.1173
and 1.1174 in the list of regulations covered by this part. We received
no comments directly related to these conforming amendments. On our own
initiative, we changed, ``revocation of accreditation'' to
``disqualification,'' consistent with the terminology changes discussed
in Response 10, and ``food testing order'' to ``directed food
laboratory order,'' consistent with the change in terminology discussed
in the definitions section (Sec. 1.1102). In relation to the directed
food laboratory order, we also replaced the reference to Sec.
1.1107(a)(2) with a reference to Sec. 1.1108, consistent with the
reference we are providing in the definition of directed food
laboratory order (see Sec. 1.1102).
We proposed revising the bottled drinking water regulations in 21
CFR 129.35 to state that, ``the analysis of the five samples from the
same sampling site that originally tested positive for E. coli, as
required by paragraph (a)(3) of this section, must be conducted under
part 1, subpart R of this chapter.'' We received a few comments on that
proposal and are finalizing the revision without change; see comment
and Response 87.
VI. Effective Date
This final rule will be effective 60 days after publication in the
Federal Register. For information on implementation of the final rule,
see the discussion under that subheading in section V.B. of this
preamble.
[[Page 68811]]
VII. Economic Analysis of Impacts
We have examined the impacts of the final rule under Executive
Order 12866, Executive Order 13563, the Regulatory Flexibility Act (5
U.S.C. 601-612), and the Unfunded Mandates Reform Act of 1995 (Pub. L.
104-4). Executive Orders 12866 and 13563 direct us to assess all costs
and benefits of available regulatory alternatives and, when regulation
is necessary, to select regulatory approaches that maximize net
benefits (including potential economic, environmental, public health
and safety, and other advantages; distributive impacts; and equity). We
believe that this final rule is not a significant regulatory action as
defined by Executive Order 12866.
The Regulatory Flexibility Act requires us to analyze regulatory
options that would minimize any significant impact of a rule on small
entities. Because the per-entity one-time costs of the rule may exceed
one percent of revenues for accreditation bodies that choose to
participate in the LAAF program, we find that the final rule will have
a significant economic impact on a substantial number of small
entities.
The Unfunded Mandates Reform Act of 1995 (section 202(a)) requires
us to prepare a written statement, which includes an assessment of
anticipated costs and benefits, before proposing ``any rule that
includes any Federal mandate that may result in the expenditure by
State, local, and tribal governments, in the aggregate, or by the
private sector, of $100,000,000 or more (adjusted annually for
inflation) in any one year.'' The current threshold after adjustment
for inflation is $158 million, using the most current (2020) Implicit
Price Deflator for the Gross Domestic Product. This final rule would
not result in an expenditure in any year that meets or exceeds this
amount.
We have developed a comprehensive Economic Analysis of Impacts that
assesses the impacts of this rule. In table 13 we provide the
Regulatory Information Service Center and Office of Information and
Regulatory Affairs Consolidated Information System accounting
information.
Table 13--Summary of Benefits, Costs and Distributional Effects of Final Rule \1\
----------------------------------------------------------------------------------------------------------------
Units
Primary Low High ----------------------------
Category estimate estimate estimate Year Discount Period Notes
dollars rate (%) covered
----------------------------------------------------------------------------------------------------------------
Benefits:
Annualized Monetized $9.1 $6.6 $12.5 2020 7 10 Cost savings and
$millions/year. years avoided QALD
losses.
9.1 6.6 12.5 2020 3 10 Cost savings and
years avoided QALD
losses.
Annualized Quantified........ ........ ........ ........ ....... 7 ....... ...................
........ ........ ........ ....... 3 ....... ...................
------------------------------------------------------------------------------
,nQualitative................ Reduced risk of food-related
illness from improved test
performance for covered
tests. Cost savings from
clarifying reporting
requirements and from
allowing abridged analytical
reports.
Reduced risk of food-related
illness from unsafe food
manufacturing practices.
----------------------------------------------------------------------------------------------------------------
Costs:
Annualized Monetized 7.9 5.8 9.6 2020 7 10
$millions/year. 7.9 5.9 9.7 2020 3 years
10
years
Annualized Quantified........ ........ ........ ........ ....... 7 ...................
3
Qualitative.................. ........ ........ ........ ....... ........ ...................
----------------------------------------------------------------------------------------------------------------
Transfers
Federal Annualized Monetized ........ ........ ........ ....... 7 ...................
$millions/year. 3
------------------------------------------------------------------------------
From/To...................... From:
To: ....... ........ ....... ...................
------------------------------------------------------------------------------
Other........................ ........ ........ ........ ....... 7 ...................
------------------------------------------------------------------------------
Annualized Monetized ........ ........ ........ ....... 3 ...................
$millions/year.
From/To...................... From:
To:
----------------------------------------------------------------------------------------------------------------
Effects:
State, Local or Tribal Government: None.....................................................................
Small Business: Potential impacts on laboratories currently not accredited to ISO/IEC 17025 that would
participate in the LAAF program described by this rule.
Wages: None.................................................................................................
Growth: None................................................................................................
----------------------------------------------------------------------------------------------------------------
\1\ The lower bound equals the 5th percentile and the upper bound equals the 95th percentile.
[[Page 68812]]
The full analysis of economic impacts is available in the docket
for this final rule (Ref. 4) and at https://www.fda.gov/about-fda/reports/economic-impact-analyses-fda-regulations.
VIII. Analysis of Environmental Impact
We previously considered the environmental effects of this rule, as
stated in the proposed rule (84 FR 59452 at 59496). We stated that we
had determined, under 21 CFR 25.30(h), that this action ``is of a type
that does not individually or cumulatively have a significant effect on
the human environment'' such that neither an environmental assessment
nor an environmental impact statement is required. We have not received
any new information or comments that would affect our previous
determination (Ref. 22).
IX. Paperwork Reduction Act of 1995
This final rule contains information collection provisions that are
subject to review by the Office of Management and Budget (OMB) under
the Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3521). The title,
description, and respondent description of the information collection
provisions are shown in the following paragraphs with an estimate of
the annual reporting and recordkeeping burden. Included in the estimate
is the time for reviewing instructions, searching existing data
sources, gathering and maintaining the data needed, and completing and
reviewing each collection of information.
Title: Laboratory Accreditation for Analyses of Foods; OMB Control
Number 0910-0898.
Description: As mandated by section 422 of the FD&C Act, we are
establishing a program for the testing of food by accredited
laboratories (LAAF program); establishing the standards and procedures
for recognizing accredited laboratories and for recognized
accreditation bodies that LAAF-accredit laboratories; establishing a
publicly available registry of recognized accreditation bodies and
LAAF-accredited laboratories; and establishing procedures for reporting
any changes affecting the recognition of such accreditation bodies or
LAAF-accreditation of such laboratories.
Description of Respondents: Respondents to the collection of
information are accreditation bodies seeking recognition from FDA,
recognized accreditation bodies, laboratories seeking LAAF-
accreditation from recognized accreditation bodies, and LAAF-accredited
laboratories.
We estimate the burden of the information collection as follows:
Table 14--Estimated Annual Reporting Burden
----------------------------------------------------------------------------------------------------------------
Number of Average burden
Part 1, Subpart R Citation; Number of responses per Total annual per response (in Total hours
Activity respondents respondent responses hours)
----------------------------------------------------------------------------------------------------------------
Sec. Sec. 1.1113 and 4 1 4 20.............. 80
1.1114; Accreditation bodies
(ABs) application for
recognition (one-time
submission).
Sec. Sec. 1.1113 and 4 1 4 3.6............. 14.4
1.1114; ABs--application for
renewal of recognition.
Sec. 1.1116(a) and (b); ABs-- 0 3 0 3............... 0
notices of intent to
relinquish, records custodian.
Sec. 1.1123; ABs--reports, 4 42 168 1.75............ 294
notifications, and
documentation requirements.
Sec. Sec. 1.1138 and 170 1 170 20.............. 3,400
1.1139; laboratories--
submission of application for
LAAF-accreditation (one-time
submission).
Sec. 1.1140(a); 2 3 6 1............... 6
laboratories--notices of
intent to relinquish, records
custodian.
Sec. Sec. 1.1149(a) and 170 25 4,250 1.75............ 7,437.5
1.1152(c)(1), (2);
laboratories--submission of
sampling plan, sample
collection report, and
sampler qualifications.
Sec. Sec. 1.1152(d) and 170 10 1,700 2............... 3,400
1.1153(a); laboratories--
qualification to submit
abridged analytical reports
(one-time submission).
Sec. 1.1153; laboratories-- 170 25 4,250 1.16............ 4,930
abridged analytical reports
submissions.
Sec. 1.1152(c)(3), (4), and 9 1 9 .25 (15 minutes) 2.25
(5); laboratories--validation
and verification studies
submissions.
Sec. 1.1149(c); 170 1 170 1.5............. 255
laboratories--advance notice
of sampling submissions.
Sec. 1.1152(f); 170 1.5 255 .25 (15 minutes) 63.75
laboratories--immediate
notification.
Sec. Sec. 1.1142; 1.1171; 1 1 1 1............... 1
1.1173; and 1.1174--requests
in response to FDA action.
---------------------------------------------------------------------------------
Total..................... .............. .............. .............. ................ 19,883.9
----------------------------------------------------------------------------------------------------------------
Reporting Burden: Consistent with estimates in our FRIA (see
section II.F, Costs of this Rule (Ref. 4)), we estimate a total of 174
respondents. We estimate that 5 to 80 accreditation bodies could apply
for FDA recognition under this final rule and assume that 4
accreditation bodies will apply for FDA recognition. We estimate 170
laboratories will participate in the program. The reporting burden
includes a burden of 20,640 hours associated with one-time submissions.
In this analysis, we annualize the one-time submission burden using a
3-year
[[Page 68813]]
period horizon and zero percent discount rate, for an annualized one-
time reporting burden of 6,880 hours. Cumulatively, this results in a
total annual reporting burden of 19,883.9 hours, as reflected in table
14.
Section 1.1114 requires an accreditation body seeking initial
recognition to submit an application to FDA demonstrating it meets the
eligibility requirements described in Sec. 1.1113 of the final rule.
The burden to prepare and submit an application is an initial burden
and, once realized, would apply only to respondents new to the program.
We estimate this process would take one analyst between 40 and 80 hours
to compile all the relevant information, prepare for an assessment,
complete the initial application process, and submit the application.
For this analysis we assume a middle value of 60 hours. Also for this
analysis, we use a 3-year period horizon and zero percent discount rate
to convert the one-time submission burden to an annualized figure
(i.e., 60 hours / by 3 = 20 hours). Annually this results in 80 hours
of burden for initial applications submitted by 4 accreditation bodies
(4 applications x 20 hours per application), as reflected in row 1.
Section 1.1114 requires a recognized accreditation body to apply
for renewal of recognition at least every 5 years. We believe renewal
would take less time than an initial application because much of the
information will have already been compiled and therefore assume
between 20 and 40 hours. For this analysis we use a middle value and
calculate that each recognized accreditation body will spend 30 hours
every 5 years to complete and submit an application for renewal of its
recognition. This results in 6 hours per year (30 hours / 5 years) for
each accreditation body. Because we use a 3-year period horizon and
zero percent discount rate for this analysis, we annualize that figure
to three-fifths or 3.6. We multiply this figure by 4 accreditation
bodies for a total of 14.4 hours annually for the submission of renewal
of applications (4 applications x 3.6 hours per application), as
reflected in row 2.
Section 1.1116 requires that if a recognized accreditation body
voluntarily chooses to relinquish or not renew its recognition, it must
notify FDA and the laboratories it LAAF-accredits of its intention to
depart the program at least 60 days ahead of the departure. The
recognized accreditation body must also provide FDA with the name and
contact information of the custodian who will maintain and make
available to FDA requisite program records. We estimate a 1 percent
voluntary departure rate, which equates to the departure of 0.04
recognized accreditation body annually. We estimate it would take a
recognized accreditation body one hour for each of the three required
notices. Accordingly, with rounding, the estimate for the burden
associated with Sec. 1.1116 is zero (0.04 recognized accreditation
body x 3 notices = .12 annual responses, which rounds to 0; 0 annual
response x 3 hours = 0 total hours), as reflected in row 3.
Section 1.1123 requires a recognized accreditation body to submit
certain reports, notifications, and documentation to FDA, including
significant changes affecting its accreditation program or the
accreditation status of laboratories it LAAF-accredits, and to ensure
FDA has access to these and other records. We estimate recognized
accreditation bodies would incur a burden of 3.5 hours per month, or 42
hours per year, complying with the reporting requirements of Sec.
1.1123 and the recordkeeping requirements of Sec. 1.1124. For this
analysis, we identify recordkeeping and reporting burdens separately
and assume 21 of the 42 hours (i.e., 1.75 hours per month) would be
spent meeting the reporting requirements of Sec. 1.1123. Annually,
this results in 294 hours (4 recognized accreditation bodies x 42
responses per accreditation body x 1.75 hours per response), as
reflected in row 4.
Section 1.1139 requires a laboratory seeking LAAF-accreditation to
submit an application to a recognized accreditation body, demonstrating
that it meets the eligibility requirements specified in Sec. 1.1138.
We estimate 170 laboratories will apply and assume it would take one
analyst an average of 60 hours to compile all the relevant information;
however we regard the burden as a one-time burden and therefore have
annualized it by 3 years (20 hours annually). This results in an annual
reporting burden for initial applications by 170 laboratories being
3,400 hours (170 applications x 20 hours per application), as reflected
in row 5.
Section 1.1140 provides that if a laboratory voluntarily chooses to
relinquish or not renew its LAAF-accreditation, it must notify FDA and
its recognized accreditation body of its intention to do so at least 60
days ahead of the departure. If the laboratory is voluntarily
relinquishing or not renewing all methods within its scope, it must
also provide FDA with the name and contact information of the custodian
who will maintain and make available to FDA requisite program records.
We estimate a 1 percent program departure rate, which equates to the
departure of 1.70 LAAF-accredited laboratories each year, which we
round to 2. We estimate it would take a laboratory one hour for each of
the three required notices. Accordingly, we estimate a burden of 6
hours per year under Sec. 1.1140 (2 laboratories x 3 notices = 6
annual responses; 6 annual responses x 1 hour = 6 total hours), as
reflected in row 6.
Section 1.1152(a) through (e) requires a LAAF-accredited laboratory
to submit results of testing required to be conducted under the LAAF
program and include supporting documentation. As discussed in our
supporting statement, only a percentage of that testing would be
defined as information collection under the PRA. For this analysis we
assume a mean figure of 4,065 test result and supporting documentation
submissions (4,065.2 rounded to the nearest integer) as the basis for
factoring a corresponding information collection burden. This figure is
derived using lower and upper bound estimates of submissions we expect
under the rule. To allow for adjustment and potential increase we have
added 50 submissions for a total of 4,115.
Section 1.1152(c)(1) requires a LAAF-accredited laboratory to
submit a sample collection plan and sample collection report (the
contents of which are described in Sec. 1.1149(a)) with each test
result. Under Sec. 1.1152(c)(2), a LAAF-accredited laboratory must
include documentation of the sampler's qualifications the first time
the sampler collects a sample. We assume that it would take 30 minutes
to 1 hour to compile a sampling plan, 30 minutes to 1 hour to compile a
sample collection report, and an average of 10 to 20 minutes to obtain
the sampling plan, sample collection report, and sampler's
qualifications. Using a middle value of 1.5 hours to generate the
sampling plan and the sample collection report, and a middle value of
15 minutes (.25 hours) to obtain those two documents and documentation
of the sampler's qualifications, we calculate a total time per test
result of 1.75 hours (1.5 + .25). When multiplied together the total
reporting burden for the submission of sampling plans, sample
collection reports, and sampler qualification requirements (170
accredited laboratories x 25 sampling plans and sample collection
reports x 1.75 hours) is 7,437.5 hours, as reflected in row 7.
Section 1.1153(a) allows a LAAF-accredited laboratory to qualify to
submit abridged analytical reports in lieu of full analytical reports.
We expect
[[Page 68814]]
this will be a one-time burden, but we may revisit this assumption in
the future based on actual rates of revocation of permission to submit
abridged analytical reports. We assume that each LAAF-accredited
laboratory would submit 10 consecutive full analytical reports (for the
middle value of 2 major food testing disciplines per laboratory) to
qualify to submit abridged analytical reports. We also assume that a
LAAF-accredited laboratory will spend 4 to 8 hours to compile and
submit a full analytical report, and we use the middle value of 6 hours
for this analysis. For initial or one-time burdens we use a 3-year
period horizon and zero percent discount rate to convert the one-time
burden to an annualized figure (2 hours). When multiplied together,
this results in a total reporting burden for the LAAF-accredited
laboratories to qualify to submit abridged analytical reports of 3,400
hours (170 laboratories x 10 full analytical reports each x 2 hours per
analytical report), as reflected in row 8.
Once a LAAF-accredited laboratory qualifies to submit abridged
analytical reports, we assume it will submit abridged analytical
reports to us thereafter. We may revisit this assumption in the future
based on actual rates of revocation of permission to submit abridged
analytical reports. We estimate the burden to compile and submit an
abridged analytical report to be between 25 percent and 33 percent of
the burden of compiling and submitting a full analytical report, and we
use a middle value of 29 percent here. Thus, using these figures we
calculate it would take a LAAF-accredited laboratory 1.16 hours to
compile and submit an abridged analytical report (29 percent x 4
hours). This results in an annual total reporting burden for the 170
LAAF-accredited laboratories to compile and submit abridged analytical
reports of approximately 4,930 hours (170 laboratories x 25 abridged
analytical reports x 1.16 hours per abridged analytical report), as
reflected in row 9.
The final rule also requires a LAAF-accredited laboratory to submit
verification and validation studies to FDA as part of an analytical
report. The ISO/IEC 17025:2017 standard requires the use of validated
and verified methods for food testing. However, the final rule requires
additional verification studies over and above the requirements of ISO/
IEC 17025:2017. Additional studies may include information to verify
that a method previously validated for a specific food item is also
valid for a different food item, in what is called a ``matrix
extension.'' We estimate that the additional time burden of requiring a
LAAF-accredited laboratory to submit verification studies such as
matrix extensions under this final rule to be a middle value of
approximately 3 percent of the time burden incurred by laboratories to
maintain accreditation to ISO/IEC 17025:2017 (the FRIA estimates a
range of 1 percent to 5 percent). In the FRIA we also note that
internal FDA experts suggest that between 5 percent and 30 percent of
import food testing results require verification studies such as matrix
extensions. We use a middle value of 17.5 percent for this analysis.
Regarding validation requirements, we assume that methods used to
test shell eggs, sprouts, and bottled drinking water are either already
validated or that the costs of doing so would be included in the costs
to maintain ISO/IEC 17025:2017 accreditation. Consequently, we assume
that shell eggs, sprouts, and bottled drinking water producers would
incur no burden from this requirement beyond the burden of the final
rule's requirement to meet the validation requirements of ISO/IEC
17025:2017.
We estimate the time required to perform a matrix extension is a
middle value of 34 hours (the FRIA estimates a range of 22 to 46
hours). We do not distinguish between the burden of reporting the study
and the burden of conducting the study. We assume 25 percent of the 34
hours (8.5 hours) is attributable to the associated reporting burden.
Because we estimate that the additional time burden of requiring
laboratories to submit verification studies such as matrix extensions
under this final rule would be approximately 3 percent of the time
burden incurred by laboratories to maintain accreditation to ISO/IEC
17025:2017, we multiply 8.5 hours by 3 percent to get the additional
reporting burden of .255 hours (15.3 minutes, which we round to 15
minutes, which is .25 hours) per study imposed by the verification
study submission requirements of the final rule. To estimate the number
of test results that would require matrix extensions, we multiply the
number of import testing results that would be submitted to us under
this rule annually that are subject to PRA requirements (50) by the
share of test results submitted to us for import food testing that
require matrix extensions (17.5 percent), for a total of 8.75 matrix
extensions per year. This equates to an average of .3241 matrix
extensions per LAAF-accredited laboratory conducting food testing for
imports (8.75 / 27). Because the number of respondents and the annual
responses per respondent in a PRA analysis must be whole numbers, we
instead estimate that nine LAAF-accredited laboratories (27 x .3241,
rounded to 9 from 8.75) will submit one full verification study to FDA
annually. Therefore, the annual reporting burden of requiring the
submission of validation and verification studies under this final rule
is 2.25 hours (9 accredited laboratories x 1 verification studies x .25
hours per study), as reflected in row 10.
Under section 1.1149(c), FDA may require under certain
circumstances, that a LAAF-accredited laboratory submit an advance
notice of sampling to FDA before each of the next several occasions
that the sampler will a collect a sample that the LAAF-accredited
laboratory will analyze under the LAAF program. We assume that it would
take a laboratory analyst between 1 and 2 hours to compile and submit
the required information, and we assume that between one percent and
five percent of all test results submitted annually under the LAAF
program will be subject to the advance notice of sampling requirement.
For this analysis we assume middle values of 1.5 hours and three
percent, respectively. Thus, we estimate that 123.45 test results
(4,115 x 3%) will require submission of advance notice of sampling
under the final rule. For this analysis we assume that each of the
estimated 170 LAAF-accredited laboratories will be required to submit
three advance notices sampling annually under the final rule (123.45 /
170 = 0.74; rounded to 1). Thus, the annual reporting burden on LAAF-
accredited laboratories for the advance notice of sampling requirement
would be 255 hours (170 laboratories x 1 advance notices of sampling x
1.5 hours), as reflected in row 11.
Section 1.1152(f) requires a LAAF-accredited laboratory to notify
FDA and the recognized accreditation body of any changes that affect
the laboratory's LAAF-accreditation. Note, however, that a LAAF-
accredited laboratory is not required to notify FDA of changes that the
recognized accreditation body must provide to FDA under Sec.
1.1123(d). As a conservative estimate, we assume that each LAAF-
accredited laboratory will have some change requiring notification of
its recognized accreditation body, and for half of those changes the
LAAF-accredited laboratory will also need to notify FDA. We estimate it
will take a LAAF-accredited laboratory 15 minutes per notification.
Thus, we estimate the burden associated with Sec. 1.1152(f) would be
63.75 hours (170 accredited laboratories x 1.5 notifications x 0.25
hours per notification), as reflected in row 12.
[[Page 68815]]
Sections 1.1142, 1.1171, 1.1173, and 1.1174 provide for requests to
FDA. Specifically, Sec. 1.1142 provides for requests for reinstatement
of LAAF accreditation; Sec. 1.1171 provides for requests for
reconsideration of denials; and Sec. Sec. 1.1173 and 1.1174 provide
for requests for hearings. Because this is a new collection, we
estimate a cumulative total of 1 respondent and 1 burden hour, as
reflected in row 13.
Table 15--Estimated Annual Recordkeeping Burden
----------------------------------------------------------------------------------------------------------------
Average burden
21 CFR part 1, subpart R; Number of Number of Total annual per
activity recordkeepers records per records recordkeeping Total hours
recordkeeper (in hours)
----------------------------------------------------------------------------------------------------------------
Sec. 1.1113; recordkeeping 4 1 4 1 4
associated with ISO/IEC
17011:2017.....................
Sec. 1.1124; ABs--additional 4 1 4 21 84
recordkeeping requirements.....
Sec. 1.1138; laboratories-- 9 1 9 91.06 819.54
becoming accredited to ISO/IEC
17025:2017 (one-time)..........
Sec. 1.1138; laboratories-- 170 1 170 889.53 151,220.10
maintaining ISO/IEC 17025:2017
accreditation..................
Sec. 1.1154; laboratories-- 170 1 170 12 2,040
additional recordkeeping
requirements...................
-------------------------------------------------------------------------------
Total....................... .............. .............. .............. .............. 154,167.64
----------------------------------------------------------------------------------------------------------------
Recordkeeping Burden: We estimate the annual recordkeeping
requirements associated with the final rule to be 154,167.64 hours, as
reflected in table 15.
Section 1.1113 requires a recognized accreditation body to meet the
requirements of ISO/IEC 17011:2017. While ISO/IEC 17011:2017 includes
recordkeeping requirements, as noted above we anticipate that all 4 of
the accreditation bodies that we estimate will apply to become
recognized currently adhere to ISO/IEC 17011:2017. We therefore regard
these activities as usual and customary; however, we include a place
holder of one response and one burden hour for each respondent, as
reflected in row 1.
Section 1.1124 requires maintenance of certain records in addition
to those required by ISO/IEC 17011:2017. We estimate that a recognized
accreditation body will incur a burden of 12 hours per year to comply
with both the recordkeeping requirements of Sec. 1.1124 and the
reporting requirements of Sec. 1.1123. For this analysis, we identify
the recordkeeping and reporting burdens separately, assuming 21 of
those 42 annual hours would be spent complying with the recordkeeping
requirements of Sec. 1.1124. Thus, the annual recordkeeping burden for
the 4 recognized accreditation bodies to meet the additional
recordkeeping requirements of Sec. 1.1124 would be 84 hours, as
reflected in row 2.
Section 1.1138 requires a laboratory to be ISO/IEC 17025:2017-
accredited, including meeting its recordkeeping requirements, to become
LAAF-accredited under the rule. We estimate that 7 to 10 laboratories
not currently accredited to ISO/IEC 17025:2017 would become so
accredited to participate in the LAAF program. For this estimate, we
assume the middle value of 8.5 laboratories, which we round up to 9,
would become ISO/IEC 17025-accredited to participate in the LAAF
program. The burden to become ISO/IEC 17025:2017-accredited is an
initial burden and, once realized, would apply only to respondents
becoming accredited to ISO/IEC 17025:2017 to participate in the LAAF
program. We estimate that it would take a mean of 91.06 hours for the
associated recordkeeping activities. In this analysis, we annualize
this recordkeeping burden using a 3-year period horizon and zero
percent discount rate, for an annualized recordkeeping burden of 819.54
hours, as reflected in row 3.
Section 1.1138 requires a LAAF-accredited laboratory to maintain
conformance with ISO/IEC 17025:2017, including its recordkeeping
requirements. As discussed in the proposed rule, we estimate a mean of
889.53 hours for this recordkeeping. This results in an annual burden
of 151,220.10 hours, as reflected in row 4.
Section 1.1154 requires maintenance of certain records in addition
to those required by ISO/IEC 17025:2017. We estimate that a LAAF-
accredited laboratory will incur a burden of about 1 hour per month (12
hours per year) to comply with the recordkeeping requirements in Sec.
1.1154. This results in an annual burden of 2,040 hours, as reflected
in row 5.
The information collection provisions in this final rule have been
submitted to OMB for review as required by section 3507(d) of the
Paperwork Reduction Act of 1995.
Before the effective date of this final rule, FDA will publish a
notice in the Federal Register announcing OMB's decision to approve,
modify, or disapprove the information collection provisions in this
final rule. An Agency may not conduct or sponsor, and a person is not
required to respond to, a collection of information unless it displays
a currently valid OMB control number.
X. Federalism
We have analyzed this final rule in accordance with the principles
set forth in Executive Order 13132. We have determined that the rule
does not contain policies that have substantial direct effects on the
States, on the relationship between the National Government and the
States, or on the distribution of power and responsibilities among the
various levels of government. Accordingly, we conclude that the rule
does not contain policies that have federalism implications as defined
in the Executive Order and, consequently, a federalism summary impact
statement is not required.
XI. Consultation and Coordination With Indian Tribal Governments
We have analyzed this rule in accordance with the principles set
forth in Executive Order 13175. We have determined that the rule does
not contain policies that 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. Accordingly, we
conclude that the rule
[[Page 68816]]
does not contain policies that have tribal implications as defined in
the Executive Order and, consequently, a tribal summary impact
statement is not required.
XII. References
The following references marked with an asterisk (*) are on display
at the Dockets Management Staff (see ADDRESSES) and are available for
viewing by interested persons between 9 a.m. and 4 p.m., Monday through
Friday; they also are available electronically at https://www.regulations.gov. References without asterisks are not on public
display at https://www.regulations.gov because they have copyright
restriction. Some may be available at the website address, if listed.
References without asterisks are available for viewing only at the
Dockets Management Staff. FDA has verified the website addresses, as of
the date this document publishes in the Federal Register, but websites
are subject to change over time.
* Ref. 1. Congressional Hearing, ``The Safety of Food Imports:
Fraud & Deception in the Food Import Process; Hearings Before the
Senate Committee on Governmental Affairs, Permanent Subcommittee on
Investigations.'' September 10, 1998. https://www.gpo.gov/fdsys/pkg/CHRG-105shrg51562/pdf/CHRG-105shrg51562.pdf. Accessed November 4,
2021.
Ref. 2. ISO/IEC 17011:2017(E), ``Conformity Assessment--
Requirements for Accreditation Bodies Accrediting Conformity
Assessment Bodies.'' ISO/IEC. November 2017. Copies are available
from the International Organization for Standardization, Chemin de
Blandonnet 8, 1214 Vernier, Geneva, Switzerland, or on the internet
at https://www.iso.org/standard/67198.html, or may be examined at
the Dockets Management Staff (Ref. Docket No. FDA-2019-N-3325 and/or
RIN 0910-AH31).
Ref. 3. ISO/IEC 17025:2017(E), ``General Requirements for the
Competence of Testing and Calibration Laboratories.'' ISO/IEC.
November 2017. Copies are available from the International
Organization for Standardization, Chemin de Blandonnet 8, 1214
Vernier, Geneva, Switzerland, or on the internet at https://www.iso.org/standard/66912.html, or may be examined at the Dockets
Management Staff (Ref. Docket No. FDA-2019-N-3325 and/or RIN 0910-
AH31).
* Ref. 4. FDA. LAAF: Final Regulatory Impact Analysis, Final
Regulatory Flexibility Analysis, Unfunded Mandates Reform Act
Analysis, 2021. https://www.fda.gov/AboutFDA/ReportsManualsForms/Reports/EconomicAnalyses/default.htm.
* Ref. 5. Partnership for Food Protection, ``Human and Animal
Food Testing Laboratories Best Practices Manual,'' December 2018,
available at https://www.pfp-ifss.org/ifss-resources/human-and-animal-food-testing-laboratories-best-practices-manual-december-2018/. Accessed November 4, 2021.
* Ref. 6. Association for Public Health Laboratories, ``Best
Practices for Submission of Actionable Human and Animal Food Testing
Data Generated in State and Local Laboratories,'' January 2019,
available at https://www.aphl.org/aboutAPHL/publications/Documents/FS-2019Jan-Best-Practices-Human-Animal-Food-Data.pdf. Accessed
November 4, 2021.
* Ref. 7. The Cambridge Dictionary, https://dictionary.cambridge.org/us/dictionary/english/assess. Accessed
November 4, 2021.
* Ref. 8. ``OMB Circular A-119: Federal Participation in the
Development and Use of Voluntary Consensus Standards and in
Conformity Assessment Activities.'' Office of Management and Budget.
January 2016. https://www.nist.gov/system/files/revised_circular_a-119_as_of_01-22-2016.pdf. Accessed November 4, 2021.
* Ref. 9. National Institute of Standards and Technology Special
Publication 2000-02, ``Conformity Assessment Considerations for
Federal Agencies,'' September 2018. https://doi.org/10.6028/NIST.SP.2000-02. Accessed November 4, 2021.
* Ref. 10. Codex Alimentarius Commission, ``General Guidelines
on Sampling,'' CAC/GL-50-2004. https://www.fao.org/fao-who-codexalimentarius/sh-proxy/en/?lnk=1&url=https%253A%252F%252Fworkspace.fao.org%252Fsites%252Fcodex%252FStandards%252FCXG%2B50-2004%252FCXG_050e.pdf. Accessed November
4, 2021.
* Ref. 11. FDA, ``Control of Listeria monocytogenes in Ready-To-
Eat Foods: Guidance for Industry,'' Draft Guidance, January 2017.
https://www.fda.gov/media/102633/download. Accessed November 4,
2021.
* Ref. 12. FDA, ``Outbreak Investigation of Scombrotoxin Fish
Poisoning: Yellowfin/Ahi Tuna (November 2019).'' https://
www.fda.gov/food/outbreaks-foodborne-illness/outbreak-investigation-
scombrotoxin-fish-poisoning-yellowfinahi-tuna-november-
2019#:~:text=%2C%20WV%20(1)-
,What%20is%20Scombrotoxin%20Fish%20Poisoning%3F,eating%20mishandled%2
0and%20decomposed%20fish. Accessed November 4, 2021.
Ref. 13. AOAC International, ``Guidelines for Laboratories
Performing Microbiological and Chemical Analyses of Food, Dietary
Supplements, and Pharmaceuticals, An Aid to Interpretation of ISO/
IEC 17025:2017.'' August 2018. Copies are available from AOAC
International, 2275 Research Blvd., Ste. 300, Rockville, MD 20850-
3250, USA, or on the internet at https://www.aoac.org/aoac-accreditation-guidelines-for-laboratories-alacc/, or may be examined
at the Dockets Management Staff (Ref. Docket No. FDA-2019-N-3325
and/or RIN 0910-AH31).
Ref. 14. Association of American Feed Control Officials, ``2014
Quality Assurance/Quality Control Guidelines for Feed Laboratories,
2014.'' Copies are available from Association of American Feed
Control Officials, 1800 South Oak St., Suite 100, Champaign, IL
61820 or on the internet at https://www.aafco.org/Publications/QA-QC-Guidelines-for-Feed-Laboratories, or may be examined at the
Dockets Management Staff (Ref. Docket No. FDA-2019-N-3325 and/or RIN
0910-AH31).
* Ref. 15. FDA Memorandum, ``Assessment of DWPE Sampling and
Analysis Data to Determine what Portion of Sampling and Analysis of
Food under DWPE is Conducted by Accredited Entities.'' Toni Morales
and Tyler Scandalios, FDA. November 20, 2018.
Ref. 16. ISO/IEC 17043:2010, ``Conformity Assessment--General
Requirements for Proficiency Testing.'' ISO/IEC. February 2010.
Copies are available from the International Organization for
Standardization, Chemin de Blandonnet 8, 1214 Vernier, Geneva,
Switzerland, or on the internet at https://www.iso.org/standard/29366.html, or may be examined at the Dockets Management Staff (Ref.
Docket No. FDA-2019-N-3325 and/or RIN 0910-AH31).
* Ref. 17. FDA, Investigations Operations Manual, 2021. https://www.fda.gov/inspections-compliance-enforcement-and-criminal-investigations/inspection-references/investigations-operations-manual. Accessed November 4, 2021.
* Ref. 18. University of Georgia Extension, Bulletin 1306,
``Biosecurity Basics for Poultry Growers,'' March 2020. https://secure.caes.uga.edu/extension/publications/files/pdf/B%201306_6.PDF.
Accessed November 4, 2021.
* Ref. 19. Association of American Food Control Officials,
``GOODSamples: Guidance On Obtaining Defensible Samples,'' October
2015. https://www.aafco.org/Portals/0/SiteContent/Publications/GOODSamples.pdf. Accessed November 4, 2021.
* Ref. 20. Association of American Food Control Officials,
``GOOD Test Portions: Guidance On Obtaining Defensible Test
Portions,'' June 2018. https://www.aafco.org/Publications/GOODTestPortions. Accessed November 4, 2021.
* Ref. 21. FDA, ``Methods, Method Verification and Validation,''
ORA Laboratory Manual, Vol. II, Section 2, document number ORA-
LAB.5.4.5. June 30, 2020. https://www.fda.gov/media/73920/download.
Accessed November 4, 2021.
* Ref. 22. FDA Memorandum, ``Categorical Exclusion--Final Rule
Laboratory Accreditation for Analyses of Foods [Docket No. FDA-2019-
N-3325].'' Mariellen Pfeil, FDA. July 21, 2021.
List of Subjects
21 CFR Part 1
Cosmetics, Drugs, Exports, Food labeling, Imports, Incorporation by
reference, Labeling, Reporting and recordkeeping requirements.
21 CFR Part 11
Computer technology, Reporting and recordkeeping requirements.
21 CFR Part 16
Administrative practice and procedure.
21 CFR Part 129
Beverages, Bottled water, Food packaging, Reporting and
recordkeeping requirements.
Therefore, under the Federal Food, Drug, and Cosmetic Act, and
under
[[Page 68817]]
authority delegated to the Commissioner of Food and Drugs, 21 CFR parts
1, 11, 16, and 129 are amended as follows:
PART 1--GENERAL ENFORCEMENT REGULATIONS
0
1. The authority citation for part 1 continues to read as follows:
Authority: 15 U.S.C. 1333, 1453, 1454, 1455, 4402; 19 U.S.C.
1490, 1491; 21 U.S.C. 321, 331, 332, 333, 334, 335a, 343, 350c,
350d, 350e, 350j, 350k, 352, 355, 360b, 360ccc, 360ccc-1, 360ccc-2,
362, 371, 373, 374, 379j-31, 381, 382, 384a, 384b, 384d, 387, 387a,
387c, 393; 42 U.S.C. 216, 241, 243, 262, 264, 271; Pub. L. 107-188,
116 Stat. 594, 668-69; Pub. L. 111-353, 124 Stat. 3885, 3889.
0
2. In Sec. 1.651, revise paragraphs (b)(3) and (c)(2) to read as
follows:
Sec. 1.651 How must an accredited third-party certification body
conduct a food safety audit of an eligible entity?
* * * * *
(b) * * *
(3) When, for a regulatory audit, sampling and analysis is
conducted, the accredited third-party certification body must use a
laboratory that is accredited in accordance with ISO/IEC 17025:2017 to
perform the analysis.
* * * * *
(c) * * *
(2) The audit must include records review prior to the onsite
examination; an onsite examination of the facility, its process(es),
and the food that results from such process(es); and where appropriate
or when required by FDA, environmental or product sampling and
analysis. When, for a regulatory audit, sampling and analysis is
conducted, the accredited third-party certification body must use a
laboratory that is accredited in accordance with paragraph (b)(3) of
this section to conduct the analysis. The audit may include any other
activities necessary to determine compliance with applicable food
safety requirements of the FD&C Act and FDA regulations, and, for
consultative audits, also includes conformance with applicable industry
standards and practices.
* * * * *
0
3. Add subpart R, consisting of Sec. Sec. 1.1101 through 1.1201, to
read as follows:
Subpart R--Laboratory Accreditation for Analyses of Foods
General Provisions
Sec.
1.1101 What documents are incorporated by reference in this subpart?
1.1102 What definitions apply to this subpart?
1.1103 Who is subject to this subpart?
General Requirements
1.1107 When must food testing be conducted under this subpart?
1.1108 When and how will FDA issue a directed food laboratory order?
1.1109 How will FDA make information about recognized accreditation
bodies and LAAF-accredited laboratories available to the public?
1.1110 What are the general requirements for submitting information
to FDA under this subpart?
FDA Recognition of Accreditation Bodies
1.1113 What are the eligibility requirements for a recognized
accreditation body?
1.1114 How does an accreditation body apply to FDA for recognition
or renewal of recognition?
1.1115 How will FDA evaluate applications for recognition and
renewal of recognition?
1.1116 What must a recognized accreditation body do to voluntarily
relinquish or not renew its recognition?
1.1117 How may an accreditation body request reinstatement of
recognition?
Requirements for Recognized Accreditation Bodies
1.1119 What are the conflict of interest requirements for a
recognized accreditation body?
1.1120 How must a recognized accreditation body assess laboratories
seeking LAAF-accreditation and oversee LAAF-accredited laboratories?
1.1121 When must a recognized accreditation body require corrective
action, suspend a LAAF-accredited laboratory, or reduce the scope of
or withdraw the LAAF-accreditation of a laboratory?
1.1122 What procedures must a recognized accreditation body provide
for appeals of decisions to suspend, reduce the scope of, withdraw,
or deny LAAF-accreditation?
1.1123 What reports, notifications, and documentation must a
recognized accreditation body submit to FDA?
1.1124 What are the records requirement for a recognized
accreditation body?
1.1125 What are the internal audit requirements for a recognized
accreditation body?
FDA Oversight of Recognized Accreditation Bodies
1.1130 How will FDA oversee recognized accreditation bodies?
1.1131 When will FDA require corrective action, put a recognized
accreditation body on probation, or revoke the recognition of an
accreditation body?
LAAF-Accreditation of Laboratories
1.1138 What are the eligibility requirements for a LAAF-accredited
laboratory?
1.1139 How does a laboratory apply for LAAF-accreditation or extend
its scope of LAAF-accreditation?
1.1140 What must a LAAF-accredited laboratory do to voluntarily
relinquish its LAAF-accreditation?
1.1141 What is the effect on a LAAF-accredited laboratory if its
recognized accreditation body is no longer recognized by FDA?
1.1142 How does a laboratory request reinstatement of LAAF-
accreditation?
Requirements for LAAF-Accredited Laboratories
1.1147 What are the impartiality and conflict of interest
requirements for a LAAF-accredited laboratory?
1.1149 What oversight standards apply to sampling?
1.1150 What are the requirements for analysis of samples by a LAAF-
accredited laboratory?
1.1151 What requirements apply to the methods of analysis a LAAF-
accredited laboratory uses to conduct food testing under this
subpart?
1.1152 What notifications, results, reports, and studies must a
LAAF-accredited laboratory submit to FDA?
1.1153 What are the requirements for submitting abridged analytical
reports?
1.1154 What other records requirements must a LAAF-accredited
laboratory meet?
FDA Oversight of LAAF-Accredited Laboratories
1.1159 How will FDA oversee LAAF-accredited laboratories?
1.1160 How will FDA review test results and analytical reports?
1.1161 When will FDA require corrective action, put a LAAF-
accredited laboratory on probation, or disqualify a LAAF-accredited
laboratory from submitting analytical reports?
1.1162 What are the consequences if FDA puts a LAAF-accredited
laboratory on probation or disqualifies a LAAF-accredited
laboratory?
Requesting FDA Reconsideration or Regulatory Hearings of FDA
Decisions Under This Subpart
1.1171 How does an accreditation body request reconsideration by FDA
of a decision to deny its application for recognition, renewal, or
reinstatement?
1.1173 How does an accreditation body or laboratory request a
regulatory hearing on FDA'sdecision to revoke the accreditation
body's recognition or disqualify a LAAF-accredited laboratory?
1.1174 How does an owner or consignee request a regulatory hearing
on a directed food laboratory order?
Electronic Records and Public Disclosure Requirements
1.1199 Are electronic records created under this subpart subject to
the electronic records requirements of part 11 of this chapter?
1.1200 Are the records obtained by FDA under this subpart subject to
public disclosure?
[[Page 68818]]
Subpart R--Laboratory Accreditation for Analyses of Foods
General Provisions
Sec. 1.1101 What documents are incorporated by reference in this
subpart
(a) Certain material is incorporated by reference into this subpart
with the approval of the Director of the Federal Register under 5
U.S.C. 552(a) and 1 CFR part 51. All approved material is available for
inspection at the Food and Drug Administration's Dockets Management
Staff, 5630 Fishers Lane, Rm. 1061, Rockville, MD 20852, 240-402-7500,
and is available from the source listed elsewhere in this section. It
is also available for inspection at the National Archives and Records
Administration (NARA). For information on the availability of this
material at NARA, email [email protected] or go to https://www.archives.gov/federal-register/cfr/ibr-locations.html.
(b) International Organization for Standardization (ISO), Chemin de
Blandonnet 8, CP 401, 1214 Vernier, Geneva, Switzerland; Telephone 41
22 749 01 11, https://www.iso.org/home.html.
(1) ISO/IEC 17011:2017(E), Conformity assessment--Requirements for
accreditation bodies accrediting conformity assessment bodies, Second
edition, November 2017, IBR approved for Sec. Sec. 1.1113(a) and (c),
1.1114(b), 1.1120(c), 1.1131(a).
(2) ISO/IEC 17025:2017(E), General requirements for the competence
of testing and calibration laboratories, Third edition, November 2017,
IBR approved for Sec. Sec. 1.1120(c), 1.1121(a), 1.1138(a), 1.1139(b)
and (c), 1.1141(a), 1.1152(a) and (d), 1.1153(c), and 1.1161(a).
Sec. 1.1102 What definitions apply to this subpart?
The definitions of terms in section 201 of the Federal Food, Drug,
and Cosmetic Act apply to such terms when used in this subpart, unless
otherwise specified. For the purposes of this subpart, the following
definitions also apply:
Analyst means an individual who analyzes samples.
Corrective action means an action taken by an accreditation body or
laboratory to investigate and eliminate the cause of a deficiency so
that it does not recur.
Directed food laboratory order means an order issued by FDA under
Sec. 1.1108 requiring food testing to be conducted under this subpart
by or on behalf of an owner or consignee.
Food has the meaning given in section 201(f) of the Federal Food,
Drug, and Cosmetic Act, except that food does not include pesticides
(as defined in 7 U.S.C. 136(u)).
Food testing and testing of food means the analysis of food product
samples or environmental samples.
Laboratory accreditation for analyses of foods (LAAF)-accreditation
means a determination by a recognized accreditation body that a
laboratory meets the applicable requirements of this subpart to conduct
food testing under this subpart using one or more methods of analysis.
LAAF-accredited laboratory means a laboratory that a recognized
accreditation body has determined meets the applicable requirements of
this subpart and has been LAAF-accredited to conduct food testing under
this subpart using one or more methods of analysis.
Owner or consignee means any person with an ownership or
consignment interest in the food product or environment that is the
subject of food testing conducted under Sec. 1.1107(a).
Recognition means a determination by FDA that an accreditation body
meets the applicable requirements of this subpart and is authorized to
LAAF-accredit laboratories under this subpart.
Recognized accreditation body means an accreditation body that FDA
has determined meets the applicable requirements of this subpart and is
authorized to LAAF-accredit laboratories under this subpart.
Representative sample means a sample that accurately, to a
statistically acceptable degree, represents the characteristics and
qualities of the food product or environment from which the sample was
collected.
Sampler means an individual who collects samples.
Sampling firm means an entity that provides sampling services.
Scope of LAAF-accreditation refers to the methods of analysis for
which the laboratory is LAAF-accredited.
Street address means the full physical address, including the
country. For purposes of this rule, a post office box number alone is
insufficient; however, a post office box number may be provided in
addition to the street address.
Sec. 1.1103 Who is subject to this subpart?
(a) Accreditation bodies. An accreditation body is subject to this
subpart if it has been or is seeking to be recognized by FDA to LAAF-
accredit laboratories to conduct food testing under this subpart.
(b) Laboratories. A laboratory is subject to this subpart if it has
been or is seeking to be LAAF-accredited by a recognized accreditation
body to conduct food testing under this subpart.
(c) Owners and consignees. An owner or consignee is subject to this
subpart if it is required to use a LAAF-accredited laboratory to
conduct food testing under this subpart.
General Requirements
Sec. 1.1107 When must food testing be conducted under this subpart?
(a) Food testing must be conducted under this subpart whenever such
testing is conducted by or on behalf of an owner or consignee:
(1) In response to explicit testing requirements that address an
identified or suspected food safety problem, which are contained in the
following provisions:
(i) Sprouts. Section 112.146(a), (c), and (d) of this chapter;
(ii) Shell eggs. Sections 118.4(a)(2)(iii), 118.5(a)(2)(ii) and
(b)(2)(ii), and 118.6(a)(2) and (e) of this chapter; and
(iii) Bottled drinking water. Section 129.35(a)(3)(i) of this
chapter (for the requirement to test five samples from the same
sampling site that originally tested positive for Escherichia coli);
(2) As required by FDA in a directed food laboratory order issued
under Sec. 1.1108;
(3) To address an identified or suspected food safety problem and
presented to FDA as part of evidence for a hearing under section 423(c)
of the Federal Food, Drug, and Cosmetic Act prior to the issuance of a
mandatory food recall order, as part of a corrective action plan under
section 415(b)(3)(A) of the Federal Food, Drug, and Cosmetic Act
submitted after an order suspending the registration of a food
facility, or as part of evidence submitted for an appeal of an
administrative detention order under section 304(h)(4)(A) of the
Federal Food, Drug, and Cosmetic Act.
(4) In support of admission of an article of food under section
801(a) of the Federal Food, Drug, and Cosmetic Act; and
(5) To support removal from an import alert through successful
consecutive testing.
(b) When food testing is conducted under paragraph (a) of this
section, analysis of samples must be conducted by a laboratory that is
LAAF-accredited for the appropriate analytical method by a recognized
accreditation body under this subpart.
(c) Food testing conducted on articles of food offered for import
into the United States under section 801(a) of the Federal Food, Drug,
and Cosmetic
[[Page 68819]]
Act pursuant to paragraph (a)(4) or (a)(5) of this section may only be
conducted after the articles offered for import have arrived in the
United States unless the owner or consignee has written approval from
FDA that a sample taken prior to arrival is or would be a
representative sample of the article offered for import into the United
States.
Sec. 1.1108 When and how will FDA issue a directed food laboratory
order?
(a) FDA may require the owner or consignee to conduct food testing,
or to have food testing conducted on their behalf, under this subpart
to address an identified or suspected food safety problem, as FDA deems
appropriate.
(b) The directed food laboratory order will specify the food
product or environment to be tested; whether the food testing may be
conducted using a LAAF-accredited laboratory that is owned, operated,
or controlled by the owner or consignee; the timeframe in which the
food testing must be conducted; and the manner of the food testing,
such as the methods that must be used.
(c) The directed food laboratory order will contain all the
elements required by Sec. 16.22(a) of this chapter and will thereby
constitute the notice of an opportunity for hearing under part 16 of
this chapter. An affected owner or consignee may request a regulatory
hearing on a directed food laboratory order pursuant to Sec. 1.1174.
Sec. 1.1109 How will FDA make information about recognized
accreditation bodies and LAAF-accredited laboratories available to the
public?
FDA will place on its website a publicly available registry listing
of:
(a) Recognized accreditation bodies, including for each: the name,
contact information, and duration of recognition of the recognized
accreditation body;
(b) Accreditation bodies that have a change in recognition,
including for each: the name of the accreditation body, the specific
change in recognition (i.e., probation, revocation of recognition,
denial of renewal of recognition, relinquishment of recognition, or
expiration of recognition) and the effective date of the change;
(c) LAAF-accredited laboratories, including for each: the name,
contact information, and scope of LAAF-accreditation, and the name and
contact information of the recognized accreditation body that has LAAF-
accredited the laboratory; and
(d) Laboratories that have a change in LAAF-accreditation,
including for each: the name of the laboratory, the specific change in
LAAF-accreditation (i.e., suspension, reduction of scope, or withdrawal
of LAAF-accreditation by the recognized accreditation body, probation
or disqualification by FDA, or relinquishment of LAAF-accreditation),
and the effective date of the change.
Sec. 1.1110 What are the general requirements for submitting
information to FDA under this subpart?
(a) All applications, reports, notifications, and records submitted
to FDA under this subpart must be submitted electronically and in
English unless otherwise specified. If FDA requests inspection or
submission of records that are maintained in any language other than
English, the recognized accreditation body or LAAF-accredited
laboratory must provide an English translation within a reasonable
time.
(b) A program applicant must provide any translation and
interpretation services needed by FDA during the processing of the
application, including during any onsite assessments of the applicant
by FDA.
FDA Recognition of Accreditation Bodies
Sec. 1.1113 What are the eligibility requirements for a recognized
accreditation body?
A recognized accreditation body or an accreditation body seeking
recognition must meet all of the following requirements:
(a) Demonstrates compliance with ISO/IEC 17011:2017(E)
(incorporated by reference, see Sec. 1.1101).
(b) Demonstrates that it is a full member of the International
Laboratory Accreditation Cooperative (ILAC).
(c) Demonstrates that it is a signatory to the ILAC Mutual
Recognition Arrangement (MRA) that has demonstrated competence to ISO/
IEC 17011:2017(E) with a scope of ``Testing: ISO/IEC 17025.''
(d) Will comply with all additional requirements for recognized
accreditation bodies under this subpart while recognized.
Sec. 1.1114 How does an accreditation body apply to FDA for
recognition or renewal of recognition?
(a) Application for recognition or renewal of recognition. An
accreditation body seeking initial recognition or renewal of
recognition must submit an application to FDA demonstrating that it
meets the eligibility requirements in Sec. 1.1113.
(b) Documentation of conformance with requirements. The
accreditation body must submit documentation of conformance with ISO/
IEC 17011:2017(E) (incorporated by reference, see Sec. 1.1101) and
separate documentation of ILAC membership and ILAC MRA signatory status
demonstrating competence to ISO/IEC 17011:2017(E) with a scope of
``Testing: ISO/IEC 17025,'' in meeting the requirements of Sec.
1.1113(a) through (c). The accreditation body also must submit
documentation of its compliance with Sec. 1.1113(d).
(c) Signature. An application for recognition or renewal of
recognition must be signed in the manner designated by FDA by an
individual authorized to act on behalf of the applicant for purposes of
seeking recognition or renewal of recognition.
Sec. 1.1115 How will FDA evaluate applications for recognition and
renewal of recognition?
(a) Review of application for recognition or renewal of
recognition. FDA will review an accreditation body's application for
recognition or renewal of recognition for completeness and notify the
applicant of any insufficiencies. FDA generally will review
accreditation body applications for recognition or renewal of
recognition in the order in which completed applications are received;
however, FDA may prioritize the review of specific applications to meet
program needs.
(b) Evaluation of application for recognition or renewal of
recognition. FDA will evaluate a complete application for recognition
or renewal of recognition to determine whether the applicant meets the
requirements for recognition. Such evaluation may include an onsite
evaluation of the accreditation body. If FDA does not reach a final
decision on an application for renewal of recognition before an
accreditation body's recognition expires, FDA may extend the existing
term of recognition for a specified period of time or until FDA reaches
a final decision on the application for renewal of recognition.
(c) Grant of recognition. FDA will notify the applicant that its
application for recognition or renewal of recognition has been approved
and will include any conditions associated with the recognition.
(d) Duration of recognition. FDA may grant recognition of an
accreditation body for a period not to exceed 5 years from the date of
recognition, except under the circumstances described in paragraph (b)
of this section.
(e) Denial of application for recognition or renewal of
recognition. FDA will notify the applicant that its
[[Page 68820]]
application for recognition or renewal of recognition has been denied
and will state the basis for such denial and describe the procedures
for requesting reconsideration of the application under Sec. 1.1171.
(f) Notice of records custodian after denial of an application for
renewal of recognition. Within 10 business days of the date of FDA's
issuance of a denial of an application for renewal of recognition, the
applicant must provide the name and contact information of the
custodian who will maintain required records and make them available to
FDA under Sec. 1.1124. The contact information must include an email
address for the records custodian and the street address where the
records required under Sec. 1.1124 will be located.
(g) FDA notice to LAAF-accredited laboratories. FDA will promptly
notify all laboratories LAAF-accredited by the accreditation body whose
application for renewal of recognition was denied, informing them of
such denial.
(h) Public notice of denial of an application for renewal of
recognition of an accreditation body. FDA will provide public notice on
the website described in Sec. 1.1109 of the issuance of a denial of an
application for renewal of recognition and will include the date of the
issuance of such denial.
Sec. 1.1116 What must a recognized accreditation body do to
voluntarily relinquish or not renew its recognition?
(a) Notice to FDA of intent to relinquish or not to renew
recognition. At least 60 calendar days before voluntarily relinquishing
its recognition or before allowing its recognition to expire without
seeking renewal, a recognized accreditation body must notify FDA of its
intention to leave the program, specifying the date on which the
relinquishment or expiration will occur. The recognized accreditation
body must provide the name and contact information of the custodian who
will maintain and make available to FDA the records required by Sec.
1.1124 after the date of relinquishment or the date recognition
expires, as applicable. The contact information must include an email
address for the records custodian and the street address where the
records required under Sec. 1.1124 will be located.
(b) Notice to LAAF-accredited laboratories of intent to relinquish
or not to renew recognition. At least 60 calendar days before
voluntarily relinquishing its recognition or before allowing its
recognition to expire without seeking renewal, a recognized
accreditation body must notify the laboratories it LAAF accredits of
its intention to leave the program, specifying the date on which
relinquishment or expiration will occur.
(c) Public notice of voluntary relinquishment or expiration of
recognition. FDA will provide notice on the website described in Sec.
1.1109 of the voluntary relinquishment or expiration of recognition of
an accreditation body.
Sec. 1.1117 How may an accreditation body request reinstatement of
recognition?
(a) Application following revocation of recognition. An
accreditation body that has had its recognition revoked by FDA (as
described in Sec. 1.1131) may seek reinstatement by submitting a new
application for recognition under Sec. 1.1114. The accreditation body
must also submit evidence to FDA with its application to demonstrate
that the issues resulting in revocation of recognition have been
resolved, including evidence addressing the cause or condition of the
grounds for revocation of recognition. The evidence also must identify
measures that have been implemented to help ensure that such cause or
condition is unlikely to recur.
(b) Application following relinquishment or expiration of
recognition. An accreditation body that previously relinquished its
recognition or allowed its recognition to expire (as described in Sec.
1.1116) may seek reinstatement by submitting a new application for
recognition under Sec. 1.1114.
Requirements for Recognized Accreditation Bodies
Sec. 1.1119 What are the conflict of interest requirements for a
recognized accreditation body?
(a) In addition to meeting the impartiality and conflict of
interest requirements of Sec. 1.1113(a), a recognized accreditation
body must:
(1) Ensure that the recognized accreditation body (and its
officers, employees, or other agents involved in LAAF-accreditation
activities) does not own or have a financial interest in, manage, or
otherwise control any laboratory (or any affiliate, parent, or
subsidiary) it LAAF-accredits, subject to the exceptions in paragraphs
(c) and (d) of this section; and
(2) Prohibit, subject to the exceptions in paragraph (e) of this
section, officers, employees, or other agents involved in LAAF-
accreditation activities of the recognized accreditation body from
accepting any money, gift, gratuity, or other item of value from any
laboratory the recognized accreditation body LAAF-accredits or assesses
for LAAF-accreditation.
(b) The financial interests of any children younger than 18 years
of age or a spouse of a recognized accreditation body's officers,
employees, and other agents involved in LAAF-accreditation activities
are considered the financial interests of such officers, employees, and
other agents involved in LAAF-accreditation activities.
(c) An accreditation body (and its officers, employees, or other
agents involved in LAAF-accreditation activities) may have an interest
in a publicly traded or publicly available investment fund (e.g., a
mutual fund), or a widely held pension or similar fund if the
accreditation body (and its officers, employees, or other agents
involved in LAAF-accreditation activities) neither exercises control
nor has the ability to exercise control over the financial interests
held in the fund.
(d) A recognized accreditation body's agent that is a contract
assessor will be permitted to own or have a financial interest in,
manage, or otherwise control a LAAF-accredited laboratory if all of the
following circumstances apply:
(1) The contract assessor's primary occupation is owning or having
a financial interest in, managing, or otherwise controlling a LAAF-
accredited laboratory;
(2) The assessor contracts with the recognized accreditation body
to provide assessment services on an intermittent or part-time basis;
(3) The contract assessor does not assess the LAAF-accredited
laboratory that the assessor owns or has a financial interest in,
manages, or otherwise controls; and
(4) The contract assessor and the recognized accreditation body
inform any laboratory that the contract assessor may assess or reassess
for LAAF-accreditation that the contract assessor owns or has a
financial interest in, manages, or otherwise controls a LAAF-accredited
laboratory. The laboratory seeking LAAF-accreditation assessment or
reassessment must acknowledge that the contract assessor owns or has a
financial interest in, manages, or otherwise controls a LAAF-accredited
laboratory and be provided the option to be assessed by a different
representative of the recognized accreditation body.
(e) The prohibited items of value specified in paragraph (a)(2) of
this section do not include:
(1) Money representing payment of fees for LAAF-accreditation
services or reimbursement of direct costs associated with an onsite
assessment or reassessment of the laboratory; or
(2) Meal of de minimis value provided during the course of an
assessment or reassessment and on the premises where
[[Page 68821]]
the assessment or reassessment is conducted, if necessary for the
efficient conduct of the assessment or reassessment.
Sec. 1.1120 How must a recognized accreditation body assess
laboratories seeking LAAF-accreditation and oversee LAAF-accredited
laboratories?
(a) A recognized accreditation body must conduct an initial
assessment of a laboratory seeking LAAF-accreditation in accordance
with the requirements of this subpart, to determine whether the
laboratory meets the requirements of Sec. 1.1138.
(b) Subject to the exception in paragraph (c) of this section, the
initial assessment must be conducted onsite, although certain
assessment activities may be conducted remotely if it will not aid the
assessment to conduct them onsite.
(c) If, within the previous 2 years, the recognized accreditation
body conducted an onsite assessment of the laboratory in accordance
with ISO/IEC 17011:2017(E) (incorporated by reference, see Sec.
1.1101) to assess whether the laboratory meets the requirements of ISO/
IEC 17025:2017(E) (incorporated by reference, see Sec. 1.1101), then
the initial assessment under this section:
(1) May be conducted remotely, and
(2) Need only address whether the laboratory meets the requirements
of Sec. 1.1138(a)(2) and (3) and (b).
(d) A recognized accreditation body must oversee the performance of
a laboratory it LAAF-accredits in accordance with the requirements of
Sec. 1.1113(a), except as otherwise provided by this subpart, to
determine whether the LAAF-accredited laboratory continues to meet the
applicable requirements of this subpart.
(e) A recognized accreditation body must conduct a reassessment of
a LAAF-accredited laboratory in accordance with this subpart at least
every 2 years. Such reassessment must be conducted onsite, although
certain reassessment activities may be conducted remotely if it will
not aid in the reassessment to conduct the activities onsite.
(f) If the recognized accreditation body conducted the initial
assessment of the LAAF-accredited laboratory remotely in accordance
with paragraph (c) of this section, the recognized accreditation body
must conduct its first reassessment of the LAAF-accredited laboratory
no later than 2 years after the recognized accreditation body last
conducted an onsite assessment of the laboratory.
(g) The reassessment at the end of the LAAF-accredited laboratory's
ISO/IEC 17025:2017-accreditation cycle, which the recognized
accreditation body must conduct in accordance with this subpart, must
be conducted onsite, although certain reassessment activities may be
conducted remotely if it will not aid the reassessment to conduct them
onsite.
(h) Any assessments or reassessments conducted by a recognized
accreditation body in addition to the assessments or reassessments
referred to in paragraphs (a), (e), and (g) of this section may be
conducted remotely if it will not aid the assessment or reassessment to
conduct it onsite.
Sec. 1.1121 When must a recognized accreditation body require
corrective action, suspend a LAAF-accredited laboratory, or reduce the
scope of or withdraw the LAAF-accreditation of a laboratory?
(a) Corrective action. A recognized accreditation body may require
corrective action using the procedures described by ISO/IEC
17025:2017(E) (incorporated by reference, see Sec. 1.1101) section 8.7
to address any deficiencies identified while assessing and overseeing a
LAAF-accredited laboratory.
(1) The recognized accreditation body must notify the LAAF-
accredited laboratory of all deficiencies requiring corrective action
and will either specify a deadline to implement corrective action or
will require the LAAF-accredited laboratory to submit a corrective
action plan and timeframe for implementation to the recognized
accreditation body for approval.
(2) The LAAF-accredited laboratory must implement appropriate
corrective action under ISO/IEC 17025:2017(E) section 8.7, and submit
the results of the corrective action to the recognized accreditation
body.
(3) The recognized accreditation body will review the corrective
action and will notify the LAAF-accredited laboratory whether the
corrective action is acceptable.
(b) Suspension. If a recognized accreditation body determines that
a laboratory it LAAF-accredits has not effectively implemented
corrective action or otherwise fails to address deficiencies
identified, the recognized accreditation body may temporarily suspend
the LAAF-accredited laboratory for one or more LAAF-accredited methods,
and require corrective action under paragraph (a) of this section.
(1) The recognized accreditation body must notify the LAAF-
accredited laboratory of the grounds for the suspension, the LAAF-
accredited methods subject to the suspension, and all deficiencies that
must be addressed via the process described in paragraph (a) of this
section.
(2) The recognized accreditation body must notify FDA of the
suspension under this section in accordance with the requirements of
Sec. 1.1123(d)(5). FDA will provide notice of the LAAF-accredited
laboratory's suspension on the website described in Sec. 1.1109.
(3) The recognized accreditation body will review the corrective
action required under paragraph (b) of this section and will notify the
LAAF-accredited laboratory whether the corrective action is acceptable.
(4) A LAAF-accredited laboratory shall remain suspended until it
demonstrates to the recognized accreditation body's satisfaction that
the LAAF-accredited laboratory has successfully implemented appropriate
corrective action.
(5) If the recognized accreditation body determines that a LAAF-
accredited laboratory on suspension has failed to implement appropriate
corrective action or otherwise fails to address deficiencies
identified, the recognized accreditation body may reduce the scope of
or withdraw the LAAF-accreditation of the laboratory under paragraph
(c) of this section.
(c) Reduction of scope or withdrawal of LAAF-accreditation. A
recognized accreditation body must reduce the scope of or withdraw the
LAAF-accreditation of a laboratory it LAAF-accredits when the
laboratory substantially fails to comply with this subpart. When only
certain methods within the laboratory's scope of LAAF-accreditation are
affected by the noncompliance, the recognized accreditation body may
reduce the scope of the laboratory's LAAF-accreditation for only those
affected methods. If all methods are affected, the recognized
accreditation body must withdraw the laboratory's LAAF-accreditation.
(d) Procedures for reduction of scope or withdrawal of LAAF-
accreditation. (1) The recognized accreditation body must notify the
laboratory of any reduction of scope or withdrawal of LAAF-
accreditation, including:
(i) The grounds for the reduction of scope or withdrawal of LAAF-
accreditation;
(ii) The method(s) to which the reduction of scope applies;
(iii) The procedures for appealing the reduction of scope or
withdrawal of LAAF-accreditation as described in Sec. 1.1122; and
(iv) The date the reduction of scope or withdrawal of LAAF-
accreditation is effective.
[[Page 68822]]
(2) The recognized accreditation body must notify FDA of the
reduction of scope or withdrawal of LAAF-accreditation under this
section in accordance with the requirements in Sec. 1.1123(d)(4). FDA
will provide notice of the reduction of scope or withdrawal of the
laboratory's LAAF-accreditation on the website described in Sec.
1.1109.
(e) Records request associated with suspension, reduction of scope,
or withdrawal of LAAF-accreditation. To assist the recognized
accreditation body in determining whether a suspension, reduction of
scope, or withdrawal of LAAF-accreditation is warranted under this
section, the recognized accreditation body may require the submission
of records that the LAAF-accredited laboratory is required to maintain
under Sec. 1.1154.
(f) Consequences of suspension, reduction of scope, or withdrawal
of LAAF-accreditation. (1) A LAAF-accredited laboratory may not conduct
food testing under this subpart using suspended methods.
(2) If the recognized accreditation body withdraws the laboratory's
LAAF-accreditation, the laboratory is immediately ineligible to conduct
any food testing under this subpart. If the recognized accreditation
body reduces the laboratory's scope of LAAF-accreditation, the
laboratory is immediately ineligible to use the methods to which the
reduction of scope applies to conduct food testing under this subpart.
Sec. 1.1122 What procedures must a recognized accreditation body
provide for appeals of decisions to suspend, reduce the scope of,
withdraw, or deny LAAF-accreditation?
A recognized accreditation body must consider a laboratory's appeal
regarding a decision to suspend, reduce the scope of, withdraw, or deny
LAAF-accreditation in accordance with the requirements of Sec.
1.1113(a). Appeals must be reviewed and decided by a competent
person(s) free from bias or prejudice who has not participated in the
LAAF-accreditation decision and is not the subordinate of a person who
participated in the LAAF-accreditation decision. For the purposes of
appeals, the competent person(s) may be external to the recognized
accreditation body.
Sec. 1.1123 What reports, notifications, and documentation must a
recognized accreditation body submit to FDA?
(a) General requirements. All reports and notifications required by
this section must include:
(1) The name, street address, telephone number, and email address
of the recognized accreditation body associated with the report or
notification, and the name of an appropriate point of contact for the
recognized accreditation body, and
(2) If the report or notification concerns a LAAF-accredited
laboratory, the name, street address, telephone number, and email
address of the LAAF-accredited laboratory, and the name of an
appropriate point of contact for the LAAF-accredited laboratory.
(b) Internal audit reports. A recognized accreditation body must
submit to FDA a report of the results of the internal audit conducted
pursuant to Sec. 1.1125 within 45 calendar days of completing the
audit. The audit report must include:
(1) A description of the internal audit conducted;
(2) A description of any identified deficiencies;
(3) A description of any corrective action taken or planned,
including the timeline for such corrective action; and
(4) A statement disclosing the extent to which the internal audit
was conducted by personnel different from those who perform the
activity or activities that were audited.
(c) Changes affecting recognition. A recognized accreditation body
must notify FDA within 48 hours when the recognized accreditation body
is aware of a change that would affect the recognition of such
accreditation body, and the notification must include:
(1) A description of the change, and
(2) If the change is one made by the recognized accreditation body,
an explanation of the purpose of the change.
(d) Changes in LAAF-accreditation. A recognized accreditation body
must notify FDA and submit a certificate reflecting the scope of
accreditation within 48 hours when any of the following occur:
(1) The recognized accreditation body grants or extends LAAF-
accreditation of a laboratory, and the notification must include:
(i) The scope of LAAF-accreditation requested by the laboratory,
(ii) The scope of LAAF-accreditation granted, and
(iii) The effective date of the grant or extension;
(2) The recognized accreditation body denies LAAF-accreditation of
a laboratory, and the notification must include:
(i) The scope of LAAF-accreditation requested by the laboratory,
(ii) The scope of LAAF-accreditation denied, and
(iii) The grounds for the denial;
(3) The recognized accreditation body receives notice that a
laboratory it LAAF-accredits intends to relinquish its LAAF-
accreditation and the laboratory has not provided notice to FDA 60
calendar days prior to relinquishment as required under Sec. 1.1140.
The recognized accreditation body's notification must include:
(i) The scope of LAAF-accreditation to which the relinquishment
applies, as applicable, and
(ii) The effective date of the relinquishment;
(4) The recognized accreditation body reduces the scope of or
withdraws the LAAF-accreditation of a laboratory, and the notification
must include:
(i) The scope of LAAF-accreditation to which the reduction applies,
(ii) The grounds for the reduction of scope or withdrawal, and
(iii) The effective date of the reduction of scope or withdrawal;
(5) The recognized accreditation body suspends or lifts the
suspension of a LAAF-accredited laboratory, and the notification must
include:
(i) The scope of LAAF-accreditation to which the suspension
applies,
(ii) The grounds for the suspension or for lifting the suspension,
and
(iii) The effective date of the suspension or date the suspension
is lifted.
(e) Laboratory fraud. A recognized accreditation body must notify
FDA within 48 hours if the recognized accreditation body knows that a
laboratory it LAAF-accredits has committed fraud or submitted material
false statements to FDA, and the notification must include:
(1) A description of the basis for the recognized accreditation
body's knowledge of the fraud or material false statements,
(2) A description of the fraud or material false statements, and
(3) The action(s) taken by the recognized accreditation body with
respect to such LAAF-accredited laboratory.
Sec. 1.1124 What are the records requirements for a recognized
accreditation body?
(a) In addition to meeting the requirements of Sec. 1.1113(a)
related to records, a recognized accreditation body must maintain, for
5 years after the date of creation of the records, records created
while it is recognized demonstrating its compliance with this subpart,
including records relating to:
(1) Applications for LAAF-accreditation;
(2) Assessments, reassessments, and decisions to grant, extend the
scope of, renew, deny, reduce the scope of, or withdraw LAAF-
accreditation or to
[[Page 68823]]
suspend or lift the suspension of a LAAF-accredited laboratory;
(3) Appeals of suspensions, denials, reductions of scope of, and
withdrawals of LAAF-accreditation, final decisions on such appeals, and
the bases for such final decisions;
(4) Its oversight of laboratories it has LAAF-accredited;
(5) Its oversight of its own performance, including all records
related to internal audits, complaints, and corrective actions;
(6) Any reports or notifications required to be submitted to FDA
under Sec. 1.1123, including any supporting information;
(7) Records of fee payments and reimbursement of direct costs; and
(8) Any documents demonstrating compliance with the requirements
for assessment activities by contract assessors with certain financial
interests described in Sec. 1.1119(d).
(b) A recognized accreditation body must make the records it is
required to maintain by paragraph (a) of this section available for
inspection and copying or for electronic submission upon written
request of an authorized officer or employee of FDA. If FDA requests
records for inspection and copying, the recognized accreditation body
must make such records promptly available at the physical location of
the recognized accreditation body or at another reasonably accessible
location. If FDA requests electronic submission, the records must be
submitted within 10 business days of the request.
(c) A recognized accreditation body must not prevent or interfere
with FDA's access to the records the LAAF-accredited laboratories it
LAAF-accredits are required to maintain under Sec. 1.1154.
Sec. 1.1125 What are the internal audit requirements for a recognized
accreditation body?
As part of the internal audit a recognized accreditation body is
required to conduct pursuant to Sec. 1.1113(a), the recognized
accreditation body must audit its compliance with the requirements of
Sec. 1.1113(d).
FDA Oversight of Recognized of Accreditation Bodies
Sec. 1.1130 How will FDA oversee recognized accreditation bodies?
(a) FDA will evaluate each recognized accreditation body to
determine its compliance with the applicable requirements of this
subpart no later than:
(1) Year 4 of a 5-year recognition period; or
(2) The midpoint of a recognition period less than 5 years.
(b) An FDA evaluation of a recognized accreditation body may
include review of records, an onsite evaluation of the accreditation
body, and onsite reviews of one or more LAAF-accredited laboratories
the recognized accreditation body LAAF-accredits, with or without the
recognized accreditation body present. Certain evaluation activities
may be conducted remotely if it will not aid in the evaluation to
conduct them onsite.
(c) FDA may conduct additional evaluations of a recognized
accreditation body at any time to determine whether the recognized
accreditation body complies with the applicable requirements of this
subpart.
Sec. 1.1131 When will FDA require corrective action, put a recognized
accreditation body on probation, or revoke the recognition of an
accreditation body?
(a) Corrective action. FDA may require corrective action to address
any deficiencies identified while evaluating a recognized accreditation
body under this subpart.
(1) FDA will notify the recognized accreditation body of all
deficiencies requiring corrective action and will either specify a
deadline to implement corrective action or will require the recognized
accreditation body to submit a corrective action plan and timeframe for
implementation to FDA for approval.
(2) The recognized accreditation body must handle FDA's
notification as a complaint under ISO/IEC 17011:2017(E) (incorporated
by reference, see Sec. 1.1101) section 7.12, implement appropriate
corrective action under ISO/IEC 17011:2017 section 9.5, and submit both
the results of the complaint investigation and subsequent corrective
action to FDA.
(3) FDA will review the corrective action and will notify the
recognized accreditation body whether the corrective action is
acceptable.
(b) Probation. If FDA determines that a recognized accreditation
body has not effectively implemented corrective action or otherwise
fails to address deficiencies identified, FDA may put the recognized
accreditation body on probation and require corrective action under
paragraph (a) of this section.
(1) FDA will notify the recognized accreditation body of the
grounds for the probation and all deficiencies requiring corrective
action via the process described in paragraph (a) of this section.
(2) FDA will notify all laboratories LAAF-accredited by the
recognized accreditation body that the recognized accreditation body is
on probation and will provide notice of the probation on the website
described in Sec. 1.1109.
(3) FDA will review the corrective action and will notify the
recognized accreditation body whether the corrective action is
acceptable.
(4) A recognized accreditation body shall remain on probation until
the recognized accreditation body demonstrates to FDA's satisfaction
that it has successfully implemented appropriate corrective action.
(5) If FDA determines that a recognized accreditation body on
probation has failed to implement appropriate corrective action or
otherwise fails to address deficiencies identified, FDA may revoke
recognition of the recognized accreditation body under paragraph (c) of
this section.
(c) Revocation of recognition. FDA will revoke the recognition of
an accreditation body if it fails to meet the requirements of this
subpart, if FDA determines the accreditation body has committed fraud
or submitted material false statements to FDA, or if FDA determines
that a recognized accreditation body on probation has failed to
implement appropriate corrective action or otherwise fails to address
deficiencies identified.
(d) Revocation of recognition procedures. (1) FDA will issue a
notice of revocation of recognition to the recognized accreditation
body that will include the grounds for revocation, the date on which
revocation is effective, the procedures for requesting a regulatory
hearing on the revocation under Sec. 1.1173, and the procedures for
requesting reinstatement of recognition under Sec. 1.1117.
(2) FDA will notify all laboratories LAAF-accredited by the
recognized accreditation body that recognition has been revoked and
will provide notice of the revocation of recognition of an
accreditation body on the website described in Sec. 1.1109.
(3) Within 10 business days of the date of issuance of revocation,
the accreditation body must provide the name and contact information of
the custodian who will maintain records and make them available to FDA
as required by Sec. 1.1124. The contact information must include an
email address for the records custodian and the street address where
the records required by Sec. 1.1124 will be located.
(e) Effect of probation or revocation of recognition on the
accreditation body. (1) A recognized accreditation body that is put on
probation by FDA must continue to oversee laboratories that it has
LAAF-accredited under this subpart
[[Page 68824]]
and may continue to LAAF-accredit laboratories under Sec. 1.1120.
(2) An accreditation body that has had its recognition revoked by
FDA may not LAAF-accredit laboratories under this subpart or continue
to oversee the laboratories it has previously LAAF-accredited while the
accreditation body is not recognized.
LAAF-Accreditation of Laboratories
Sec. 1.1138 What are the eligibility requirements for a LAAF-
accredited laboratory?
(a) A laboratory that is LAAF-accredited or seeking LAAF-
accreditation must demonstrate it is capable of conducting each method
of food testing for which it is or will be LAAF-accredited by meeting
all of the following requirements:
(1) For each method, the laboratory is accredited by a recognized
accreditation body to ISO/IEC 17025:2017(E) (incorporated by reference,
see Sec. 1.1101).
(2)(i) Except as provided in paragraph (a)(2)(ii) of this section,
the laboratory has successfully passed a proficiency test provided by a
competent proficiency testing organization within the last 12 months
for each method within the scope of LAAF-accreditation.
(ii) If the laboratory determines there is no proficiency testing
program available or practicable for a method, it may use a comparison
program. A laboratory must request approval from the recognized
accreditation body regarding the determination prior to using a
comparison program in lieu of an annual proficiency test. The
laboratory is required to demonstrate competency through participation
in the comparison program.
(iii) A laboratory must submit all proficiency test and comparison
program results, regardless of outcome, to the recognized accreditation
body within 30 calendar days of receipt.
(3) The laboratory ensures that its procedures for monitoring the
validity of the results of testing it conducts under this subpart
include the use of reference materials or quality control samples with
each batch of samples it tests under this subpart.
(b) Will comply with all additional requirements for LAAF-
accredited laboratories under this subpart while LAAF-accredited.
Sec. 1.1139 How does a laboratory apply for LAAF-accreditation or
extend its scope of LAAF-accreditation?
(a) Application for LAAF-accreditation. A laboratory seeking LAAF-
accreditation or extension of its scope of LAAF-accreditation must
submit its application for LAAF-accreditation to a recognized
accreditation body identified on the website described in Sec. 1.1109.
The recognized accreditation body will review and assess the
application in accordance with the requirements of this subpart. If the
laboratory seeking LAAF-accreditation had its LAAF-accreditation
withdrawn or one or more methods within its scope of LAAF-accreditation
reduced by a recognized accreditation body or has been previously
disqualified by FDA, the laboratory must meet the additional
requirements specified by Sec. 1.1142(a).
(b) Documentation of conformance with ISO/IEC 17025:2017(E). The
laboratory may use documentation of conformance with ISO/IEC
17025:2017(E) (incorporated by reference, see Sec. 1.1101), as
applicable and supplemented as necessary, in meeting the applicable
requirements of this subpart.
(c) Duration of accreditation. If a LAAF-accredited laboratory
maintains compliance with all requirements of this subpart, including
accreditation to ISO/IEC 17025:2017(E), the laboratory's LAAF-
accreditation will not end until reduced in scope, withdrawn,
relinquished, or the laboratory is disqualified, under this subpart.
Sec. 1.1140 What must a LAAF-accredited laboratory do to voluntarily
relinquish its LAAF-accreditation?
(a) Notice to FDA and the recognized accreditation body of intent
to relinquish. A LAAF-accredited laboratory must notify FDA and its
recognized accreditation body at least 60 calendar days before
voluntarily relinquishing LAAF-accreditation or any method within the
scope of LAAF-accreditation. The notice must include the date on which
relinquishment will occur. If the laboratory will relinquish all
methods within its scope of LAAF-accreditation, the notification must
also include the name and contact information of the custodian who will
maintain the records required by Sec. 1.1154 after the date of
relinquishment. The contact information for the records custodian must
include an email address and the street address where the records
required by Sec. 1.1154 will be located.
(b) Public notice of voluntary relinquishment of accreditation. FDA
will provide notice on the website described in Sec. 1.1109 of the
voluntary relinquishment of LAAF-accreditation of a laboratory.
Sec. 1.1141 What is the effect on a LAAF-accredited laboratory if its
recognized accreditation body is no longer recognized by FDA?
If a recognized accreditation body has its application for renewal
of recognition denied, relinquishes its recognition or allows its
recognition to expire, or has its recognition revoked, any laboratory
LAAF-accredited by the accreditation body must take either the actions
in paragraph (a) of this section or the action in paragraph (b) of this
section no later than 30 calendar days after receiving the notice to
the LAAF-accredited laboratory required under Sec. 1.1115(g), Sec.
1.1116(b), or Sec. 1.1131(d)(2):
(a)(1) The LAAF-accredited laboratory must submit to FDA
documentation of the LAAF-accredited laboratory's most recent internal
audit, required under Sec. 1.1154(a)(5), documentation showing
compliance with the conflict of interest requirements in Sec. 1.1147,
and documentation of the most recent proficiency test or comparison
program result for each test method within the laboratory's scope of
LAAF-accreditation, to show compliance with Sec. 1.1138(a)(2); and
(2) The laboratory must become LAAF-accredited by another
recognized accreditation body before the laboratory's ISO/IEC
17025:2017(E) (incorporated by reference, see Sec. 1.1101)
accreditation lapses or not later than 1 year after the LAAF-accredited
laboratory receives the applicable notice under Sec. 1.1115(g), Sec.
1.1116(b), or Sec. 1.1131(d)(2), whichever is sooner.
(b) The LAAF-accredited laboratory initiates relinquishment of its
LAAF-accreditation under Sec. 1.1140, with the relinquishment to occur
within 90 calendar days.
Sec. 1.1142 How does a laboratory request reinstatement of LAAF-
accreditation?
(a) Application following reduction of scope or withdrawal of LAAF-
accreditation by a recognized accreditation body or disqualification by
FDA. A laboratory that has had any methods within its scope of LAAF-
accreditation reduced or has had its LAAF-accreditation withdrawn by a
recognized accreditation body or that has been disqualified by FDA may
seek reinstatement of LAAF-accreditation by submitting a new
application for LAAF-accreditation to a recognized accreditation body
under Sec. 1.1139. The laboratory must also:
(1) Notify FDA prior to submitting a new application for LAAF-
accreditation to the recognized accreditation body, including in the
notification the name of the laboratory, contact information for
[[Page 68825]]
the laboratory, the name of the recognized accreditation body to which
the laboratory will be submitting the application, and the date that
the laboratory expects to submit the new application for LAAF-
accreditation; and
(2) Demonstrate, to the satisfaction of the recognized
accreditation body to which it is submitting the new application, that
the grounds for the reduction of scope or withdrawal of LAAF-
accreditation or disqualification have been resolved and that the
laboratory has implemented measures to prevent such grounds from
recurring.
(b) Application following voluntary relinquishment of LAAF-
accreditation. A laboratory that voluntarily relinquished any methods
within the scope of its LAAF-accreditation pursuant to Sec. 1.1140,
may seek reaccreditation by submitting a new application for LAAF-
accreditation to a recognized accreditation body under Sec. 1.1139.
Requirements for LAAF-Accredited Laboratories
Sec. 1.1147 What are the impartiality and conflict of interest
requirements for a LAAF-accredited laboratory?
(a) In addition to the impartiality and conflict of interest
requirements in Sec. 1.1138(a)(1), a LAAF-accredited laboratory must,
subject to the exceptions in paragraph (b) of this section, prohibit
the LAAF-accredited laboratory's employees, contractors, and agents
involved in food testing under this subpart and related activities from
accepting any money, gift, gratuity, or other item of value from the
owner or consignee of the food that is being tested or will be tested
by the LAAF-accredited laboratory.
(b) The prohibited items of value in paragraph (a) of this section
do not include:
(1) Payment of fees for food testing under this subpart and related
services;
(2) Reimbursement of direct costs associated with the food testing
by the LAAF-accredited laboratory; and
(3) With respect to a LAAF-accredited laboratory that is owned by
the owner or consignee of the food that is or will be tested, payment
of the officer's, employee's, contractor's, or agent's compensation in
the normal course of business.
(c) The LAAF-accredited laboratory must require the owner's or
consignee's payment to the LAAF-accredited laboratory of fees for food
testing services and reimbursement of direct costs associated with food
testing to be independent of the outcome of the test results.
Sec. 1.1149 What oversight standards apply to sampling?
(a) Documents. Before analyzing a sample, the LAAF-accredited
laboratory must develop (if it collected the sample) or obtain (if
another firm collected the sample) the following information to be
submitted with test results (see Sec. 1.1152(c)):
(1) Written documentation of the sampler's applicable
qualifications by training and experience. A LAAF-accredited laboratory
only needs to develop or obtain documentation of a sampler's
qualifications the first time that sampler collects a sample for the
LAAF-accredited laboratory under this subpart. If a LAAF-accredited
laboratory has previously submitted the sampler's qualifications to FDA
under Sec. 1.1152(c), the LAAF-accredited laboratory may refer to its
previously submitted qualifications.
(2) The written sampling plan used to conduct the sampling. The
written sampling plan must identify the sampler and sampling firm and
must list factors that will be controlled to ensure the sampling does
not impact the validity of the subsequent analytical testing, including
controlling for the representational nature of the sample; and
(3) A written sample collection report for each sample collected.
The written sample collection report must include:
(i) The product code of the food product (if product is being
sampled) or the location and a description of the environment (if
environment is being sampled);
(ii) The date of the sampling;
(iii) The lot number, size, identity, and quantity of the sample;
(iv) Documentation of sample collection procedures and any sample
preparation techniques; and
(v) Documentation of the chain of custody of the sample and of
measures taken to ensure the validity of the subsequent analytical
testing, including controlling for the representational nature of the
sample.
(b) Potential consequences. If any of the requirements in paragraph
(a) of this section is not met, FDA may consider the analysis of the
sample to be invalid.
(c) Advance notice of sampling. (1) If FDA determines that sampling
conducted may materially differ from the sampling documented in the
associated sampling plan or sample collection report, or if FDA
determines that the sampling otherwise may have been improper, FDA may
require the LAAF-accredited laboratory that analyzed the associated
sample, and other LAAF-accredited laboratories that have analyzed
samples previously collected by the sampling firm, to obtain from the
sampling firm, and submit, or require the sampling firm to submit, an
advance notice of sampling. The advance notice of sampling must be
submitted to FDA at least 48 hours before each of the next 10 occasions
that the sampling firm will collect a sample that the LAAF-accredited
laboratory will analyze under this subpart.
(2) FDA may, as appropriate:
(i) Specify that the requirement applies to samples collected by a
particular sampler;
(ii) Specify the type of food product or environment that requires
advance notice of sampling under this subpart;
(iii) Determine that an amount of time other than 48 hours in
advance is required, from a minimum of 24 hours up to 7 business days
in advance;
(iv) Determine that a number of occasions other than 10 is
required, from a minimum of 1 occasion to a maximum of 20 occasions;
(v) Notify affected LAAF-accredited laboratories that submission of
additional notices of sampling are not required; and
(vi) Notify the owner or consignee that the advance notice applies
to sampling for food testing being conducted on their behalf.
(3) The advance notice of sampling must contain:
(i) A unique identification for the advance notice of sampling;
(ii) The name of the LAAF-accredited laboratory that will conduct
analysis of the sample;
(iii) The name and street address of the sampling firm that will
conduct the sampling;
(iv) A primary contact (name and phone number) for the sampling
firm;
(v) The reason why the food product or environment will be sampled;
(vi) The location of the food product or environment that will be
sampled, including sufficient information to identify the food product
or environment to be sampled;
(vii) As applicable, the U.S. Customs and Border Protection entry
and line number;
(viii) The product code of the food product (if product is being
sampled) or the location and a description of the environment (if
environment is being sampled); and
(ix) The date and approximate time the sampling will begin.
Sec. 1.1150 What are the requirements for analysis of samples by a
LAAF-accredited laboratory?
In addition to the sample analysis requirements of Sec. 1.1138(a):
(a) The analysis must be conducted on either the sample received
from the
[[Page 68826]]
sampling firm or, if appropriate, on a representative sample of the
sample received from the sampling firm.
(b) The analyst must:
(1) Be qualified by appropriate education, training, and/or
experience to conduct the analysis;
(2) Have appropriately demonstrated their ability to perform the
method properly in the specific context of the food testing to be
conducted; and
(3) Be in compliance with the conflict of interest requirements of
Sec. Sec. 1.1138(a) and 1.1147.
(c) The method used to conduct the food testing must meet the
requirements of Sec. 1.1151.
(d) The LAAF-accredited laboratory must document the testing
information and test results to the extent necessary to account for all
information that is required to be included in a full analytical report
(see Sec. 1.1152(d)).
Sec. 1.1151 What requirements apply to the methods of analysis a
LAAF-accredited laboratory uses to conduct food testing under this
subpart?
In addition to the requirements of Sec. 1.1138(a), a LAAF-
accredited laboratory must meet the following requirements:
(a) The method of analysis used to conduct food testing under this
subpart must be:
(1) Fit for purpose;
(2) Within the laboratory's scope of LAAF-accreditation;
(3) Appropriately validated for use in such food testing, in
accordance with paragraph (c) of this section; and
(4) Appropriately verified by the LAAF-accredited laboratory for
use in such food testing, in accordance with paragraph (d) of this
section.
(b) Food testing must be conducted using the specified method:
(1) Under Sec. 1.1107(a)(1), if the Federal Food, Drug, and
Cosmetic Act or implementing regulations prescribe a test method.
(2) Under Sec. 1.1107(a)(2), if the directed food laboratory order
prescribes a test method.
(c)(1) A LAAF-accredited laboratory must validate methods in
accordance with the requirements of Sec. 1.1138(a).
(2) A LAAF-accredited laboratory performing validation of a method
under this subpart must record the information required by Sec.
1.1138(a) and the supporting analytical data.
(d)(1) Before a LAAF-accredited laboratory conducts food testing
under this subpart using a method for a specific intended use for which
the method has been validated, but for which the LAAF-accredited
laboratory has not previously applied the method under this subpart,
the LAAF-accredited laboratory must have verified it can properly
perform the method for the specific intended use.
(2) A LAAF-accredited laboratory performing verification of a
method under this subpart must record the method that is the subject of
the verification, the intended purpose of the analysis, the results of
the verification, the procedure used for the verification, supporting
analytical data, and whether the LAAF-accredited laboratory is able to
properly perform the method.
(e) A LAAF-accredited laboratory may submit a written request to
FDA requesting permission to use a method outside of its scope of LAAF-
accreditation for food testing. FDA may approve the request if both
following conditions are satisfied:
(1) A new method or methodology has been developed and validated
but no reasonably available laboratory has been LAAF-accredited to
perform such method or methodology, and
(2) The use of such method is necessary to prevent, control, or
mitigate a food emergency or foodborne illness outbreak.
Sec. 1.1152 What notifications, results, reports, and studies must a
LAAF-accredited laboratory submit to FDA?
(a) General requirements. (1) All notifications, results, reports,
and studies required to be submitted to FDA by a LAAF-accredited
laboratory under this subpart must:
(i) Include the name and street address of the LAAF-accredited
laboratory;
(ii) Identify a point of contact for the LAAF-accredited
laboratory, including email and telephone number, whom FDA may contact
with questions or comments;
(iii) Display an identification unique to the test results, report,
notification, or study; and
(iv) Be true, accurate, unambiguous, and objective.
(2) The LAAF-accredited laboratory that conducts the analysis of
the sample under this subpart is responsible for the submission of all
notifications, results, reports, and studies to FDA as required by this
section.
(3) If the LAAF-accredited laboratory becomes aware that any aspect
of the submitted material is inaccurate, the LAAF-accredited laboratory
must immediately inform FDA and submit a corrected version. Such
corrections must meet the requirements for amendments to reports
specified by ISO/IEC 17025:2017(E) (incorporated by reference, see
Sec. 1.1101) section 7.8.8.
(4) Any opinions and interpretations in any notification, result,
report, or study submitted to FDA under this subpart must meet the
requirements in ISO/IEC 17025:2017(E) section 7.8.7 and any statements
of conformity to a specification or standard in any notification,
result, report, or study submitted to FDA under this subpart must meet
the requirements of ISO/IEC 17025:2017(E) section 7.8.6.
(b) Test results. (1) The LAAF-accredited laboratory must submit
the results of all testing required to be conducted under this subpart
directly to FDA via the location specified by the website described in
Sec. 1.1109, unless another location is specified by FDA regarding
testing conducted under Sec. 1.1107(a)(2) or (3).
(2) The test results must be clear and identify:
(i) The name and street address of the owner or consignee for which
the testing was conducted,
(ii) As appropriate, the U.S. Customs and Border Protection entry
and line number(s), and
(iii) The associated notifications, reports, and studies required
to be submitted with the test results under this subpart.
(c) Documentation required to be submitted with test results. The
following documentation must be included with each full analytical
report (see paragraph (d) of this section) and each abridged analytical
report (see Sec. 1.1153) submitted to FDA under this subpart:
(1) All sampling plans and sample collection reports related to the
food testing conducted as developed or obtained by the LAAF-accredited
laboratory in accordance with Sec. 1.1149;
(2) Written documentation of the sampler's qualifications or an
indication that the sampler's qualifications have been submitted
previously, in accordance with Sec. 1.1149(a)(1);
(3) For any validation studies required by Sec. 1.1151(c)(1), the
documentation required by Sec. 1.1151(c)(2);
(4) For any verification studies required by Sec. 1.1151(d)(1),
the documentation required by Sec. 1.1151(d)(2);
(5) The justification for any modification to or deviation from the
method(s) of analysis used and documentation of the LAAF-accredited
laboratory's authorization for the modification or deviation; and
(6) A certification from one or more members of the LAAF-accredited
laboratory's management certifying that the test results,
notifications, reports, and studies are true and accurate; and that the
documentation includes the results of all tests conducted under this
subpart. The certification must include
[[Page 68827]]
the name, title, and signature of any certifiers.
(d) Full analytical report contents. In addition to the
documentation required to be submitted with all test results (see
paragraph (c) of this section), a full analytical report must include:
(1) All information described by ISO/IEC 17025:2017(E) sections
7.8.2.1(a) through (p) and 7.8.3.1(a) through (d);
(2) Documentation of references for the method of analysis used;
(3) Name and signature of the analyst who conducted each analytical
step, including any applicable validation and verification steps, and
the date each step was performed;
(4) Calculations, presented in a legible and logical manner;
(5) As applicable, references to chromatograms, charts, graphs,
observations, photographs of thin layer chromatographic plates, and
spectra. References must be in color when appropriate and presented in
a clear order;
(6) Identification of the source and purity of reference standards
used, and, as applicable: Certified reference materials, certified
reference cultures traceable to a nationally or internationally
recognized type culture collection (including concentration, units,
preparation, and storage conditions), and reference standard
preparation information (including who prepared the reference standard,
date of preparation, expiration date, chemical balance, and solvent
used);
(7) A copy of the label from any immediate container sampled, if
available, and any additional labeling needed to evaluate the product;
(8) All original compilations of raw data secured in the course of
the analysis, including discarded, unused, or re-worked data, with the
justification for discarding or re-working such data, corresponding
supporting data, and quality control results (including the expected
result and whether it is acceptable), all identified with unique sample
identification, date, and time, associated with the test;
(9) Any other relevant additional supporting information such as
the storage location of analyzed samples, appropriate attachments such
as instrument printouts, computer generated charts and data sheets, and
photocopies or original labels for the product analyzed;
(10) Identification of any software used;
(11) Any certificate of analysis for standards and software; and
(12) The following information about the qualifications of each
analyst involved in the analysis conducted under this subpart, if the
LAAF-accredited laboratory has not previously submitted documentation
of the analyst's qualifications to FDA or the analyst's qualifications
have significantly changed since the LAAF-accredited laboratory last
submitted documentation of the analyst's qualifications to FDA:
(i) The analyst's curriculum vitae;
(ii) Training records for the applicable methods that the analyst
is qualified to perform, including the dates of such training and the
name of the trainer or training provider; and
(iii) Any other documentation of the analyst's ability to perform
the method properly in the context of the food testing to be conducted,
pursuant to Sec. 1.1150(b).
(e) Additional information about non-standard methods. If the LAAF-
accredited laboratory conducts the analysis using a method that is not
published in a reputable international or national standard or that is
otherwise not publicly and readily available, upon request by FDA the
LAAF-accredited laboratory must submit documentation of the method to
FDA.
(f) Immediate notification of significant changes. The LAAF-
accredited laboratory must notify FDA and the recognized accreditation
body that LAAF-accredited the laboratory of changes that affect the
LAAF-accreditation of the laboratory within 48 hours, including a
detailed description of such changes, and an explanation of how such
changes affect the LAAF-accreditation of the laboratory. LAAF-
accredited laboratories are not required to notify FDA of changes that
a recognized accreditation body must provide to FDA under Sec.
1.1123(d).
(g) Consequence of omission. If FDA does not receive all
information required to be submitted to FDA under this section, FDA may
consider the related food testing to be invalid.
Sec. 1.1153 What are the requirements for submitting abridged
analytical reports?
(a) Requesting permission. A LAAF-accredited laboratory may request
permission to submit abridged analytical reports for each major food
testing discipline: Biological, chemical, and physical.
(1) FDA will grant permission to submit abridged analytical reports
for a single major food testing discipline if all of the following
conditions are met:
(i) The LAAF-accredited laboratory is not on suspension or
probation for any method within the major food testing discipline that
is the subject of its request (see Sec. 1.1121(b) or Sec. 1.1161(b));
(ii) The LAAF-accredited laboratory has successfully implemented
any required corrective action under Sec. 1.1121(a) or Sec.
1.1161(a); and
(iii) The last five full analytical reports for the major food
testing discipline contain no shortcomings that call into question the
validity of the test results or repeated administrative errors.
(2) FDA will notify the LAAF-accredited laboratory if permission is
granted or denied.
(b) FDA review of abridged analytical reports. (1) FDA will review
all abridged analytical reports submitted.
(2) FDA will notify the LAAF-accredited laboratory if FDA
identifies a shortcoming that calls into question the validity of the
test results or repeated administrative errors, will require corrective
action under Sec. 1.1161(a), and may revoke permission to submit
abridged analytical reports for the specific major food testing
discipline.
(3) If FDA identifies a shortcoming that calls into question the
validity of the test results or repeated administrative errors in
abridged analytical reports from a LAAF-accredited laboratory that has
previously had its permission to submit abridged analytical reports
revoked for any major food testing discipline, FDA may put the LAAF-
accredited laboratory on probation for one or more methods under Sec.
1.1161(b). Under Sec. 1.1162(a), a laboratory on probation for one or
more methods may not submit abridged analytical reports for the major
food testing disciplines of which the probationary methods are a part.
(4) A LAAF-accredited laboratory that has had permission to submit
abridged analytical reports revoked for one or more major food testing
disciplines may request permission to submit abridged analytical
reports as described in paragraph (a) of this section for each major
food testing discipline.
(c) Contents of abridged analytical reports. In addition to the
documentation required to be submitted with all test results (see Sec.
1.1152(c)), an abridged analytical report must include:
(1) All information described by ISO/IEC 17025:2017(E)
(incorporated by reference, see Sec. 1.1101) sections 7.8.2.1(a)
through (p) and 7.8.3.1(a) through (d); and
(2) Quality control results (including the expected result and
whether it is acceptable).
(d) Exceptions. FDA may require additional documentation or a full
analytical report from a LAAF-accredited laboratory permitted to submit
abridged analytical reports in the following circumstances:
[[Page 68828]]
(1) FDA may require a full analytical report related to an FDA
investigation or FDA enforcement proceeding.
(2) Occasionally, for the purposes of auditing abridged analytical
reports and otherwise protecting the public health and the integrity of
this food testing program, FDA will require additional documentation or
a full analytical report within 72 hours of FDA's request.
(e) Consequence of omission. If FDA does not receive all
information required to be submitted to FDA under paragraph (c) of this
section, FDA may consider the related food testing to be invalid.
Sec. 1.1154 What other records requirements must a LAAF-accredited
laboratory meet?
(a) In addition to the records requirements of Sec. 1.1138(a), a
LAAF-accredited laboratory must maintain, for 5 years after the date of
creation, records created and received while it is LAAF-accredited that
relate to compliance with this subpart, including:
(1) Documents related to the LAAF-accredited laboratory's grant of
LAAF-accreditation (and, if applicable, extensions and reductions of
scope of LAAF-accreditation) from its recognized accreditation body,
including all required proficiency test and comparison program records
for each method within the scope of LAAF-accreditation under Sec.
1.1138(a)(2);
(2) Documentation of food testing the LAAF-accredited laboratory
conducted under this subpart sufficient to account for all information
required by Sec. 1.1152(d), in accordance with Sec. 1.1150(d);
(3) All documents that the LAAF-accredited laboratory was required
to submit to FDA under Sec. Sec. 1.1152 and 1.1153, and associated
correspondence between the LAAF-accredited laboratory (and its
officers, employees, and other agents) and the owner or consignee (and
its officers, employees, and other agents) regarding food testing under
this subpart;
(4) All requests for food testing from an owner or consignee that
would be conducted under this subpart;
(5) Documentation of any internal investigations, internal audits,
and corrective action taken to address any problems or deficiencies
related to activities under this subpart;
(6) All documentation related to suspension, probation, reduction
of scope, or withdrawal of LAAF-accreditation, or laboratory
disqualification under this subpart; and
(7) Documentation of changes to its management system or food
testing activities that may affect its compliance with this subpart.
(b) Make the records required by paragraph (a) of this section
available for inspection and copying or for electronic submission upon
written request of an authorized officer or employee of FDA. If FDA
requests records for inspection and copying, the laboratory must make
such records promptly available at the physical location of the
laboratory or at another reasonably accessible location. If the
authorized officer or employee of FDA requests electronic submission,
the records must be submitted within 10 business days of the request.
(c) Ensure that significant amendments to records described by this
section can be tracked to previous and original versions. If such a
significant amendment is made, both the original document and amended
document must be maintained by the LAAF-accredited laboratory during
the time period for which the amended document must be maintained under
this subpart. The laboratory must also document the date of amendment,
the personnel responsible for the amendment, and a conspicuous
indication on the original document stating that the document has been
altered and that a more recent version of the document exists.
FDA Oversight of LAAF-Accredited Laboratories
Sec. 1.1159 How will FDA oversee LAAF-accredited laboratories?
(a) FDA may review the performance of LAAF-accredited laboratories
at any time to determine whether the LAAF-accredited laboratory
continues to comply with the applicable requirements of this subpart
and whether there are deficiencies in the performance of the LAAF-
accredited laboratory that, if not corrected, would warrant corrective
action, probation, or disqualification under Sec. 1.1161.
(b) In evaluating the performance of a LAAF-accredited laboratory,
FDA may review any of the following:
(1) Records the LAAF-accredited laboratory is required to maintain
under this subpart;
(2) Records the recognized accreditation body that LAAF-accredited
the laboratory is required to maintain under this subpart;
(3) Information obtained by FDA during a review of the LAAF-
accredited laboratory conducted pursuant to paragraph (c) of this
section;
(4) Information obtained by FDA during an evaluation of the
recognized accreditation body that LAAF-accredits the laboratory;
(5) Analytical reports and test results submitted to FDA; and
(6) Any other information obtained by FDA, including during FDA's
inspections or investigations of one or more owners or consignees.
(c) FDA may conduct an onsite review of a LAAF-accredited
laboratory at any reasonable time, with or without a recognized
accreditation body (or its officers, employees, and other agents)
present, to review the performance of a LAAF-accredited laboratory
under this subpart. Certain review activities may be conducted remotely
if it will not aid in the review to conduct them onsite.
(d) FDA may report any observations and deficiencies identified
during its review of LAAF-accredited laboratory performance under this
subpart to the recognized accreditation body.
Sec. 1.1160 How will FDA review test results and analytical reports?
(a) If FDA finds that any test result, analytical report, related
documents, or the associated analysis contains deficiencies or
otherwise indicates that any aspect of the food testing is not being
conducted in compliance with this subpart, FDA will notify the LAAF-
accredited laboratory that submitted the analytical report of any
deficiency and may:
(1) Require the laboratory to correct the test result, analytical
report, related documents, or the associated analysis;
(2) Revoke permission to submit abridged reports for that major
food testing discipline under Sec. 1.1153(b);
(3) Require a corrective action under Sec. 1.1161(a);
(4) Consider the analysis to be invalid; and/or
(5) Notify the owner or consignee of the deficiency.
(b) FDA may report any deficiencies identified during its review of
any test results, reports, and related documents under this subpart to
the recognized accreditation body that LAAF-accredits the laboratory.
(c) Nothing in this subpart shall be construed to limit the ability
of FDA to review and act on information received about food testing,
including determining the sufficiency of such information and testing.
Sec. 1.1161 When will FDA require corrective action, put a LAAF-
accredited laboratory on probation, or disqualify a LAAF-accredited
laboratory from submitting analytical reports?
(a) Corrective action. FDA may require corrective action to address
any deficiencies identified while reviewing a LAAF-accredited
laboratory's performance under this subpart.
(1) FDA will notify the LAAF-accredited laboratory of all
deficiencies requiring corrective action and will
[[Page 68829]]
either specify a deadline to implement corrective action or will
require the LAAF-accredited laboratory to submit a corrective action
plan and timeframe for implementation to FDA for approval.
(2) The LAAF-accredited laboratory must handle FDA's notification
as a complaint under ISO/IEC 17025:2017(E) (incorporated by reference,
see Sec. 1.1101) section 7.9, implement appropriate corrective action
under ISO/IEC 17025:2017(E) section 8.7, and submit both the results of
the complaint investigation and subsequent corrective action to FDA.
(3) FDA will review the corrective action and will notify the LAAF-
accredited laboratory whether the corrective action is acceptable.
(b) Probation. If FDA determines that a LAAF-accredited laboratory
has not effectively implemented corrective action or otherwise fails to
address deficiencies identified, FDA may put the LAAF-accredited
laboratory on probation for one or more methods and require corrective
action under paragraph (a) of this section.
(1) FDA will notify the LAAF-accredited laboratory and its
recognized accreditation body of the grounds for the probation, the
method(s) covered by the probation, and all deficiencies requiring
corrective action via the process described in paragraph (a) of this
section.
(2) FDA will provide notice of a LAAF-accredited laboratory's
probation on the website described in Sec. 1.1109.
(3) FDA will review the corrective action and will notify the LAAF-
accredited laboratory and its recognized accreditation body whether the
corrective action is acceptable.
(4) A LAAF-accredited laboratory will remain on probation until the
LAAF-accredited laboratory demonstrates to FDA's satisfaction that it
has successfully implemented appropriate corrective action.
(5) If FDA determines that a LAAF-accredited laboratory on
probation has failed to implement appropriate corrective action or
otherwise fails to address deficiencies identified, FDA may disqualify
the LAAF-accredited laboratory under paragraph (c) of this section.
(c) Disqualification. FDA may disqualify a LAAF-accredited
laboratory from submitting analytical reports under this subpart for
one or more methods for good cause, which may include any of the
following reasons:
(1) Deliberate falsification of analytical reports, testing
results, or other records submitted to FDA.
(2) Failure of a LAAF-accredited laboratory on probation to
effectively implement corrective action or otherwise address identified
deficiencies.
(3) Other failure to substantially comply with this subpart where
the laboratory's recognized accreditation body has not reduced the
scope of or withdrawn LAAF-accreditation of the laboratory.
(d) Disqualification procedures. (1) FDA will issue a notice of
disqualification to a LAAF-accredited laboratory and its recognized
accreditation body, which will include:
(i) The grounds for disqualification;
(ii) The method or methods to which the disqualification applies;
(iii) The date the disqualification will be effective;
(iv) The procedures for requesting a regulatory hearing on the
disqualification under Sec. 1.1173; and
(v) The procedures for requesting reinstatement after
disqualification under Sec. 1.1142.
(2) FDA will provide notice of a LAAF-accredited laboratory's
disqualification on the website described in Sec. 1.1109.
Sec. 1.1162 What are the consequences if FDA puts a LAAF-accredited
laboratory on probation or disqualifies a LAAF-accredited laboratory?
(a) A LAAF-accredited laboratory that FDA has put on probation for
one or more methods is permitted to continue to conduct food testing
under this subpart; however, a LAAF-accredited laboratory that is on
probation for one or more methods is not permitted to submit abridged
analytical reports for the major food testing discipline of which the
probationary methods are part.
(b) If FDA disqualifies a LAAF-accredited laboratory for all
methods within its scope of LAAF-accreditation, the laboratory is
immediately ineligible to conduct food testing under this subpart. If
FDA disqualifies a LAAF-accredited laboratory for specific methods
within the scope of LAAF-accreditation, the laboratory is immediately
ineligible to use the methods for which the laboratory has been
disqualified to conduct food testing under this subpart.
(c) With respect to food testing conducted by the laboratory prior
to its disqualification, FDA may refuse to consider results and
associated reports of food testing conducted under this subpart if the
basis for the disqualification of the laboratory indicates that the
specific food testing conducted by the laboratory may not be reliable.
(d) Within 10 business days of the date of issuance of
disqualification, the laboratory must provide the name and email
address of the custodian who will maintain and make available to FDA
the records required by Sec. 1.1154, and the street address where the
records will be located.
(e) Within 10 business days of the date of issuance of a notice of
probation or disqualification, the laboratory must notify any owners or
consignees for which it is conducting food testing using methods for
which it is being placed on probation or disqualified under this
subpart, that it is on probation or has been disqualified.
Requesting FDA Reconsideration or Regulatory Hearings of FDA Decisions
Under This Subpart
Sec. 1.1171 How does an accreditation body request reconsideration by
FDA of a decision to deny its application for recognition, renewal, or
reinstatement?
(a) Timing of request. An accreditation body may seek
reconsideration of FDA's decision to deny its application for
recognition or renewal of recognition under Sec. 1.1114, or
reinstatement of recognition under Sec. 1.1117, no later than 10
business days after the date of the issuance of such denial.
(b) Submission of request. The request to reconsider an application
under paragraph (a) of this section must be signed by the accreditation
body, as appropriate, or by an individual authorized to act on its
behalf. The accreditation body must submit the request, together with
any supporting information, to FDA in accordance with the procedures
described in the notice of denial.
(c) Notification of FDA's decision. After completing its review and
evaluation of the request for reconsideration and any supporting
information submitted pursuant to paragraph (b) of this section, FDA
will notify the accreditation body of its decision to grant or deny
recognition upon reconsideration.
[[Page 68830]]
Sec. 1.1173 How does an accreditation body or laboratory request a
regulatory hearing on FDA's decision to revoke the accreditation body's
recognition or disqualify a LAAF-accredited laboratory?
(a) Request for hearing. No later than 10 business days after the
date FDA issued a revocation of recognition of an accreditation body
pursuant to Sec. 1.1131 or disqualification of a LAAF-accredited
laboratory under Sec. 1.1161, the accreditation body, laboratory, or
an individual authorized to act on the accreditation body's or
laboratory's behalf, may submit a request for a regulatory hearing,
conducted pursuant to part 16 of this chapter, on the revocation or
disqualification. The notice of revocation issued under Sec. 1.1131 or
notice of disqualification issued under Sec. 1.1161, as applicable,
will contain all the elements required by Sec. 16.22(a) of this
chapter and will thereby constitute the notice of an opportunity for
hearing under part 16 of this chapter.
(b) Submission of request for regulatory hearing. The request for a
regulatory hearing under this subpart must be submitted with a written
appeal that responds to the bases for the FDA decision described in the
written notice of revocation or disqualification, together with any
supporting information. The request, appeal, and supporting information
must be submitted to FDA in accordance with the procedures described in
the notice of revocation or disqualification.
(c) Effect of submitting a request for a regulatory hearing on an
FDA decision. The submission of a request for a regulatory hearing
under this subpart will not operate to delay or stay the effect of a
decision by FDA to revoke the recognition of an accreditation body or
disqualify the LAAF-accredited laboratory unless FDA determines that
delay or a stay is in the public interest.
(d) Presiding officer. The presiding officer for a regulatory
hearing under this subpart will be designated after a request for a
regulatory hearing is submitted to FDA.
(e) Denial of a request for regulatory hearing. The presiding
officer may deny a request for regulatory hearing under this subpart
pursuant to Sec. 16.26(a) of this chapter when no genuine or
substantial issue of fact has been raised.
(f) Conduct of regulatory hearing. (1) If the presiding officer
grants a request for a regulatory hearing, the hearing will be held
within 10 business days after the date the request was filed or, if
applicable, within a timeframe agreed upon in writing by the
accreditation body or laboratory, and the presiding officer and FDA.
(2) The presiding officer must conduct the hearing in accordance
with part 16 of this chapter, except that, pursuant to Sec. 16.5(b) of
this chapter, the procedures for a regulatory hearing apply only to the
extent that such procedures are supplementary and do not conflict with
the procedures specified for regulatory hearings under this subpart.
Accordingly, the following requirements of part 16 of this chapter are
inapplicable to regulatory hearings conducted under this subpart: The
requirements of Sec. 16.22 (Initiation of regulatory hearing); Sec.
16.24(e) (timing) and (f) (contents of notice); Sec. 16.40
(Commissioner); Sec. 16.60(a) (public process); Sec. 16.95(b)
(administrative decision and record for decision); and Sec. 16.119
(Reconsideration and stay of action).
(3) A decision by the presiding officer to affirm the revocation of
recognition or laboratory disqualification is considered a final agency
action under 5 U.S.C. 702.
Sec. 1.1174 How does an owner or consignee request a regulatory
hearing on a directed food laboratory order?
(a) Request for hearing. No later than 3 business days after FDA
has issued the directed food laboratory order, an owner or consignee
may submit a request for a regulatory hearing, conducted pursuant to
part 16 of this chapter, on the directed food laboratory order. The
directed food laboratory order will contain all of the elements
required by Sec. 16.22 of this chapter and will thereby constitute the
notice of an opportunity for hearing under part 16 of this chapter.
(b) Submission of request for regulatory hearing. The request for a
regulatory hearing must be submitted with a written appeal that
responds to the bases, as appropriate, for FDA's determinations
described in the directed food laboratory order, together with any
supporting information. The request, appeal, and supporting information
must be submitted in accordance with the procedures described in the
directed food laboratory order.
(c) Presiding officer. The presiding officer for a regulatory
hearing under this subpart will be designated after a request for a
regulatory hearing is submitted to FDA.
(d) Denial of a request for regulatory hearing. The presiding
officer may deny a request for regulatory hearing under this subpart
pursuant to Sec. 16.26(a) of this chapter.
(e) Conduct of regulatory hearing. (1) If the presiding officer
grants a request for a regulatory hearing, such hearing will be held
within 2 business days after the date the request was filed or, if
applicable, within a timeframe agreed upon in writing by the requestor
and the presiding officer and FDA.
(2) The presiding officer may require that a hearing conducted
under this subpart be completed within 1 business day, as appropriate.
(3) The presiding officer must conduct the hearing in accordance
with part 16 of this chapter, except that, pursuant to Sec. 16.5(b) of
this chapter, the procedures for a regulatory hearing described in part
16 of this chapter apply only to the extent that such procedures are
supplementary and not in conflict with the procedures specified for the
conduct of regulatory hearings under this subpart. Accordingly, the
following requirements of part 16 of this chapter are inapplicable to
regulatory hearings conducted under this subpart: Sec. 16.22
(Initiation of regulatory hearing); Sec. 16.24(e) (timing) and (f)
(contents of notice); Sec. 16.40 (Commissioner); Sec. 16.60(a)
(public process); Sec. 16.95(b) (administrative decision and record
for decision); and Sec. 16.119 (Reconsideration and stay of action).
(4) A decision by the presiding officer to affirm the directed food
laboratory order is considered a final agency action under 5 U.S.C.
702.
Electronic Records and Public Disclosure Requirements
Sec. 1.1199 Are electronic records created under this subpart subject
to the electronic records requirements of part 11 of this chapter?
Records that are established or maintained to satisfy the
requirements of this subpart and that meet the definition of electronic
records in Sec. 11.3(b)(6) of this chapter are exempt from the
requirements of part 11 of this chapter. Records that satisfy the
requirements of this subpart, but that also are required under other
applicable statutory provisions or regulations, remain subject to part
11 of this chapter.
Sec. 1.1200 Are the records obtained by FDA under this subpart
subject to public disclosure?
Records obtained by FDA under this subpart are subject to the
disclosure requirements under part 20 of this chapter.
PART 11--ELECTRONIC RECORDS; ELECTRONIC SIGNATURES
0
4. The authority citation for part 11 continues to read as follows:
Authority: 21 U.S.C. 321-393; 42 U.S.C. 262.
0
5. In Sec. 11.1, add paragraph (p) to read as follows:
[[Page 68831]]
Sec. 11.1 Scope.
* * * * *
(p) This part does not apply to records required to be established
or maintained by subpart R of part 1 of this chapter. Records that
satisfy the requirements of subpart R of part 1 of this chapter, but
that also are required under other applicable statutory provisions or
regulations, remain subject to this part.
PART 16--REGULATORY HEARING BEFORE THE FOOD AND DRUG ADMINISTRATION
0
6. The authority citation for part 16 continues to read as follows:
Authority: 15 U.S.C. 1451-1461; 21 U.S.C.141-149, 321-394, 467f,
679, 821, 1034, 28 U.S.C. 2112; 42 U.S.C. 201-262, 263b, 364.
0
7. In Sec. 16.1, add entries for Sec. Sec. 1.1173 and 1.1174 in
numerical order to paragraph (b)(2) to read as follows:
Sec. 16.1 Scope.
* * * * *
(b) * * *
(2) * * *
Sec. 1.1173, relating to the revocation of recognition of an
accreditation body, and the disqualification of a laboratory, with
respect to food testing conducted under part 1, subpart R of this
chapter.
Sec. 1.1174, relating to the issuance of a directed food
laboratory order by FDA pursuant to Sec. 1.1108.
* * * * *
PART 129--PROCESSING AND BOTTLING OF BOTTLED DRINKING WATER
0
8. The authority citation for part 129 is revised to read as follows:
Authority: 21 U.S.C. 342, 348, 350k, 371, 374, 42 U.S.C. 264.
0
9. Amend Sec. 129.35 by revising paragraph (a)(3)(iii) to read as
follows:
Sec. 129.35 Sanitary facilities.
* * * * *
(a) * * *
(3) * * *
(iii) Analysis of the sample may be performed for the plant by
competent commercial laboratories (e.g., Environmental Protection
Agency (EPA) and State-certified laboratories), except that the
analysis of the five samples from the same sampling site that
originally tested positive for E. coli, as required by paragraph (a)(3)
of this section, must be conducted under part 1, subpart R of this
chapter.
* * * * *
Dated: November 15, 2021.
Janet Woodcock,
Acting Commissioner of Food and Drugs.
[FR Doc. 2021-25716 Filed 12-1-21; 11:15 am]
BILLING CODE 4164-01-P